Category: Education

  • MIL-Evening Report: Cancer patients from migrant backgrounds have a 1 in 3 chance of something going wrong in their care

    Source: The Conversation (Au and NZ) – By Ashfaq Chauhan, Research Fellow, Australian Institute of Health Innovation, Macquarie University

    SeventyFour/Shutterstock

    More than 7 million people in Australia were born overseas. Some 5.8 million people report speaking a language other than English at home.

    But how well are we looking after culturally and linguistically diverse (CALD) Australians?

    In countries around the world, evidence suggests people from CALD backgrounds are at increased risk of harm as a result of the health care they receive when compared to the general population. Common problems include a higher risk of contracting a hospital-acquired infection or medication errors.

    People receiving cancer care are at particularly high risk of harm associated with their health care.

    In a recent study, we found CALD cancer patients in Australia had roughly a one-in-three risk of something going wrong during their cancer care. This is unacceptably high.

    We reviewed medical records

    We worked with four cancer services (two in New South Wales and two in Victoria) that provide care to high proportions of people from CALD backgrounds. These four cancer services offer a combination of care to patients in hospitals, clinics and in their homes.

    We analysed de-identified medical records of people from CALD backgrounds who received care at any of the four cancer services during 2018. To identify CALD patients, we used information from their medical records including “country of birth”, “preferred language”, “language spoken at home” and “interpreter required”.

    We reviewed a total of 628 medical records of CALD cancer patients. We found roughly one in three medical records (212 out of 628) had at least one patient safety event recorded. We defined a patient safety event as any event that could have or did result in harm to the patient as a result of the health care they receive. We also found 44 patient records had three or more safety events recorded over a 12-month period.

    Medication-related safety events were common, such as the wrong medication type or dose being given to a patient. Sometimes the patients themselves took the wrong type or dose of a medication or stopped medication all together. We also observed a variety of other patient safety events such as falls, pressure ulcers and infections after surgery.

    The number of incidents could even be higher than what we observed. We know from other research that not all patient safety events are documented.

    Our research looked at patient safety incidents among CALD patients at four Australian cancer services in 2018.
    Monkey Business Images/Shutterstock

    We didn’t have a control group, which is the main limitation of our study. In other words, we didn’t examine medical records of patients from non-CALD backgrounds to compare how common patient safety events were between groups.

    But looking at other data suggests the rate of incidents is much higher in CALD patients.

    Studies over many years indicate around one in ten patients admitted to hospital experience a safety event.

    One study from Norway found cancer patients have a 39% greater risk of experiencing adverse events in hospital when compared to other patients (24.2% compared to 17.4%).

    Why is the risk of incidents so high for CALD patients?

    We identified miscommunication as a key factor that put cancer patients from CALD backgrounds at risk.

    For example, we observed from one patient’s notes that the patient didn’t take their medication because they were confused by the instructions given by different clinicians. This confusion might have stemmed from language barriers or health literacy issues.

    In some medical records, we also saw interpreter requirements were unmet. For example, at the time of admission, assessment for language needs noted an interpreter was not required. However, later notes mentioned the patient had poor English or needed an interpreter.

    Also, with the limited availability of interpreters, they’re often reserved for specialist appointments, and not used for “routine” tasks, such as during chemotherapy treatment. This may result in side effects from cancer medications not being properly identified and responded to, potentially leading to patient harm.

    Risks may increase if a patient needs an interpreter but doesn’t have one.
    THICHA SATAPITANON/Shutterstock

    What can we do to improve things?

    To make care safer, patients, their families and the clinicians who care for them should come together so that any solutions developed are practical, relevant, and informed by their combined experiences.

    As an example, we developed a tool with consumers from CALD backgrounds and their clinicians that seeks to ensure that when patient medications are changed, there is common understanding between the clinician and the patient of their medication and care instructions. This includes recognising the side effects of the medications and who to contact if they have concerns.

    This tool uses images and simple language to support common understanding of medication and care instructions. It takes into account specific cultural expectations and is available in different languages. It’s currently being evaluated in two cancer clinics.

    To make cancer care safer for patients from CALD backgrounds, health systems and services will need to support and invest in strategies that are specifically targeted towards people from these backgrounds. This will ensure more equitable health solutions that improve the health of all Australians.

    Ashfaq Chauhan’s PhD was funded by Macquarie University Research Excellence Scholarship and Australian Government Research Training Program Scholarship. He receives funding from Medical Research Future Fund.

    Melvin Chin has received funding from South Eastern Sydney Local Health District, Cancer Institute NSW, Cancer Australia, National Health and Medical Research Council, AstraZeneca, and Avant Foundation.

    Reema Harrison receives funding from Cancer Institute NSW, Medical Research Futures Fund, NHMRC and ARC.

    Meron Pitcher 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. Cancer patients from migrant backgrounds have a 1 in 3 chance of something going wrong in their care – https://theconversation.com/cancer-patients-from-migrant-backgrounds-have-a-1-in-3-chance-of-something-going-wrong-in-their-care-250931

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Security: Felon Pleads Guilty to Illegally Possessing Firearms After Being Intercepted with Guns on Reinhardt University Campus

    Source: Office of United States Attorneys

    ATLANTA – Joshua Timothy Rex has pleaded guilty to possession of two firearms by a convicted felon after law enforcement officers intercepted him on his way to confront a student on the campus of Reinhardt University.

    “Rex is a repeat violent offender who placed the citizens of Cherokee County and the Reinhardt University community at serious risk by bringing guns to campus in anticipation of an encounter with a student,” said Acting U.S. Attorney Richard S. Moultrie, Jr.  “We are relieved that local law enforcement intervened before Rex harmed anyone, and we are grateful for the collaborative efforts of our federal and local law enforcement partners who aided this successful prosecution.”

    “Rex posed a serious threat to the public,” said Special Agent in Charge Benjamin Gibbons.  “Identifying and apprehending Rex shows that ATF and our law enforcement partners will continue to utilize all resources to protect the community.” 

    According to Acting U.S. Attorney Moultrie, Jr., the charges and other information presented in court: Joshua Rex is prohibited by law from possessing firearms due to his record of prior felony drug convictions and a prior conviction of domestic violence.  But in spite of his previous criminal history, on July 20, 2024, he drove to the campus of Reinhardt University armed with two fully loaded firearms and extra magazines of ammunition.  Law enforcement was alerted to Rex’s apparent violent intentions when they received a 911 call stating that Rex was en route to the school to confront and potentially harm a student.

    Officers of the Cherokee County, Georgia, Sheriff’s Office and Reinhardt University Department of Public Safety prevented a potentially life-threatening incident when they intercepted Rex just as he entered the campus and arrested him for driving under the influence of alcohol and bringing firearms to the campus.  Rex later admitted to federal agents that he had armed himself in anticipation of an encounter with a Reinhardt University student.

    Sentencing is scheduled for July 9, 2025, at 2:00 p.m. before Senior United States District Judge Thomas W. Thrash, Jr. 

    This case is being investigated by the Bureau of Alcohol, Tobacco, Firearms and Explosives with valuable assistance provided by the Cherokee County Sheriff’s Office and Reinhardt University Department of Public Safety.

    Assistant United States Attorney Benjamin Wylly is prosecuting the case.

    This case is part of Operation Take Back America a nationwide initiative that marshals the full resources of the Department of Justice to repel the invasion of illegal immigration, achieve the total elimination of cartels and transnational criminal organizations (TCOs), and protect our communities from the perpetrators of violent crime. Operation Take Back America streamlines efforts and resources from the Department’s Organized Crime Drug Enforcement Task Forces (OCDETFs) and Project Safe Neighborhood (PSN).

    For further information please contact the U.S. Attorney’s Public Affairs Office at USAGAN.PressEmails@usdoj.gov or (404) 581-6016. The Internet address for the U.S. Attorney’s Office for the Northern District of Georgia is http://www.justice.gov/usao-ndga.

    MIL Security OSI

  • MIL-OSI USA: Business Ethics Expert to Discuss Evolving Role of Religion, Ethics, and the Workplace

    Source: US State of Connecticut

    It was, perhaps, the most talked-about wedding cake in the history of marriage ceremonies.

    In 2012, Masterpiece Cakeshop in Lakewood, Colo., refused to make a custom wedding cake for the marriage of a same-sex couple. The bakery owner objected, saying that the ceremony conflicted with his religious beliefs.

    Although the Colorado Civil Rights Commission found the bakery had discriminated against the couple, the U.S. Supreme Court later overturned that decision in 2018. The ruling said the Commission failed to maintain religious neutrality, sidestepping questions about anti-discrimination laws and human rights.

    “The case arose when two populations wanted vastly different outcomes,’’ said professor Eric D. Yordy of the W.A. Franke College of Business at Northern Arizona University. “The LGBTQ community was unhappy that the bakery told the couple to find a cake somewhere else. And others felt that the bakery shouldn’t be forced to do something that conflicted with the owner’s religion.’’

    Social Media Has Put Religious Conflict in the Spotlight

    Yordy will be the guest presenter at the School of Business’ Equity Now Speaker Series at 6 p.m. April 16. His presentation, which will be virtual, is open to students, faculty, alumni and friends of the university. To register for the program, please visit the Equity Now Website

    Despite being a nation that embraces religious freedom, the parameters are still evolving.

    “We are a country founded on religious freedom, but this issue is what are the boundaries of religious freedom and how do they impact business?,’’ he said.

    The cake dispute is just one of many.

    Hobby Lobby, the 1,000-store arts and crafts retailer, was founded on evangelical Protestant beliefs. It found itself in the crosshairs of law and religion when it denied employees access to contraceptives and the morning-after pill. The company argued that the First Amendment to the Constitution and the Religious Freedom Restoration Act serve to protect its religious beliefs. The Supreme Court ruled in the company’s favor.

    What might have once been an internal conflict to resolve, today frequently leads to publicity and public outcry.

    “With the way the world is now and so much that has happened in the last 20 years with social media, company decisionmakers need to be much more careful about what they’re doing,’’ Yordy said. “They can be crucified by social media. Now more than ever, consequences are bigger. Twenty years ago, most people wouldn’t have known about these disagreements.’’

    Professor Designed Ethical Model

    Yordy is a professor of business covering business law and ethics at Northern Arizona University and he has served in a variety of executive roles there, including as associate dean. He is also the founding director of the college’s Institute for Public and Professional Ethics in Leadership, an interdisciplinary initiative to increase ethics work both on campus and in the community.
    Yordy and a colleague devised the ethics COVER model, a framework for ethical decision-making that helps users identify and analyze decisions with ethical ramifications by incorporating managerial decision-making and philosophical approaches. It address values, outcomes, and legal requirements.

    He has authored or co-authored numerous case studies using the COVER model and other decision-making tools on topics as far ranging as the ethics of reverse mortgages, conflicts of interest, censorship in mobile application development, and the marketing of sugary cereal to children.

    “We were seeing a lot of arguments that asked, ‘If everyone else is doing it, is it a bad decision?’ he said. “Well, yes, if you polluted something, even ‘just a little bit,’ it is still unethically sound. One of the questions we pose is: ‘If people heard about what you’re doing, would it influence who they think you are?’ ’’

    The Equity Now Speaker Series is produced by the UConn School of Business in coordination with the Academy of Legal Studies in Business, Virginia tech, Indiana University and Temple University. This is the final installment of five programs during the 2024-25 academic year.

    MIL OSI USA News

  • MIL-OSI United Nations: UN-backed forum seeks to boost resilience of world’s Least Developed Countries

    Source: United Nations MIL OSI b

    SDGs

    Policymakers, researchers, the private sector and other stakeholders are meeting in Zambia’s capital, Lusaka, over the next three days to chart a path toward sustainable development and resilience for the world’s Least Developed Countries (LDCs). 

    The third edition of the LDC Future Forum, which opened on Monday, focusses on how these 44 nations can better withstand systemic shocks, including the adverse effects of climate change and other global crises.

    The objective is to develop actionable solutions that will contribute to sustainable development and resilience building in these countries. 

    Challenges and commitments 

    The forum aligns with Priority 5 of the Doha Programme of Action (DPoA), a decade-long initiative adopted in 2022 that aims to renew and strengthen commitments between LDCs and their development partners.

    Priority 5 concerns addressing climate change, environmental degradation, recovering from the COVID-19 pandemic and building resilience against future shocks for risk-informed sustainable development. 

    LDC countries often grapple with limited domestic resources, hindering their ability to weather economic downturns, natural disasters and health emergencies, according to the UN Office of the High Representative for the Least Developed Countries, Landlocked Developing Countries and Small Island Developing States (UN-OHRLLS). 

    Moreover, accessing international capital markets is difficult due to low creditworthiness and perceived risks. 

    Women’s voices critical 

    The forum will feature a High-level Dialogue focusing on the critical need for financing to bolster LDCs’ resilience in the face of various challenges.  Special emphasis will be on gender equality as the participation of women and girls in the discussions will be critical to developing holistic and inclusive solutions. 

    Rabab Fatima, High Representative for the Least Developed Countries, Landlocked Developing Countries and Small Island Developing States, highlighted the significance of the event. 

    She noted that for the first time the forum is taking place in an LDC, “offering a unique opportunity to galvanize global support for the world’s most vulnerable countries as they navigate the challenges of an ever-changing global landscape.”  

    The forum was organized by UN-OHRLLS together with the Governments of Finland and Zambia, in collaboration with the UN University World Institute for Development Economics Research (UNU-WIDER), the Organisation for Economic Co-operation and Development (OECD) and the Foundation for Studies and Research on International Development (FERDI). 

    Private sector participation 

    Highlights include four thematic sessions addressing key areas: climate-smart agriculture practices to improve food security and ensure sustainable agricultural development, sustainable water and energy solutions to enhance resilience, circular economy and green industrialization to promote diversification and resilience and targeted social protection programs to strengthen resilience to multiple shocks. 

    A High-level Dialogue will focus on financing strategies to support more resilient economies in LDCs, addressing the critical need for resources to combat economic instability, natural disasters and health emergencies.  

    Additionally, private sector representatives will participate in a Fireside Chat to examine how businesses can drive the transition toward a circular economy, fostering sustainable development and resilience in LDCs.  

    Discussions will centre on strategies for transitioning to a circular economy, building local capacity and skills, ensuring supply chain sustainability and promoting women’s participation in corporate sustainability planning. 

    MIL OSI United Nations News

  • MIL-OSI USA: MEDIA ADVISORY: Sanders to Host Youth Choral Concert and Town Meeting on the Arts

    US Senate News:

    Source: United States Senator for Vermont – Bernie Sanders
    BURLINGTON, Vt., April 1 – Sen. Bernie Sanders will host a youth choral concert and town meeting on the importance of arts education on Saturday evening at the Casella Theater in Castleton. The concert will feature performances from seven Vermont elementary, middle, high school, and college choirs.
    Last year marked the first time since the beginning of the COVID-19 pandemic that Vermont students participated in this once-annual event. More than 180 Vermont students joined Senator Sanders at the Dibden Center for the Arts for a town meeting and performed songs that ranged from traditional to spiritual to pop.
    “I’m so glad we were able to bring our youth choral concert back last year. It was a great night full of fantastic music. I am thrilled that we are once again hosting a concert – this year at the Casella Theater. I have no doubt this will again become an event held every spring. I look forward to hearing some beautiful choral music and speaking to the many talented young performers,” said Sanders.
    The following Vermont schools will be performing: Lothrop Elementary School, Shelburne Community School, Hartland Elementary School, Colchester Middle School, Arlington Memorial Middle High School, Thetford Academy and the VTSU Castleton Chamber Singers.
    The concert will be conducted by Dr. Sherrill Blodget, Director of Choral Activities and Music Professor at Vermont State University Castleton.
    Details:
    What: Choral Concert and Town Meeting on the Arts with Sen. Bernie Sanders
    When: Saturday, April 5, 6:00 p.m. Concert starts at 6:00 p.m.; Doors open at 5:30 p.m.
    Where: Casella Theater, Vermont State University, 45 Alumni Dr, Castleton, VT
    General Public RSVP: Please RSVP online here. RSVPs are highly encouraged, but not required to attend the event. Seating will be on a first-come-first served basis.
    Media RSVP: Media members interested in attending must RSVP by contacting press@sanders.senate.gov.
    Note: All attendees are expected to follow Vermont Department of Health guidance, monitor symptoms, and are encouraged to take a rapid COVID-19 test prior to the event.

    MIL OSI USA News

  • MIL-OSI USA: Fischer, Congressional Delegation Announce Military Service Academy Days Across Nebraska

    US Senate News:

    Source: United States Senator for Nebraska Deb Fischer

    Today, U.S. Senators Deb Fischer (R-Neb.) and Pete Ricketts (R-Neb.) and U.S. Representatives Mike Flood (NE-01), Don Bacon (NE-02), and Adrian Smith (NE-03) announced that their staff will hold Service Academy Days in Bellevue, Norfolk, North Platte, Omaha, Grand Island, and Lincoln. 

    The events inform high school students about the process to apply for a congressional nomination to one of our nation’s military service academies. Service academy representatives will be on hand to answer questions. 

    “Home to Offutt Air Force Base and Camp Ashland, Nebraska has long been the home of our nation’s exceptional service members. To continue our state’s proud tradition of military service, I’m happy to host Academy Days for high school students and their parents to learn more about how to apply for nominations to one of our prestigious Military Service Academies,” said Senator Fischer.

    “Nebraska has a strong tradition of supporting our military. Each year, I honor that tradition by nominating outstanding young Nebraskans to attend our United States service academies. I encourage high school students from across our state to attend Academy Days and learn more about the nomination process,” said Senator Ricketts.

    “America’s Military Service Academies are training a new generation of young leaders who are stepping up to serve in our nation’s Armed Forces. Academy Days hosted by the Nebraska delegation will provide in depth briefings on how nominations work. I strongly encourage any young Nebraskan who has an interest in attending one of the academies to join our offices to learn more and get all your questions answered before diving into the application process,” said Representative Flood.

    “As a veteran who served nearly 30 years in the Air Force, I cannot share enough how much my military career meant to me and these academies help our youth get a start on their own exciting and fulfilling careers. I encourage our high school students to check out each of the academies and wish them the best as they start their application process,” said Representative Bacon.

    “Nebraska has many bright young people who are willing to serve and would make outstanding cadets at our country’s service academies. It is an honor to partner with our congressional delegation and connect our state’s leading students with a first-rate education, leadership opportunities, and training for service,” said Representative Smith.

    The event includes representatives from the Nebraska chapters of the service academy alumni associations and Nebraska service academy parent clubs.

    All high school students, parents, and guidance counselors who have an interest in the nation’s service academies are welcome and no preregistration is required. The targeted audience is freshman through juniors.

    To learn more, please contact Kevin Huebert, Senator Fischer’s Director of Military and Veterans Affairs, at (402) 391-3411.

    Please click here or see below for dates, locations, and more information:

    • April 5
      • 8:00am – 12:00pm CT
      • Bellevue University, John B. Muller Admin Bldg.
        • 812 Bruin Blvd

    Bellevue, NE 68005

    • May 3
      • 9:00am – 12:00pm CT
      • Norfolk Chamber of Commerce
        • 609 W. Norfolk Ave

    Norfolk, NE 68701

    • May 10
      • 9:00am – 12:00pm CT
      • Nebraska National Guard Armory
        • 1700 N. Jeffers St

    North Platte, NE 69101

    • May 17
      • 9:00am – 12:00pm CT
      • Omaha North High School
        • 4410 N. 36th St

    Omaha, NE 68111

    • August 9
      • 11:00am – 2:00pm CT
      • Grand Island Public Library
        • 1124 W 2nd St
          Grand Island, NE 68801
    • August 23
      • 11:00am – 2:00pm CT
      • John J. Pershing Army Reserve Center
        • 3700 West O Street
          Lincoln, NE 68528

    MIL OSI USA News

  • MIL-OSI Australia: Equity Fund reaches $1.5 million milestone

    Source: Northern Territory Police and Fire Services

    The funding distributed to date has supported 2591 students from 1225 Canberra families.

    Just over one month into the 2024 school year and the ACT Government has provided more than $1.5 million to eligible Canberra parents and carers through its Future of Education Equity Fund.

    The funding distributed to date has supported 2591 students from 1225 Canberra families.

    The fund helps ACT students from eligible families access everyday essentials to assist with their education and wellbeing.

    This includes as book packs, uniforms and excursions, sport equipment and activities, tuition, and music lessons.

    It supports financially disadvantaged families with students who are enrolled in preschool through to Year 12 in any ACT school.

    Payments are:

    • $400 for preschool students
    • $500 for primary school students
    • $750 for high school and college students

    Having such items and services, that they otherwise might not have, helps students fully engage with their education.

    Last year the Fund supported 5000 students, with more than $2.9 million disbursed.

    Applications for the 2024 school year will remain open until 29 November 2024.

    Find information about the fund, and a link to apply online.


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    MIL OSI News

  • MIL-OSI Australia: Story Dogs return to Libraries ACT

    Source: Northern Territory Police and Fire Services

    Year 7 student Sara is benefiting from reading sessions with Story Dog Lucky and his owner, Ron.

    Year 7 student Sara has never felt comfortable reading in front of her class.

    The Lanyon High School student would avoid it at all costs. That is, until her mother discovered the Story Dogs program at Libraries ACT.

    The program is ideal for reluctant readers or those facing reading challenges.

    It pairs a student with a trained dog and their volunteer owner, creating a relaxed, supportive environment for reading aloud.

    Sara attends Tuggeranong Library on Friday afternoons to read to Lucky, a 21-month-old golden retriever.

    ‘I like the experience and since I don’t generally like reading in front of other people, I like reading in front the dog,” Sara said.

    “It makes the experience a bit calmer. I am happy to keep doing this for a while.”

    After only two sessions, Sarah’s mum, Rae, has noticed a difference.

    “At school she always refused to talk in front of the class, but I have definitely seen a change,” Rae said.

    “She finds the dog listens. It doesn’t judge and it’s fun. She might now associate the dog with talking out loud and this has really helped for someone who refuses to stand up and read.”

    During her session, Lucky rests by Sara as she makes her way through a pile of story books.

    Though concentrating hard, she touches and pats him as she reads.

    Lucky’s owner, Ron, a retired public servant, listens but remains quiet.

    “It’s great doing this. Last week, we had a little girl come in who is dyslexic and she just sat there on the rug with Lucky and held onto him the whole time. She started off a bit hesitant but after a minute she was right. It really calmed both her and him. Lucky is new to this too, so they were both learning at the same time,” Ron said.

    “I used to coach football, so I know the satisfaction of being able to teach kids.”

    The Story Dogs program is available for children aged 7–12 at Tuggeranong, Dickson and Gungahlin libraries.

    Each child gets 20 minutes of one-on-one reading time with a Story Dog, under the watchful eye of a friendly volunteer like Ron.

    Students who feel anxious or stressed during learning activities can find the presence of a furry friend reassuring.

    Reading to a Story Dog can:

    • promote relaxation
    • lower blood pressure
    • eliminate fear of judgement
    • allow children to learn at their own pace.

    “It’s wonderful to see the progress and you get as much out of it yourself as for anyone else,” Ron said.

    Story Dogs sessions require bookings and are held during school terms at:

    • Gungahlin Library: Wednesdays, 4:00pm to 5:20pm
    • Dickson Library: Fridays, 4:00pm to 5:20pm
    • Tuggeranong Library: Fridays, 4:00pm to 5:20pm.

    Registrations open seven days in advance.

    Further resources

    Register your child for a Story Dog session

    Canberra dog-owners interested in volunteering with the program can contact Story Dogs.


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    MIL OSI News

  • MIL-OSI Australia: Head contractor appointed for southside hydrotherapy facility

    Source: Northern Territory Police and Fire Services

    Construction is expected to be completed by May 2025.

    The new hydrotherapy pool in Canberra’s south is another step closer with Monarch Building Solutions appointed to lead its construction.

    The first sod has now been turned on the site following the recent development approval for the project.

    The construction phase is the next step and comes after extensive consultation and engagement with stakeholders to inform the design of the facility.

    Construction is expected to be completed by May 2025.

    “Monarch Building Solutions is honoured to play a role in enhancing healthcare infrastructure in Canberra,” Director of Monarch Building Solutions Marco Galeotti said.

    “Our team is excited and ready to dive straight into the construction of the new southside hydrotherapy pool and understand the importance of this facility to the local community.”

    Hydrotherapy offers a vital service for a wide range of Canberrans.

    It provides people with mobility issues access to an important form of recreation. It also supports people to better manage chronic pain caused by illnesses such as cancer, migraine, osteoarthritis and arthritis, and it offers the opportunity to help people recover from injury or surgery.

    The southside pool will complement the hydrotherapy pool opened at the University of Canberra Hospital in 2020.

    “Arthritis ACT welcomes the commencement of the building of this essential infrastructure. For people living with chronic pain conditions which includes all types of Arthritis, hydrotherapy is essential both to providing ongoing pain relief as well as a wonderful place to exercise, especially for those that get a lot of pain when exercising,” CEO of Arthritis ACT Rebecca Davey said.

    Find more information on the new pool on the Built for CBR website.


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    MIL OSI News

  • MIL-OSI USA: Martin A. Makary, M.D., M.P.H., Sworn in as FDA Commissioner

    Source: US Department of Health and Human Services – 3

    For Immediate Release:
    April 01, 2025

    Renowned surgeon-scientist and health policy expert, Martin A. Makary, M.D., M.P.H., took the oath of office to become the 27th Commissioner of Food and Drugs. Dr. Makary was confirmed by a bipartisan vote of the U.S. Senate.
    “I am pleased to welcome Dr. Makary to the U.S. Department of Health and Human Services and the Food and Drug Administration,” said HHS Secretary Robert F. Kennedy, Jr. “He is a national leader in medicine with impeccable credentials. His extensive research, clinical experience, and national leadership make him uniquely qualified to lead the FDA as we work together to Make America Healthy Again.”
    Dr. Makary’s accomplishments as a researcher, clinician and prolific author are numerous. He has authored more than 300 peer-reviewed articles in medical literature and founded the Johns Hopkins Center for Surgical Trials and Outcomes Research. Dr. Makary has led cross-disciplinary research on a range of subjects including cancer care, obesity, frailty and psychologic reserve in older patients, adverse event monitoring, the Orphan Drug Act, antimicrobial resistance, and Alzheimer’s. Of note, he is the co-developer of the Surgery Checklist used in many operating rooms around the world today. A member of the prestigious National Academy of Medicine, Dr. Makary has been a visiting professor at more than 25 medical schools across the U.S. and internationally.
    “I am honored and humbled to assume this role at the FDA under the leadership of President Trump and Secretary Kennedy,” said FDA Commissioner Martin A. Makary, M.D., M.P.H. “I look forward to working with this Administration and the FDA workforce to advance our shared goals in meeting the agency’s public health mission. As Commissioner, I hope to ensure that the FDA holds to the gold standard of trusted science, transparency, and common sense so that we can Make America Healthy Again.”
    Dr. Makary is a graduate of Bucknell University, Thomas Jefferson University, and the Harvard School of Public Health. He completed his residency at Georgetown University and surgical oncology fellowship at Johns Hopkins. After six years on the faculty at Johns Hopkins, Dr. Makary was named an endowed chair in gastrointestinal surgery and subsequently promoted to full professor with tenure. He has held joint appointments at the Johns Hopkins School of Public Health and the Johns Hopkins Carey Business School.
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    The FDA, an agency within the U.S. Department of Health and Human Services, protects the public health by assuring the safety, effectiveness, and security of human and veterinary drugs, vaccines and other biological products for human use, and medical devices. The agency also is responsible for the safety and security of our nation’s food supply, cosmetics, dietary supplements, radiation-emitting electronic products, and for regulating tobacco products.

    Inquiries

    Consumer:
    888-INFO-FDA

    Content current as of:
    04/01/2025

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    MIL OSI USA News

  • MIL-OSI United Kingdom: Stunning artwork brings community together

    Source: Anglia Ruskin University

    The giant Connecting Worlds mural at ARU’s Chelmsford campus. Photograph by Lawker Media

    A stunning piece of artwork has been created in Chelmsford by local residents and street artists to celebrate the world-leading research being carried out by Anglia Ruskin University (ARU).

    The 36ft wide by 12ft high Connecting Worlds mural has been unveiled on the side of the Marconi building at ARU’s Chelmsford campus facing towards New Street, once home to the world’s first purpose-built radio factory.

    The mural was painted by a group of older members of the Chelmsford community, under guidance from street artists Brave Arts. Research has shown that taking part in artistic activities can boost self-esteem and confidence, improve physical health and lead to better social connections.

    In the mural, the older adults that took part in the project are represented gazing into the eyes of the child, who will be witness to technologies the older people can only imagine today.

    The global perspective illustrates the trade, information and communication routes that criss-cross the world as light beams across its surface.

    The artwork was created over the course of five days, and was the first experience of street art for many of the participants, who were also involved in discussions around how the mural should look.

    This project has been led by Culture Chelmsford, Chelmsford Creative Collective, Anglia Ruskin University, and Chelmsford Council for Voluntary Services (Chelmsford CVS) via UK Shared Prosperity Fund (UKSPF) awarded by Chelmsford City Council to strengthen cultural social prescribing, with 18 small grants awarded for community projects.

    “The idea for the design is based on both the research being done at ARU, and the connection between the older members of our community and the young. Our older volunteers did an absolutely amazing job in bringing the design to life and I know everyone is really proud of the final mural.”

    Founder of the Chelmsford Creative Collective, Candy Joyce

    The mural is part of the launch of the Connecting Worlds research hub, which brings together some of the world-leading research being carried out by academics at ARU and is aimed at making it more accessible to the public.

    “The mural is a stunning piece of work that represents both the global reach of our research, and also our commitment to our local communities.

    “Our new Connecting Worlds research hub highlights that ARU, like many universities in the UK, carries out world-class research that benefits all parts of society.

    “At ARU, this ranges from developing new treatments for cataracts, to helping to save the UK from future food shortages, to highlighting discrimination in the labour market and working to revive endangered languages. We encourage everyone to explore the innovative work being carried at ARU.”

    Professor Yvonne Barnett, Deputy Vice Chancellor for Research and Innovation at ARU

    “We are passionate about supporting projects which strengthen links between creativity, community, wellbeing, and innovation in Chelmsford. We firmly believe that when communities play an active role in shaping cultural decisions, everyone thrives. This inspiring and thought-provoking work developed between local artists and older people in the community stands as a testament to this vision.”

    Culture Chelmsford Chief Executive Claire Gevaux

    MIL OSI United Kingdom

  • MIL-OSI Canada: Nominations Open for The Lieutenant Governor’s Post-Secondary Teaching Award

    Source: Government of Canada regional news

    Released on April 1, 2025

    The Government of Saskatchewan is now accepting nominations for the Lieutenant Governor’s Post-Secondary Teaching Award. This provincial award recognizes post-secondary educators who excel in teaching and are dedicated to providing high-quality education.

    “I am pleased and honoured to support this prestigious awards program,” Lieutenant Governor Bernadette McIntyre said. “I encourage nominations of our province’s outstanding post-secondary educators in appreciation of their significant contributions to their students and their profession.”

    Nominations are open between April 1 and June 30, 2025. Nominations are peer-to-peer and are endorsed by the President, Vice-President, Provost or Designate of publicly funded post-secondary institutions in Saskatchewan. Nominees must be actively teaching and demonstrate commitment to enhancing student engagement and learning, have a strategic and intentional approach to teaching practices and continually strive for teaching improvement.

    “The Government of Saskatchewan is proud to recognize the dedication and leadership of our post-secondary educators,” Advanced Education Minister Ken Cheveldayoff said. “This award is our way of thanking the exceptional educators who enrich our post-secondary sector and play a key role in shaping the future leaders of our province.”

    Recipients of this award are recognized under four categories:

    • Distinguished Teaching Award
    • Equity, Diversity, and Inclusion Teaching Award
    • Indigenous Teaching Excellence Award
    • Innovative Teaching Award

    Award recipients will be announced in the fall of 2025. For more information about the award, eligibility and nomination process, visit: www.saskatchewan.ca/government/heritage-honours-and-awards/lieutenant-governors-post-secondary-teaching-award. 

    -30-

    For more information, contact:

    MIL OSI Canada News

  • MIL-OSI Global: William Wordsworth’s last home is up for sale – returning it to a private residence would be a loss for the UK’s cultural heritage

    Source: The Conversation – UK – By Amy Wilcockson, Research assistant, University of Glasgow

    Until recently, fans of William Wordsworth could visit his final home, Rydal Mount and Gardens, nestled in the heart of England’s green and beautiful Lake District. Renowned as one of the most prominent British poets, the works of Wordsworth (1770-1850) include what is widely regarded as the most famous poem in the English language, I Wandered Lonely as a Cloud.

    So it’s not surprising that his immaculately maintained house and gardens, with breathtaking views of Lake Windermere and Rydal Water, once attracted 45,000 visitors a year.

    However, rising costs, a fall in visitor numbers to 20,000 or fewer per year, and the residual effects of the pandemic have placed the future of the museum in question.

    The current owners have put Rydal Mount on the market for the first time since 1969 for £2.5 million – meaning this important piece of literary heritage, depending on who buys it, could become closed to the public.

    The house was bought by Mary Henderson, Wordsworth’s great-great-granddaughter, in 1969 and opened as a writer’s house museum a year later.

    Rydal Mount was originally a small 16th-century cottage. By 1813, there was enough room for Wordsworth, his wife Mary and three surviving children, plus Wordsworth’s sister-in-law Sara and sister Dorothy – author of the Grasmere Journal, which detailed the household’s life.

    Leaving the cramped conditions of the more famous Dove Cottage behind them, it was at Rydal Mount that Wordsworth truly settled, building a “writing hut” and extensively landscaping the grounds to his own design.


    This article is part of our State of the Arts series. These articles tackle the challenges of the arts and heritage industry – and celebrate the wins, too.


    Next to Rydal Mount is Dora’s Field, which also has literary significance. Here, the poet is believed to have planted 1,847 daffodils to mark his daughter Dora’s memory, following her death from tuberculosis aged 42. These daffodils still bloom every spring.

    While living at Rydal Mount, Wordsworth revised his epic “The Prelude” and wrote many other popular poems. This too is the house where he died in 1850. It was only when Mary died in 1859 that the family’s tenancy of the house came to an end.

    Visitors get to step into the house where all this happened and see a wealth of rare objects, including a rare portrait of Dorothy and Wordsworth’s letter to Queen Victoria refusing the job of Poet Laureate (which he later accepted).

    Owning England’s heritage

    Visitors go to literary museums to experience the “spirit of the place”, to “encounter” the author and absorb some of their creativity. One recent visitor to Rydal Mount was so disappointed not to meet Wordsworth personally that they wrote a disparaging review, telling of their confusion that the poet “wasn’t in” and “when [they] asked when he would be home, all [they] got was blank stares.”

    Wordworth is so closely connected to the Lake District that marketing strategies have used him to promote the area since the 1800s. Rydal Mount has had an integral role in maintaining these traditions. The estate agent’s advert is keen to stress the “once-in-a-lifetime opportunity to own a piece of England’s heritage” and the “superb gardens … designed by Wordsworth himself”.

    In selling the museum as it is, there is a real risk that Rydal Mount could become a private home lost to the public eye – much like Greta Hall, the home of Wordsworth’s fellow poet Samuel Taylor Coleridge, which has long been privately owned.

    Prospective closure is not uncommon for smaller museums in 2025. A recent report noted that three in five small museums fear closure because of declining revenue and footfall. 2020 was the 250th anniversary of Wordsworth’s birth and should have been a bumper year of events and tourism for the Lake District. Instead, the pandemic ravaged the celebrations and left tourist attractions in financial peril that many have not recovered from.

    William Wordsworth lived at Rydal Mount for 37 years and died there.
    Wikimedia, CC BY

    Critics will argue that even if Rydal Mount does close, there are still three more Wordsworth homes open to visitors (Dove Cottage, the favourite of tourist guides, Wordsworth House and Garden, and Allan Bank). Even Wordsworth’s old school is a museum.

    The closure of Rydal Mount would inevitably boost these other sites’ visitor numbers – particularly Dove Cottage, which is on the same (albeit long) road as Rydal Mount. And the condition of Wordsworth’s last home could potentially be improved by a private owner with ample funds to upkeep the house.

    However, it is also true that public appreciation of museums remains high, with 89% of adults in a 2024 YouGov survey advocating for their importance to UK culture, and 54% registering disappointment if their local museum were to close.

    While the British Museum has experienced its highest visitor numbers since 2015, more needs to be done to save regional museums and writer’s house museums from closure. The sale of Rydal Mount into private hands may prove a severe loss to literary history, leaving the Lake District much the poorer for it.

    Amy Wilcockson 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. William Wordsworth’s last home is up for sale – returning it to a private residence would be a loss for the UK’s cultural heritage – https://theconversation.com/william-wordsworths-last-home-is-up-for-sale-returning-it-to-a-private-residence-would-be-a-loss-for-the-uks-cultural-heritage-253561

    MIL OSI – Global Reports

  • MIL-OSI Global: How controversial nutritionist John Harvey Kellogg pioneered the path to modern plant-based eating

    Source: The Conversation – UK – By Lauren Alex O’Hagan, Research Fellow, School of Languages and Applied Linguistics, The Open University

    MVelishchuk/Shutterstock

    When you hear the name Kellogg, Corn Flakes might be the first thing that comes to mind. But John Harvey Kellogg is famous for more than just breakfast cereals.

    In many respects, this American doctor, nutritionist, inventor and entrepreneur was ahead of his time. Perhaps the first wellness influencer over a century before Gwyneth Paltrow got in on the act, he advocated startlingly similar treatments and practices.

    But Kellogg was also a divisive figure due to his strong support for eugenics and “racial hygiene”. Driven by concerns about what he termed “race degeneracy”, he founded the Race Betterment Foundation in 1914 – a stance that has since blighted his reputation.

    Kellogg believed that food was medicine. Undoubtedly the pioneer of today’s plant-based movement, he may have been impressed by the explosive growth of the global meat substitute market over the past decade.

    As more people seek ethical, sustainable and health-conscious lifestyles, the demand for plant-based products has skyrocketed. In response, major food corporations have re-branded or developed new offerings to meet this shift in consumer preferences.

    What was once a niche market is now mainstream, with 4,965 products launched worldwide between 2019 and 2021. Today, the global meat substitute market is valued at over US$13 billion (£10 billion), and projections suggest it could reach nearly US$88 billion by 2032.




    Read more:
    A fixation on ‘clean eating’ can be harmful – and perfectionists may be at greater risk of taking it too far


    Kellogg’s game-changing invention

    As director of the Battle Creek Sanitarium in Michigan, Kellogg redefined the connection between food, bodies and health. His philosophy of “biologic living” led him to experiment with a diverse range of health treatments. On the practical end, he championed fresh air, bathing and foods containing live bacteria. On the more eccentric side, he explored bizarre methods including yoghurt enemas, vibrating chairs and even genital mutilation.

    Inspired by the Progressive clean-living movement, Kellogg developed the Battle Creek diet system, which promoted vegetarianism as a way to counter the negative effects of meat on digestion and the nervous system.

    With his wife Ella, he set up an experimental kitchen to explore plant-based alternatives to meat. He was convinced that nuts and grains could provide healthier and more sustainable protein sources.

    In 1896, the US Department of Agriculture approached Kellogg with a request to create a plant-based food product that could serve as a safe, nutritious alternative to meat. Kellogg embraced the challenge and created several innovative products. These included Nuttose, made from ground-up nuts and cereal grains; Granose, a solid-wheat based biscuit; and Protose, a blend of wheat gluten, cereal and ground peanuts.

    Recognising their commercial potential, Kellogg launched the Sanitas Nut Food Company in 1899. By 1912, Sanitas was shipping over 65,000kg of its “vegetable meat” annually across the US. The Chicago Tribune boldly declared that Kellogg had solved “the meat problem”.

    The power of ‘shockvertising’

    Sanitas embarked on a major marketing campaign across popular US press outlets. Its advertisements relied on “shockvertising” to stir fear about meat consumption, often including disturbing images of animal suffering to drive home that message.

    One memorable advert, titled “Why Slay to Eat”, showed a chained, bleeding cow kneeling before a man wielding a mallet. Another took aim at readers, calling them “Pigarians” and claiming that eating pork made a man “piggified” with a “hoggish expression”. Others warned that unsanitary slaughterhouses and food contamination made meat toxic and caused diseases like tapeworm and trichinosis.


    The Vegetarian magazine vol.4 no.11, August 1900. Courtesy of HathiTrust

    Adverts also relied on testimonials from famous sports stars and leading medical figures, praising the health benefits of meat substitutes which were presented as a panacea that could make people fitter, stronger and more youthful. Calls to “return to nature” and eat like our ancestors were also frequent – what food scholars today refer to as “nutritional primitivism”.

    To reassure anxious consumers, the adverts emphasised the products’ similarity in taste and appearance to meat. They also suggested that meat substitutes could make housewives’ lives easier, as they required little preparation and could be served in a variety of ways.

    Meat substitutes today

    Today, many meat substitute products are made by large food corporations that also sell meat. Because of this, marketing has evolved, with meat substitutes often positioned as part of a wider range of dietary choices, rather than simply replacements for meat.

    As a result, the bold, critical ads of the past that attacked meat consumption have become less common. Instead, today’s adverts often focus on environmental concerns and the ethics of eating meat, linking bodily health with the health of the planet.




    Read more:
    Lab–grown and plant–based meat: the science, psychology and future of meat alternatives – podcast


    However, many still highlight how meat substitutes look and taste like real meat. This can unintentionally reinforce the idea that “good” nutrition is based on meat, and diminish the value of meat substitutes in their own right.

    I believe today’s adverts could do more to educate people about the nutritional benefits and variety of meat-free foods, while also raising awareness about the environmental impact of animal agriculture. This shift could help meat substitutes stand on their own as viable food choices, moving them beyond the trend cycle and into mainstream diets.

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

    ref. How controversial nutritionist John Harvey Kellogg pioneered the path to modern plant-based eating – https://theconversation.com/how-controversial-nutritionist-john-harvey-kellogg-pioneered-the-path-to-modern-plant-based-eating-252960

    MIL OSI – Global Reports

  • MIL-OSI Global: Is the risk of brain injury from contact sports being overstated by the media?

    Source: The Conversation – UK – By Christian Yates, Senior Lecturer in Mathematical Biology, University of Bath

    PeopleImages/Shutterstock

    More and more people are worried about the long-term effects of contact sports on the brain. In football (soccer), studies have found that repeatedly heading the ball can lead to memory problems and an increased risk of serious brain diseases. This has led to rules limiting heading the ball in youth leagues and calls to protect professional players in similar ways.

    In American football, research shows a high number of former players have a brain condition called chronic traumatic encephalopathy (CTE). This has prompted the National Football League (NFL) to change some rules and introduce better safety equipment.

    Rugby, a sport known for its hard collisions, is also becoming more aware of head injuries. As a result, new rules require players to rest after a concussion – and there are stricter rules about preventing head contact during games.

    Some older players are taking legal action because of the brain injuries they suffered. Lawyers are representing over 500 former players from both rugby union and rugby league, claiming that repetitive head impacts during their careers caused long-lasting brain damage.

    The lawyers argue that the sports’ governing bodies failed to protect these former players from the effects of blows to the head.

    A recent BBC article said that “almost two-thirds of the claimants in a concussion lawsuit against rugby league authorities” had symptoms of CTE. Two-thirds is a lot, but is it really that surprising?

    It’s important to remember that the players in this lawsuit are a self-selecting sample. These people have been chosen for inclusion in the class action lawsuit precisely because they have evidence of brain damage. We should expect a high prevalence of conditions like CTE in this sample. So we must be careful not to infer something about all rugby players that is not supported by the data.

    However, perhaps the BBC article is not so troubling, since the condition for selection – that the players were part of the lawsuit – is clearly stated. More problematic are articles in which the conditions for the selection of the studied sample are not so clearly laid out.

    Another BBC article, published in 2023, summarised the results of studies investigating the prevalence of CTE in the brains of deceased rugby players. It reported that “68% of the brains had traces of the brain condition CTE”. This might suggest to readers that CTE is very common among all rugby players.

    In American football, the problem appears to be even more prevalent. In 2017, the BBC ran an article with the headline: Brain disease affects 99% of NFL players in study. The piece led with the sentence: “A study of American football players’ brains has found that 99% of professional NFL athletes tested had a disease associated with head injuries.”

    This sounds extremely alarming and might lead readers to surmise that nearly all professional NFL players will develop CTE. The study also surveyed the brains of college and high-school students, concluding: “Of the 202 total players, 87% were found to have traces of CTE,” giving the impression that most American football players at all levels might expect to develop CTE.

    Selection bias

    CTE research is difficult because the disease can only be diagnosed by examining samples of a patient’s brain tissue after their death. Consequently, for the NFL study, researchers at the Boston University School of Medicine, who conducted the research, drew their sample from the VA Boston Healthcare System’s “brain bank”.

    The bank, established to better understand the long-term effects of repetitive head trauma, holds hundreds of donated brains potentially damaged through sporting or military activities.

    And herein lies the problem. Many of the brains held in the bank were donated by families who suspected that their loved ones had CTE. The study hugely overrepresented players who were likely to have CTE in comparison to the general American football-playing population.

    To their credit, the scientists who conducted this research were at pains to point out their sample was not representative and should not be used to draw population-level conclusions.

    In particular, the conclusion that many sports fans reading the headlines will have come to – that a huge proportion of American football players will suffer from CTE – is not supported by the study. Somehow, that message got lost between the research article and the media’s reporting of it.

    The eye-catching statistics about the prevalence of CTE in rugby players, derived from a study at the University of Glasgow, are the result of a similar misrepresentation of the underlying research. In this case, the brains that were analysed came from three brain banks (from Scotland, the US and Australia).

    All of these repositories take donations of brains from people who were more likely to have suffered from neurological conditions, and so are unlikely to be representative of the underlying population of ruby players.

    The weight of evidence linking repetitive blows to the head to brain harm (particularly to CTE) is growing stronger. Studies comparing footballers to the general population show the increase in neurological conditions among football players is probably not a statistical fluke.

    However, if we seek to truly understand the risks of undertaking these contact sports, loved by billions, then we need to look beyond the startling headlines. Selection bias, caused by a disparity in the reasons why brains are donated for study, means it’s not enough just to sample from the brains we have available in order to establish an estimate of the prevalence of such diseases.

    Instead, we need to understand who is missing from the studied population, and use that information to infer how a potentially biased sample might cause the statistics we read in the headlines to be unrepresentative.

    Christian Yates 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. Is the risk of brain injury from contact sports being overstated by the media? – https://theconversation.com/is-the-risk-of-brain-injury-from-contact-sports-being-overstated-by-the-media-253378

    MIL OSI – Global Reports

  • MIL-OSI Global: Activists living in exile could strengthen Canada’s democracy — if given the right support

    Source: The Conversation – Canada – By Philip Leech-Ngo, Visiting Professor, Ethics and International Development, L’Université d’Ottawa/University of Ottawa

    Mounting threats to Canadian sovereignty, particularly — but not exclusivelyfrom United States President Donald Trump, have sparked renewed calls for national resilience.

    Trump’s tariffs on Canada and Mexico and inflammatory rhetoric have fuelled a wave of patriotism and nationalism.

    However, true independence goes beyond economic concerns. It’s about cultivating, committing to and preserving democratic values, including the protection of fundamental rights and freedoms, and ways of governance that ensure every person is valued, represented and belongs.

    Historically, Canada has provided refuge to those who have risked everything to oppose authoritarian regimes, including activists living in exile.

    Activists-in-exile are individuals who have been forced to flee their countries due to their work defending human rights, advocating for democratic governance, rooting out corruption, peacebuilding, demanding environmental protection and practising independent journalism, among other endeavours.

    These individuals bring with them not only their personal stories and attitudes of resilience, but also their expertise in governance, human rights and social justice. As Canada faces growing challenges and uncertainty, they represent a tremendous potential asset to help Canada defend democracy and promote sustainable peace and development.

    A vital force for democracy

    Despite their displacement, activists-in-exile continue to play a crucial role in global democratic movements. Unlike traditional diaspora groups focused on cultural preservation, activists-in-exile engage in direct political advocacy and often work to expose foreign interference, counter disinformation and support democratic movements from afar.

    Our initiative, Voices in Exile, researches activists-in-exile and amplifies their contributions and advocates for policies that recognize their particular roles in defending democracy and social justice. Their efforts combat corruption, foster peace and protect human rights and well-being.

    An introduction to the Voices in Exile project.

    These individuals have championed women’s rights, campaigned against genocide and fought for free expression and accountable governance. Many continue their advocacy in exile, shaping public discourse and influencing policies both in Canada and abroad.

    By welcoming these activists, Canada could strengthen its own institutions — domestically and abroad — and make them more resistant to the forces that undermine democracy, justice and freedom worldwide. Their work is critical in resisting authoritarianism and countering both digital and physical foreign interference.

    Overlooking activists-in-exile

    Despite their potential, activists-in-exile are often overlooked or met with skepticism in Canada.

    Some Canadian politicians, like federal Conservative Leader Pierre Poilievre, have framed their views of patriotism as a matter of national security and economic self-sufficiency, warning against foreign influences. Poilievre recently said immigrants should “leave the war behind” when coming to Canada, implying their past struggles should be forgotten upon arrival.

    This is certainly easier said than done, especially in an age where technology can keep people instantly connected across borders. It’s unrealistic and unfair to expect newcomers simply to forget who supported them in their hour of need or the communities that continue to suffer in their absence. They are also unlikely to surrender ongoing interests or their basic values.

    Through our work with Voices in Exile, we have learned that many newcomers involuntarily leave behind family, livelihoods and status, only to face significant hurdles re-establishing themselves in Canada. While some activists-in-exile persist and continue to be impactful, they often do so under unnecessary constraints that limit their full potential.

    If legitimate concerns about professional qualifications and social stability exist, they can be addressed through tailored support systems. While Canada provides resettlement for a limited number of human rights defenders, there is no program to engage with them once they arrive. This needs to change.

    At the same time, activists-in-exile should not be treated solely as victims or as potential risks, particularly in light of growing transnational repression. Instead, their specialized knowledge and skills should be recognized as a force to strengthen democracy both in Canada and their countries of origin.

    A strategic investment

    Recognizing and supporting activists-in-exile would be a strategic investment for Canada, not an act of charity. Many have become educators, researchers and policymakers, shaping debates on governance and security.

    Others have founded organizations, launched media platforms and built networks that support democracy movements globally. As our project Voices in Exile shows, many activists-in-exile also contribute to Canada’s economy, and work in law, social and psycho-social services, and the media landscape.

    Beyond being a matter of principle, welcoming activists-in-exile is a move that would strengthen Canada’s leadership in the global fight for democracy. Their integration into Canadian society aligns with Canada’s longstanding role in promoting democratic ideals on the world stage.

    Yet, despite their vast potential, there is no tailored public policy or dedicated institution to harness this human capital in a way that aligns with Canada’s democratic commitments. The existing guidelines for supporting human rights defenders are insufficient for supporting activists-in-exile.

    Canada should support exiled activists by facilitating collaboration among these individuals and Canadian public, academic, community, government and civil society organizations. In addition, Canada should establish a legal framework that allows activists-in-exile to contribute to the development of foreign policy. A dedicated fund should also be created that offers financial support for their activist efforts.

    As global authoritarianism continues to rise, the question is not whether we should acknowledge activists-in-exile — it is whether we have the wisdom to lead by example and invest in recognizing and supporting them.

    Philip Leech-Ngo receives funding from Open Societies Foundation

    Frederick John Packer has received funding from SSHRC and OSF.

    Nadia Abu-Zahra has received funding from SSHRC and OSF.

    ref. Activists living in exile could strengthen Canada’s democracy — if given the right support – https://theconversation.com/activists-living-in-exile-could-strengthen-canadas-democracy-if-given-the-right-support-251440

    MIL OSI – Global Reports

  • MIL-OSI Global: Dogs see their world through smell – and scientists are starting to translate it like never before

    Source: The Conversation – UK – By Jacqueline Boyd, Senior Lecturer in Animal Science, Nottingham Trent University

    Lorenzooooo/Shutterstock

    Scent is how dogs largely experience the world, a lot like the way we humans rely on sight. We know little about how dogs interpret scent, but thanks to a recent study, we may be getting closer to understanding what a dog’s nose actually knows.

    Dogs are primed to detect smells. The average dog’s nose has more than 10 million scent receptors in their nose, compared to humans, who only have about 6 million.

    This makes the canine nose more than 10, 000 times better at detecting scents than we are. They can detect minute quantities of scent. For example, forensic detection dogs can detect 0.01 microlitres of gasolene. A microlitre is one millionth of a litre.

    Humans have exploited dogs’ olfactory superpowers in a number of ways, which has no doubt contributed to the deep relationship we have developed with our canine companions over 40,000 years living together.

    Dogs still join us as hunting partners, sniffing out food. They work beside us as vital members of crime-fighting teams, finding illicit substances, as medical colleagues for disease detection, and as partners in conservation efforts, finding rare and endangered species.

    Despite the widespread involvement of dogs as natural scent detectors, we remain largely oblivious as to how dogs interpret what they smell and how they perceive the world in which they live.

    We don’t know much about dogs’ experience of smell – but we know they’re good at it.
    Sundays Photography/Shutterstock

    Exploring the brain activity of dogs when they are exposed to specific smells can help identify which of their brain regions are associated with scent detection. This helps scientists understand what the dog is experiencing, which might help us enhance the selection and training of sniffer dogs.

    Until now, scientists needed expensive equipment to study dogs’ brains and research methods that required dogs to stay still. This means we know less about the brains of active working dogs who might struggle to remain motionless for long periods.

    But we can’t simply apply the data from dogs who can cope with sitting still since dog breeds have differences in their training and scenting skills.

    Sensing scents

    The recent study I mentioned at the beginning of this article uses a new, cheap and non-invasive method to explore how the canine brain responds to scent. The researchers think that this method – known as AI speckle pattern analysis – will help us identify how dog brains react to scents and what it means for how dogs perceive and respond to the world around them in future research too.

    The researchers developed an optical sensor to target three brain areas involved in canine scent discrimination: the amygdala, olfactory bulb and hippocampus. The amygdala is responsible for emotional responses to stimuli.

    The olfactory bulb is involved with odour processing and the hippocampus is associated with memory formation.

    The equipment used in the study consisted of a high resolution digital camera linked to a computer, plus a green laser. Laser light, capable of penetrating dog fur and skull bone, was shone on the heads of four relaxed, blindfolded study dogs who were exposed to four different scents: alcohol, marijuana, menthol and garlic. These substances all appear to evoke similar olfactory responses in dogs.

    As laser light was reflected from the three brain areas, the camera detected interference as a distinct “speckle” pattern. The camera made recordings for five seconds, repeated four times for each scent.

    AI analysed differences in the speckle patterns from the different brain regions to create models of how the brain regions of the dogs responded to each scent.

    It’s not just sniffing

    The study results highlighted the importance of the amygdala for canine scent discrimination. This suggests that there could be an emotional component to how dogs sense their environment. Taste and odour detection are also known to be linked to memory formation and emotional state in humans.

    Because dogs appear to experience emotional responses to scents, training methods and experiences might need to take this into consideration. For example, dogs often link the characteristic aroma of the veterinary surgery with less-than-fun situations.

    Dogs in training for scent detection would also probably benefit from being in a positive emotional state when they are exposed to training odours.

    This research could even pave the way to developing specialised equipment for detecting and translating the olfactory responses of dogs. Mobile equipment that works rapidly could allow us to interpret what dogs’ noses are telling them in real time.

    This isn’t as far-fetched as it may sound. If you’ve seen the Disney movie Up, you probably remember Dug the dog who wore a bark translation collar. Well, scientists have developed a real collar that claims to tell you what your dog’s vocalisations mean.

    It’s difficult to say how accurate it is without analysing the data the collar’s AI was trained on, but the database is growing as more dogs use the collars. If the collars do prove accurate, it might not be too long before wearable technology can tell us exactly what our dogs are saying and smelling.

    Jacqueline Boyd is affiliated with The Kennel Club (UK) through membership and as advisor to the Health Advisory Group. Jacqueline is a full member of the Association of Pet Dog Trainers (APDT #01583) and she also writes, consults and coaches on canine matters on an independent basis, in addition to her academic affiliation at Nottingham Trent University.

    ref. Dogs see their world through smell – and scientists are starting to translate it like never before – https://theconversation.com/dogs-see-their-world-through-smell-and-scientists-are-starting-to-translate-it-like-never-before-252659

    MIL OSI – Global Reports

  • MIL-OSI Global: East Asia is challenging Silicon Valley – by being like Silicon Valley used to be

    Source: The Conversation – UK – By Robyn Klingler-Vidra, Vice Dean, Global Engagement | Associate Professor in Political Economy and Entrepreneurship, King’s College London

    East Asia’s tech scene is enjoying considerable success. imtmphoto / Shutterstock

    Silicon Valley has been a universal symbol of innovation for decades. Because of its reputation, governments around the world have tried to foster their own versions by investing heavily in tech hubs.

    These efforts, which include Silicon Beach in Los Angeles, Silicon Island in Malaysia and Silicon Roundabout in the UK, have not always worked. But some places, particularly parts of east Asia, have seen their own Silicon Valleys flourish.

    China has the world’s second-largest venture capital market, scores of startups, and cutting-edge tech to challenge Silicon Valley. Japan and Korea have also become some of the most active corporate venture capital investors in the world.

    At the same time, these challenger ecosystems possess some of the attributes of Silicon Valley in its heyday. More, in some ways, than Silicon Valley itself does these days.

    The scale of Silicon Valley remains unparalleled, at least for now. In 2024, the region’s market capitalisation (the value of companies’ publicly traded shares) had reached US$14.3 trillion (£11 trillion). This is comparable to the entire GDP of China, the world’s second-largest economy.

    But Silicon Valley is no longer a counter-cultural world of startups in garages, where small, disruptive organisations build world-changing products on a shoestring. It has morphed into a land of Goliaths, not Davids.

    Cups of instant noodles have, for many, been replaced by açaí bowls, and office all-nighters with wellbeing workshops and digital detox retreats. Stalwart investors, such as Sequoia’s Mike Moritz, have complained that Silicon Valley tech workers have become “lazy and entitled”.

    Silicon Valley is a region in northern California that is a global centre for technology and innovation.
    Peter Hermes Furian / Shutterstock

    Meanwhile, the work ethic and laser focus of tech workers elsewhere has advanced. About ten years ago, Chinese tech’s working hours were described as “996” – working from 9am to 9pm six days a week. They are now referred to as “007”, a schedule where employees work from midnight to midnight, seven days a week.

    ‘Good artists copy, great artists steal’

    The history of Silicon Valley is one of hungry challengers disrobing the big, boring incumbents. Apple raised equity investment from Xerox, then a leading print production corporation, and used the access to Xerox’s Palo Alto Research Center to take inspiration from the company’s plans for a computer that had a graphical user interface. Apple later refined the software for the Macintosh, giving it its edge.

    In 1996, Jobs famously said: “Picasso had a saying – ‘Good artists copy; great artists steal’ – and we have always been shameless about stealing great ideas.”

    Today, the Goliaths leading Silicon Valley have huge intellectual property portfolios to defend. And they are outraged when their tech is taken. OpenAI, the American company that made ChatGPT, has even asked the US government to declare Chinese AI firm DeepSeek “state controlled” and to outlaw its use in the US. Huawei and Bytedance’s TikTok have faced similar calls in the past.

    In western media, much of the focus on the moment DeepSeek disrupted the AI landscape has been about how it rattled Silicon Valley. But there has been less coverage on how it has instigated instant rivals within China.

    Days after Deepseek’s release, Chinese tech company Alibaba announced that its AI model was superior. And China recently launched Manus, a fully autonomous AI agent that fully replaces rather than assists humans.

    China’s answer to Silicon Valley is what Taiwanese businessman, Kai-fu Lee, calls “gladiatorial entrepreneurship”. This is where founders constantly innovate because as soon as their product is released, they know it will be copied and reverse engineered. The system as a whole benefits from the intense competition, the way Silicon Valley did in its ascent.

    The students have become the teacher

    Silicon Valley used to be known for its counter culture and its outsized vision of how tech can transform the globe. This is epitomised by Masayoshi Son, a former student of Silicon Valley from east Asia who is the founder and CEO of Japanese firm SoftBank.

    He first came to Silicon Valley in the early 1980s and quickly integrated into the Silicon Valley way of business. Son launched his own startup when he returned to Japan, modelled on what he experienced in the few years he lived in California. With this, Softbank was born as a software distributor.

    SoftBank’s Vision Fund is now the largest venture capital fund in the world, with over US$100 billion (£77.5 billion) in capital. Son’s giant fund and impatient style of investing have contributed to change in Silicon Valley. Ballooning valuations and the use of exploding term sheets (investment offers that expire within a matter of days) are increasingly the norm.

    Son is stylised as a classic outsider. Gambling Man, a recently published book from the former editor of the Financial Times, Lionel Barber, details how Son is not “really Japanese” (he’s ethnically Korean) and has long touted this challenger narrative.

    Now as one of the biggest investors in Silicon Valley, he is pushy, confrontational and has a huge vision for how technologies such as AI can change the world. He is the purveyor of that grand vision and an advocate for the risk-taking that is synonymous with “classic” Silicon Valley.

    Meanwhile, China’s AI gladiators innovate constantly in their bid to overtake the once hungry American behemoths who are now forced to call on the state to help shore-up their position. The contrasting trajectories raise questions about who should now become more like whom if they are to win the global technology race.

    Robyn Klingler-Vidra 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. East Asia is challenging Silicon Valley – by being like Silicon Valley used to be – https://theconversation.com/east-asia-is-challenging-silicon-valley-by-being-like-silicon-valley-used-to-be-251854

    MIL OSI – Global Reports

  • MIL-OSI Global: Salafi Muslims are going into politics instead of trying to change the world through religious education or jihadi violence

    Source: The Conversation – UK – By Guy Robert Patrick Eyre, Research Fellow, Alwaleed Centre, University of Edinburgh, University of Edinburgh

    Pseudonyms are used in this article to protect the anonymity of the research participants.

    I met Sheikh Ahmed at a small mosque in central Morocco in October 2016. He told me: “We used to believe that Islam forbids all modern politics. We believed that politics was a western practice that divides Muslims and distracts them from worship.”

    Ahmed is a proponent of Salafism, a form of Islamic “fundamentalism” and one of the most influential religious movements of the past 40 years. He continued: “But from 2011, we began to understand that Islam in fact requires us to enter politics.”

    Salafi attacks perpetrated by al-Qaida and the so-called Islamic State (IS) have led to enormous interest in Islamic fundamentalism among western analysts, policymakers and journalists. This commentary has tended to understand Salafism to be a broadly static global ideology, inherently opposed to modern politics and largely detached from what is happening in the neighbourhoods in which its followers live and worship.

    During eight years of in-depth research on Salafi groups in north Africa, I found something significant. In response to the “Arab Uprising” protests that shook north Africa and the wider Arab world between 2010 and 2012, many north African Salafis – including Ahmed – began to rethink their ideological convictions. Many decided their goal of changing the world required neither “apolitical” religious education nor violence. Instead, many began to participate in parliamentary politics.

    Also known as “Wahhabism”, Salafism emerged in Islamic institutions and universities in Saudi Arabia and the wider Arab Gulf by the 1960s. Despite being widely regarded as a Saudi Arabia-centred ideology, Salafism has since been adopted – and, importantly, adapted – by a large number of pious Muslims in north Africa, the wider Muslim world, and the west.

    Salafis share a religious doctrine that calls on Muslims to revive an “authentic” approach to Islam centred on strict monotheism. Salafis have traditionally argued, therefore, that Muslims should reject modern politics. Instead, they must dedicate themselves to applying the beliefs and practices of the first generations of Muslims in all aspects of their lives.

    Nevertheless, Salafis have long disagreed over how exactly to apply this doctrine to society and politics. Should they focus on religious education and preaching in an effort to form an “authentic” Muslim community? Or should they criticise their political rulers or revolt?

    Jihadi Salafis respond to this dilemma by supporting the use of revolutionary violence. They see it as a means of fighting westernisation and unseating “un-Islamic” rulers. By contrast, mainstream “quietist” Salafis reject both politics and violence as “immoral” practices. Instead, they seek to change the world through religious preaching and by offering strict loyalty to political rulers as a matter of faith.

    From the late 1970s until the late 2000s, Salafism gradually spread from the Arab Gulf into North Africa. This took place as Moroccan, Tunisian, Libyan and Egyptian students returned to their countries of origin after studying in Saudi Arabia and the broader Arab Gulf. Back home, many established quietist Salafi movements.

    To different extents, North African regimes thought their “apolitical” beliefs and loyalty to governments made them useful allies. Consequently, quietist Salafis were generally allowed to expand their religious activities. By the late 1990s, they had gained significant local followings.

    In tandem, North African jihadi Salafis returned from the insurgency in Afghanistan (1978-92) and also built followings in their home countries. Jihadi Salafi militants led violent attacks against both local and western targets in north Africa. Consequently, they were harshly repressed by security forces.

    After the Arab Spring: choosing politics

    The Salafi rejection of politics was dramatically upended by the Arab Uprising protests between late 2010 and 2012. Dictators in Tunisia, Libya and Egypt were swiftly deposed. While the Moroccan monarchy was not overthrown, to appease the demonstrators it relinquished some control over the political system and introduced limited reforms.

    Determined to take advantage of these new political openings, many quietist and former jihadi Salafis across North Africa suddenly turned political. They established political parties, ran for political office, and forged new political alliances. Perhaps most spectacularly, a new Salafi party in Egypt captured a quarter of the vote in the 2011-12 parliamentary elections.

    In neighbouring Libya, mounting political instability following the downfall of its former president, Muammar Gaddafi, in 2011 saw quietist and former jihadi Salafis win positions within local ministries and establish informal police forces. Quietist and former jihadi Salafis in Morocco and Tunisia also joined, formed alliances with, and established political parties.

    This rapid politicisation of North African Salafism challenges long-held assumptions about Islamic fundamentalism. Salafis are not inherently apolitical, and their approach to politics and violence is not set in stone by a global, Saudi Arabia-influenced religious doctrine.

    Rather, they are pragmatic and flexible. The large political openings in North Africa brought about by the Arab Uprisings pushed them to rethink their core religious beliefs as they sought to expand their influence.

    As such, rather than being an idiosyncratic and uniquely dogmatic movement, Salafis are much like other ideological religious movements. They are savvy political players who can adjust their strategies and “universalist” worldviews according to the current situation, wherever they live.

    Dr. Guy Robert Eyre receives funding for his research on North African Salafism from the Gerda Henkel Foundation.

    ref. Salafi Muslims are going into politics instead of trying to change the world through religious education or jihadi violence – https://theconversation.com/salafi-muslims-are-going-into-politics-instead-of-trying-to-change-the-world-through-religious-education-or-jihadi-violence-247259

    MIL OSI – Global Reports

  • MIL-OSI Global: When farmers and scientists collaborate, biodiversity and agriculture can thrive – here’s how

    Source: The Conversation – UK – By Charles Masquelier, Associate Professor in Sociology, University of Exeter

    The Burren mountains, Ireland. Pusteflower9024/Shutterstock

    The Burren region of County Clare, Ireland, is famous for its distinctive limestone habitat, coastal landscape, rich wildlife and unusual archaeology. Several hundred farmers also manage livestock on this land.

    As social scientists, we’ve been investigating how farmers engage with environmental management and biodiversity renewal in England and Scotland because there is an ongoing nature crisis, with accelerating species extinctions, loss of habitat and harmful pollution.

    Our findings show that giving farmers greater opportunities to draw on their knowledge and experiences encourages better environmental results than conventional farming incentives.

    Many environmental campaigners, including author and Guardian columnist George Monbiot, don’t see farming as a way to help solve the biodiversity crisis.

    But one EU-funded initiative, the BurrenLife project, has revolutionised how farmers and scientists collaborate by tackling reluctance or wariness and shifting mindsets through the practice of “conservation farming”. This developed into an “agri-environment” (nature-friendly farming) initiative called the Burren Life programme which incentivises farmers in Ireland to prioritise nature by boosting endangered bird populations or restoring specific habitats.

    Most (70%) of UK land is used for agriculture. Therefore success in tackling the biodiversity crisis depends on the active involvement of farmers.

    From the 1980s successive UK governments have paid farmers to restore nature and mitigate the effects of climate change in the form of voluntary agri-environment schemes. These schemes, such as Countryside Stewardship and the Sustainable Farming Incentive, provide financial incentives for farmers to help restore biodiversity by, for example, planting flower-rich hay meadows.

    But despite the billions of pounds invested and significant uptake by farmers, biodiversity continues to decline and more work needs to be done to improve farmers’ participation.

    Research suggests that the lack of effectiveness of those schemes is influenced by their limited capacity to inspire long-term changes in farming practices.

    The clash between local knowledge and scientific expertise concerns us. Existing agri-environment schemes are prescriptive with limited options for farmers. This, combined with polarisation between farmers and conservationists about rewilding for example, means that local knowledge of farmers tends to be excluded from environmental decisions.

    While conservation scientists hold essential knowledge for tackling the biodiversity crisis, farmers know their land best. Often this knowledge has been passed down from generation to generation. Historically, however, agri-environmental management in the UK has operated on the basis of prescriptions informed by scientific expertise that don’t consider the land characteristics or specific context of particular farms.

    Wildflower strips along the edges of field provide valuable habitat for pollinators such as bees.
    yanikap/Shutterstock

    By joining an agri-environment scheme, farmers are expected to take actions such as planting crops that can manage soil erosion and improve soil health, or managing hedgerows, which can act as wildlife highways. While farmers can choose which actions to take, such payment-by-action schemes don’t offer much scope to adapt environmental solutions to their knowledge of the land.

    Crucially, the lack of consistent monitoring provides farmers with few opportunities to report back on the success or failure of actions they have taken to recover nature. According to our research, farmers often feel their valuable on-the-ground knowledge is being ignored.

    Unusually, the Burren Life programme relies on environmental targets that are co-designed by scientists and farmers. The co-design process involves farmer and adviser jointly walking the farm. Farmers explain what they’d willingly do to improve the condition of the land. The adviser then maps the activities they think will bring environmental benefits and devises an environmental plan accordingly.

    Every year, farmers are given the opportunity to decide what they’d like to do. The presence of a local office of advisers means that support for management decisions is always available and feedback aimed at improving their environmental plan is consistently encouraged. Farmers are also involved in the monitoring of other farmers’ actions.

    Secrets of success

    Our research undertaken as part of the Renew project, which aims to develop solutions for biodiversity renewal in the UK, shows a strong appetite in the English uplands for the kind of flexible, farmer-centred, results-based approach promoted by the Burren Life programme.

    The Burren Life programme was highly successful in many respects. It delivered major improvements in habitat quality and fostered long-term behaviour change among participating farmers.

    It incentivised farmers to take ownership of their actions for nature conservation and restoration. They were encouraged to share their local knowledge through farm visits, annual programme reviews, feedback opportunities and monitoring exercises. That local knowledge could then be considered alongside scientific expertise by people making management decisions. The Burren Life programme effectively reconciled the farming perspective with the scientific one, in the form of conservation farming.

    It has delivered impressive value for money. The total amount spent on the Burren Life programme totalled €12.3 million (£10.3 million). Over ten years, this has resulted in habitat and landscape improvements worth €32.8 million.

    Despite its success, several Burren farmers still regard environmental programmes as antithetical to farming so co-creation is a key step in inspiring people to get involved in projects like these. And replicating conservation farming beyond the Burren will require a tailored approach that considers the environmental and cultural characteristics of each countryside community.


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    Charles Masquelier receives funding from the government-funded body know as UKRI. This funding is for the RENEW project, which adopts a ‘people-in-nature’ approach to biodiversity renewal across the UK.

    Carolyn Petersen receives UKRI funding as part of the RENEW project, which adopts a ‘people-in-nature’ approach to biodiversity renewal across the UK. She is also involved in a Defra-funded evaluation of Local Nature Recovery Strategies in England.

    Matt Lobley receives UKRI funding as part of the RENEW project and us involved in evaluations of Defra Environmental Land Management schemes

    ref. When farmers and scientists collaborate, biodiversity and agriculture can thrive – here’s how – https://theconversation.com/when-farmers-and-scientists-collaborate-biodiversity-and-agriculture-can-thrive-heres-how-250333

    MIL OSI – Global Reports

  • MIL-OSI Global: Urban cemeteries are at capacity – here’s how they can be more sustainable

    Source: The Conversation – UK – By Daniela Pianezzi, Associate Professor in Work and Organization Studies, University of Verona

    Ondrej Prosicky/Shutterstock

    Approximately 170,000 people die every day around the world – that’s around 62 million deaths in 2024 alone. The cumulative effect of this has led to what has been termed a “burial crisis”, with most urban areas where burial remains the norm expected to run out of interment space by the 2050s, some much earlier – as in, now.

    Major cities, including London and Sydney anticipate severe space shortages within the next decade. Smaller community cemeteries, such as Nuneaton cemetery in Warwickshire have already reached full capacity and begun directing families elsewhere. Finding culturally acceptable yet ethically responsible, accessible and sustainable ways of laying to rest, mourning and honouring our loved ones has become an urgent global issue.

    However, the cemetery sector has only recently begun to seriously consider the environmental consequences of how we handle our bodies after death. The sense of urgency coincides with a significant cultural shift, as cremation increasingly replaces traditional burial methods. This is due to societal secularisation, shifts in religious doctrines (including Catholicism lifting past bans) and its affordability compared to burial.

    In the UK, the percentage of cremations has risen from 9% of total burials in 1946 to 80.64% in 2023.

    Yet, cremation is far from a sustainable alternative to burial. It releases substantial amounts of pollutants, notably carbon dioxide and mercury emissions, so regulation is necessary. Technologically advanced techniques, such as water cremationa process that uses an alkali-water-based solution to reduce a body to bones – have only recently begun to emerge as possible alternatives and remain niche.

    For several years, we have been studying cemeteries in Italy and the UK. Despite the deeply different burial traditions in these two countries (unlike the UK, Italy remains a burial culture) both face the same environmental challenges.

    A tale of two cemeteries

    A few sites do offer environmentally conscious alternatives to traditional burial. One is in Liguria, a densely populated region in northwestern Italy that has suffered significant losses due to climate change, particularly from soil erosion caused by decades of reckless coastal construction.

    Here, a group of environmentally conscious volunteers transformed a woodland called Boschi Vivi (the name means living woods) into a cemetery, creating Italy’s first forest cemetery. Though it involves cremation, this initiative is particularly groundbreaking in a country where cemeteries have historically been conceived as monumental or architectural structures.

    Often, they are heavily reliant on marble, a traditional hallmark of Italian craftsmanship, significantly reducing green spaces in urban areas. The mining of marble also creates huge greenhouse gas emissions and loss of biodiversity.

    In contrast, the cimitero bosco (forest cemetery) of Boschi Vivi follows a different philosophy. Instead of traditional tombstones, only a small plaque is placed near each tree where ashes have been scattered, marking the final resting place of the deceased.

    A tree tomb in the woodland of Boschi Vivi, Liguria, Italy.
    Daniela Pianezzi, CC BY-NC-ND

    Currently, this remains a grassroots initiative that’s starting to emerge in the US and Canada too. Hopefully, more Italian public administrations will adopt this model as traditional cemeteries become increasingly financially and environmentally unsustainable.

    For three decades, Oakfield burial ground in Wrabness, Essex, UK has adopted a similar approach. Oakfield wood is a seven-acre natural woodland burial site along the banks of the river Stour in north Essex, managed by the Essex Wildlife Trust. Instead of headstones or conventional memorials, a native broadleaf tree is planted for each burial, accompanied by a simple wooden plaque at its base. The site forms part of a larger nature reserve, fostering a rich habitat for wildlife.

    Unlike municipal cemeteries or other burial sites, which are often subject to redevelopment or reuse, Oakfield enjoys long-term protection under the Essex Wildlife Trust. This means that burials here are conducted in perpetuity, ensuring that the site remains undisturbed. The trust plans to manage Oakfield solely as a nature reserve once it reaches full capacity, although this will not be for many decades to come.

    Despite these promising initiatives, sites such as Boschi Vivi and Oakwood risk remaining isolated cases unless a radical rethinking of burial takes place. Whether cemeteries are perceived as eerie, macabre spaces (like in Shakespeare’s Hamlet) or as places of peace and reconciliation, as in the final scene of Forrest Gump, they are still dominated by the idea that graves should be organised as a series of permanent markers of individual lives.

    Our research shows that it’s only by considering human beings as part of nature that the growing burial crisis might be averted. That fundamentally involves moving from a human-centred or “ego-logical” ethos to an ecological one.

    The most viable response to the environmental challenges facing not just Nuneaton cemetery, but burial sites across the world, might be simply a new awareness. One that recognises both life and death as integral parts of nature. So, remembrance is not preserved through permanence, but rather through a return to the natural cycle of life.


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    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. Urban cemeteries are at capacity – here’s how they can be more sustainable – https://theconversation.com/urban-cemeteries-are-at-capacity-heres-how-they-can-be-more-sustainable-252711

    MIL OSI – Global Reports

  • MIL-OSI Global: Why a presidential term limit got written into the Constitution – the story of the 22nd Amendment

    Source: The Conversation – USA – By Mark Satta, Associate Professor of Philosophy and Law, Wayne State University

    No president other than Franklin D. Roosevelt has held office for more than two terms. Walter Leporati/Getty Images

    Only one person, Franklin Delano Roosevelt, has ever served more than two terms as president of the United States. This is for two reasons.

    First, prior to Roosevelt’s election to a third term in 1940 there was a longstanding American tradition that presidents not serve more than two terms.

    This tradition was established by the decisions of early presidents such as George Washington, Thomas Jefferson and James Madison not to seek a third term. This tradition was later adopted by other presidents.

    Second, after Roosevelt died in office in 1945 during his fourth term, Congress and the people of the United States decided to turn the long-standing tradition that presidents should not serve more than two terms into a part of constitutional law.

    This was done through the passage and ratification of the 22nd Amendment, which became part of the U.S. Constitution in 1951.

    Only after the death of President Franklin Roosevelt, who died in 1945 in his fourth term and whose casket is seen here, did the U.S. codify the two-term limit on presidents.
    AP photo

    Intent is clear

    The key provision of the 22nd Amendment reads as follows: “No person shall be elected to the office of the President more than twice, and no person who has held the office of President, or acted as President, for more than two years of a term to which some other person was elected President shall be elected to the office of the President more than once.”

    The intent is clear. No one is supposed to serve more than two full terms as president.

    The only way someone can serve more than two terms is if they served less than two years in a previous term in which they weren’t elected president.

    Here’s an example: If a vice president becomes president during the final year of a term because the president died, that vice president could still run for two terms. But that exception is still meant to bar anyone from serving more than a total of 10 years as president.

    It is worth understanding why the two-term tradition was considered so important that it was turned into constitutional law the first time it was violated.

    Starting the tradition

    Commentators often cite George Washington’s decision not to seek a third term as president as establishing the two-term tradition. Political scientist and term limit scholar Michael Korzi gives a lot more credit to the nation’s third president, Thomas Jefferson.

    Jefferson was outspoken in favor of the two-term tradition. As Korzi notes, this was, in part, because “Jefferson saw little distinction between a long-serving executive in an elective position and a hereditary monarch.” In other words, a president without term limits is too much like a king.

    John Trumbull’s portrait of U.S. President Thomas Jefferson, who believed that a president who was willing to break the two-term tradition was too ambitious.
    John Trumbull/GraphicaArtis, Getty Images

    Jefferson saw a president who was willing to break the two-term tradition as power hungry, and he hoped that the American people would not elect such a president. This led him to write in his autobiography in 1821 that “should a President consent to be a candidate for a 3d. election, I trust he would be rejected on this demonstration of ambitious views.”

    Jefferson also worried that without term limits, presidents would stay in office too long into their old age and after they had lost their ability to govern effectively. This led him to write that without term limits, there was a danger that “the indulgence and attachments of the people will keep a man in the chair after he becomes a dotard.”

    Subsequently, presidents tended to abide by the two-term tradition. And in the few cases where presidents decided to seek a third term, their own parties would not give them the nomination.

    That remained true until Roosevelt ran for, and won, both a third and a fourth term as president during World War II.

    The 22nd Amendment

    Roosevelt’s violation of the two-term tradition prompted Congress and the states to turn the tradition into a formal matter of constitutional law.

    A major concern motivating the amendment was the same one that motivated Jefferson: to prevent a president from becoming a king. Multiple members of Congress identified the same concern during congressional sessions in the 1940s.

    Sen. Chapman Revercomb from West Virginia stated that power given to a president without term limits “would be a definite step in the direction of autocracy, regardless of the name given the office, whether it be president, king, dictator, emperor, or whatever title the office may carry.”

    Similarly, Rep. Edward McCowen from Ohio said that the 22nd Amendment would be “a great step toward preventing a dictatorship or some totalitarian form of government from arising.”

    And Rep. John Jennings Jr. from Tennessee stated that only by adoption of the 22nd Amendment “can the people be assured that we shall never have a dictator in this land.”

    Congress passed the 22nd Amendment on March 21, 1947. It took less than four years for the necessary three-fourths of the states to ratify the amendment, which became law on Feb. 27, 1951.

    President Donald Trump has repeatedly talked about getting a third term as president.
    Brendan Smialowski/AFP via Getty Images

    Tyrants and term limit violations

    In the 1980s, political scientist Juan Linz identified that presidential systems are less stable than other forms of democracy, such as parliamentary systems. The difference seems to be that presidential systems concentrate more power in the hands of a single person, the president. This makes it easier to remove the checks and balances that democracies depend on.

    As scholars have noted, violation of presidential term limits and other methods of increasing executive power are a common form of democratic backsliding – state-led debilitation or elimination of the political institutions that sustain a democracy.

    Law professor Mila Versteeg and her colleagues have shown that in recent years presidents around the globe have used various tactics to try to violate presidential term limits. These tactics include trying to amend their country’s constitution, trying to get the courts to reinterpret the constitution, finding a replacement leader who the former president can control once out of office and attempting to delay elections.

    They note that most of the time when a president’s attempt to violate term limits fails it is “because the attempt encountered widespread popular resistance.” They conclude that this finding implies that “broad resistance movements” may be the best means to prevent violation of presidential term limits.

    Mark Satta 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. Why a presidential term limit got written into the Constitution – the story of the 22nd Amendment – https://theconversation.com/why-a-presidential-term-limit-got-written-into-the-constitution-the-story-of-the-22nd-amendment-253421

    MIL OSI – Global Reports

  • MIL-OSI USA: NEWS: Under Musk’s Plan for Social Security, 67,000 Americans Will Die Waiting for Disability Benefits

    US Senate News:

    Source: United States Senator for Vermont – Bernie Sanders
    WASHINGTON, April 1 – Ahead of the Senate Finance Committee’s vote to advance Trump’s nominee to be Commissioner of the Social Security Administration (SSA), Sen. Bernie Sanders (I-Vt.), Ranking Member of the Senate Health, Education, Labor, and Pensions (HELP) Committee and Senate Finance Subcommittee on Social Security, Pensions, and Family Policy, today released new findings exposing the stark reality of Elon Musk’s plans to cut the SSA by up to 50 percent. These disastrous cuts are taking place at a time when Social Security’s staff is already at a 50-year low. 
    Under Musk’s policies, the number of people who will die waiting for benefits could more than double from nearly 30,000 in 2023 to up to 67,000. Average wait times for Social Security disability benefits will nearly double from an average of 236 days in February of 2025 to 412 days. 
    “President Trump and Elon Musk have suggested that ‘millions and millions’ of dead people receive Social Security checks. That is an outrageous lie designed to undermine Americans’ faith in Social Security,” said Sanders. “Here’s the truth: 30,000 people die a year waiting for an understaffed Social Security to approve disability benefits. The Trump-Musk plan to cut Social Security’s staff by up to 50 percent will make this tragic reality even worse, and Frank Bisignano is there to see it through. We cannot let that happen.” 
    In 2023, 5,252 full time employees were responsible for making disability determinations at SSA, a workforce which has steadily decreased from previous years. Even before DOGE started making cuts to SSA, the number of people who died waiting for a benefit decision grew from 10,000 to 30,000 from 2017 to 2023. Meanwhile, Americans have had to wait longer than ever to get their benefits. During that same time, the average wait time for a decision grew exponentially – from 111 days to 217 days. In February 2025, Americans had to wait an average of 236 days for a determination. 
    Instead of making the federal government work for the American people, the Trump administration and Elon Musk want to make SSA less efficient by cutting as much as 50 percent of its staff. Using SSA data and regarding initial decisions disability benefits for 2025, Musk’s reported plans to lay off Social Security employees will result in:
    Nearly 67,000 people dying and
    A 412 day wait.
    Sanders concluded: “Instead of slashing Social Security’s staff, closing down Social Security field offices, we should be making it easier, not harder, for seniors and people with disabilities to receive the Social Security benefits that they have earned and deserve.” 
    Read the full report here. 

    MIL OSI USA News

  • MIL-OSI Economics: CNB ends the first phase of its monetary policy review with an international workshop and will now start work on developing a new forecasting model

    Source: Czech National Bank

    The first phase of the review of the CNB’s monetary policy analytical and modelling framework has been completed successfully. The CNB brought this phase to a close today with an international workshop attended by top foreign economists led by Claudio Borio, the former Head of the Monetary and Economic Department at the Bank for International Settlements. In the next step, the central bank will develop a new forecasting model to supplement its existing tools. It will also put into practice other recommendations made by domestic and foreign experts who have evaluated the CNB’s past monetary policy. The aim is to enhance the CNB’s analytical and modelling framework so that, among other things, it can better withstand the current environment of unexpected economic shocks.

    The CNB is now entering the second phase of its monetary policy review. This will build on the first phase, which the CNB began by having its analytical and modelling framework assessed independently for the first time ever. Based on the experts’ recommendations, it then strengthened the role of research in the Research and Statistics Department and made other organisational changes to prepare the CNB for the key period ahead. At an international workshop in Prague today, CNB representatives presented the steps taken so far and the outlook for the future. They also discussed the way forward with leading foreign economists with experience of monetary policy reviews in other countries.

    “Looking ahead, the toughest challenges for monetary policy regimes may well be still to come. For one, the political environment is becoming less conducive to a stability-oriented monetary policy. Over time, a dangerous expectations gap has been developing between what monetary policy can deliver and what it is expected to deliver. But inflation targeting regimes cannot afford to stay still,” said Claudio Borio, the former Head of the Monetary and Economic Department at the Bank for International Settlements, who also attended the CNB workshop.

    In the second phase, the CNB will put into practice the recommendations contained in the assessments prepared by expert teams led by Professor John Muellbauer from the University of Oxford, Roman Šustek from Queen Mary University of London and Professor Martin Mandel and Associate Professor Karel Brůna from the Prague University of Economics and Business. These assessments identified deficiencies in the CNB’s current modelling framework and emphasised the need to strengthen the role of economic research at the central bank and to increase the emphasis on the use of available data sources. “Theories and models are valuable to a central bank only to the extent that they facilitate an informed and sufficiently comprehensive debate – one that helps us understand the evolving economic story in the short, medium and long run,” said CNB Deputy Governor Jan Frait. In his opinion, the reviews have shown that the CNB’s current tools cannot fulfil this role to the full.

    “We need analyses that are not only technically accurate, but also sensitive to economic, social and political realities – analyses that reflect emotions as well as facts and figures. To achieve this, we should be open to different points of view, be prepared to reassess our positions when major changes occur, and invest in people who are able to come up with new approaches and ideas based on knowledge of cutting-edge economic research,” added Deputy Governor Frait.

    The main innovation will be an alternative macroeconomic forecasting model to be developed by the Research and Statistics Department at the CNB. The Department was established on 1 January 2025 through the merger of the Economic Research Division of the Monetary Department and the Financial Research Division of the Financial Stability Department with the then Statistics and Data Support Department. “The CNB is currently an outlier internationally. Most other central banks rely on two or more models for monetary policy purposes, whereas we currently use only one central DSGE model. Where a central bank does have a single model, with few exceptions, it is not a DSGE one,” said CNB Deputy Governor Eva Zamrazilová, giving one of the reasons for supplementing the central DSGE model with another powerful forecasting tool.

    The Czech National Bank expects the initial results of the development of the alternative model to emerge before the end of this year. However, according to Eva Zamrazilová, it could take two to three years to complete the entire process, including testing and validation of the proper functioning of the new tool. “We don’t want to rush anything. We will put the emphasis on top quality, not speed, because this is a major step as regards Czech monetary policy,” added Deputy Governor Zamrazilová.

    In addition to the development of an alternative model, the monetary policy review will be reflected in practice on other levels, such as research. According to Bank Board member Jan Kubíček, the expert assessments have not only identified problem areas in the existing modelling framework, but are also an illuminating source of inspiration for the future development of the CNB. “Major advancements have been made around the world in the field of analytical instruments. The monetary policy review gives us an opportunity to take them and use them to our advantage,” said Jan Kubíček, adding that via the CNB, all individuals and companies in the Czech Republic stand to benefit from the results of the monetary policy review in the future.

    Jakub Holas
    Director, Communications Division


    Programme

    9.00 Opening Remarks
    Aleš Michl, Governor, Czech National Bank
    9.05 Keynote Speech: Adjusting Inflation Targeting Frameworks
    Claudio Borio, former Head of Monetary and Economic Department, Bank for International Settlements
    10.05 Panel Discussion: Analytical and Forecasting Frameworks for Inflation Targeting: Lessons Learned
    Chair: Eva Zamrazilová, Deputy Governor, Czech National Bank
    Panellists:
    Óscar Arce, Director General Economics, European Central Bank
    Huw Pill, Chief Economist, Bank of England
    Jan Kubíček, Board Member, Czech National Bank
    11.45 Panel Discussion: Chair: Jan Frait, Deputy Governor, Czech National Bank
    Panellists:
    John Muellbauer, Nuffield College, Oxford University & INET, Oxford
    Roman Šustek, Queen Mary University of London & Centre for Macroeconomics (LSE)
    Jakub Matějů, Deputy Executive Director, Monetary Department, Czech National Bank

    Related links

    MIL OSI Economics

  • MIL-OSI: FS Bancorp, Inc. and 1st Security Bank Announce the Promotion of Phillip Whittington to Chief Financial Officer

    Source: GlobeNewswire (MIL-OSI)

    MOUNTLAKE TERRACE, Wash., April 01, 2025 (GLOBE NEWSWIRE) — FS Bancorp, Inc. (“Company”) (NASDAQ: FSBW), the holding company for 1st Security Bank of Washington (“1st Security Bank” or “Bank”) announced today that it has named Phillip Whittington as Chief Financial Officer of both the Bank and the Company effective May 1, 2025. Matthew D. Mullet, who previously served as Chief Financial Officer and President will continue to serve as the President for both the Company and the Bank.

    “We are delighted to announce Phil’s promotion to Chief Financial Officer,” said Joe Adams the Bank’s CEO. “I am confident his knowledge of the Bank’s accounting, treasury management and financial reporting requirements makes him the ideal person for this position.”

    Phillip Whittington has served as the Controller of the Bank since January 2020. Prior to joining 1st Security Bank, he was as a manager at the accounting firm of Elliott Davis located in Columbia, South Carolina. Mr. Whittington, a Certified Public Accountant, received his Bachelor of Science in Accounting from the College of Charleston and his Master of Accountancy from the University of South Carolina.

    About 1st Security Bank of Washington

    1st Security Bank offers a range of loan and deposit services primarily to small- and middle-market businesses and individuals in Washington and Oregon. It operates through twenty-seven Bank branches, and one headquarters office that provide loan and deposit services, and loan production offices in various suburban communities in the greater Puget Sound area, the Kennewick-Pasco-Richland metropolitan area of Washington, also known as the Tri-Cities, and in Vancouver, Washington. Additionally, the Bank services home mortgage customers throughout the Northwest predominantly in Washington State including Puget Sound, Tri-Cities and Vancouver.

    Note Regarding Forward Looking Statements

    This press release includes forward-looking statements within the meaning of the Private Securities Litigation Reform Act of 1995, which can be identified by words such as “may,” “expected,” “anticipate”, “continue,” or other comparable words. In addition, all statements other than statements of historical facts that address activities that 1st Security expects or anticipates will or may occur in the future are forward-looking statements. Readers are encouraged to read the Securities and Exchange Commission reports of FS Bancorp, particularly its Annual Report on Form 10-K for the fiscal year ended December 31, 2024, for meaningful cautionary language discussing why actual results may vary materially from those anticipated by management.

    Contacts:

    Joseph C. Adams
    Chief Executive Officer

    Matthew D. Mullet
    President and Chief Financial Officer
    (425) 771-5299
    www.FSBWA.com

    The MIL Network

  • MIL-OSI Global: From barriers to belonging: How supporting inclusivity enhances the well-being of people with disabilities

    Source: The Conversation – Canada – By Mohsen Rasoulivalajoozi, PhD candidate, Individualized Program, Faculty of Fine Arts, Concordia University

    To create truly inclusive cities, policy-makers and experts need to go beyond minimum standards and critically examine how our urban spaces continue to exclude people with disabilities. (Shutterstock)

    What does it mean for a city to be accommodating to all its citizens?

    This requires understanding how individuals feel included and valued in the places they live, and responding to their needs by emphasizing genuine inclusivity. For people with mobility challenges, it means feeling no different from others. This applies both to navigating urban spaces and engaging in social interactions.

    Despite efforts to improve accessibility in Canada, many urban spaces still fall short, leaving wheelchair users facing subtle but persistent barriers. We wanted to understand the different challenges and barriers people with disabilities face when using mobility aids.

    To do this, we interviewed 12 experienced physiotherapists in Iran to identify gaps in how mobility aid serve the needs of those who use them, and offer recommendations based on their extensive interactions with users.

    Given the universal needs of mobility aid users — emotional well-being, social integration and functional independence — and the common challenges they face accessing health-care systems around the world, our findings can are relevant for many people around the world, including in Canada.

    Inclusive design

    To create truly inclusive cities, it is vital for policymakers and experts to go beyond minimum standards and critically examine how our urban spaces continue to exclude people with disabilities.

    Marketing professors Vanessa Patrick and Candice Hollenbeck have developed the DARE framework — design, appraisal, response and experience — and propose three levels of inclusive design aimed to make spaces more inclusive for people with disabilities.

    Level 1 ensures accessibility through industry regulations, meeting minimum standards. Level 2 fosters engagement and equity, rooted in social justice principles, by validating user experiences and emphasizing empathy. Level 3 aims to minimize mismatches between users and design, promoting human flourishing through seamless interaction among individuals, the design and their environment.

    Our study outlines how people perceive the inclusivity of mobility aids based on the cost, how they are built and how effective they are in different environments.

    We also considered perceptions of trustworthiness, support and contextual factors, including the social interpretations and representations of these devices. We highlight gaps in users’ needs and provide recommendations to address them. Through this analysis, we identified four key themes that offer valuable insights for enhancing inclusivity.

    Financial burden

    For some, mobility aids can be an added financial burden. Financial constraints may limit access to mobility aids, often forcing users to seek alternatives or delay rehabilitation, potentially worsening their conditions. For example, individuals might resort to second-hand mobility aids which may not be fitted correctly for them.

    Globally, only five to 35 per cent of the 80 million people who need a wheelchair have access to one depending on where they live, with high costs being a primary barrier.

    The high cost of advanced electric wheelchairs further restrict access. This marks a gap at the first level of inclusivity in the DARE framework, where market-driven prices fall short of meeting mobility aid users’ needs.

    Initiatives like the European Union’s Rehabilitation Policy Action Framework have called for increased governmental financial support for mobility aid users. This framework offers 48 options across six domains to translate political goals into action, such as reallocating health-care funds to expand rehabilitation and improve inclusivity.

    Mobility aid users, like all individuals, deserve equal consideration in design and planning.
    (Shutterstock)

    Mismatches between users and mobility aids

    In using mobility aids, a user will typically evaluate two aspects: the design features of the aids themselves and how well they function in their environment.

    If the mobility aid is slightly mismatched with their requirements, the user may find alternative solutions, such as adding padding to a wheelchair to relieve pressure. However, severe mismatches can lead to negative outcomes and result in unmet mobility needs. Furthermore, inadequate anthropometric and ergonomic adjustments can lead to discomfort.

    Similarly, environmental mismatches, such as barriers that disrupt navigation, can reinforce negative stereotypes and condescending attitudes. These barriers can hinder a person’s mobility and ultimately deter them from going out and engaging in social activities.

    New developments and technologies can not only address and mitigate certain mismatches but also positively impact users’ psychological and social needs. However, integrating new technologies requires careful consideration, as assistive devices can also attract social stigma.

    Therefore, it is important to identify which technological or esthetic features of mobility aids evoke positive emotions and minimize stigma.

    Mobility aid users, like everyone, deserve equal consideration in design and planning. Programs like Europe’s Design for All (DfA) and Singapore’s Barrier-Free Accessibility (BFA) promote barrier-free design for all abilities and socioeconomic backgrounds.

    Improving trust

    Trustworthiness is a critical factor in the use of mobility aids, particularly in unfamiliar settings where users may feel uncertain.

    To address this, users seek continuous reassurance about the reliability of their aids, often depending on the support of physiotherapists to navigate mismatches between their needs and their surroundings. Such professional support enhances confidence and mental well-being. Physiotherapists, as trusted experts, can remarkably shape users’ perceptions and acceptance of mobility aids.

    Ensuring trustworthy designs is also crucial, as perceived fragility can undermine user trust. Validating experiences, building trust across environments — including trust in physiotherapists and mobility aid products — is essential to alleviating doubts about how effective they might be.

    Sociocultural influences

    Sociocultural context and the causes of a disability play a significant role in shaping perceptions of mobility aids.

    Regardless of users’ personal experiences, others tend to view mobility aids through the lens of prevailing societal attitudes toward disability. For some, mobility aids may reinforce stereotypes about disabilities. This highlights the critical role of esthetics in shaping public perceptions and social interactions.

    For example, incorporating esthetic refinements into the design can help counter negative perceptions. By addressing negative representations and promoting designs that reflect dignity and inclusivity, interventions can align with inclusively goals and enhance positive social engagement.

    Raising public awareness is key to challenging stereotypes and building empathy. To create an inclusive society, design and planning should consider both the physical and social barriers to accessibility. Achieving this requires a multi-disciplinary effort, and the active participation of people who use mobility aids.

    This article was co-authored by Morteza Farhoudi, an inclusive designer specializing in public transportation studies.

    Mohsen Rasoulivalajoozi receives funding from Social Sciences and Humanities Research Council of Canada.

    Carmela Cucuzzella receives funding from Social Sciences and Humanities Research Council of Canada.

    ref. From barriers to belonging: How supporting inclusivity enhances the well-being of people with disabilities – https://theconversation.com/from-barriers-to-belonging-how-supporting-inclusivity-enhances-the-well-being-of-people-with-disabilities-249339

    MIL OSI – Global Reports

  • MIL-OSI United Kingdom: More special school places created in Plymouth

    Source: City of Plymouth

    A £13 million programme of work to improve support for children and young people with special needs and/or disabilities (SEND) by increasing the availability of special school places in Plymouth is underway.  

    A new satellite provision for Mill Ford School will provide 50 special school places from September for children with SEND in Reception and years 1 and 2.  

    Plymouth City Council has agreed to investing £161,000 from the Department for Education’s high needs provision capital allocation fund into creating the places on the grounds of Riverside Community Primary in St Budeaux, following an executive decision signed today.  

    The new places for the next school year have already been allocated to children with Education, Health and Care Plans (EHCP).  

    This development is part of the Council’s SEND Sufficiency plan which aims to address the shortage of suitable school places for children and young people with SEND in Plymouth. The plan includes reconfiguration and refurbishment of some of the city’s special schools to increase their current capacity, as well as developing more specialist places within mainstream schools.    

    Through this work, a further 34 new special school places have also been created for this coming September, bringing the current total number of new places – including the Mill Ford satellite provision – to 84.  

    Councillor Sally Cresswell, Cabinet Member for Education, Skills and Apprenticeships, said: “We have seen a huge rise in demand for special school places in recent years, with far more requests for places than the number of places available. 

    “We understand how frustrating this can be for families and our SEND Sufficiency plan clearly sets out how we will maximise the limited resources available in order to provide more specialist provision so that our children and young people with SEND receive the support they need.”   

    In the Council’s initial plans set out last year, the intention was for Mill Ford School to have a satellite provision at Marlborough Primary Academy but the site was unable to accommodate alterations. Instead, a temporary provision was created at Riverside Community Primary which has provided 30 places throughout this school year. With the confirmed new investment, there will now be a further 20 places.   

    While most children’s needs can be met in a mainstream setting, for some a specialist setting is more appropriate. To be eligible for a special school place, children must have an EHCP or be undergoing a statutory assessment of their special educational needs and have needs that cannot be met in a mainstream school.  

    The Council and local schools have recently launched a new website outlining the Plymouth Graduated Approach to Inclusion. This helps schools and parents and carers by setting out the support available for children and young people with SEND to ensure that their needs are meet. Find out more at https://plymouthgati.co.uk.   

    MIL OSI United Kingdom

  • MIL-OSI United Nations: 31st Session – UN/CEFACT Plenary

    Source: United Nations Economic Commission for Europe

    Election of the UN/CEFACT Vice-Chair (for the period 2025-2026)

    Election of the new UN/CEFACT Vice-Chair will take place on 3 July 2025. According to the Consolidated UN/CEFACT Mandate and Terms of Reference (ECE/TRADE/C/CEFACT/2017/15), the UN Member States who are physically present at the Plenary meeting will elect a Vice-Chair.

    UNECE is inviting UN Member States to nominate their candidates for elections.

    Each Country can nominate one candidate of its choice, using its own criteria for selection and taking into account criteria such as expertise, leadership, ability, willingness to work and geographic balance. The candidate must be a member of the Country’s delegation. It is at the Country’s discretion whether a nominated candidate if from the Government or the Private Sector.

    The deadline to submit nominations is Monday, 19 May 2025.

    In line with the decisions taken at the 30th Plenary, the term of office of the elected Vice-Chair would exceptionally be for one year, with the possibility of one re-election for a three-year term in 2026 (to align the terms of the Chair and Vice-Chair of the UN/CEFACT Bureau, the Plenary decided (ECE/TRADE/C/CEFACT/2024/2) that the next re-election of the entire Bureau (Chair and Vice-Chairs) will be held in 2026).

    Responsibilities of Vice-Chair

    The elected Vice-Chair will be expected to actively participate in at least three physical meetings per year:

    • UN/CEFACT Forums (twice per year, one in Geneva and another one in a different location)*/
    • UN/CEFACT Plenary (one annual meeting in Geneva)

    The Vice-Chairs together with and the secretariat are responsible for preparing the programme of work for approval by the Plenary, with a view to providing a coherent framework that serves the needs of United Nations Member States and other stakeholders within the context of UN/CEFACT’s mandate and terms of reference. This involves outreach to and collaboration with parties interested in working with UN/CEFACT to achieve common goals and, wherever possible, to avoid duplication of work both within and outside of UN/CEFACT.

    The principal functions of the Bureau are outlined in the Consolidated UN/CEFACT Mandate and Terms of Reference (ECE/TRADE/C/CEFACT/2017/15).

          */ In 2025, there will be only one Forum in Dakar, Senegal on 24-28 November 2025

    Guidance on submitting nominations

    The following documents should be submitted for the candidate. This information must be sent directly from the Permanent Mission in Geneva to the UNECE Secretariat ([email protected]):

    • Candidate’s Candidacy Form with motivational statement
    • Government’s Nomination Form with statement of support
    • Recent Curriculum Vitae (including current roles in other relevant organizations and membership in associations)

    For any questions, please contact Ms. Kamola Khusnutdinova, Secretary  of UN/CEFACT at [email protected]

     

    MIL OSI United Nations News

  • MIL-OSI USA: Future Leaders Apply Now for Empire State Fellows Program

    Source: US State of New York

    overnor Kathy Hochul today announced that applications are now being accepted for the Empire State Fellows Program, a full-time, two-year leadership training program that prepares the next generation of talented professionals for careers as New York State policymakers. New Yorkers interested in the 2026-2028 class of this prestigious program should apply by the deadline of June 1, 2025. The incoming class of Empire State Fellows will serve from January 15, 2026, and receive an annual salary of $90,000, plus a generous benefits package.

    “The Empire State Fellows Program has benefited all New Yorkers by attracting some of our brightest minds and leaders to public service,” Governor Hochul said. “I encourage anyone passionate about carrying on this vital legacy to apply and build a career where you can truly make a difference. During a period in our nation’s history when some have diminished the value of public servants, now is a great time to begin a path of brightness, leadership and service to causes greater than oneself by making a positive impact for New Yorkers.”

    Since its inception 13 years ago, the Empire Fellows Program has attracted extraordinary and diverse talent from New York State and across the nation to serve in high-level positions in the administration. Empire State Fellows graduates have advanced to senior roles, including Deputy Commissioner, Deputy Secretary, and Chief of Staff positions throughout State agencies. This is also an opportunity for displaced former federal workers, who are encouraged to apply to the fellowship program. New York State is running the “You’re Hired” campaign to let displaced former federal employees know about career opportunities in New York State government.

    New York State Department of Civil Service Commissioner and Civil Service Commission President Timothy R. Hogues said, “Public service is a noble calling and we’re seeking the next generation of servant-leaders to help New Yorkers all across the state. If you have a fervor for helping others and a desire to make a difference, becoming an Empire State Fellow is a great way to begin a career of service. Under Governor Hochul’s leadership, we’re looking for bright, diligent and diverse thinkers to learn and work within the highest levels of state government agencies alongside talented leaders to serve New Yorkers and their communities.”

    State Senator Robert Jackson said, “As someone who has spent a lifetime fighting for justice, equity, and opportunity, I know the power of committed public service. The Empire State Fellows Program opens the door for the next generation of leaders to bring their passion, principles, and lived experience into the rooms where decisions are made. I encourage every New Yorker ready to serve with courage and purpose to step forward—because our government is stronger when it reflects the people it represents.”

    Assemblymember Stacey Pheffer Amato said, “New York State and Governor Hochul are once again stepping up to mentor the next generation of policymakers through the Empire State Fellows Program. This hands-on opportunity to work directly with leaders from State departments and agencies will help shape our State’s future decision makers and help ensure the best workforce for the future of New York!”

    Engagement in the work of the New York State government lies at the heart of the Empire State Fellows Program. The Department of Civil Service will appoint each Empire State Fellow to work directly with a Commissioner, Deputy Commissioner, or other high-level policymakers at a New York State agency or authority, or in the Executive Chamber. Work assignments offer Fellows unparalleled experience collaborating with senior officials and participating in the policy-making process.

    While taking part in the work of State government, Empire Fellows will participate in educational and professional development programs that will help them to serve as effective and ethical government leaders. The educational component of the Empire State Fellows Program kicks off with an orientation course in January. Educational coursework will continue on a semi-monthly basis through the first year of the program. Meanwhile, professional development activities, including a mentoring program and regular meetings with Cabinet members and other government leaders, will enhance Empire Fellows’ collaboration with policymakers.

    At the end of the fellowship, the program will identify high-performing Empire State Fellows for opportunities to continue to serve as leaders in New York State government after completing the program.

    Applications opened on April 1 will be accepted through June 1. More information on the program and instructions on how to apply are available here. An online information session is scheduled for interested applicants on April 22 from 5 p.m. to 6 p.m. Interested applicants can RSVP for the information session here.

    MIL OSI USA News

  • MIL-OSI Africa: How do coconuts get their water?

    Source: The Conversation – Africa – By Gaston Adoyo, Lecturer and researcher, Jomo Kenyatta University of Agriculture and Technology

    Coconut trees are iconic plants found across the world’s tropical regions. They’re called “nature’s supermarket” or the “tree of life” in several cultures because every part of the coconut tree is used. Its leaves can be used to thatch homes, its heart can be eaten and its roots have medicinal uses.

    The refreshing liquid found within a young green coconut is a highly prized component of the coconut palm. Coconuts are unique in the world of fruits because they have a large internal cavity filled with water. Other fruits typically store water within individual cells or pulp.

    I’m a food scientist who has carried out research on the properties of coconuts.

    All coconut palms produce water, though some, like tall varieties, will produce more than others, like dwarf varieties. The water is sourced from the trees’ immature, green coconuts. As the coconut matures, the developing white flesh absorbs the water, resulting in less liquid in a fully ripe brown coconut.

    So, how is this water reservoir created, and what factors influence it?

    A coconut’s structure

    To better understand how coconut water is formed, it is essential to grasp its anatomical structure. The coconut fruit is classified as a drupe, meaning it has three layers: the exocarp (the smooth, green outer layer seen in unripe coconuts), the mesocarp (a fibrous husk beneath the exocarp), and the endocarp (the hard, woody inner shell that protects the white flesh inside).

    Kerina yin/Shutterstock

    Within the endocarp, there are two components: the flesh (endosperm, a soft, jelly-like material in immature coconut that hardens as it matures) and the clear coconut water that fills the cavity. This water is a nutritive fluid nourishing the developing seed and is formed naturally during the development of the coconut fruit.

    The water is a filtered sap that’s drawn up from the roots and transported through the tree’s vascular system (its water and nutrient transport system), specifically the xylem tissue.

    The coconut tree’s extensive root system, ranging from 1 to 5 metres deep, absorbs groundwater – with dissolved nutrients – from the surrounding soil. The absorbed water is then transported upwards through the trunk and branches and finally to the fruit.

    The fruit retains this water, stored in the cavity of the coconut. The accumulated water, with its rich nutrients, provides food to the developing endosperm (white flesh).

    Therefore, coconut water is neither rainwater nor seawater stored inside, but carefully filtered and nutrient-rich clear liquid formed by the tree itself.

    What is coconut water made of?

    About 95% of coconut water is simply water, making it an excellent hydrating fluid.

    The rest of the water is made up of various components, which are useful for us too.

    Minerals (like sodium, potassium, magnesium and calcium) nourish human nerves and muscles; proteins (amino acids and enzymes) can help in metabolism in both the tree and humans; sugars (fructose and glucose) are responsible for the light sweetness and there are trace amounts of vitamins (vitamin C and B vitamins).


    Read more: Is coconut water good for you? We asked five experts


    Coconut water levels

    Many factors can influence the amount and quality of water in a coconut.

    The age of the coconut is a critical determining factor. Immature, green coconuts (six to eight months) are usually full of water: between 300 millilitres and 1 litre. Mature coconuts (12 months and older) have low water levels as the liquid is partially absorbed by the endosperm.

    High rainfall encourages greater accumulation of water, while drought conditions reduce the amount of water that can be transported to the fruit.

    Healthy soils packed with minerals lead to high-quality and nutrient-rich coconut water. Poor or salty soils, lacking in minerals that can travel up the coconut tree to the fruit, will lead to low quality water.

    Finally, unhealthy or diseased trees produce smaller-sized coconuts with little water.

    Protecting coconuts

    Coconut trees and coconut water are important to tropical economies across south-east Asia, the Pacific, and the Caribbean Sea territories, as well as the coastlines of central America and Africa.

    Conserving the trees and their environment is therefore essential.

    Sustainable farming practices, like soil management – including soil testing and organic composting – should be implemented to maintain the proper nutrient profile, which results in high-quality coconut water.


    Read more: The end of coconut water? The world’s trendiest nut is under threat of species collapse


    Additionally, protecting freshwater aquifers from saltwater intrusion along coastlines where coconuts grow is crucial for preserving the quality of this refreshing fluid. Drip irrigation and mulching can help maintain soil moisture for the required coconut water production.

    Pest and disease management techniques (like intercropping coconuts with bananas or legumes), as well as integrated pest management, can contribute to healthy trees that produce large coconuts with ample water.

    – How do coconuts get their water?
    – https://theconversation.com/how-do-coconuts-get-their-water-252673

    MIL OSI Africa