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Category: Education

  • MIL-OSI Security: Defense News: Navy Week Charts Course to Tucson February 17-23

    Source: United States Navy

    This year’s Tucson Navy Week holds special significance as it coincides with the U.S. Navy’s 250th birthday — a historic milestone celebrating a quarter-millennium of maritime excellence, national security and global leadership.

    “As we celebrate 250 years of naval tradition and excellence as a maritime nation, we recognize it’s the combination of the world’s most sophisticated weapons systems, and more importantly our highly skilled people – at sea and ashore – who provide an unmatched advantage in promoting prosperity and security, deterring aggression, and protecting the American way of life,” said Cmdr. Julie Holland, Navy Office of Community Outreach director. “Your Sailors continue a tradition of decisive power from seabed to space and we’re thrilled to bring them to Tucson so you can witness their treendous character, competence, and dedication firsthand.”

    Tucson Navy Week is one of 15 Navy Weeks in 2025, which brings a variety of assets, equipment, and personnel to a single city for a weeklong series of engagements designed to bring America’s Navy closer to the people it protects. Each year, the program reaches more than 140 million people — about half the U.S. population.

    During Tucson Navy Week, more than 50 Sailors, to include those with direct ties to Tucson, will engage in education and community outreach events throughout the city.

    “Participating in Tucson Navy Week is important to me because it brings me back to where it all started,” said U.S. Navy Lt. Cmdr. Daniel Sherman, from the city of Tucson, assigned to Naval Information Force Reserve. “Growing up in Tucson, we went to air shows and had a ton of exposure to the Air Force, which is world-class in many respects, but young men and women from Arizona need to know the Navy provides opportunities and experiences that simply cannot be matched by other services. I want to tell them about it firsthand.”

    Tucson Navy Week events include a Navy Week proclamation and recognition ceremony at the Arizona Heroes Memorial; Discovery Night at the Children’s Museum; Navy Day at the Reid Park Zoo; 100th La Fiesta de los Vaqueros Tucson Rodeo; the Pima Air and Space Museum; and free live music at venues throughout the city performed by Navy Band Southwest. Sailors will also volunteer with organizations such as Boys & Girls Clubs; Therapeutic Ranch for Animals and Kids (TRAK); StandUp for Kids; YMCA; Habitat for Humanity; Market on the Move; GAP Ministries; Community Food Bank of Southern Arizona; and Tucson Bicycle Classic, among others.

    Tucson Navy Week senior executive, Vice Adm. James Pitts, Deputy Chief of Naval Operations for Warfighting Requirements and Capabilities, Office of the Chief of Naval Operations, will participate in community engagements and meet with local businesses, civic, education, and government leaders.

    Other Navy Week Sailors include those from the Los Angeles-class fast-attack submarine USS Tucson (SSN 770), Virginia-class fast-attack submarine pre-commissioning unit USS Arizona (SSN 803), Independence-class littoral combat ship USS Gabrielle Giffords (LCS 10), USS Constitution, Naval Talent Acquisition Group Phoenix, U.S. Navy Ceremonial Guard, Construction Battalion Maintenance Unit 303, Naval History and Heritage Command, Navy Band Southwest, Fleet Numerical Meteorology and Oceanography Center, Vietnam War Commemoration, Navy eSports, U.S. Fleet Forces Command, and The Strike Group virtual reality activation.

    Media organizations wishing to cover Tucson Navy Week events, to include interviewing hometown heroes and the senior Navy executive, should contact Ensign Jordyn Diomede at (901) 232-4450 or jordyn.s.diomede.mil@us.navy.mil.

    Stories featuring Sailors from the Tucson area:

    Lt. Cmdr. Daniel Sherman – 2000 Tucson Accelerated High School graduate

    https://navyoutreach.blogspot.com/2025/02/tucson-accelerated-high-alum-returns.html

     

    Lt. j.g. Gina Gulli – 2018 Cienega High School graduate

    https://navyoutreach.blogspot.com/2025/02/cienega-high-alum-returns-home-for.html

     

    Petty Officer 2nd Class Mason Bricker – 2020 Amphitheater High School graduate

    https://navyoutreach.blogspot.com/2025/02/amphitheater-high-alum-returns-home-for.html

     

    Petty Officer 2nd Class Abrianna Thompson – 2015 Buena High School graduate

    https://navyoutreach.blogspot.com/2025/02/sierra-vista-native-returns-home-for.html

     

    For a list of public events, visit https://outreach.navy.mil/Navy-Weeks/Tucson-2025/

    Follow Navy Outreach on social media:

    About Navy Week:

    Navy Weeks are a series of outreach events coordinated by the Navy Office of Community Outreach designed to give Americans an opportunity to learn about the Navy, its people, and its importance to national security and prosperity. Since 2005, the Navy Week program has brought the Navy’s mission, people, and capabilities to hundreds of communities nationwide, inspiring new generations and strengthening the bonds between the Navy and the American people.

    MIL Security OSI –

    February 14, 2025
  • MIL-OSI Security: Defense News: NPS Develops AI Solution to Automate Drone Defense with High Energy Lasers

    Source: United States Navy

    To counter the rapidly mounting threats posed by the proliferation of inexpensive uncrewed autonomous systems (UAS), or drones, Naval Postgraduate School (NPS) researchers and collaborators are applying AI to automate critical parts of the tracking system used by laser weapon systems (LWS). By improving target classification, pose estimation, aimpoint selection and aimpoint maintenance, the ability of an LWS to assess and neutralize a hostile UAS greatly increases. Enhanced decision advantage is the goal.

    The tracking system of an LWS follows a sequence of demanding steps to successfully engage an adversarial UAS. When conducted by a human operator, the steps can be time consuming, especially when facing numerous drones in a swarm. Add in the challenges of an adversary’s missiles and rockets traveling at hypersonic speeds, efforts to mount proper defenses become even more complicated, and urgent.

    Directed energy and AI are both considered DOD Critical Technology Areas. By automating and accelerating the sequence for targeting drones with an AI-enabled LWS, a research team from NPS, Naval Surface Warfare Center Dahlgren Division, Lockheed Martin, Boeing and the Air Force Research Laboratory (AFRL) developed an approach to have the operator on-the-loop overseeing the tracking system instead of in-the-loop manually controlling it.

    “Defending against one drone isn’t a problem. But if there are multiple drones, then sending million-dollar interceptor missiles becomes a very expensive tradeoff because the drones are very cheap,” says Distinguished Professor Brij Agrawal, NPS Department of Mechanical and Aerospace Engineering, who leads the NPS team. “The Navy has several LWS being developed and tested. LWS are cheap to fire but expensive to build. But once it’s built, then it can keep on firing, like a few dollars per shot.”

    To achieve this level of automation, the researchers generated two datasets that contained thousands of drone images and then applied AI training to the datasets. This produced an AI model that was validated in the laboratory and then transferred to Dahlgren for field testing with its LWS tracking system.

    Funded by the Joint Directed Energy Transition Office (DE-JTO) and the Office of Naval Research (ONR), this research addresses advanced AI and directed energy technology applications cited in the CNO NAVPLAN.

    During a typical engagement with a hostile drone, radar makes the initial detection and then the contact information is fed over to the LWS. The operator of the LWS uses its infrared sensor, which has a wide field of view, to start tracking the drone. Next, the high magnification and narrow field of view of its high energy laser (HEL) telescope continues the tracking as its fast-steering mirrors maintain the lock on the drone.

    With a video screen showing the image of the drone in the distance, the operator compares it to a target reference to classify the type of drone and identify its unique aimpoints. Each drone type has different characteristics, and its aimpoints are the locations where that particular drone is most vulnerable to incoming laser fire.

    Along with the drone type and aimpoint determinations, the operator must identify the drone’s pose, or relative orientation to the LWS, necessary for locating its aimpoints. The operator looks at the drone’s image on the screen to determine where to point the LWS and then fires the laser beam.

    Long distances and atmospheric conditions between the LWS and the drone can adversely affect the image quality, making all these identifications more challenging and time consuming to conduct.

    After all these preparations, the operator cannot just simply move a computerized crosshair across the screen onto an aimpoint and press the fire button as if it were a kinetic weapon system, like an anti-aircraft gun or interceptor missile.

    Though lasers move at the speed of light, they don’t instantaneously destroy a drone like the way lasers are depicted in sci-fi movies. The more powerful the laser, the more energy it delivers in a given time. To heat a drone enough to cause catastrophic damage, the laser must be firing the entire time.

    But there’s a catch. The laser beam must be continually held at the same spot. If the drone turns and the laser beam doesn’t adjust, the initial spot it was targeting will no longer heat up. Whatever new spot now hit by the laser beam will start to heat, but it might not be the aimpoint.

    If the drone continuously moves, then the laser beam will wander along its surface if not continuously re-aimed. In this case, the laser’s energy will be distributed across a large area instead of concentrated at a single point. This process of continuously firing the laser beam at one spot is called aimpoint maintenance.

    In 2016, construction of the High Energy Laser Beam Control Research Testbed (HBCRT) was completed by the NPS research team. The HBCRT was designed to replicate the functions of an LWS found aboard a ship, such as the 30-kilowatt, XN-1 Laser Weapon System operated on USS Ponce (LPD 15) from 2014 to 2017.

    Early on, the HBCRT was utilized at NPS to study adaptive optics techniques to correct for aberrations from atmospheric conditions that degrade the quality of the laser beam fired from an LWS. Later, the addition of state-of-the-art deformable mirrors built by Northrup Grumman allowed NPS researchers to investigate further impacts of deep turbulence.

    Over the years, 15 masters and 2 PhD degrees have been earned by NPS officer-students contributing their interdisciplinary research into hardware and software related to the HBCRT. Investigations by U.S. Navy Ensigns Raymond Turner, MS astronautical engineering in 2022, and Raven Heath, MS aeronautical engineering in 2023, added to this research. Turner helped integrate AI algorithms into the HBCRT for aimpoint selection and maintenance, and Heath used deep learning to research AI target key points estimation.

    Now the HBCRT is also being used to create catalogs of drone images to make real-world datasets for AI training.

    Built by Boeing, the HBCRT has a 30 cm diameter, fine-tracking, HEL telescope and a course-tracking, mid-wavelength infrared (MWIR) sensor. The pair is called the beam director when coupled together on a large gimble that swivels them in unison up-and-down and side-to-side.

    “The MWIR is thermal,” says Research Associate Professor Jae Jun Kim, NPS Department of Mechanical and Aerospace Engineering, who specializes in optical beam control. “It looks at the mid-wavelength infrared signal of light, which is related to the heat signature of the target. It has a wide field of view. The gimbal moves to lock onto the target. Then the target is seen through the telescope, which has very small field of view.”

    A 1-kilowatt laser beam (roughly a million times more powerful than a classroom laser pointer) can fire from the telescope. If the laser beam were to be used, it’s generated by a separate external unit and then directed into the telescope, which then projects the laser beam onto the target. However, its use with the HBCRT isn’t required for the initial development of this research, which allows the work to be easily conducted inside a laboratory.

    With a short-wavelength infrared (SWIR) tracking camera, the telescope can record images of a drone that is miles away. Although necessary, replicating the view of a distant drone in a small laboratory is impossible. To resolve this dilemma, researchers mounted 3D-printed, titanium miniature models of drones fabricated by AFRL into a range-in-a-box (RIAB).

    Constructed on an optical bench, the RIAB accurately replicates a drone flying miles away from the telescope by using a large parabolic mirror and other optical components. This research used a miniature model of a Reaper drone. When a SWIR image is taken of the drone model by the telescope, it appears to the telescope as if it were seeing an actual full-sized Reaper drone.

    The drone model is attached to a gimble with motors that can change its pose along the three rotational flight axes of roll (x), pitch (y) and yaw (z). This allows the telescope to observe real-time changes in the direction that the drone model faces.

    Simply put, pose is the orientation of the drone that the telescope “sees” in its direct line of sight. Is the drone heading straight-on or flying away, diving or climbing, banking or cruising straight and level, or moving in some other way?

    By measuring the angles about the x-, y- and z-axes for a drone model in a specific orientation, the pose of the drone can be precisely defined and recorded. This important measurement is called the pose label.

    The NPS researchers created two large representative datasets for AI training to produce the AI model for automating target classification, pose estimation, aimpoint selection and aimpoint maintenance. The AI training used convolutional neural networks with deep learning, which is a machine learning technique based on the understanding of neuropathways in the human brain. A recent journal article in Machine Vision and Applications by NPS faculty Leonardo Herrera, Jae Jun Kim, and Brij Agrawal describes the datasets and AI training in detail.

    Each piece of data in the dataset contained a 256´256-pixel image of a Reaper drone in a unique pose with its corresponding pose label. Lockheed Martin used computer generation to create the synthetic dataset, which contained 100,000 images. Created with the HBCRT and RIAB at NPS, the real-world dataset contained 77,077 images.

    “If we train on only clean pictures, it won’t work. That is a limitation,” says Agrawal. “We need a lot of data with different backgrounds, intensities of the sun, turbulence and more. That’s why when using AI, it takes a lot of work to create the data. And the more data you have, the higher the fidelity.”

    For the AI model, three different AI training scenarios were generated and compared to determine which scenario performed the best. The first scenario only used the synthetic dataset, the second used both the synthetic and real-world datasets, and the third only used the real-world dataset.

    Because the large sizes of datasets and their individual pieces of data required enormous amounts of computational power for the AI training, the researchers used an NVIDIA DGX workstation with four Tesla V100 GPUs. NPS operates numerous NVIDIA workstations. And in December 2024, to continue advancing AI-based technologies, NPS formed a partnership with NVIDIA to become one of its AI Technology Centers.

    “Once we’ve generated a model, we want to test how good it is,” says Agrawal. “Assume you have a dataset with 100,000 data. We’ll train on 80,000 data and test on 20,000 data. Once it’s good with 20,000 data, we’re finished training it.”

    U.S. Navy Ensign Alex Hooker, a Shoemaker Scholar who recently earned his M.S. in astronautical engineering from NPS and is now a student naval aviator, contributed to testing the pose estimations of the AI model.

    “A way to improve the reliability of the model at predicting the pose of a UAS in 3D space by taking 2D input images is detecting what’s called out of distribution data,” he says. “There are different ways to detect whether an image can be trusted or whether it is out of distribution.”

    By feeding the test data images from the dataset into the existing AI model and then comparing the output poses from the AI model to pose labels of the test data images, Hooker could continually train and refine the AI model itself.

    Working now with Agrawal is NPS Space Systems Engineering student U.S. Navy Ensign Nicholas Messina, who graduated from the U.S. Naval Academy in aerospace engineering last year and is a Boman Scholar headed for the Nuclear Navy career track after NPS.

    “My thesis is a little bit of a sidestep in the way that I am working with artificial intelligence and optics, but Dr. Agrawal and Dr. Herrera have been great,” said Messina. “My research is specifically working on optical turbulence prediction and classification. I train my AI models off large image datasets and am working to improve accuracy in how the model predicts the wavefronts from a picture.”

    One of the biggest challenges that has faced automated image-based drone identification and classification is pose ambiguity. This occurs when the pose of the actual drone in the distance is indistinguishable from one or more of its other poses.

    Because an LWS views the 3D drone flying far away as 2D images in the infrared spectrum, the features of the drone’s shape effectively disappear into a silhouette. For example, the silhouette of a drone flying directly head-on would look the same as if it were flying away in the exact opposite direction.

    The researchers solved pose ambiguity for the AI model by introducing radar cueing. Tracking data from a radar can reveal if a drone is approaching, withdrawing or moving in some other way. For the AI training, the pose labels of the drone images were used to mimic real radar sensor output. The team also developed a separate method to simulate the radar data and provide radar cuing during LWS operation if actual radar data is not available.

    Overall, the AI model from the scenario using only the real-world dataset performed best by producing the least amount of error. 

    For the next phase of the research, the team transferred the AI model to Dahlgren for field testing on its LWS tracking system.

    “Dahlgren has our model, which we trained on the dataset collected indoors on the HBCRT and complemented with synthetic data,” says Leonardo Herrara, who runs the AI laboratory at NPS and is a faculty associate in the Department of Mechanical and Aerospace Engineering. “They can collect live data using a drone and create a new dataset to train on top of ours. That’s called transfer learning.”

    Creating more data under additional conditions and of other drone types will also continue at NPS. Just because the AI model is already trained on a Reaper doesn’t mean it’s reliable for other drones. But even before the AI model can be deployed, it must first be integrated into Dahlgren’s tracking system.

    “We now have the model running in real-time inside of our tracking system,” says Eric Montag, an imaging scientist at Dahlgren and leader of a group that developed an LWS tracking system currently in use by High Energy Laser Expeditionary (HELEX), which is an LWS mounted on a land-based demonstrator.

    “Sometime this calendar year, we’re planning a demo of the automatic aimpoint selection inside the tracking framework for a simple proof of concept,” Montag adds. “We don’t need to shoot a laser to test the automatic aimpoint capabilities. There are already projects—HELEX being one of them—that are interested in this technology. We’ve been partnering with them and shooting from their platform with our tracking system.”

    When field testing occurs, HELEX will start tracking from radar cues and use pose estimation to automatically select an aimpoint. The tracking system of HELEX will be semi-autonomous. So, instead of manually controlling aspects of the tracking system from in-the-loop, the operator will oversee it from on-the-loop.

    Besides LWS, this research also opens other possibilities for use throughout the fleet. Tracking systems across other platforms could also see potential benefit from this type of AI-enabled automation. At a time when shipboard defenses can be threatened by massive waves of drones, missiles and rockets, a jump in the efficiency of determining friend or foe, and engaging hostile threats, could be a game-changer to speed decision-advantage.

    MIL Security OSI –

    February 14, 2025
  • MIL-OSI United Kingdom: Extramural Studies Placement 2025

    Source: United Kingdom – Executive Government & Departments

    Opportunity for veterinary students to apply to attend a one-week extramural studies (EMS) placement in July 2025.

    The VMD invites veterinary students who are in their clinical years of study to apply to attend a one-week extramural studies (EMS) placement in July 2025, at the VMD’s offices in Addlestone, Surrey. 

    The placement is an exciting opportunity to discover how veterinary medicines and vaccines are authorised.  Students will also explore other important aspects of the VMD’s work and will learn about a range of career opportunities in the veterinary profession.

    The placement will be run from 7 to 11 July 2025.  The week will be structured with lectures and workshops.  Some of the topics that will be covered include:

    • Medicine use in clinical practice
    • Assessing new medicine applications, including Quality, Safety and Efficacy of medicines
    • Generic medicines; bioequivalence and biowaivers
    • Pharmacovigilance and the importance of reporting adverse events
    • Novel and emerging therapies
    • VMD international activities
    • Antimicrobial and anthelmintic resistance
    • Veterinary medicine legislation

    To apply

    Please complete the EMS Application form (MS Word Document, 44.9 KB) and email to ems@vmd.gov.uk.

    Applications will close on 14 March.  All applicants will be notified of the outcome of their application by 21 March.

    Please note, students will be responsible for their own accommodation and travel costs. 

    We look forward to receiving your applications.

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    Updates to this page

    Published 13 February 2025

    MIL OSI United Kingdom –

    February 14, 2025
  • MIL-OSI USA: New Tool Helps Public Find Local Court Civics Resources and Programs

    Source: United States Courts

    Federal courts regularly engage in public outreach and civics education efforts. A new interactive civics map is helping the public more easily find court educational resources and civics program information nationwide.

    The tool, developed by the Federal Judicial Center (FJC), the education and research agency for the federal courts, acts as a central repository for local court-created educational resources and civics programs. It includes, for example, information about notable or historic cases and courthouse history and about recurring programs, such as courthouse tours, institutes for teachers, and civics contests for students. 

    Visitors can navigate across multiple display types and filtering options to view various civics offerings from different judicial districts. One view links to program information pages from the respective court website about its recurring civics programs.

    Learn more about the new tool from the FJC civics education and outreach page.

    Visit the educational resources section on the U.S. Courts website for additional information about the federal Judiciary’s national civics initiatives and educational activities.

    MIL OSI USA News –

    February 14, 2025
  • MIL-OSI Global: How to cope with romantic rejection – a psychologist’s advice

    Source: The Conversation – UK – By Veronica Lamarche, Senior Lecturer of Psychology, University of Essex

    Romantic rejection can be very painful. Nomad_Soul/Shutterstock

    Has a romantic partner, or someone you had a crush on, ever hurt your feelings? You’re far from alone. Very few people can boast a 100% success rate when it comes to attracting love interests. And even for those who have more “hits” than “misses”, no partner is capable of always being attentive to our needs, leading to conflicts, disappointments and breakups.

    Given the ubiquity of romantic rejection, why is it often so challenging to respond in adaptive rather than destructive ways?

    Humans are social creatures. Millennia of relying on our family and broader social communities for survival means that we have evolved complex psychological monitoring systems to track whether we are safely connected with others – or at risk of being pushed out of groups.

    The evolutionary importance of social connection with others is so significant that some researchers have gone so far as to argue that people have a fundamental need for acceptance through positive and satisfying relationships.

    If you’ve recently been rejected by someone you had feelings for, or a partner has ended your relationship, these psychology-backed tips will help you to move on.


    Looking for love this Valentine’s Day? Whether you want to improve your relationship with others or with yourself, The Quarter Life Glow-up can help.

    This six-week newsletter course from The Conversation will bring you research-backed advice and tools to help improve your relationships, your career, your free time and your mental health – no supplements or skincare required. Sign up here to start your glow-up at any time.


    Why does rejection hurt so much?

    In many societies, romantic relationships typically offer the strongest forms of connection – and consequently opportunities for rejection. From being rebuffed or ghosted by prospective partners, to having your emotional needs ignored in your relationship, through to recurring conflicts, breakups and divorces, romantic rejection can manifest at all stages of romantic life.




    Read more:
    From ghosting to ‘backburner’ relationships: the reasons people behave so badly on dating apps


    These moments of rejection amplify our need to belong. They motivate us to respond in a way that restores of feelings of safety and connection because they shine a spotlight on the psychological risks of being cast out and left vulnerable.

    While romantic rejection is always unpleasant, not everyone notices or reacts to rejection in the same way.

    People who are higher in rejection sensitivity more actively monitor for signs of rejection from their loved ones. This hypersensitivity often backfires, leading them to over-anticipate rejection and prevent others from behaving in ways that would provide reassurance.

    Different people have different sensitivity levels when it comes to rejection.
    Farknot Architect/Shutterstock

    Consider, for example, that you find out a group of friends met for coffee and didn’t invite you. It is natural to feel slighted even if this was not their intention. People lower in rejection sensitivity are more likely to conclude that the harm was unintentional, and focus instead on the positives. Perhaps, suggest that “it looks like you had a great time, I’d love to join next time”.

    People higher in rejection sensitivity are more likely to conclude that the exclusion was not only intentional, but indicative that the friend group is harbouring some kind of resentment. These assumptions can lead to withdrawal. Instead of opening the door for an invite in the future or reassurance that their presence was missed, they close it behind them.

    People who are sensitive to rejection are more likley to interpret friends getting coffee without them as a slight.
    Annika Knight/Dupe, CC BY-SA

    This preoccupation with protecting the self from rejection often contributes to self-fulfilling prophecies. For example, people with lower self esteem often over-anticipate rejection from others. Consequently, they are more likely to believe that a potential romantic partner is disinterested.

    This assumption of disinterest prevents them from even attempting to initiate a relationship with the object of their affection. Their potential partner may misinterpret reticence as disinterest, or may never even realise the door for connection was open, thus guaranteeing a “rejection”.

    The only way to break this cycle is by trying to connect, rather than hoping or assuming the other person will always make the first move.

    By contrast, people with high self esteem are less preoccupied with avoiding rejection and are therefore more likely to continue to see loved ones through rose-tinted glasses, even after experiencing rejection.

    How to cope with romantic rejection

    Being more sensitive to the warning signs of rejection does not mean that someone is immune to its sting. Experiencing rejection leads most people to feel worse about themselves and others. This can lead to aggressive and selfish actions.

    Research has even shown that some people are more likely to say that being sexually coercive against a partner is permissible if they have been reminded about time they had been recently hurt by a close other. Therefore, in a cruel twist of fate, these hurt people often hurt others, thereby reducing the likelihood of reconnection.

    So, how can you find more adaptive ways of coping with rejection? An important first step is self-reflection. People with low self-esteem or an insecure attachment style (people who have less positive self-regard and expect others to have poor regard for them as well) are more likely to be rejection sensitive. Ask yourself if this might describe you.

    Spend time reflecting on your self esteem and attachment style to understand how you cope with rejection.
    Rawpixel.com/Shutterstock

    Recognising that this is something you struggle with can help you be mindful in how you respond to experiences. Even people particularly sensitive to rejection benefit from being nonjudgmental about their inner experiences, and are less likely to report negative feelings following rejection.

    Another strategy you can work on is constructive, rather than destructive, approaches to communication. Because rejection makes us feel defensive, it can lead us to express ourselves in overly negative and indirect ways. Try to avoid focusing on your love interest’s intent.

    In a relationship, focus on how a transgression made you feel and what it would take to make it up to you now, and in the future. These sorts of positive, yet direct, approaches are more productive and increase the likelihood that your partners will be responsive to your needs in the future.

    It is not necessary to run away from rejection. It is an important social cue that can motivate you towards self-improvement and connection with others. The people who can fully embrace the potential benefits the comes from connecting with others, in spite of any potential risks, are more likely to reap the rewards.

    Veronica Lamarche has received funding from the ESRC, the British Academy, and the Royal Society.

    – ref. How to cope with romantic rejection – a psychologist’s advice – https://theconversation.com/how-to-cope-with-romantic-rejection-a-psychologists-advice-246707

    MIL OSI – Global Reports –

    February 14, 2025
  • MIL-OSI Global: The heart is symbol of love – things weren’t always like that

    Source: The Conversation – UK – By Michelle Spear, Professor of Anatomy, University of Bristol

    Valentine’s Day is all about the hearts: heart-shaped chocolates, cards, balloons and even pizza. But the heart hasn’t always just been a symbol of romance.

    Across cultures and centuries, the heart has been revered as the seat of the soul, a source of supernatural power and a vessel of identity. From ancient Egyptian afterlife beliefs to medieval relics, from necromantic rituals to modern heart transplants, this organ has been at the centre of both scientific curiosity and deep-seated mysticism.

    Why has the heart, more than any other organ, been imbued with such deep symbolism and power? While anatomy tells us it is a muscular pump controlled by electrical impulses, history tells a more complex story – one of rituals, relics and even dark magic.

    The human heart is a remarkably efficient pump, beating about 100,000 times a day and circulating about 7,500 litres of blood. It is driven by the sinoatrial node, a cluster of pacemaker cells that spontaneously generate electrical impulses independently of the brain.

    As this intrinsic electrical system does not rely on direct nervous input but is influenced by it, the heart can continue beating for a short while even when removed from the body – provided it has an adequate supply of oxygen and electrolytes. This uncanny quality only reinforced superstitions that the heart was more than just a muscle and may explain why many early cultures viewed the heart as possessing a life force of its own.

    But to present the heart as merely a pump ignores wider influences. The heart functions as an endocrine organ, releasing hormones that regulate blood pressure, fluid balance and cardiovascular health.

    The connection between the heart and “love hormones”, such as oxytocin, extends beyond metaphor, as research suggests the heart not only responds to oxytocin but may also play a role in its release.

    Oxytocin is primarily produced in the brain by the hypothalamus and released from the pituitary gland, flooding the body during moments of affection, trust and bonding. It is the chemical catalyst behind the deep emotional connections that define human relationships.

    The heart is equipped with oxytocin receptors, and studies show that the hormone promotes vasodilation (widening of the blood vessels), reducing blood pressure and improving circulation. Beyond this, oxytocin may protect the heart, helping it repair itself and reducing inflammation after injury, such as during a heart attack.

    However, the heart’s function was not always understood. The ancient Greeks believed it was the seat of intelligence, while Aristotle dismissed the brain as a mere “cooling fluid” for the heart’s divine fire.

    Galen, a Greek physician, surgeon and philosopher who lived during Roman times, described the heart as the body’s furnace, while William Harvey’s 1628 discovery of circulation reshaped our understanding of this important organ. Even so, its symbolic and mystical significance never fully waned.

    The seat of the soul

    The ancient Egyptians preserved the heart during mummification, believing it would be weighed by Anubis against the Feather of Truth, the divine measure of justice. Ironically, the brain was discarded as totally useless. An excerpt from the Book of the Dead, an ancient Egyptian funerary text, reads:

    O my heart which I had from my mother! which I had from my mother! O my heart of my different ages! Don’t stand up as a witness against me. Do not be opposed to me in the tribunal.

    This spell is intended to pacify the heart and assert dominion, ensuring it remains loyal when weighed.

    The idea that the heart carried more than just blood persisted into the Renaissance, with scholars debating whether it was the true locus of identity.

    “If indeed from the heart alone rise anger or passion, fear, terror, and sadness; if from it alone spring shame, delight, and joy, why should I say more?” Andreas de Laguna, a Spanish physician wrote in 1535.

    Even today, heart transplants fuel questions about whether a transplanted heart carries something of its donor. Some recipients report changes in personality, memories or food preferences, raising speculation about cellular memory. While no definitive scientific basis exists, such cases continue to intrigue.

    Heart of darkness

    The heart’s power was not only revered, but feared. In folk magic and necromancy, people believed that the hearts of executed criminals retained energy from their violent deaths. Some thought consuming, burning or preserving a heart could grant knowledge or strength.

    In Scotland and England, people reportedly boiled the hearts of murderers to prevent their ghosts from haunting the living. Dried hearts were sometimes ground into powders for potions, while in occult traditions, they were burned in rituals to banish spirits or bind enemies.

    More disturbing are accounts of unbaptised infants’ hearts in witchcraft traditions. Some sources claim they were used in hexes, flying ointments or dark pacts. While probably exaggerated during witch trials, such stories reflect a deep-rooted belief in the heart as a conduit of power.

    The heart has been a vessel of the soul, a source of magic and a point of conflict between science and superstition. While modern medicine has demystified much of its function, its symbolism remains deeply ingrained in human culture.

    This Valentine’s Day, as we exchange stylised hearts in celebration of love, we might pause to remember that the power of the heart has been a symbol of life, death and everything in between for millennia.

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

    – ref. The heart is symbol of love – things weren’t always like that – https://theconversation.com/the-heart-is-symbol-of-love-things-werent-always-like-that-249211

    MIL OSI – Global Reports –

    February 14, 2025
  • MIL-OSI Global: Eight of the most romantic poems to read to your love this Valentine’s Day

    Source: The Conversation – UK – By Ellen Howley, Assistant Professor in the School of English, DCU, Dublin City University

    Grinbox/Shutterstock

    For many of us, the run-up to Valentine’s Day is spent seeking out the least cringe-worthy card in the shop to gift to our significant other, and show them how we really feel. But, unfortunately, Hallmark rhymes rarely mine the depths of love and desire.

    So, if you’re looking for the perfect words for your loved one this year, why not share one of these poems, which attempt to express the wonder and complexities of romantic love.

    1. Sonnet 106 by William Shakespeare (1609)

    Portrait of William Shakespeare by John Taylor (1611).
    National Portrait Gallery

    If you make a list of love poems, you’re obliged to include a Shakespearean sonnet, so I’ll start with a lesser known one, Sonnet 106.

    In the poem, the bard compares the beauty of his lover to ancient poems that described beautiful knights and ladies. He declares that these older writers must have been prophets to know his lover’s true beauty. In fact, his lover is even more beautiful than these descriptions because the poets “had not skill enough your worth to sing”.

    Here, Shakespeare addresses a problem that has plagued love poets throughout the ages: how to write of the love and beauty they feel and see when words may never match up.


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    2. From the Irish by Ian Duhig (1997)

    British-Irish poet, Ian Duhig confronts the same problem as Shakespeare in From the Irish. It is a poem that thinks as much about language as it does about love, but resolves in a sincere but frustrated attempt to tell his lover how he feels.

    In trying to be precise in his use of language, he ends up telling his lover that their face “is like a slice of half-boiled turnip”.

    This attempt to compare his lover’s face to the moon is not an insult, but instead part of his serious attempt to, as he says, “love you properly, according to Dinneen”.

    3. Heart to Heart by Rita Dove (2004)

    Rita Dove’s Heart to Heart likewise contemplates the relationship between love and language. In the poem, Dove, the former US poet laureate dismisses the clichéd ways in which we talk about the heart:

    It doesn’t melt

    or turn over,

    break or harden.

    The poet cannot tell her lover from “the bottom of it / how I feel” but gives it to them all the same.

    Rita Dove reads her poem Heart to Heart.

    4. He Seemed to Me Equal to the Gods by Sappho (translated by Anne Carson in 2002)

    Closely aligned to the theme of romantic love is that of desire, and across the centuries poets have written about the torture of yearning. The Greek poet Sappho knew this even 2,600 years ago. Women are the objects of desire in her erotic poetry.

    Sappho by Enrique Simonet (1864).
    Wiki Commons

    This poem, translated by the Canadian poet, Anne Carson, finds the poet watching her lover, which, says Sappho, “puts the heart in my chest on wings” but also renders her speechless. She describes the intensity and agony of desire:

    fire is racing under skin

    and in eyes no sight and drumming

    fills ears.

    These lines are a surviving fragment of a larger, lost poem, so what the poet might have “dared” at the end remains a mystery.

    5. His Mistress Going to Bed by John Donne (circa 1590)

    John Donne by Isaac Oliver (1622).
    National Portrait Gallery

    Perhaps more daring is John Donne’s His Mistress Going to Bed. Donne, an English poet who began writing in the 16th century, is considered one of the great love poets.

    His Mistress Going to Bed is his attempt at seduction, undressing his lover across the poem’s lines: “Now off with those shoes, and then safely tread / In this love’s hallow’d temple, this soft bed.” The sexual act is seen as one of union: “As souls unbodied, bodies uncloth’d must be, / To taste whole joys.”

    So prepared is the poet, we discover by the poem’s end, that he is already naked and ready to go to bed with his love.

    6. Poem II by Adrienne Rich (1978)

    As partnerships evolve, the initial intensity of sexual passion morphs into a more everyday, although no less exciting kind of love.

    Poem II from Adrienne Rich’s sequence Twenty-One Love Poems describes the poet waking in her lover’s bed following a dream. She tenderly writes: “You’ve kissed my hair / to wake me.”

    Adrienne Rich (right) with Audre Lorde (left) and Meridel Lesueur in 1980.
    K. Kendall/flickr, CC BY

    The poem is a warm and intimate portrait of the love between two women, with Rich declaring:

    I laugh and fall dreaming again

    or the desire to show you to everyone I love,

    to move openly together.

    In this, the poet acknowledges the ease and depth of her love but also makes subtle reference to the lack of acceptance of homosexual relationships in the 1970s, when the poems were first published.

    7. An Amish Rug by Michael Longley (1991)

    Michael Longley, the Irish poet who passed away in January, presents a similarly private scene of an established relationship in his poem, An Amish Rug.

    Describing the handmade rug he gifts to his wife, the poet contrasts the simplicity of the Amish lifestyle with its vivid woven colours.

    If hung on the wall, the rug will become a stained-glass “cathedral window”. Or, it may be placed on the floor so that “whenever we undress for sleep or love / We shall step over it as over a flowerbed”.

    There’s a Valentine’s gift to live up to.

    8. The Orange by Wendy Cope (1992)

    Wendy Cope’s The Orange almost unexpectedly turn into a love poem, as the poet describes the increasing “peace and contentment” that comes from sharing a “huge orange” with her colleagues. This, she says, “made me so happy, / As ordinary things often do”.

    The Orange by Wendy Cope.

    Its description of a lovely but ordinary day ends with the affirming line “I love you. I’m glad I exist,” revealing that profound reflections can come from small moments.

    Ellen Howley 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. Eight of the most romantic poems to read to your love this Valentine’s Day – https://theconversation.com/eight-of-the-most-romantic-poems-to-read-to-your-love-this-valentines-day-248479

    MIL OSI – Global Reports –

    February 14, 2025
  • MIL-OSI Global: What to do if your partner wants to speak to your baby in a language you don’t understand

    Source: The Conversation – UK – By Una Cunningham, Professor emerita, Department of Teaching and Learning, Stockholm University

    Mladen Zivkovic/Shutterstock

    Finding out you and your partner are expecting a baby throws many discussions that might have once been hypothetical into stark relief. This certainly may be the case if your partner speaks another language beyond the one spoken where you live and that the two of you communicate in.

    “I’d like to bring the baby up to speak my language”, they say, and suddenly what seemed a wonderful idea – a bilingual child – might throw up panicked visions of being left out of private jokes and conversations at the dinner table. But growing up with two or more languages can be hugely beneficial for children, and there’s plenty you can do to help out and get involved.

    When children acquire a minority language – a language other than the dominant language or languages in the place they live – spoken by one or both parents, they have the key to that culture. It offers the possibility of a deep relationship with extended family and others they might otherwise not be able to talk to at all. You really want to do everything in your power to support your partner and your child in this venture.

    Learning something of your partner’s language will effectively solve your problem. You may be able to join a class to learn the language or even just use a language app such as Duolingo to get a head start on vocabulary and basic phrases. This becomes more challenging if the language in question is not a standard variety or is a language not spoken by many people.

    If a parent is proficient in a lower-status and higher-status variety of a language – such as Cypriot Greek and standard Greek, or colloquial Singapore English and standard English – it may be tempting to want the child to learn the high-status variety. But the lower-status variety might be the one that the child will need to be able to visit family and feel like an insider. The higher-status variety can be added later if and when your child needs or wants it.

    Even if you’re learning a non-standard language, and it takes time to achieve proficiency, you can learn a lot of useful language along with your baby. You just need to understand the gist of a conversation to be able to join in in your own language, and honestly, most conversations with a baby are not difficult to follow.

    Even minimal effort towards learning to understand the language is worthwhile for the goodwill it encompasses. Just accepting that your partner will use another language with your child is really enough.

    Family language policy

    If your partner is speaking their language most of the time with your child, you don’t need to aspire to do that. Your job is to speak the other language.

    Together you, your partner and your child will develop a family language policy about who speaks which language to whom. A popular approach is one-person-one-language: you speak your language to your child, your partner speaks theirs to them, and as parents you communicate in any available language, usually what you spoke together before you became parents.

    This leads to dinner-table conversations with two or more languages, but children manage this easily. A major advantage of each parent mostly sticking to one language is that it is easier to get into the habit of using the languages, particularly a minority language that might not have had a place in your life as a couple before your baby was born.

    The family linguistic repertoire can be said to be partially shared, with your child as the winner of the jackpot, developing skills in at least a couple of the languages spoken by their parents.

    Learning the language spoken by extended family will help children build a relationship with them.
    Drazen Zigic/Shutterstock

    Welcoming your partner’s language into your home means that you are preparing the ground for them and their extended family to support your child’s language development.

    Grandparents are a powerful resource, especially if they have limited proficiency in the majority language – the language most commonly spoken where you live. They are often very motivated to help your child develop proficiency in their language so that they can have a relationship with them.

    Your partner will face challenges, particularly as the child gets older and has more opportunity to hear and use the majority language with other children. It is likely that the child will at some point answer your partner in the majority language. Help them both to persevere with using the minority language.

    Encourage your partner and child to make trips without you to environments where the minority language is spoken. You can help your partner create a linguistic landscape in your home: put up alphabet posters, and get books and children’s TV shows and films in their language.

    Don’t worry about the majority language – your child has you and the surrounding community to support their majority language development. There is zero risk that your child will end up monolingual in the minority language if they have the opportunity to use the majority language with you and outside the home. Together, you and your partner can give your baby the gift of bilingualism.

    Una Cunningham 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. What to do if your partner wants to speak to your baby in a language you don’t understand – https://theconversation.com/what-to-do-if-your-partner-wants-to-speak-to-your-baby-in-a-language-you-dont-understand-248588

    MIL OSI – Global Reports –

    February 14, 2025
  • MIL-OSI Africa: Lake Victoria is turning green – the deadly bacteria behind it

    Source: The Conversation – Africa – By Lauren Hart, PhD candidate, Michigan Geomicrobiology Lab, University of Michigan

    Lakes, natural and man-made, provide water, food and habitats for wildlife, as well as supporting local economies. Around the world, though, there’s a growing threat to lakes: toxic bacteria which turn the water green.

    This is the same green as you see on stagnant ponds. It’s caused by tiny organisms called cyanobacteria and can be deadly.

    Cyanobacteria thrive in warm, sunny lakes and ponds that contain excess nitrogen and phosphorus nutrients derived from fertiliser, manure and sewage. When conditions are right, cyanobacteria multiply rapidly and form smelly green scums on the water’s surface.

    Known to science as cyanoHABs (cyanobacterial harmful algal blooms), the scums are harmful to livestock, wildlife, pets, people and aquatic organisms like fish. Toxins make untreated water unsafe to drink, swim in, or even touch. Sometimes they can become suspended in air and be inhaled. The cyanoHABs also harm ecosystems by depleting oxygen, killing off whatever lives in the water, and disrupting food webs and fisheries.

    CyanoHABs are a global threat and receive considerable scientific attention in North America and Europe. Blooms are becoming more widespread worldwide because rising temperatures promote cyanobacterial growth and more intense rainfall delivers nutrients from the landscape. Only effective management of nutrients can reverse this trend.

    The problem is understudied in Africa’s main lakes, including its largest – Lake Victoria. Past research on cyanoHABs has mostly used microscopy to study the kinds found there, but microscopy cannot differentiate between toxic and non-toxic cyanobacterial cells.

    We are on a large project team of scientists who have been studying the socioeconomic and environmental effects of cyanoHABs in the Winam Gulf region of Lake Victoria in south-western Kenya.

    Our latest study identified which cyanobacteria were the most abundant in the gulf and which ones were producing the main toxin of concern.

    These findings can improve public safety:

    • local authorities can monitor for specific cyanobacteria and warn residents to stay away when blooms are present

    • cyanoHAB prevention practices (nutrient reduction, land-use practices) can target the cyanobacteria that cause the problem.

    Greening of lakes

    Lake Victoria now receives large influxes of nutrients because of growing lakeside populations and land-use changes. Nutrients from agriculture, industry and urbanisation fuel the growth of cyanoHABs.

    CyanoHABs occur in many basins in Lake Victoria but are highly concentrated in Kenya’s shallow Winam/Nyanza Gulf. Changing nutrient and temperature conditions can also alter which types of cyanobacteria dominate the gulf and the types and levels of toxins in the water. Lakeside communities that rely on the gulf for drinking water and domestic tasks are at risk of exposure to cyanoHAB toxins.

    CyanoHAB in the Winam Gulf. Photo by George Bullerjahn (BGSU)

    Past research on cyanoHABs has mostly used the oldest of microbiological techniques — microscopy — to classify the types of cyanobacteria in the gulf. This cannot differentiate between toxic and non-toxic cyanobacterial cells.

    Modern genome sequencing technologies can identify genes encoding the production of known and novel toxins and other molecules of interest, such as those with medicinal properties. Genomic data from African Great Lakes is scarce, so the chemical capabilities of bacteria in this region are largely unexplored. But this is beginning to change.

    Our latest study adds to a growing number of recent studies our team has carried out in and around Lake Victoria. In this study, our research vessel stopped at over 31 sites to collect scientific samples and data. The samples were later analysed for DNA, the biological “instruction manual” inside every living thing. DNA tells an organism how to grow, function, reproduce, and – in the case of cyanobacteria – make deadly toxins. This analysis produced near-complete genome sequences – that is, the set of all genes in the DNA – for organisms at each sampling site.

    Past reports identified Microcystis as the dominant cyanobacteria in the Winam Gulf. Our research, however, found Dolichospermum was the most abundant type in major cyanoHAB events there. This finding might be due to recent environmental changes in the region.

    But we linked Microcystis to microcystin. This is a liver-damaging toxin that can kill livestock, wildlife and humans, especially those whose immune system isn’t working well. In Winam Gulf, it’s often more abundant than the health limits set by the WHO.

    Our study also found that Microcystis occurs mainly in murkier river mouths where green scums are not visible, making scientific monitoring and public alerts even more important.

    Local authorities can now monitor for these cyanobacteria and warn residents to stay away when blooms are present.

    The findings also mean that authorities know which cyanobacteria to target in prevention efforts like reducing the amount of phosphorus and other nutrients entering the gulf.

    Lastly, our genomic study uncovered over 300 uncharacterised genes that may produce novel cyanobacterial molecules. These molecules could have toxic or therapeutic effects, and provide an opportunity for future investigators to explore.

    A model for what is to come

    Rapid human population growth and settlement around lakes and their watersheds is leading to high levels nutrients in lakes around the world. This results in excessive growth of algae and aquatic plants. This danger is likely to increase with global warming because warm temperatures promote algal blooms.

    Our data provides a foundation for remedying this in Lake Victoria – and possibly discovering beneficial properties in cyanoHABs.

    – Lake Victoria is turning green – the deadly bacteria behind it
    – https://theconversation.com/lake-victoria-is-turning-green-the-deadly-bacteria-behind-it-249298

    MIL OSI Africa –

    February 14, 2025
  • MIL-OSI Global: Sam Kerr verdict: what it means for law in the UK and the star athlete’s soccer career

    Source: The Conversation – Global Perspectives – By Megan McElhone, Senior Lecturer in Criminology, Monash University

    A London court has found Sam Kerr not guilty of the racially aggravated harassment of Metropolitan Police officer Stephen Lovell.

    As captain of the Australian women’s national soccer team, Kerr was widely condemned when news broke she had used a “racial slur” against an officer during an altercation.

    The high-profile incident sparked debate across the globe.

    Initially, former Australian soccer player Craig Foster criticised Kerr’s behaviour before retracting it and publicly apologising to her.

    Meanwhile, politicians and academics argued her comments did not amount to racism given the power dynamics at play: not only is Kerr of Indian descent, but official inquiries have found the Metropolitan Police to be institutionally racist.

    Historically, police have played a role in sustaining colonialism, racism and white supremacy. Calling Kerr’s words racist overlooks that they don’t accord with an entrenched, global system of power.

    What happened that night?

    Kerr has maintained she and her partner – United States’ women’s national team player Kristie Mewis – believed they were being kidnapped by a cab driver.

    He refused to let them out of the cab after Kerr vomited, taking them to Twickenham police station instead of their destination.

    There, Mewis broke the cab window in an attempt to get out of the vehicle.

    At the station, Kerr reportedly appealed to officers to “understand the emergency that both of us felt”, referencing the 2021 abduction, rape and murder of Sarah Everard by a Metropolitan Police officer.

    The commissioned inquiry into Everard’s murder characterised the Metropolitan Police as institutionally racist, misogynistic and homophobic.

    However, Kerr soon faced an allegation of racism after becoming distressed and antagonistic towards the officers.

    Believing they were siding with the cab driver after forming negative preconceptions because of her skin colour, she repeated “you guys are stupid and white, you guys are fucking stupid and white”.

    What are the legal ramifications in the UK?

    Kerr pleaded not guilty to the offence of intentionally causing harassment, alarm, or distress to another by using threatening, abusive, or insulting words under Section 4A of the Public Order Act 1986, and to the racial aggravation of the offence per the Crime and Disorder Act 1998.

    She faced a maximum sentence of two years’ imprisonment and an unlimited fine.

    Kerr accepted she used the words “fucking stupid and white”. But it still had to be proven she intended and caused harassment, alarm, or distress to Lovell and that the offence was racially motivated.

    Initially, the Crown Prosecution Service concluded there was not enough evidence to charge Kerr.

    But after receiving a request from the Metropolitan Police to review the case, and a new statement from Lovell about Kerr’s words making him feel “belittled” and “upset”, they authorised police to charge the athlete.

    A jury found her not guilty after a seven-day trial.

    Broadly speaking, public order offences criminalise words and behaviour that might breach the peace. Police have significant discretion to use these offences as tools to regulate people’s uses of public space.

    In Australia and the UK, police have been shown to use these powers in discriminatory ways.

    Kerr has conceded her behaviour was regrettable but the charge against her is difficult to align with the purpose of public order legislation.

    What does it mean for Kerr’s soccer career?

    It is unclear what this verdict means for Kerr’s career.

    Her English club, Chelsea, is anticipating she will return from a long-term knee injury soon.

    It is possible the club was kept in the loop about Kerr’s altercation with police from the beginning, as she reportedly threatened to involve its lawyers in the body-cam footage shown at trial.

    The club is yet to make a statement about the trial or verdict.

    Football Australia is in a different position though, having been blindsided by the news Kerr had been charged by police.

    The fact Kerr is the captain of the Matildas, and the sport’s highest-profile marketing asset, adds layers of complexity to Football Australia’s decision-making.

    CEO of Football Australia James Johnson declined to weigh in on Kerr’s captaincy until her trial concluded.

    It is possible the governing body will impose a sanction, with Kerr falling afoul of clause 2.14 of their national code of conduct and ethics after being charged with a criminal offence.

    Kerr could return to the pitch later this month, but has been left out of the Matildas squad for the SheBelieves Cup in the US because of her fitness.

    With the AFC Women’s Asian Cup on the horizon, interim Matildas head coach Tom Sermanni no doubt hopes her recovery stays on track.

    Meanwhile, Kerr is yet to play under Chelsea manager Sonia Bompastor. She could prove crucial as the club chases an elusive UEFA Women’s Champions League title, but faces competition for her spot.

    Megan McElhone 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. Sam Kerr verdict: what it means for law in the UK and the star athlete’s soccer career – https://theconversation.com/sam-kerr-verdict-what-it-means-for-law-in-the-uk-and-the-star-athletes-soccer-career-249153

    MIL OSI – Global Reports –

    February 14, 2025
  • MIL-OSI Global: Hate speech on X surged for at least 8 months after Elon Musk takeover – new research

    Source: The Conversation – Global Perspectives – By Michael Jensen, Associate professor, Institute for Governance and Policy Analysis, University of Canberra, University of Canberra

    Kemarrravv13/Shutterstock

    Hate speech on X was consistently 50% higher for at least eight months after tech billionaire Elon Musk bought the social media platform, new research has found.

    The research looked at the prevalence of overt hate speech including a wide range of racist, homophobic and transphobic slurs.

    The study, published today in PLOS ONE, was conducted by a team of researchers led by Daniel Hickney from the University of California, Berkeley.

    It clearly demonstrates how a platform initially invented to help friends and family stay in touch has now metamorphosed into a place where hate speech is prolific. This is especially concerning given hate speech online has been linked to violent hate crimes offline.

    A long list of promises

    On October 27 2022, Musk officially purchased X (then known as Twitter) for US$44 billion and became its CEO. His takeover was accompanied by promises to reduce hate speech on the platform and tackle bots and other inauthentic accounts.

    But after he bought X, Musk made several changes to the platform to reduce content moderation. For example, in November 2022 he fired much of the company’s full time workforce. He also fired outsourced content moderators who tracked abuse on X, despite research showing social medial platforms with high levels of content moderation contain less hate speech.

    The following month, Musk also disbanded the platform’s Trust and Safety Council – a volunteer advisory group of independent human rights leaders and academics formed in 2016 to fight hate speech and other problems on the platform.

    Previous research has shown hate speech increased on X immediately after Musk took over. So too did the prevalence of most types of bots.

    This new study is the first to show that this wasn’t an anomaly.

    Hate speech including homophobic, racist and transphobic slurs was significantly higher on X after Elon Musk bought the platform. The black lines represent standard errors.
    Hickey et al., 2025 / PLOS One

    More than 4 million posts

    The study examined 4.7 million English language posts on X from the beginning of 2022 through to June 9 2023. This period includes the ten months before Musk bought X and the eight months afterwards.

    The study measured overt hate speech, the meaning of which was clear to anyone who saw it – speech attacking identity groups or using toxic language. It did not measure covert types of hate speech, such as coded language used by some extremist groups to spread hate but plausibly deny doing so.

    As well as measuring the amount of hate speech on X, the study also measured how much other users engaged with this material by liking it.

    The researchers’ access to X data was cut off during the study due to a policy change by the platform, replacing free access to approved academic researchers with payment options which are generally unaffordable. This significantly hampered their ability to collect sample posts. But they don’t mention whether it affected their results.

    A clear increase in hate

    The study found “a clear increase” in the average number of posts containing hate speech following Musk’s purchase of X. Specifically, the volume of posts containing hate speech was “consistently” 50% higher after Musk took over X compared to beforehand – a jump from an estimated average of 2,179 to 3,246 posts containing hate speech per week.

    Transphobic slurs saw the highest increase, rising from an average of roughly 115 posts per week before Musk’s acquisition to an average of 418 afterwards.

    The level of user engagement with posts containing hate speech also increased under Musk’s watch. For example, the weekly rate at which hate speech content was liked by users jumped by 70%.

    The researchers say these results suggest either hate speech wasn’t taken down, hateful users became more active, the platform’s algorithm unintentionally promoted hate speech to users who like such content – or a combination of these possibilities.

    The study also detected no decrease in the activity of inauthentic accounts on X. In fact, it found a “potential increase” in the number of bot accounts partly based on a large upswing in posts promoting cryptocurrency, which are typically associated with bots.

    An important data-driving deep dive

    There were a number of limitations to the study. For example, it only measured hate speech posts in English, which accounts for only 31% of posts on the platform.

    Even so, the study is an important, data-driven deep dive into the state of X. It shows it is a platform where hate speech is prolific. It also shows Musk has failed to fulfil his earlier promises to address problems on X such as hate speech and bot activity.

    As Musk himself said at the White House earlier this week: “Some of the things I say will be incorrect and should be corrected”.

    Michael Jensen receives funding from the Australian Research Council, Bayer, and the Australian Department of Defence Science and Technology Group.

    – ref. Hate speech on X surged for at least 8 months after Elon Musk takeover – new research – https://theconversation.com/hate-speech-on-x-surged-for-at-least-8-months-after-elon-musk-takeover-new-research-249603

    MIL OSI – Global Reports –

    February 14, 2025
  • MIL-OSI Global: Lake Victoria is turning green – the deadly bacteria behind it

    Source: The Conversation – Africa – By Lauren Hart, PhD candidate, Michigan Geomicrobiology Lab, University of Michigan

    Lakes, natural and man-made, provide water, food and habitats for wildlife, as well as supporting local economies. Around the world, though, there’s a growing threat to lakes: toxic bacteria which turn the water green.

    This is the same green as you see on stagnant ponds. It’s caused by tiny organisms called cyanobacteria and can be deadly.

    Cyanobacteria thrive in warm, sunny lakes and ponds that contain excess nitrogen and phosphorus nutrients derived from fertiliser, manure and sewage. When conditions are right, cyanobacteria multiply rapidly and form smelly green scums on the water’s surface.

    Known to science as cyanoHABs (cyanobacterial harmful algal blooms), the scums are harmful to livestock, wildlife, pets, people and aquatic organisms like fish. Toxins make untreated water unsafe to drink, swim in, or even touch. Sometimes they can become suspended in air and be inhaled. The cyanoHABs also harm ecosystems by depleting oxygen, killing off whatever lives in the water, and disrupting food webs and fisheries.

    CyanoHABs are a global threat and receive considerable scientific attention in North America and Europe. Blooms are becoming more widespread worldwide because rising temperatures promote cyanobacterial growth and more intense rainfall delivers nutrients from the landscape. Only effective management of nutrients can reverse this trend.

    The problem is understudied in Africa’s main lakes, including its largest – Lake Victoria. Past research on cyanoHABs has mostly used microscopy to study the kinds found there, but microscopy cannot differentiate between toxic and non-toxic cyanobacterial cells.

    We are on a large project team of scientists who have been studying the socioeconomic and environmental effects of cyanoHABs in the Winam Gulf region of Lake Victoria in south-western Kenya.

    Our latest study identified which cyanobacteria were the most abundant in the gulf and which ones were producing the main toxin of concern.

    These findings can improve public safety:

    • local authorities can monitor for specific cyanobacteria and warn residents to stay away when blooms are present

    • cyanoHAB prevention practices (nutrient reduction, land-use practices) can target the cyanobacteria that cause the problem.

    Greening of lakes

    Lake Victoria now receives large influxes of nutrients because of growing lakeside populations and land-use changes. Nutrients from agriculture, industry and urbanisation fuel the growth of cyanoHABs.

    CyanoHABs occur in many basins in Lake Victoria but are highly concentrated in Kenya’s shallow Winam/Nyanza Gulf. Changing nutrient and temperature conditions can also alter which types of cyanobacteria dominate the gulf and the types and levels of toxins in the water. Lakeside communities that rely on the gulf for drinking water and domestic tasks are at risk of exposure to cyanoHAB toxins.

    Past research on cyanoHABs has mostly used the oldest of microbiological techniques — microscopy — to classify the types of cyanobacteria in the gulf. This cannot differentiate between toxic and non-toxic cyanobacterial cells.

    Modern genome sequencing technologies can identify genes encoding the production of known and novel toxins and other molecules of interest, such as those with medicinal properties. Genomic data from African Great Lakes is scarce, so the chemical capabilities of bacteria in this region are largely unexplored. But this is beginning to change.

    Our latest study adds to a growing number of recent studies our team has carried out in and around Lake Victoria. In this study, our research vessel stopped at over 31 sites to collect scientific samples and data. The samples were later analysed for DNA, the biological “instruction manual” inside every living thing. DNA tells an organism how to grow, function, reproduce, and – in the case of cyanobacteria – make deadly toxins. This analysis produced near-complete genome sequences – that is, the set of all genes in the DNA – for organisms at each sampling site.

    Past reports identified Microcystis as the dominant cyanobacteria in the Winam Gulf. Our research, however, found Dolichospermum was the most abundant type in major cyanoHAB events there. This finding might be due to recent environmental changes in the region.

    But we linked Microcystis to microcystin. This is a liver-damaging toxin that can kill livestock, wildlife and humans, especially those whose immune system isn’t working well. In Winam Gulf, it’s often more abundant than the health limits set by the WHO.

    Our study also found that Microcystis occurs mainly in murkier river mouths where green scums are not visible, making scientific monitoring and public alerts even more important.

    Local authorities can now monitor for these cyanobacteria and warn residents to stay away when blooms are present.

    The findings also mean that authorities know which cyanobacteria to target in prevention efforts like reducing the amount of phosphorus and other nutrients entering the gulf.

    Lastly, our genomic study uncovered over 300 uncharacterised genes that may produce novel cyanobacterial molecules. These molecules could have toxic or therapeutic effects, and provide an opportunity for future investigators to explore.

    A model for what is to come

    Rapid human population growth and settlement around lakes and their watersheds is leading to high levels nutrients in lakes around the world. This results in excessive growth of algae and aquatic plants. This danger is likely to increase with global warming because warm temperatures promote algal blooms.

    Our data provides a foundation for remedying this in Lake Victoria – and possibly discovering beneficial properties in cyanoHABs.

    Lauren Hart receives funding from National Institute of Health.

    George S Bullerjahn receives funding from the National Science Foundation.

    Gregory J. Dick receives funding from the National Science Foundation, the National Oceanic and Atmospheric Administration, the National Institutes for Health, and the US Geological Survey.

    Kefa M. Otiso receives funding from the US National Science Foundation.

    – ref. Lake Victoria is turning green – the deadly bacteria behind it – https://theconversation.com/lake-victoria-is-turning-green-the-deadly-bacteria-behind-it-249298

    MIL OSI – Global Reports –

    February 14, 2025
  • MIL-OSI: DriveItAway Holdings, Inc. Secures a Credit Line Guaranty of 4 Million Dollars from Industry Leader Menachem Light, Who Will Chair the Board of Advisors

    Source: GlobeNewswire (MIL-OSI)

    Philadelphia, PA, Feb. 13, 2025 (GLOBE NEWSWIRE) —

    –    The Credit Line Guaranty of $4 Million is to Further the DriveItAway Mission to Solve the Personal Transportation Problem of Entry Level Employees in the U.S., and Supply Vehicles for its Small Commercial Enterprises, by Enabling Individuals and Small Businesses the Ability to Drive and Then Buy Quality Vehicles on the DriveItAway all Digital Flexible Lease Subscription Mobility Platform

    –    The Funding Guaranty is from Fleet and Mobility Technology Leader Menachem Light, the Co-Founder of Voyager Global Mobility (VGM) the innovative mobility supply company that provides professionally managed vehicles in North America to driver and software company partners through its internally operated companies and its wholly owned subsidiaries Buggy TLC (United States), FastTrack Leasing TLC (United States) and Mi Nave (Mexico)

    –    Menachem Light will immediately Chair DriveItAway Holdings Inc.’s newly created Board of Advisors, as the Company Broadens its Resources with Leaders with Deep Industry Expertise,

    DriveItAway Holdings, Inc. ( OTC Marketplace: DWAY) (“DriveItAway” and “Company”), an automotive industry leader in new digital mobility platforms with its unique “micro-lease/subscription to purchase” technology, continues to gain traction and visibility in its mission to enable all to drive, and then buy, affordable quality personal transportation, announces today the closing of a four million dollar credit line funding guaranty from Menachem Light, a noted national leader in the vehicle rental industry. He has also agreed to serve on the Company’s Board of Advisors as Chairman.

    Menachem Light, is the Co-Founder of Voyager Global Mobility (VGM), a growing mobility supply company that provides professionally managed vehicles in North America to driver and software company partners on the trillion-dollar asset side of the smart mobility industry: ride-hailing, on-demand travel, and car sharing. Through its internally operated companies and its wholly owned subsidiaries Buggy TLC (United States), FastTrack Leasing TLC (United States) and Mi Nave (Mexico), and partners closely with Uber, Lyft, Via, Didi, Turo and Getaround as it efficiently grows its market share in this hyper-fragmented supply industry.

    DriveItAway will use the credit guaranty to increase its own company-owned fleet, operating on its unique app-based digital platform that easily and transparently provides vehicle subscriptions, long-term rentals and flexible leases to individuals, and now small businesses, regardless of credit score, credit history or cash down payment.

    “According to Deloitte’s 2025 Global Automotive Consumer Study, 44% of 18-34 year olds in the US are somewhat or very interested in giving up vehicle ownership for subscription model, yet very few car dealerships offer vehicle subscriptions or flexible leases as an option,” says John F. Possumato, Founder & CEO of DriveItAway Holdings, Inc., “While we are fundamentally a turnkey Software as a Service for car dealerships who want to offer vehicle subscriptions and flexible leases to all prospects (including those who ‘fall of the buying grid’ due to a poor credit scores), increasing our own fleet of vehicles serves not only to increase revenues and continues to improve our technology, but also acts as an ‘open book’ example to our chosen supplier car dealer partners that may be interested in using our platform to provide this turnkey service with their own inventory, as a unique competitive advantage for gaining new potential vehicle prospects who are looking for such a service but who currently are not being offered this option – we don’t just offer SaaS, we put ‘our money where our mouth is’ in demonstrating, first hand, the returns and advantages.”   

    “As outlined in my ‘Year End Message to Shareholders’ last month, we believe that we are at the forefront of a massive opportunity for our new automotive retailing technology to solve the needs of a vast number of people and small businesses, and one of our goals for the new year is to work and be guided by the very best in our sector of the industry to reach our true potential,” continues Possumato, “which is why I am the most pleased and excited to announce that Menachem Light, a true industry icon, has agreed to Chair our newly created Board of Advisors to help us with long-term strategy and growth. We are very fortunate that Menachem will help us achieve and fully leverage the massive opportunity we see ahead.”

    “As one of the original three co-founders of Buggy, which grew from just one vehicle in New York City to over 14,000 vehicles globally, I believe that I can truly help DriveItAway on this path to scale,” says Menachem Light, Co-Founder of Voyager Global Mobility. “I think there is tremendous opportunity here as the way people ‘acquire’ personal transportation begins to change, and DriveItAway provides the technology needed to enable all automotive retailers to adapt to these changes, which is why I am ‘all in’ in helping John and his team at DriveItAway achieve and leverage this tremendous scalable business.”

    “Menachem Light, Co-Founder of Voyager Global Mobility, and I are scheduled as guests on an upcoming episode of ‘The EVs for Everyone Podcast‘ with Elena Ciccotelli, to discuss the future developments of automotive fleet and retailing technologies and where EVs fit into the mix,” notes Possumato.

    DriveItAway will be filing its annual 10K for the fiscal year ending September 30, 2024, and the Quarterly Report for the First Quarter December 31, 2024, in the near future.

    Download the DriveItAway app today at DriveItAway.

    About DriveItAway Holdings, Inc.

    DriveItAway Holdings, Inc. is the first national dealer-focused mobility platform that enables car dealers to sell more vehicles in a seamless way through eCommerce, with its exclusive “Pay as You Go” app-based subscription. DriveItAway provides a comprehensive turn-key, solutions-driven program with proprietary mobile technology and driver app, insurance coverages, and training to get dealerships up and running quickly and profitably in emerging online sales opportunities, to gain sales and market share.

    Cautionary Statement Regarding Forward-Looking Statements

    This press release may contain forward-looking statements within the meaning of the federal securities laws. Forward-looking statements relate to expectations, beliefs, projections, future plans and strategies, anticipated events or trends and similar expressions concerning matters that are not historical facts. In some cases, you can identify forward-looking statements by the use of forward-looking terminology such as “may,” “will,” “should,” “expects,” “intends,” “plans,” “anticipates,” “believes,” “estimates,” “predicts,” or “potential” or the negative of these words and phrases or similar words or phrases which are predictions of or indicate future events or trends and which do not relate solely to historical matters. Forward-looking statements involve known and unknown risks, uncertainties, assumptions and contingencies, many of which are beyond our control, and may cause actual results to differ significantly from those expressed in any forward-looking statement. All forward-looking statements reflect our good faith beliefs, assumptions, and expectations, but they are not guarantees of future performance. We caution investors not to unduly rely on any forward-looking statements. The forward-looking statements speak only as of the date of this press release.

    The MIL Network –

    February 14, 2025
  • MIL-OSI Africa: Michael Mosoeu Moerane was a pioneering composer in South Africa. A new book is restoring his place in history

    Source: The Conversation – Africa – By Gwen Ansell, Associate of the Gordon Institute for Business Science, University of Pretoria

    Composer and educator Michael Mosoeu Moerane (1904-1980) is probably best known for a few evergreen choral works, including Della and Sylvia, still sung by choirs across South Africa today.

    And, of course, for his orchestral piece FatŠe laHeso (My Country). It had the distinction of being recorded by both the British and South African public broadcasters in an era when white minority rule denied even the existence of Black classical musicians.

    Moerane teaches his son to play piano. Wits University Press

    Apartheid held the identity of Black people in South Africa to be unchangeingly simple, rural and tribal. Sophisticated activities such as orchestral composing were both beyond their capacity and dangerously subversive.

    But, as South African author and music scholar Christine Lucia’s biography of Moerane, The Times Do Not Permit, reveals, there was more to Moerane’s work than those few compositions. And a far more nuanced relationship with his oppressive political times. Moerane was vocal against the system, yet secured white university supervision. He was consulted by white ethnomusicologists. Yet still he was stereotyped and confined by apartheid rules.

    I am a researcher into South African jazz and other genres and a teacher of writing. (Jazz, incidentally, was a genre that Moerane detested.) From my own work, I recognise many similarities between his story and the lives of jazz musicians I have studied: genteel homes with a piano in the parlour; after-dinner family music hours; the risk of instant dismissal for schoolteachers heard discussing anti-apartheid politics.

    I recognise, too, the gaps in his music story that Lucia finds: the questions that scholars did not ask while more people were still alive to answer them.


    Read more: Mzilikazi Khumalo: a stellar Zulu, African, Pan African and cosmopolitan composer


    Her book matters because, at last, it asks and answers those questions. In how it assembles the answers, it helps us to start mapping the undiscovered continent of Black classical music under apartheid.

    The book’s nearly 300 pages offer a detailed account of Moerane’s life, based on research and conversations with family and still-living contemporaries.

    Lucia takes us through Moerane’s various roles in turn (student, teacher, choralist and more). It also analyses his compositions and their treatment of themes that range from spirituality and tradition to love and loss.

    A reader can view Moerane’s life though these different lenses; together they add up to an intricate, multidimensional portrait.

    Who was Michael Moerane?

    Born in the Eastern Cape province and educated there and in neighbouring Basutoland (today Lesotho), Moerane stitched a music-teaching career together that moved between the two countries.

    The Peka High School Orchestra and Moerane (front centre) in 1965. Courtesy Sophia Metsekae Moerane/Marumo Moerane

    His own radical Africanist politics, the activism of family members, his marriage across apartheid-defined ethnic barriers (he was Sotho, his wife Xhosa) and the simple fact of being a Black composer exploring unconventional, modernist music meant he was often in the sights of repressive authorities in both countries. Lowering his profile every now and then (a new school, a more obscure place to live) was his best protection.

    There’s real fear in some of his letters that all these moves would mean his written compositions would be lost or scattered. Yet remarkably, through all this, he managed to hold a family together, establish music ensembles and a reputation, and graduate with a music degree from the University of South Africa in 1941, a time when it was almost unknown for Black South Africans to receive a university education outside segregated black colleges. He was supported, through a unique arrangement, by supervision from the all-white Rhodes University College in his home province.

    His external examiner, William Henry Bell, said of FatŠe laHeso (Moerane’s examination piece) that he “never had expected such a work to be written in South Africa and less so by a Native”.

    Moerane’s A General Note on Modern Music, in his own handwriting. Courtesy Neo Mahase Moerane

    Lucia’s account of how Moerane got there, and of the many compositions and long music teaching career that followed, is made even clearer through a rich variety of material. There are geographical, historical and musical road-maps, extracts from his manuscripts, evocative photographs of people and places, and probably the most complete catalogue of Moerane’s works to date.

    The catalogue was put together from both archive records and fragments of sheet music surviving in the family piano-stool, where they were stored. It’s a poignant reminder of how much Black South African history is no longer available because of how apartheid repeatedly uprooted people and communities, with little chance to save family memorabilia.

    White minority rule didn’t only restrict where Black South Africans could live and work but even how they could learn music. Tuition for Black music students was limited to writing in tonic sol-fa (doh-re-mi) notation. Excluded from the notation used in classical music, composers and performers who would have occupied concert stages were limited to community choirs and brass bands. That was part of Moerane’s story too.

    Moerane’s Sylvia is still performed by choirs today.

    His life matters because of all this.

    A masterful book

    The book traces the defiant survival and originality of this important figure and restores him in the country’s history. It adds detail and clarification to what was already known. It corrects confusions about dates and place names. If that were all the book had done, it would already have been a worthwhile contribution.

    But Lucia’s way of telling the story adds significantly more. It brings Moerane alive through the texture of human voices and human detail, creating a read that is academic but far from dry. We hear, for example, his children recalling how strict he was during daily piano practice: “You would scramble to get a slot when my father wasn’t at home.”

    The African Springtime Orchestra, 1952. Moerane stands at the back, his wife Betty seated. Courtesy Sophia Metsekae Moerane/Marumo Moerane/Jonathan Ball Publishers

    But more: South African music under apartheid is often shown as the “soundtrack” to history. Or often the history is seen as mere “background” to the music. But Moerane’s music was not a soundtrack to history: it was part of history. His times were not a background to his music, they were an ingredient. Not so much because of the work but because of who he chose to be – and who he could not be.

    The title, The Times Do Not Permit, is taken from a 1966 letter written by Moerane to music academic Percival Kirby, in polite response to a request for detailed information about his life:

    Please be satisfied with the bare statement that the times do not permit.

    That may seem cryptic to anybody who has not felt the iron heel of state repression. For those who have, it’s obvious: the more the authorities know about you, the more power they have over you.


    Read more: An African violin? New study tests which indigenous woods could make one


    So Lucia’s book allows us to enter a world that is distant from today’s experience and rejoice that such a full life was led and that now we know about it. But it also forces us to mourn the opportunities lost for him – and by earlier scholars looking into his life. How many other Black South African musicians have had their lives and legacies obscured like Michael Mosoeu Moerane’s was?

    – Michael Mosoeu Moerane was a pioneering composer in South Africa. A new book is restoring his place in history
    – https://theconversation.com/michael-mosoeu-moerane-was-a-pioneering-composer-in-south-africa-a-new-book-is-restoring-his-place-in-history-248948

    MIL OSI Africa –

    February 14, 2025
  • MIL-OSI Global: Michael Mosoeu Moerane was a pioneering composer in South Africa. A new book is restoring his place in history

    Source: The Conversation – Africa – By Gwen Ansell, Associate of the Gordon Institute for Business Science, University of Pretoria

    Composer and educator Michael Mosoeu Moerane (1904-1980) is probably best known for a few evergreen choral works, including Della and Sylvia, still sung by choirs across South Africa today.

    And, of course, for his orchestral piece FatŠe laHeso (My Country). It had the distinction of being recorded by both the British and South African public broadcasters in an era when white minority rule denied even the existence of Black classical musicians.

    Apartheid held the identity of Black people in South Africa to be unchangeingly simple, rural and tribal. Sophisticated activities such as orchestral composing were both beyond their capacity and dangerously subversive.

    But, as South African author and music scholar Christine Lucia’s biography of Moerane, The Times Do Not Permit, reveals, there was more to Moerane’s work than those few compositions. And a far more nuanced relationship with his oppressive political times. Moerane was vocal against the system, yet secured white university supervision. He was consulted by white ethnomusicologists. Yet still he was stereotyped and confined by apartheid rules.

    I am a researcher into South African jazz and other genres and a teacher of writing. (Jazz, incidentally, was a genre that Moerane detested.) From my own work, I recognise many similarities between his story and the lives of jazz musicians I have studied: genteel homes with a piano in the parlour; after-dinner family music hours; the risk of instant dismissal for schoolteachers heard discussing anti-apartheid politics.

    I recognise, too, the gaps in his music story that Lucia finds: the questions that scholars did not ask while more people were still alive to answer them.




    Read more:
    Mzilikazi Khumalo: a stellar Zulu, African, Pan African and cosmopolitan composer


    Her book matters because, at last, it asks and answers those questions. In how it assembles the answers, it helps us to start mapping the undiscovered continent of Black classical music under apartheid.

    The book’s nearly 300 pages offer a detailed account of Moerane’s life, based on research and conversations with family and still-living contemporaries.

    Lucia takes us through Moerane’s various roles in turn (student, teacher, choralist and more). It also analyses his compositions and their treatment of themes that range from spirituality and tradition to love and loss.

    A reader can view Moerane’s life though these different lenses; together they add up to an intricate, multidimensional portrait.

    Who was Michael Moerane?

    Born in the Eastern Cape province and educated there and in neighbouring Basutoland (today Lesotho), Moerane stitched a music-teaching career together that moved between the two countries.

    His own radical Africanist politics, the activism of family members, his marriage across apartheid-defined ethnic barriers (he was Sotho, his wife Xhosa) and the simple fact of being a Black composer exploring unconventional, modernist music meant he was often in the sights of repressive authorities in both countries. Lowering his profile every now and then (a new school, a more obscure place to live) was his best protection.

    There’s real fear in some of his letters that all these moves would mean his written compositions would be lost or scattered. Yet remarkably, through all this, he managed to hold a family together, establish music ensembles and a reputation, and graduate with a music degree from the University of South Africa in 1941, a time when it was almost unknown for Black South Africans to receive a university education outside segregated black colleges. He was supported, through a unique arrangement, by supervision from the all-white Rhodes University College in his home province.

    His external examiner, William Henry Bell, said of FatŠe laHeso (Moerane’s examination piece) that he “never had expected such a work to be written in South Africa and less so by a Native”.

    Lucia’s account of how Moerane got there, and of the many compositions and long music teaching career that followed, is made even clearer through a rich variety of material. There are geographical, historical and musical road-maps, extracts from his manuscripts, evocative photographs of people and places, and probably the most complete catalogue of Moerane’s works to date.

    The catalogue was put together from both archive records and fragments of sheet music surviving in the family piano-stool, where they were stored. It’s a poignant reminder of how much Black South African history is no longer available because of how apartheid repeatedly uprooted people and communities, with little chance to save family memorabilia.

    White minority rule didn’t only restrict where Black South Africans could live and work but even how they could learn music. Tuition for Black music students was limited to writing in tonic sol-fa (doh-re-mi) notation. Excluded from the notation used in classical music, composers and performers who would have occupied concert stages were limited to community choirs and brass bands. That was part of Moerane’s story too.

    Moerane’s Sylvia is still performed by choirs today.

    His life matters because of all this.

    A masterful book

    The book traces the defiant survival and originality of this important figure and restores him in the country’s history. It adds detail and clarification to what was already known. It corrects confusions about dates and place names. If that were all the book had done, it would already have been a worthwhile contribution.

    But Lucia’s way of telling the story adds significantly more. It brings Moerane alive through the texture of human voices and human detail, creating a read that is academic but far from dry. We hear, for example, his children recalling how strict he was during daily piano practice: “You would scramble to get a slot when my father wasn’t at home.”

    But more: South African music under apartheid is often shown as the “soundtrack” to history. Or often the history is seen as mere “background” to the music. But Moerane’s music was not a soundtrack to history: it was part of history. His times were not a background to his music, they were an ingredient. Not so much because of the work but because of who he chose to be – and who he could not be.

    The title, The Times Do Not Permit, is taken from a 1966 letter written by Moerane to music academic Percival Kirby, in polite response to a request for detailed information about his life:

    Please be satisfied with the bare statement that the times do not permit.

    That may seem cryptic to anybody who has not felt the iron heel of state repression. For those who have, it’s obvious: the more the authorities know about you, the more power they have over you.




    Read more:
    An African violin? New study tests which indigenous woods could make one


    So Lucia’s book allows us to enter a world that is distant from today’s experience and rejoice that such a full life was led and that now we know about it. But it also forces us to mourn the opportunities lost for him – and by earlier scholars looking into his life. How many other Black South African musicians have had their lives and legacies obscured like Michael Mosoeu Moerane’s was?

    Gwen Ansell 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. Michael Mosoeu Moerane was a pioneering composer in South Africa. A new book is restoring his place in history – https://theconversation.com/michael-mosoeu-moerane-was-a-pioneering-composer-in-south-africa-a-new-book-is-restoring-his-place-in-history-248948

    MIL OSI – Global Reports –

    February 14, 2025
  • MIL-OSI Global: Can the president really kill off the penny – and should he?

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

    In the middle of Super Bowl LIX, President Donald Trump posted on social media that he was getting rid of the penny. Since the lowly penny in 2024 cost about 3.7 cents to make – meaning the government loses money on every coin – the announcement might seem practical at first glance. But does the president have the power to kill off the penny?

    I’m a business school professor and a longtime advocate for physical money who has written op-eds supporting the penny in The Wall Street Journal and CNN. My forthcoming book, “The Power of Cash,” explores the many advantages of using old-fashioned currency. Yet inflation has slashed the value of the penny by a third in just the past decade, and even I now admit that its time is up.

    But eliminating the penny via a social media post isn’t just legally dubious. It could cause more problems than it solves.

    The penny problem

    Critics see the penny as a shining example of government waste. Last year, the U.S. Mint lost US$85 million making pennies, according to the bureau’s annual report. It also lost about $18 million minting nickels. Now, to be clear, just because the mint didn’t make money on pennies or nickels doesn’t mean it’s losing money overall. In 2024, the mint earned a profit of about $100 million making the country’s pocket change. Still, $85 million is no small sum.

    Meanwhile, public opinion on the penny is split. Some surveys show support for it, but it has plenty of opponents. Many of my students cite carrying around “nuisance coins” like the penny as a reason for switching away from using cash.

    The good news, for those who dislike the penny, is that the coin is disappearing on its own. The U.S. Mint has made about 5 billion pennies annually throughout the 2020s — down from about 11 billion each year in the 1990s. So far in 2025, it has only made about a quarter of a million pennies.

    But is it legal?

    Setting aside people’s feelings toward the penny, the problem with the president’s order, I think, is that only Congress can change the type of coins the mint produces.

    To be fair, some defenders of the president’s order believe his actions are legal. But the U.S. Constitution’s Article 1, Section 8 – which gives Congress the power to do important things like levy taxes, pay debts and declare war – also authorizes Congress “to coin money.”

    Now the phrase “to coin money” is vague. To fix that, the United States’ second Congress passed the Coinage Act of 1792, which was signed into law by President George Washington. The act, which lays out how the mint operates and what it produces, says it must produce “Cents – each to be of the value of the one hundredth part of a dollar, and to contain eleven penny-weights of copper.”

    Congress can modify this act anytime it wants – and it has. The 1792 act also required the mint to produce “Half Cents – each to be of the value of half a cent.” These coins were eliminated in 1857 by an act of Congress. Similarly, before 1965, many U.S. coins were made out of silver. After a 1965 congressional amendment to the act passed, they were made out of a cheaper composite.

    And lawmakers have tried several times to eliminate the penny. In 1989, for example, Arizona Rep. Jim Hayes proposed the Price Rounding Act, which called for cash purchases to be rounded to the nearest nickel. It didn’t pass. More recently, in 2017, Republican Senator John McCain introduced the COINS act, which would have eliminated the minting of pennies. The bill also proposed switching the paper one-dollar bill to a metal coin. It, too, didn’t pass.

    What happens if pennies go?

    Since Congress has failed to eliminate the penny in the past, Trump is trying to do so via a direct order to the Treasury secretary. However, many of Trump’s actions are being challenged in court. For the sake of argument, let’s assume no one challenges the order to kill off production of the penny.

    A big problem remains. Even if the U.S. stopped making pennies, they’d remain legal tender and people would still need them as change. In simple terms, the supply would change, but not the demand.

    Past efforts to phase out the penny have tried to deal with this problem by requiring rounding, but Trump’s effort doesn’t do this. I think it’s entirely possible that people opposed to Trump would organize national “Demand your penny in change” days in an attempt to embarrass the president.

    The U.S. government loses less than $10 million a month minting pennies. In theory, Congress could pass legislation eliminating the penny and requiring rounding within a month or two. The cost to the government for doing things legally is low. If the penny has to go, let Congress do it the right way.

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

    – ref. Can the president really kill off the penny – and should he? – https://theconversation.com/can-the-president-really-kill-off-the-penny-and-should-he-249825

    MIL OSI – Global Reports –

    February 14, 2025
  • MIL-OSI Global: Syria’s mass graves: Accounting for the dead and disappeared is crucial for the nation to heal

    Source: The Conversation – USA – By Stefan Schmitt, Project Lead for International Technical Forensic Services Global Forensic Justice Center, Florida International University

    Shortly after the fall of Bashar Assad in Syria in December 2024, reports emerged of mass graves being uncovered in liberated areas.

    Grim as such discoveries are, they should come as little surprise. The scale of the regime’s torture and killings in its detention facilities became evident years earlier, when in January 2014 a forensic photographer defected and left the country with a cache of 55,000 photos of people who had been tortured and died in detention.

    As an expert in forensic anthropology and mass casualties in conflict, I was asked to evaluate what became known as the “Caesar photographs.” What was clear to me then, and is even more so now, is that those photos represented a systematic approach to torturing, killing and disappearing massive numbers of people by the Assad regime.

    With Assad now gone, the newly formed government of the Islamist group Hayat Tahrir al-Sham has vowed to seek justice for the crimes Syrians suffered under Assad. Doing so will be difficult, even with the civil war in Syria being one of the better monitored conflicts in recent history. Yet it is a task that is imperative for the sake of pursuing justice in a shattered country and reducing the likelihood of violence returning to Syria.

    Holding perpetrators to account

    Since Syria erupted into violence in 2011, several groups have been collecting evidence of human rights violations. These include the Syrian Justice and Accountability Center, the Syrian Observatory for Human Rights, the Syrian Emergency Task Force and the Commission for International Justice and Accountability. Internationally, the United Nations established an International, Impartial and Independent Mechanism for Syria in 2016 to assist any investigations and prosecutions of those responsible for serious violations of international law in Syria since March 2011.

    Estimates of those killed since the start of civil conflict in 2011 range anywhere from 100,000 to over 600,000, with civilian deaths accounting for at least 160,000.

    Many of these deaths have been at the hands of the Assad regime. But different armed groups, including the al-Nusra Front and Islamic State group, have also been accused of atrocities.

    From the perspective of holding perpetrators accountable, that could complicate matters. The leader of now ruling Hayat Tahrir al-Sham is the founder of the al-Nusra Front and might not be willing to hold his group or others accountable or acknowledge the crimes of that group.

    An uncovered mass grave believed to contain the remains of civilians killed by the ousted Assad regime in Daraa, Syria.
    Bekir Kasim/Anadolu via Getty Images

    Who investigates?

    There are three dimensions of accounting for the missing following conflict. First, there is the task of identifying and repatriating the remains of those in mass graves to allow family and friends to grieve. Second, the rights of victims to know the truth about what happened to their loved ones needs to be addressed. And finally, the process needs to provide justice, accountability and reconciliation, regardless of who was responsible.

    But before this can take place, the question of who is responsible for the accounting needs to be addressed.

    Countries coming out of civil conflict have turned to different mechanisms, from truth commissions to criminal tribunals. In the former Yugoslavia and Rwanda, special U.N. courts were set up to investigate and prosecute perpetrators of grievous crimes. These tribunals were created as independent judicial bodies dedicated to investigating and prosecuting those most responsible for the crimes that had been committed during conflict.

    Guatemala, which emerged from a decades-long civil war in 1996, turned to national human rights and victim organizations to take the lead in a process of “transitional justice.” This included the Commission for Historical Clarification, which through its investigation concluded that an estimated 200,000 people had been killed.

    The nongovernmental Forensic Anthropology Foundation of Guatemala, or FAFG, has since 1993 formed a fundamental part of searching, identifying and repatriating the missing. FAFG collects personal information, DNA profiles and witness statements and is responsible for protecting the rights of victims’ families in Guatemala’s judicial system.

    Its work continues to this day.

    What crimes to include

    As to the Syrian civil war, a decision over the scope of any investigation into the disappeared and dead will likewise have to be made.

    Will it include all those missing and in mass graves in areas held by al-Nusra, the Islamic State group and other armed groups, as well as those killed by Assad? The fact that groups and individuals that now form the government could have been involved in human rights violations may risk future investigations being skewed toward just the victims of Assad.

    Even if the scope was narrowed to Assad’s crimes, it’s unclear how far back one should go. Assad rule in Syria began more than 50 years ago under Assad’s father, Hafez al Assad. And killings and disappearances date back to the elder’s time in power, including the 1982 massacre in the city of Hama in which an estimated 20,000 to 40,000 were killed.

    The role of the state

    Another fact-finding question concerns the sharing of information between civil society groups and the state.

    The information gathered on the war by various NGOs so far is technically held or “owned” by such groups, not the Syrian state. This is for a good reason, as victims trust these organizations to protect information from the perpetrators, some of whom might form part of the new government.

    The International Commission on Missing Persons, an NGO with its seat in the Netherlands, gained its reputation while identifying the dead from the conflict in the former Yugoslavia in the 1990s and early 2000s. It has already collected and stored testimonies from over 76,200 Syrian relatives of more than 28,000 missing persons and has identified 66 mass grave locations. Other organizations have similar testimonies.

    But to what extent will these groups share their data and analysis with a future Syrian state led by a rebel group that itself is accused of human rights violations, such as arbitrary detentions and torture?

    At some point, the state of Syria will need to be involved in the process. Legally and in practice, the state issues a citizen’s “civil identity” through things such as a birth certificate that establish a person with rights and responsibilities. In the same manner, the state issues death certificates in which the manner of death determines any judicial reactions – such as a criminal investigation in cases where the death is due to homicide.

    The state is also important in resolving issues such as inheritance and widower status.

    Identifying the remains from the mass graves is therefore not just a “technical” issue dependent on cutting-edge DNA laboratories and missing-persons databases. It is also something that any future Syrian state should work toward, and then own and take responsibility for.

    Shifting responsibility away from the state to an international body would not really help Syria develop its own accountability mechanisms or hold the government to delivering justice for the victims and their families.

    In my view, empowering victims in this transitional justice process needs to be a priority for the Syrian state. This includes the establishment of a transparent forensic and investigative effort to address the concerns of families searching for loved ones.

    It should not, I believe, be outsourced. From my experience with similar processes elsewhere, it is important that Syrians become “experts” in all aspects of this process. No doubt, the task will take time and searching for the truth about what happened, and will involve perpetrators and victims alike.

    It might well be a painful and painstaking process. But it is a necessary one if postconflict Syrian is to hold to account those who attempted to “erase” the identity of victims by disappearing them, burying them in mass graves, or leaving them under the bombed rubble of their neighborhoods.

    Stefan Schmitt 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. Syria’s mass graves: Accounting for the dead and disappeared is crucial for the nation to heal – https://theconversation.com/syrias-mass-graves-accounting-for-the-dead-and-disappeared-is-crucial-for-the-nation-to-heal-246400

    MIL OSI – Global Reports –

    February 14, 2025
  • MIL-OSI Global: Trump and Maduro refresh a complex relationship governed by self-interest and tainted by Venezuela election fraud

    Source: The Conversation – USA – By Paul Webster Hare, Master Lecturer and Interim Director of Latin American Studies, Boston University

    Venezuelan President Nicolas Maduro with Richard Grenell, President Donald Trump’s special envoy, in Caracas, Venezuela, on Jan. 31, 2025. Venezuela’s presidential press office, via AP

    In 2019, President Donald Trump recognized then-Venezuelan opposition leader Juan Guaidó as the country’s interim leader over Nicolás Maduro, who has ruled the country since 2013.

    The policy, which led Venezuela to officially sever ties with the United States, was consistent with the first Trump administration’s policy of maximum pressure and a desire for regime change when it came to the socialist government in Caracas.

    Fast forward six years: The early days of Trump’s second administration has seen the U.S. president negotiate with Maduro over the release of detained Americans and an apparent willingness from Venezuela to receive hundreds of thousands of its nationals being deported from the U.S.

    As a diplomat who served in Venezuela and knew Maduro’s predecessor and mentor, Hugo Chavez, I detect a subtle shift in the evolving Trump administration’s policy toward Venezuela. It’s true that the administration retains a strong dose of the anti-Maduro posture it held last time, particularly in light of Maduro’s widely denounced election fraud in 2024 and an undercurrent of antipathy in Washington toward left-wing authoritarianism in Latin America.

    But U.S.-Venezuela relations under a second Trump term are subject to other factors and dynamics, including Trump’s desire to be known for deal-making and the fulfillment of his campaign promise to deport immigrants back to Latin America. At the same time, Trump needs to balance satisfying anti-Maduro voices in his coalition with not pushing Venezuela further toward China, a country all too willing to exert greater influence in parts of Latin America.

    Deal-making and immigration

    So far, the second Trump’s administration seems to be sticking to the line of not officially recognizing Maduro and preferring his departure from the scene. It has kept sanctions on the country intact and continues to recognize Maduro’s opponent, Edmundo González, as the legitimate president-elect.

    But that hasn’t stopped the administration from pursuing negotiations. In late January, Trump’s envoy Richard Grenell visited Caracas to secure the release of six Americans accused by Venezuela of plotting to destabilize the country. Trump subsequently announced that Maduro would accept repatriation of deportations of Venezuelans in the U.S. The U.S. administration also revoked the Temporary Protected Status, a categorization prioritized by President Joe Biden, for hundreds of thousands of people who fled Maduro’s Venezuela.

    On Feb. 10, two Venezuelan planes returned home from the U.S with nearly 200 deported Venezuelan nationals, a signal that negotiations between the two nations were more than just optics. But news that the Trump administration has sent Venezuelan detainees to a U.S. military camp at Guantanamo Bay in Cuba – and is trying to send more – could yet prove a thorn in the side of any diplomatic thaw.

    Regardless, the shift in stance on Venezuela has raised eyebrows among some Republicans and Democrats alike. Their concern is that Grenell’s visit – and overtures from the White House – gives Maduro’s regime a veneer of legitimacy.

    But so long as Trump feels Venezuela under Maduro is useful to his aims of deportations, other U.S. issues with the government in Caracas are, I believe, likely to remain of secondary importance.

    Rhetoric vs. reality

    The complicated dynamic of two men, ideologically opposed but aware of the other’s usefulness, is reciprocated by Maduro. The Venezuelan leader congratulated Trump on his election victory in November, and he appears to treat his more powerful adversary with some pragmatism. But Maduro also remains willing to take a strident line rhetorically, even suggesting that Venezuela might “liberate” Puerto Rico if the U.S. keeps meddling with Venezuela’s affairs.

    Rhetoric aside, Maduro – as evidenced by his apparent willingness to deal with the new administration on hostages and immigration – is likely to pursue self-interest where possible. And he will be well aware that the survival of his rule may be tied with his country’s economic situation.

    Venezuela has been hit hard by U.S. sanctions that have been in place since 2017.

    The level of poverty in the country is estimated to be around 80% of the population. This bleak economic picture is improving slowly but is still hampered by sluggish oil production despite having vast reserves.

    Under Biden, the U.S. granted some exemptions for oil companies to work in Venezuela despite sanctions, helping the struggling export industry to recover some of its lost productivity.

    Maduro will want to see where he can work with the Trump team to continue such allowances and avoid a full embargo. But recent noises coming from the administration have been mixed on this front. On Jan. 20, Trump suggested that he may pull the plug on Venezuelan oil exports to the U.S. “We don’t have to buy their oil. We have plenty of oil for ourselves,” he said.

    Such a move would be a severe blow to Venezuela’s economy, which has benefited from increased exports to the U.S. in recent years. But the move will likely face resistance from oil producers like Chevron, the American company that has a license to operate in Venezuela.

    Election fraud and beyond

    It’s plausible Trump will be swayed by the elements of his base or administration who view Venezuela primarily in terms of a socialist authoritarian adversary to be defeated.

    In 2024, Maduro pulled off one of Latin America’s great election frauds. Computer printouts had shown the opposition campaign of González and Maria Corina Machado won the July election by a landslide. And yet, Maduro declared himself the winner with no evidence.

    Many in Trump’s circle viewed the fraudulent election as another reason for being hawkish toward the nation – a position that takes in both ideological and electoral considerations.

    Trump knows there is a strong base of anti-communist Venezuelans in Florida who want to be tough on the Cuban-aligned government of Maduro. The new U.S. administration’s deportation policy has already concerned some among this strongly Trump voting base; any relaxation on Maduro could be seen as a further “betrayal.”

    And Trump has appointed several people who have long been critical of Maduro, including his national security adviser, Mike Waltz, and Secretary of State Marco Rubio.

    Rubio, in particular, is a longtime critic of any accommodation with Venezuela. He has spoken to opposition leaders, called González the legitimate president, blasted any relaxation of sanctions and, during his confirmation hearing, labeled Maduro’s government “a narco-trafficking organization.”

    U.S. Secretary of State Marco Rubio, right, oversees a ‘seized’ sign being placed on a Venezuelan government airplane on Feb. 6, 2025.
    Mark Schiefelbein/AFP via Getty Images

    And while U.S. envoy Grenell has been shaking hands with Maduro, Rubio has been seizing the Venezuelan leader’s aircraft. On Feb. 6, the U.S. secretary of state personally oversaw its confiscation while visiting the Dominican Republic, where it had been impounded since last year.

    Competition with China

    During his first administration, Trump failed in his efforts to encourage the replacement of Maduro.

    In any case, the Venezuelan government under Maduro, like Chavez before him, has shown itself capable of withstanding U.S. pressure.

    Throwing a further wrinkle to any U.S. intentions of influencing the future of Venezuela is the role China has taken on in the country and Maduro’s increasing closeness with Beijing. In contrast to leaders in the West, China’s president, Xi Jinping, congratulated Maduro following the latter’s claim of victory in 2024. China is the leading importer of Venezuelan crude oil and has signed a series of bilateral trade and tourism pacts that have provided Maduro an economic lifeline.

    To some U.S. hawks, China’s influence with Maduro represents a breach of a long-standing vision of the U.S. as a regional hegemony, as envisioned by the Monroe Doctrine. Yet other voices within the administration – including Trump, who has spoken positively about diplomatic overtures to Beijing, or Elon Musk, who has extensive business interests in China – view the country in far different terms than predecessors.

    Ultimately, whatever path Trump chooses on relations with Venezuela is likely to be conditioned on what factions win out in his administration and which political constituencies the president is most keen to please.

    Paul Webster Hare 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. Trump and Maduro refresh a complex relationship governed by self-interest and tainted by Venezuela election fraud – https://theconversation.com/trump-and-maduro-refresh-a-complex-relationship-governed-by-self-interest-and-tainted-by-venezuela-election-fraud-248275

    MIL OSI – Global Reports –

    February 14, 2025
  • MIL-OSI Asia-Pac: Sun Dong visits Hengqin, Zhuhai

    Source: Hong Kong Information Services

    Secretary for Innovation, Technology & Industry Prof Sun Dong was in Hengqin and Zhuhai today, where he toured the Guangdong-Macao In-Depth Co-operation Zone in Hengqin, met officials, and inspected a university and two companies.

    Prof Sun’s first stop was the co-operation zone in Hengqin, with a view to speeding up the implementation of the development planning of the Hong Kong Park at the Hetao Shenzhen-Hong Kong Science & Technology Innovation Co-operation Zone.

    The tour of the Hong Kong Park project was in accordance with the spirit of the important instructions given by CPC Central Committee Hong Kong & Macao Work Office Director and State Council Hong Kong & Macao Affairs Office Director Xia Baolong, when he inspected the park.

    During an engagement session with CPC Guangdong Provincial Committee Hengqin Working Committee Deputy Secretary, Guangdong Province Hengqin Office Director and Executive Committee Deputy Director Nie Xinping, Prof Sun learnt about the in-depth planning and industry development of the co-operation zone, taking into account the development of the Hong Kong Park.

    At the Zhuhai MUST Science & Technology Research Institute in the co-operation zone, the technology chief found out more about its work in promoting the cross-boundary flow of data in the zone.

    The institute is an industry-academia-research demonstration base built by the Macau University of Science & Technology in the Greater Bay Area.

    Prof Sun also met CPC Zhuhai Municipal Committee Deputy Secretary and Zhuhai’s Acting Mayor Wu Zetong as well as the city’s Vice Mayor Huang Zhenqiu, where he introduced the Hong Kong Special Administrative Region Government’s latest policies on leading the city’s innovation and technology (I&T) development and the current developments.

    The tech chief also learnt about Zhuhai’s achievements in I&T and high-tech industrialisation. Both sides exchanged views on promoting I&T collaboration and exchanges between the two places.

    In the afternoon, Prof Sun visited the cell production workshops of the Zhuhai SoleFiori Technology Company.

    He welcomed the enterprise’s plan to expand its business in Hong Kong, which involved the technologies and productivity of new high-efficiency heterojunction solar cells and modules with low energy consumption and low carbon emissions.

    Prof Sun then proceeded to the headquarters of Gree Electric Appliances Inc of Zhuhai, a technology-based household consumer goods and industrial equipment manufacturing group.

    Apart from receiving a briefing on the group’s latest developments in quality assurance, product innovations and talent training, Prof Sun also learnt more about the self-developed industrial robots, computer numerical control machine tools, and smart warehousing products and systems developed by the group.

    MIL OSI Asia Pacific News –

    February 14, 2025
  • MIL-OSI USA: NEWS: Bipartisan Lawmakers Demand Trump Reinstate NLRB Member Wilcox

    US Senate News:

    Source: United States Senator for Vermont – Bernie Sanders

    WASHINGTON, Feb. 13 – Sen. Bernie Sanders (I-Vt.), Ranking Member of the Senate Committee on Health, Education, Labor, and Pensions (HELP), Congressional Labor Caucus Co-Chairs Reps. Mark Pocan (D-Wis.), Debbie Dingell (D-Mich.), Donald Norcross (D-N.J.) and Steven Horsford (D-Nev.), and Rep. Rosa DeLauro (D-Conn.) led every Democratic senator and a bipartisan group of 213 Representatives in urging President Trump to immediately reinstate National Labor Relations Board (NLRB) Member Gwynne Wilcox. The lawmakers called on the president to restore the NLRB’s ability to protect the rights of American workers to organize and collectively bargain, which were already impaired by understaffing at the agency, and are now effectively lost the lack of quorum on the NLRB.

    “We are writing to express our deep frustration at the unprecedented and illegal firing of National Labor Relations Board Member Gwynne Wilcox and the negative impact this will have on working people across the country,” wrote Sanders and the lawmakers. “This firing violates the National Labor Relations Act (NLRA), renders the Board unable to effectively enforce federal labor law, and profoundly undermines the independence of the agency.”

    Congress created the NLRB nearly 90 years ago as an independent, non-partisan federal agency to protect workers nationwide by enforcing the NLRA, which guarantees the rights of workers to join together in collective action, including by organizing unions, negotiating contracts, and going on strike. The lawmakers pointed to specific federal statute that restricts the president’s ability to remove NLRB members for reasons other than neglect of duty or malfeasance. They also clarified that Wilcox’s firing without a hearing or cause expressly violated that law.

    “Workers rely on the NLRB to safeguard their rights to organize and collectively bargain to better their working conditions,” continued the lawmakers. “However, by firing Member Wilcox and leaving the five-seat NLRB with only two Members, you have left the Board without a quorum and effectively shut down its decision-making ability. This simply encourages bad employers to violate the law and trample on workers’ rights, while workers subjected to illegal union-busting will face significant delays in receiving the justice to which they are entitled.”

    Since Trump fired Wilcox, grocery store workers in Philadelphia have already seen their labor rights eroded as large corporations are allowed to violate labor law with no recourse available for their employees. After Whole Foods workers voted overwhelmingly to form a union, the company, owned by billionaire Jeff Bezos, is “attempting to exploit some of the disruption Trump has caused,” according to the Washington Post, by not abiding by the outcome of the union election.

    “We urge you to reverse your decision and to immediately reinstate Member Wilcox to the NLRB to ensure that working people are afforded the protections to which they are entitled under the law,” concluded Sanders and the lawmakers.

    Read the full text of the letter here. 

    MIL OSI USA News –

    February 14, 2025
  • MIL-OSI United Kingdom: Labour ‘Knows the Price Of Everything but the Value of Nothing’

    Source: Party of Wales

    During First Minister’s Questions today (Tuesday 4th February 2025), Plaid leader Rhun ap Iorwerth MS challenged the Labour Welsh Government for presiding over crises facing the education and culture sectors.

    Last week, Cardiff announced plans to cut 400 jobs to merge departments and axe courses – including music and nursing.

    This announcement came after months of warning from the Higher Education sector over possible job cuts.

    Wales’ cultural institutions are also struggling. Wales’ National Museum has closed temporarily due to safety concerns over the deteriorating condition of the building.

    Plaid Cymru leader Rhun ap Iorwerth MS said:

    “As each day goes by, institutions of cultural, educational and national importance are being dismantled one by one – proving that Labour knows the price of everything but the value of nothing.

    “Wales’ National Museum has closed temporarily and 400 jobs are on the line at Cardiff University.

    “We see cuts to Arts Council, and the loss of the National Theatre. Now a world renowned music department within Wales’ largest university is being closed – the land of song being silenced on Labour’s watch.

    “And at the height of an NHS nursing crisis – Labour’s message is that it doesn’t care about those who want to make a career out of caring for others.

    “After almost 26 years, Labour are lurching from one crisis to another and their lack of vision and ambition for Wales is plain for all to see. Only Plaid Cymru offers Wales the fresh start it desperately needs.”

    MIL OSI United Kingdom –

    February 14, 2025
  • MIL-OSI United Kingdom: New report highlights key sources of air pollution in Oxford

    Source: City of Oxford

    A new report has been published by Oxford City Council, providing a breakdown of the key sources of air pollution in the city. 

    The Oxford Source Apportionment report, which was conducted by Ricardo Group, highlights that road transport remains the highest contributor to NOx emissions, while domestic wood burning is the largest contributor to particulate pollution (PM2.5) in the city. 

    The report examines the contributions of different sectors to air pollution in Oxford (transport, domestic combustion, point sources, other transport, and other emissions), focusing on nitrogen oxides (NOX – a combination of nitric oxide (NO) and nitrogen dioxide (NO2)) and fine particulate matter (PM2.5 and PM10).  

    The report is based on air pollution data measured in 2022, as well as modelling on the impact of the introduction of 159 electric buses in Oxford through the Government’s ZEBRA scheme. 

    The report found that while road transport remains the largest source of NOX pollution (32%), domestic combustion—particularly wood burning—is the leading cause of harmful PM2.5 emissions (24%). 

    Key findings of the report: 

    • Road transport remains the largest contributor to NOX pollution – accounting for 32% of total NOX emissions.
    • Domestic combustion accounts for 26% of total NOX emissions.
    • Point sources (emissions from sources at a known location that can be directly mapped such as industry or commercial buildings) contribute 20% of total NOX emissions.
    • Other road transport (including boats, and military aircraft) accounts for 9% of total NOX emissions.
    • Other emissions (including rail and aircrafts, non-road mobile machinery, industry, waste, solvents, agriculture, and production processes) accounts for 13% of total NOX emissions.
    • Domestic wood burning is the highest contributor to PM2.5 pollution, accounting for 24% of total PM2.5 emissions.
    • Buses contribute 4% to total NOX emissions, reflecting a significant (28%) reduction since the previous source apportionment study, due to Oxford’s transition to electric buses. 

    Road Transport 

    Road transport remains the largest single contributor to NOX pollution, with diesel vehicles dominating emissions: 

    • Cars (petrol and diesel) account for 48% of total NOX emissions.
    • Heavy Goods Vehicles (HGVs) account for 19%.
    • Light Goods Vehicles (LGVs) account for 26%.
    • Buses contribute 4% to total NOX emissions, reflecting a significant (28%) reduction since the previous source apportionment study, due to Oxford’s transition to electric buses. 
    • Private hire and Hackney taxis account for 2%. 

    Since the previous Source Apportionment Study, road transport NOX emissions have dropped from 40% to 32%, primarily due to the introduction of electric buses under the government’s ZEBRA scheme. Buses now contribute to 4% to total NOX emissions in the city. 

    Since the previous Source Apportionment Study, road transport NOX emissions have dropped from 40% to 32%, primarily due to the introduction of electric buses under the government’s ZEBRA scheme. Buses now contribute to 4% to total NOX emissions in the city. 

    Hotspot Locations 

    In addition to transport emissions across the whole city, the report also looked at pollution in three ‘hotspot’ locations – St Clement’s, Botley road and Worcester Street – which have historically seen high levels of air pollution and are key roads for vehicles to travel into and across the city.  

    The findings show: 

    • Cars are the biggest contributors to NOX across all three locations.
    • LGVs and HGVs follow as the next most significant contributors.
    • Buses have seen a reduction in their contribution to NOX emissions, following the transition to electric in 2024.
    • Private hire taxis contribute more to NOX emissions than Hackney Carriages – with both sources combined accounting for 2% of NOX. 

    Domestic Combustion 

    The report highlights that the domestic combustion sector (which includes emissions from burning wood, coal, and gas to heat homes) is responsible for 35% of total PM2.5 emissions citywide – with wood burning alone accounting for 25%.  

    When looking at the specific sources of PM2.5 within the domestic combustion sector: 

    • Wood burning accounts for 70% of all PM2.5 emissions relating to domestic combustion.
    • Commercial heating (in businesses and institutions) contributes 15%.
    • Gas and coal (domestic others) burning contributes 14%.
    • Smokeless fuels account for just 1%.

    Other sources of emissions 

    Other sources of NOX emissions in Oxford includes: 

    • Point sources (such as industry and commercial buildings) contribute 20% of total NOX emissions.
    • Other road transport (including boats, and military aircraft) accounts for 9% of total NOX emissions.
    • Other emissions (including rail and aircrafts, non-road mobile machinery, industry, waste, solvents, agriculture, and production processes) account for 13% of total NOX emissions. 

    There is no safe level of air pollution  

    In Oxford, the main pollutant of concern is nitrogen dioxide (NO2). Over the past few years, Oxford’s air quality has improved significantly, and since the introduction of the city’s current Air Quality Action Plan in 2021, NO2 levels across Oxford have seen a 18% average reduction.  

    Oxford is currently in compliance with the UK’s legal limit for NO2 in all areas of ‘relevant exposure’ within the city (40 µg/m³). However, there is ultimately no safe level of NO2 exposure.  

    In September 2021 the World Health Organization (WHO) recommended a much ‘safer’ annual mean level of NO2 of 10 µg/m³. Under its current Air Quality Action Plan, which was established in January 2021, Oxford has set its own voluntary annual mean target for NO2 of 30 µg/m³) to be achieved across the city by 2025.  

    Next Steps 

    The report will inform the Council’s upcoming Air Quality Action Plan, which will be updated in 2026 following public consultation later this year.

    An Air Quality Action Plan (AQAP) outlines the actions that the Council and its partners will take to improve air quality in Oxford within a certain period of time.The Council’s current Air Quality Action Plan can be read here. 

    For more information on air quality in Oxford, visit the Council’s Air Quality pages.  

    Comment 

    “This latest source apportionment study shows us to the key sources of toxic air pollution in Oxford, and what areas we need to focus on to improve air pollution across the city.  

    “We can see that there has been a significant reduction in the contribution of buses to NOX levels following the introduction of the 159 electric bus fleet. However, cars remain the largest contributor to this pollution.  

    “The report also highlights that we must address the growing issue of domestic wood burning, which is now the largest source of harmful PM2.5 pollution in Oxford. Many people may not realise that even modern wood stoves produce dangerous emissions. By reducing wood burning and supporting zero-emission transport, we can continue to improve Oxford’s air quality for everyone.” 

    Councillor Anna Railton, Deputy Leader and Cabinet Member for Zero Carbon Oxford, Oxford City Council

    “The modelled impact that the new fleet of electric buses is having on air quality in Oxford in such as short space of time is remarkable. We are incredibly proud to have put together the successful bid alongside the bus companies to bring them to the city, and this new report shows why it was such an important initiative in creating a cleaner, greener county.” 

    Councillor Andrew Gant, Oxfordshire County Council’s Cabinet Member for Transport Management

    “We’re proud of the massive step change in emissions buses have delivered in Oxford over the last decade to help provide radically cleaner air for the communities we serve. 

    “This has been sustained over several years with the move to ultra-low emission vehicles and more recently zero emission vehicles, following significant investment by both companies.  

    “However, overall Oxford’s air is not benefitting as much as it could be due to the steadily increasing proportion of car and van emissions. The data clearly demonstrates that it’s vital for Oxford’s health that suitable measures are introduced to help reduce the volume of private vehicles on the city’s roads to achieve even greater improvements in air quality.” 

    Luke Marion, Managing Director of Oxford Bus Company

    MIL OSI United Kingdom –

    February 14, 2025
  • MIL-OSI USA: Upcoming US Law Webinars – March 2025

    Source: US Global Legal Monitor

    We hope you will join us in March for the next offerings of our Orientation to Law Library Collections webinar, which will feature the State Law Library of Montana as part of our 50 State Law Libraries Outreach Project. The 50 State Law Libraries Outreach Project aims to strengthen the ties between the Law Library of Congress and state law libraries by sharing information about our collections, products, and services with one another and with the public. Franklin Runge, state law librarian, will present from the State Law Library of Montana during the webinar. The State Law Library of Montana presenter notes that:

    “[t]he mission of the State Law Library of Montana is to provide legal information and resources, to enhance knowledge of the law and court system, and to facilitate equal access to justice statewide. The need for reliable legal information was a priority for early western settlers, and in 1881, the Law Library was established by the Territory of Montana’s Legislative Assembly. Over the past two years (2023-2024), 73% of our reference interactions have been with members of the general public. We also serve the legal research needs of Montana’s bench and bar through reference services, training opportunities, and maintaining relevant collections. In tandem with our access to justice and reference work, the Law Library is responsible for maintaining a comprehensive collection of Montana law. The present Constitution of Montana was drafted, adopted, and ratified in 1972, and it ushered in a period of transparency and accountability in state government. This transparency has resulted in the Law Library compiling and maintaining a fantastic collection of legislative histories, which are frequently requested by judges, lawyers, and historians.”

    The Law Library will also offer A Lunch and Learn webinar, which will focus on using secondary sources to conduct legal research, and the Orientation to Legal Research webinar, which will focus on federal legislative history in March. We hope you will join us by registering for these upcoming webinars!


    An Orientation to Law Library Collections featuring the State Law Library of Montana

    Date: Thursday, March 6, 2025, 1:00 p.m. – 2:00 p.m. EST

    Content: This webinar is designed for patrons who are familiar with legal research, and would instead prefer an introduction to the collections and services specific to the Law Library of Congress. Some of the resources attendees will learn about include the Law Library’s research guides, digital collections, and the Guide to Law Online, among others.

    Instructors: Anna Price. Anna is a legal reference librarian at the Law Library. Anna holds a B.S. in communications from Ithaca College, a J.D. from the University of Washington School of Law, and an M.L.I.S. from the University of Washington iSchool.

    Register here. 


    Flyer announcing the Lunch and Learn webinar titled, Using Secondary Sources in Legal Research. Created by Taylor Gulatsi.

    A Lunch and Learn Webinar: Using Secondary Sources in Legal Research 

    Date: Tuesday, March 11, 2025, 1:00 p.m. – 2:00 p.m. EDT

    Content: This webinar will provide an overview of secondary sources such as legal encyclopedias, treatises, and dictionaries. In addition, the webinar will provide practical examples to show how these resources are used in practice. The presentation will demonstrate how secondary sources are an important step in the legal research method and how they can guide researchers to primary sources. Many of the materials and content for this webinar have come from the Law Library’s research guide, Legal Research: A Guide to Secondary Resources.

    Instructors: Olivia Kane-Cruz. Olivia Kane-Cruz is a legal reference librarian at the Law Library of Congress. Olivia holds a B.A. in political science from Humboldt State University (Cal Poly Humboldt), a J.D. and a master’s of environmental law and policy from Vermont Law School, and an M.L.I.S. from the University of Washington.

    Register here. 


    An Orientation to Legal Research Webinar: Federal Legislative History 

    Date: Thursday, March 20, 2025, 1:00 p.m. – 2:00 p.m. EDT

    Content: This entry in the series provides an overview of U.S. federal legislative history resources, including information about the methods of identifying and locating them. In tackling this area of research, the focus will largely be on finding these documents online.

    Instructor: Louis Myers. Louis Myers holds a B.A. in history from Kent State University, a J.D. from the University of Idaho College of Law, and an M.L.I.S. from Kent State University.

    Register here.


    To learn about other upcoming classes on domestic and foreign law topics, visit the Legal Research Institute. Please request ADA accommodations at least five business days in advance by contacting (202) 707-6362 or [email protected].

    Subscribe to In Custodia Legis – it’s free! – to receive interesting posts drawn from the Law Library of Congress’s vast collections and our staff’s expertise in U.S., foreign, and international law.

    MIL OSI USA News –

    February 14, 2025
  • MIL-OSI Russia: February achievements of athletes from GUU

    Translartion. Region: Russians Fedetion –

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

    We haven’t reported anything about the achievements of athletes from the State University of Management for a long time, we are correcting the situation.

    Hockey

    The new 2025 year has started off stunningly for the GUU hockey team! GUUSI won three out of three games in the regular tournament of the Moscow Student Hockey League of the XXXVII Moscow Student Sports Games. The teams of MADI, EMERCOM and the Financial University were defeated (8:4, 15:2, 6:3, respectively). The atmosphere at all the games was simply incredible. The team showed excellent preparation, demonstrating strength and coherence in each attack.

    We wish you to continue in the same spirit and strive for new victories! And to help our guys morally, we invite you to their next game, which will take place on February 15 at 18:15 at the Yuzhny Led arena at the address: ul. Marshal Savitsky, 7. GUSI will play against the RANEPA team.

    Basketball

    On February 2, the GUU women’s basketball team defeated the Eagles Team with a score of 70:64. The game was held in the WBL LOV Division of the Amateur Basketball League – ABL.

    Volleyball

    On February 11, the women’s team of the State University of Management confidently beat the team from Moscow University of Finance and Law with a score of 3:1. The game was held as part of the 2nd stage of the XXXVII Moscow Student Sports Games.

    eSports

    On February 9, a friendly tournament “Battle of Universities” was held in the Tekken 8 competitive program. The following universities took part in the competition: GUU, Plekhanov Russian University of Economics, RANEPA, MAI, MSU, HSE. Our team of cyber athletes took 8th place out of 16 possible. This is the golden mean, and we know that many more victories await us ahead.

    We wish all our athletes good luck and high results in future tournaments!

    Subscribe to the TG channel “Our GUU” Date of publication: 02/13/2025

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

    MIL OSI Russia News –

    February 14, 2025
  • MIL-OSI USA: Tomorrow Today: Reimagining the College Experience at HackUConn 2025

    Source: US State of Connecticut

    Imagine a campus the size of a city.

    Wouldn’t it be great if there were an easier way to get from one end to another when you only have 15 minutes between classes?

    Or, if there were a better way of knowing when you were registering for classes that you would have to sprint from one end of campus to the other – in the rain, sleet, snow, or hail – to get from one class to the next on time?

    Or, if there was something that could be done to fix that college-life problem that you just haven’t been able to stop thinking about since your first day on campus?

    Because as much as you might love being a college student, no matter how great a university might be, there’s always something – be it something big, or just something small – that you hope could be done just a little bit better. A little bit smarter. A little bit more efficiently.

    Chances are that UConn undergraduates have a lot of ideas about what some of those things could be, which is why student organizers are inviting all undergraduate students to help imagine the “Universities of Tomorrow” at HackUConn 2025 – a hackathon event that aims to bring together young innovators and industry experts for a non-stop, fast-paced innovation and invention competition focused on improving the college experience for students all across the globe.

    “In the past year leading up to HackUConn, I’ve heard several suggestions from peers and friends about how to further improve their college experience,” says Preethika Rao ’27 (BUS), planning team co-lead for HackUConn. “We wanted to give many a chance to expand on these ideas with HackUConn this semester.”

    A hackathon is a chance for creative thinkers, problem solvers, and anyone eager to make a difference to come together for the greater good. Students of all majors and backgrounds are invited to collaborate and innovate solutions to real-world challenges, whether you’re into design, business, marketing, or simply passionate about creating positive change.

    First launched in 2016 as a way to help contribute to the University’s now thriving and collaborative entrepreneurial culture, HackUConn is the University’s flagship hackathon and an annual tradition – supported by the Werth Institute for Entrepreneurship and Innovation – that offers an opportunity for students to step outside of their comfort zone and gather ideas, attend workshops, gain insight from mentors, and compete for prizes during the 20-hour in-person event.

    “If you have an idea, if you want to create change within your local community, then this is the innovation competition for you,” says planning team co-lead Julian “Juju” Setiadi ’25 (ENG).

    This year’s HackUConn will begin at 5:00 p.m. on Friday, February 28 (with check-in starting at 4:00 p.m.), and will run until noon on Saturday, March 1, at the Peter J. Werth Residence Tower on the UConn Storrs campus.

    Students are encouraged to register by Friday, February 21. Students can register individually and then join a team at the event, or have the option of building a team before the event and registering together, though teams cannot bring in prior work – hacking can only be done during the event’s announced hacking period.

    “Many have this misconception that HackUConn is only for comp sci and engineering majors, but this isn’t the case – no matter what your major is, you can definitely contribute to HackUConn and the team you eventually will become a part of,” Rao says. “It’s a great opportunity to make entrepreneurial ideas a reality. It’s also a good way to gain exposure to various fields and make long-lasting connections with others participating in HackUConn as well as the judges.”

    Over the course of the 20 consecutive hours, the student teams will brainstorm, prototype, and pitch their solutions to a panel of judges, who then select the winning ideas.

    Some previous HackUConn winners have gone on to pitch their ideas to UConn’s Get Seeded, which gives students opportunities to earn seed funding and mentorship through the Connecticut Center for Entrepreneurship and Education, or CCEI, to help launch an entrepreneurial idea.

    “Student participants can expect to learn more about themselves, figuring out how they can really challenge their minds to come up with innovative solutions,” Setiadi says. “With HackUConn, there is nothing to lose and everything to gain. The event is a roller coaster of emotions, but I believe that you’ll come out of it knowing more about yourself than you did before. If you manage to win the event, that will also be a great accomplishment to add onto your résumé.”

    Each year, the planning team’s hope for the event, according to Aaron Rosman ’16 (CAHNR) ’21 MBA, operations manager for the Werth Institute and advisor for the student organizing team, is to find a theme that students relate to, so they can take part in coming up with innovative ideas for change.

    “You are not alone in your thoughts and feelings!” says Rosman. “There are so many other students that share a similar viewpoint as you, and our goal is to connect you with them. Excitingly, you’re already an expert on this year’s HackUConn theme. By having step foot on our campus, you are prepared to be a part of our event. Help take your thoughts to the next stage and innovate what the university of tomorrow will look like with us!”

    HackUConn is free, and food is provided for all participants. For more information, or to register for this year’s HackUConn, visit werth.institute.uconn.edu/events/hackuconn.

    MIL OSI USA News –

    February 14, 2025
  • MIL-OSI: Expand Energy Corporation Appoints Dan Turco Executive Vice President, Marketing & Commercial

    Source: GlobeNewswire (MIL-OSI)

    OKLAHOMA CITY, Feb. 13, 2025 (GLOBE NEWSWIRE) — Expand Energy Corporation (NASDAQ: EXE) (“Expand Energy”) today announced that Dan Turco has been appointed Executive Vice President, Marketing & Commercial, effective February 18, 2025.

    “With nearly two decades of experience in global upstream natural gas marketing and trading, Dan is a key addition to our team as we work to expand energy access to markets in need and grow our customer base to power, industrial and LNG markets,” said Nick Dell’Osso, Expand Energy’s President and Chief Executive Officer. “His leadership will be instrumental in building a world-class marketing organization to capitalize on our role as the leading natural gas producer in the United States.”

    “Expand Energy has a bold vision to address global energy insecurity, and I am honored to join the team as they lead the industry in this effort,” Turco said. “I believe this company, given its team, portfolio and financial strength, is uniquely positioned to deliver affordable, reliable, lower carbon energy to meet growing domestic and international demand.”

    Prior to joining Expand Energy, Mr. Turco spent nearly 20 years with ExxonMobil in various leadership roles in upstream natural gas marketing and trading, spanning LNG, U.S., Europe and Asia gas markets. Most recently, he served as Head of Global LNG Trading / Head of Asia Gas & Power Marketing in Singapore. Mr. Turco earned an MBA from Wilfrid Laurier University (Canada) and an Honors Bachelor of Applied Science, Civil Engineering & Management Science from the University of Waterloo (Canada).

    About Expand Energy
    Expand Energy Corporation (NASDAQ: EXE) is the largest independent natural gas producer in the United States, powered by dedicated and innovative employees focused on disrupting the industry’s traditional cost and market delivery model to responsibly develop assets in the nation’s most prolific natural gas basins. Expand Energy’s returns-driven strategy strives to create sustainable value for its stakeholders by leveraging its scale, financial strength and operational execution. Expand Energy is committed to expanding America’s energy reach to fuel a more affordable, reliable, lower carbon future.

    Forward-Looking Statements
    This press release includes “forward-looking statements” within the meaning of Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Exchange Act of 1934, as amended. Forward-looking statements include, but are not limited to, statements relating to Expand Energy marketing organization and customer base, as well as statements reflecting expectations, intentions, assumptions or beliefs about future events and other statements that do not relate strictly to historical or current facts. Forward-looking statements often address our expected future business, financial performance and financial condition, and often contain words such as “expect,” “could,” “may,” “anticipate,” “intend,” “plan,” “ability,” “believe,” “seek,” “see,” “will,” “would,” “estimate,” “forecast,” “target,” “guidance,” “outlook,” “opportunity” or “strategy.” The absence of such words or expressions does not necessarily mean the statements are not forward-looking. Although Expand Energy’s management believes the expectations reflected in such forward-looking statements are reasonable, they are inherently subject to numerous risks and uncertainties, most of which are difficult to predict and many of which are beyond Expand Energy’s control. No assurance can be given that such forward-looking statements will be correct or achieved or that the assumptions are accurate or will not change over time. Particular uncertainties that could cause Expand Energy’s actual results to be materially different than those expressed in such forward-looking statements include commodity price volatility and other factors described in Expand Energy’s Annual Report on Form 10-K for the year ended December 31, 2023, Expand Energy’s Quarterly Reports on Form 10-Q and other documents that Expand Energy files with the SEC. For a discussion of these risks, uncertainties and assumptions, investors are urged to refer to Expand Energy’s documents filed with the SEC that are available through Expand Energy’s website at www.expandenergy.com or through EDGAR at www.sec.gov. We caution you not to place undue reliance on the forward-looking statements contained in this release, which speak only as of the date of the release, and we undertake no obligation to update this information. We urge you to carefully review and consider the disclosures in this release and our filings with the SEC that attempt to advise interested parties of the risk and factors that may affect our business.

    INVESTOR CONTACT: MEDIA CONTACT:
    Chris Ayres Brooke Coe
    (405) 935-8870 (405) 935-8878
    ir@expandenergy.com media@expandenergy.com

    The MIL Network –

    February 14, 2025
  • MIL-OSI Russia: The Vice-Rector of the State University of Management discussed the prospects for the development of the labor market at the Abalkinsky Readings forum

    Translartion. Region: Russians Fedetion –

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

    On February 11, 2025, the Congress Hall of the Free Economic Society of Russia hosted the scientific forum “Abalkin Readings” on the topic: “Prospects for the Development of the Labor Market in Russia”, in which the Vice-Rector of the State University of Management Dmitry Bryukhanov took part.

    According to the results of the first three quarters of 2024, the unemployment rate in the country was at a historically low level of 2.6% (1.9 million people). During a meeting of the Council on Science and Education, Russian President Vladimir Putin emphasized that “the acute and sensitive shortage of personnel for Russian enterprises requires non-standard solutions.” Finding these solutions became one of the goals of the “Abalkin Readings.”

    Opening the scientific forum, the President of the Russian Economic Society, Corresponding Member of the Russian Academy of Sciences Sergei Bodrunov emphasized that the labor shortage is one of the key internal risks for the development of the Russian economy.

    “Resolving the problem of personnel shortage will allow realizing the growth potential of the Russian economy. This problem is structural in nature; in some industries, the labor shortage is felt very acutely. Among its causes are not only factors related to negative demographic trends. The sectors of the economy that employ a large number of low-skilled specialists have been greatly affected by the mass outflow of migrants. The shortage of employees is aggravated, among other things, by the forced structural restructuring of the economy. One of the solutions to the problem of personnel shortage is to increase labor productivity. Accordingly, investments in high technologies are necessary,” noted Sergei Bodrunov.

    According to estimates by the Institute of Economic Forecasting of the Russian Academy of Sciences, annual growth in labor productivity could amount to 3.4% in the long term up to 2050.

    “Russia has enormous potential for growth in labor productivity. In such activities as finance and insurance, the average annual growth rate of labor productivity up to 2035 could be 6% per year,” believes Alexander Shirov, Director of the Institute of Economic Forecasting of the Russian Academy of Sciences, Corresponding Member of the Russian Academy of Sciences, and Member of the Presidium of the Russian VEO.

    There is a great need for workers and mid-level specialists in key sectors of the economy. According to experts, increasing the prestige of blue-collar jobs and developing secondary vocational education will help overcome the shortage of personnel in the short term.

    “According to statistics, two-thirds of school graduates receive higher education, and one-third – secondary specialized education. There is a shortage of personnel in blue-collar jobs. From the point of view of production and the labor market, this is the most important resource for reducing the labor shortage,” says Andrey Klepach, chief economist of the state development corporation VEB.RF and member of the Board of the VEO of Russia.

    Summing up the discussion, the head of the economics section of the Department of Social Sciences of the Russian Academy of Sciences, academician of the Russian Academy of Sciences Boris Porfiryev noted that the problem of labor shortage is complex, therefore a comprehensive, systemic approach is required from experts and politicians and their effective interaction so that the labor market is balanced and meets the needs of dynamic and sustainable development of the country’s economy in the long term.

    Subscribe to the TG channel “Our GUU” Date of publication: 02/13/2025

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

    MIL OSI Russia News –

    February 14, 2025
  • MIL-Evening Report: Eugene Doyle: Will New Zealand invade the Cook Islands to stop China? Seriously

    Report by Dr David Robie – Café Pacific. –

    The New Zealand government and the mainstream media have gone ballistic (thankfully not literally just yet) over the move by the small Pacific nation to sign a strategic partnership with China in Beijing this week.

    It is the latest in a string of island nations that have signalled a closer relationship with China, something that rattles nerves and sabres in Wellington and Canberra.

    The Chinese have politely told the Kiwis to back off.  Foreign Ministry spokesperson Guo Jiakun told reporters that China and the Cook Islands have had diplomatic relations since 1997 which “should not be disrupted or restrained by any third party”.

    “New Zealand is rightly furious about it,” a TVNZ Pacific affairs writer editorialised to the nation. The deal and the lack of prior consultation was described by various journalists as “damaging”, “of significant concern”, “trouble in paradise”, an act by a “renegade government”.

    Foreign Minister Winston Peters, not without cause, railed at what he saw as the Cook Islands government going against long-standing agreements to consult over defence and security issues.

    “Should New Zealand invade the Cook islands?” . . . New Zealand Herald columnist Matthew Hooton’s view in an “oxygen-starved media environment” amid rattled nerves. Image: New Zealand Herald screenshot APR

    ‘Clearly about secession’
    Matthew Hooton, who penned the article in The Herald, is a major commentator on various platforms.

    “Cook Islands Prime Minister Mark Brown’s dealings with China are clearly about secession from the realm of New Zealand,” Hooton said without substantiation but with considerable colonial hauteur.

    “His illegal moves cannot stand. It would be a relatively straightforward military operation for our SAS to secure all key government buildings in the Cook Islands’ capital, Avarua.”

    This could be written off as the hyperventilating screeching of someone trying to drum up readers but he was given a major platform to do so and New Zealanders live in an oxygen-starved media environment where alternative analysis is hard to find.

    The Cook Islands, with one of the largest Exclusive Economic Zones in the world — a whopping 2 million sq km — is considered part of New Zealand’s backyard, albeit over 3000 km to the northeast.  The deal with China is focused on economics not security issues, according to Cooks Prime Minister Mark Brown.

    Deep sea mining may be on the list of projects as well as trade cooperation, climate, tourism, and infrastructure.

    The Cook Islands seafloor is believed to have billions of tons of polymetallic nodules of cobalt, copper, nickel and manganese, something that has even caught the attention of US Secretary of State Marco Rubio. Various players have their eyes on it.

    Glen Johnson, writing in Le Monde Diplomatique, reported last year:

    “Environmentalists have raised major concerns, particularly over the destruction of deep-sea habitats and the vast, choking sediment plumes that excavation would produce.”

    All will be revealed
    Even Cook Island’s citizens have not been consulted on the details of the deal, including deep sea mining.  Clearly, this should not be the case. All will be revealed shortly.

    New Zealand and the Cook Islands have had formal relations since 1901 when the British “transferred” the islands to New Zealand.  Cook Islanders have a curious status: they hold New Zealand passports but are recognised as their own country. The US government went a step further on September 25, 2023. President Joe Biden said:

    “Today I am proud to announce that the United States recognises the Cook Islands as a sovereign and independent state and will establish diplomatic relations between our two nations.”

    A move to create their own passports was undermined by New Zealand officials who successfully stymied the plan.

    New Zealand has taken an increasingly hostile stance vis-a-vis China, with PM Luxon describing the country as a “strategic competitor” while at the same time depending on China as our biggest trading partner.  The government and a compliant mainstream media sing as one choir when it comes to China: it is seen as a threat, a looming pretender to be South Pacific hegemon, replacing the flip-flopping, increasingly incoherent USA.

    Climate change looms large for island nations. Much of the Cooks’ tourism infrastructure is vulnerable to coastal inundation and precious reefs are being destroyed by heating sea temperatures.

    “One thing that New Zealand has got to get its head round is the fact that the Trump administration has withdrawn from the Paris Climate Accord,” Dr Robert Patman, professor of international relations at Otago University, says. “And this is a big deal for most Pacific Island states — and that means that the Cook Islands nation may well be looking for greater assistance elsewhere.”

    Diplomatic spat with global coverage
    The story of the diplomatic spat has been covered in the Middle East, Europe and Asia.  Eyebrows are rising as yet again New Zealand, a close ally of Israel and a participant in the US Operation Prosperity Guardian to lift the Houthi Red Sea blockade of Israel, shows its Western mindset.

    Matthew Hooton’s article is the kind of colonialist fantasy masquerading as geopolitical analysis that damages New Zealand’s reputation as a friend to the smaller nations of our region.

    Yes, the Chinese have an interest in our neck of the woods — China is second only to Australia in supplying much-needed development assistance to the region.

    It is sound policy not insurrection for small nations to diversify economic partnerships and secure development opportunities for their people. That said, serious questions should be posed and deserve to be answered.

    Geopolitical analyst Dr Geoffrey Miller made a useful contribution to the debate saying there was potential for all three parties to work together:

    “There is no reason why New Zealand can’t get together with China and the Cook Islands and develop some projects together,” Dr Miller says. “Pacific states are the winners here because there is a lot of competition for them”.

    I think New Zealand and Australia could combine more effectively with a host of South Pacific island nations and form a more effective regional voice with which to engage with the wider world and collectively resist efforts by the US and China to turn the region into a theatre of competition.

    We throw the toys out
    We throw the toys out of the cot when the Cooks don’t consult with us but shrug when Pasifika elders like former Tuvalu PM Enele Sopoaga call us out for ignoring them.

    In Wellington last year, I heard him challenge the bigger powers, particularly Australia and New Zealand, to remember that the existential threat faced by Pacific nations comes first from climate change. He also reminded New Zealanders of the commitment to keeping the South Pacific nuclear-free.

    To succeed, a “Pacific for the peoples of the Pacific” approach would suggest our ministries of foreign affairs should halt their drift to being little more than branch offices of the Pentagon and that our governments should not sign up to US Great Power competition with China.

    Ditching the misguided anti-China AUKUS project would be a good start.

    Friends to all, enemies of none. Keep the Pacific peaceful, neutral and nuclear-free.

    Eugene Doyle is a community organiser and activist in Wellington, New Zealand. He received an Absolutely Positively Wellingtonian award in 2023 for community service. His first demonstration was at the age of 12 against the Vietnam War. This article was first published at his public policy website Solidarity and is republished here with permission.

    This article was first published on Café Pacific.

    MIL OSI Analysis – EveningReport.nz –

    February 14, 2025
  • MIL-OSI USA: 25 Years Ago: STS-99, the Shuttle Radar Topography Mission

    Source: NASA

    On Feb. 11, 2000, space shuttle Endeavour took to the skies on its 14th trip into space on the Shuttle Radar Topography Mission (SRTM). The international STS-99 crew included Commander Kevin Kregel, Pilot Dominic Gorie, and Mission Specialists Gerhard Thiele of Germany representing the European Space Agency, Janet Kavandi, Janice Voss, who served as payload commander on the mission, and Mamoru Mohri of the National Space Development Agency (NASDA) of Japan, now the Japan Aerospace Exploration Agency.  
    During their 11-day mission, the astronauts used the radar instruments in Endeavour’s payload bay to obtain elevation data on a near global scale. The data produced the most complete, high-resolution digital elevation model of the Earth. The SRTM comprised a cooperative effort among NASA with the Jet Propulsion Laboratory (JPL) in Pasadena, California, managing the project, the Department of Defense’s National Imagery and Mapping Agency, the German space agency, and the Italian space agency. Prior to SRTM, scientists had a more detailed topographic map of Venus than of the Earth, thanks to the Magellan radar mapping mission. 

    NASA assigned the STS-99 crew in October 1998. For Kregel, selected by NASA as an astronaut in 1992, STS-99 marked his fourth trip to space, having served as pilot on STS-70 and STS-78 and commanded STS-87. Gorie and Kavandi, both selected in 1994, previously flew together as pilot and mission specialist, respectively, on STS-91, the final Shuttle Mir docking mission. Voss, selected in 1990, served as a mission specialist on STS-57 and STS-63, and as payload commander on STS-83 and STS-94. NASDA selected Mohri as an astronaut in 1985 and he previously flew as a payload specialist on STS-47, the Spacelab-J mission. Selected as an astronaut by the German space agency in 1987, Thiele joined the European Astronaut Corps in 1998, completing his first spaceflight on STS-99.  
    The SRTM used an innovative technique called radar interferometry to image the Earth’s landmasses at resolutions up to 30 times greater than previously achieved. Two of the synthetic aperture radar instruments comprising the SRTM payload had flown previously, on the STS-59 Shuttle Radar Laboratory-1 (SRL-1) and the STS-68 SRL-2 missions in April and October 1994, respectively.  A second receiver antenna, placed at the end of a 200-foot deployable mast, enabled the interferometry during SRTM. 

    Workers rolled Endeavour to the Vehicle Assembly Building on Dec. 2 for mating with its external tank and solid rocket boosters, and then out to Launch Pad 39A on Dec. 13. The astronauts traveled to Kennedy to participate in the Terminal Countdown Demonstration Test Jan. 11-14, returning afterwards to Houston for final training. They traveled back to Kennedy on Jan. 27 for the first launch attempt four days later. After two launch attempts, the STS-99 mission prepared to liftoff on Feb. 11, 2000. 

    At 12:43 p.m. EST, Endeavour thundered into the sky from Kennedy’s Launch Pad 39A to begin the STS-99 mission. Thirty-seven minutes later, a brief firing of the orbiter’s two engines placed Endeavour in the proper 145-mile orbit for the radar scanning. 

    Shortly after reaching orbit, the crew opened the payload bay doors and deployed the shuttle’s radiators.   Kavandi and Thiele turned on the instruments, deployed the 200-foot mast, and conducted initial checkouts of the radars. The crew split into two shifts to enable data collection around the clock during the mission. After overseeing the initial activation of the radars, the red shift of Kregel, Kavandi, and Thiele began their first sleep period as the blue shift of Gorie, Voss, and Mohri picked up with activation and began the first data takes. 
    The major crew activity for SRTM involved changing tapes every 30 minutes. The SRTM generated 332 high density tapes during more than 222 hours of data collection and these recordings covered 99.96 percent of the planned observations. Data collection finished on the mission’s 10th flight day, after which the astronauts reeled the mast back into its container in the payload bay. 

    NASA’s EarthKAM program enabled middle school students to remotely take photographs of the Earth using an electronic still camera mounted in one of the shuttle’s windows. The University of California at San Diego houses the control center for EarthKAM, linked with middle schools via the Internet. Students choose Earth targets of interest, and the camera takes photos of that region as the shuttle passes overhead. A then-record 75 schools from around the world participated in the EarthKAM project on STS-99, the camera returning 2,715 images of the Earth. 
    The STS-99 astronauts also spent time taking photographs of the Earth using handheld cameras and the high inclination orbit enabled views of some parts of the Earth rarely seen by shuttle astronauts. 

    On Feb. 22, the crew closed Endeavour’s payload bay doors, donned their launch and entry suits, and strapped themselves into their seats for entry and landing. Kregel piloted Endeavour to a smooth landing on Kennedy’s Shuttle Landing Facility. The crew had flown 181 orbits around the Earth in 11 days, 5 hours, and 39 minutes. Enjoy the crew narrate a video about the STS-99 mission.  
    Postscript 

    During the 11-day mission, SRTM collected more than one trillion data points, generating 12.3 terabytes of 3-D data of the Earth. Earnest Paylor, SRTM program scientist at NASA Headquarters in Washington, D.C., called the mission “a magnificent accomplishment.” He cited that SRTM imaged by radar equatorial regions of the Earth previously unmapped due to constant cloud cover. 

    MIL OSI USA News –

    February 14, 2025
  • MIL-OSI USA: NASA’s Polar Ice Experiment Paves Way for Future Moon Missions 

    Source: NASA

    NASA’s Polar Resources Ice Mining Experiment-1 (PRIME-1) is preparing to explore the Moon’s subsurface and analyze where lunar resources may reside. The experiment’s two key instruments will demonstrate our ability to extract and analyze lunar soil to better understand the lunar environment and subsurface resources, paving the way for sustainable human exploration under the agency’s Artemis campaign for the benefit of all. 
    Its two instruments will work in tandem: The Regolith and Ice Drill for Exploring New Terrains (TRIDENT) will drill into the Moon’s surface to collect samples, while the Mass Spectrometer Observing Lunar Operations (MSOLO) will analyze these samples to determine the gas composition released across the sampling depth. The PRIME-1 technology will provide valuable data to help us better understand the Moon’s surface and how to work with and on it. 
    “The ability to drill and analyze samples at the same time allows us to gather insights that will shape the future of lunar resource utilization,” said Jackie Quinn, PRIME-1 project manager at NASA’s Kennedy Space Center in Florida. “Human exploration of the Moon and deep space will depend on making good use of local resources to produce life-sustaining supplies necessary to live and work on another planetary body.” 
    The PRIME-1 experiment is one of the NASA payloads aboard the next lunar delivery through NASA’s CLPS (Commercial Lunar Payload Services) initiative, set to launch from the agency’s Kennedy Space Center no earlier than Wednesday, Feb. 26, on Intuitive Machines’ Athena lunar lander and explore the lunar soil in Mons Mouton, a lunar plateau near the Moon’s South Pole. 

    [embedded content]

    Developed by Honeybee Robotics, a Blue Origin Company, TRIDENT is a rotary percussive drill designed to excavate lunar regolith and subsurface material up to 3.3 feet (1 meter) deep. The drill will extract samples, each about 4 inches (10 cm) in length, allowing scientists to analyze how trapped and frozen gases are distributed at different depths below the surface.  
    The TRIDENT drill is equipped with carbide cutting teeth to penetrate even the toughest lunar materials. Unlike previous lunar drills used by astronauts during the Apollo missions, TRIDENT will be controlled from Earth. The drill may provide key information about subsurface soil temperatures as well as gain key insight into the mechanical properties of the lunar South Pole soil. Learning more about regolith temperatures and properties will greatly improve our understanding of the environments where lunar resources may be stable, revealing what resources may be available for future Moon missions.  
    A commercial off-the-shelf mass spectrometer, MSOLO, developed by INFICON and made suitable for spaceflight at Kennedy, will analyze any gas released from the TRIDENT drilled samples, looking for the potential presence of water ice and other gases trapped beneath the surface. These measurements will help scientists understand the Moon’s potential for resource utilization. 
    Under the CLPS model, NASA is investing in commercial delivery services to the Moon to enable industry growth and support long-term lunar exploration. As a primary customer for CLPS deliveries, NASA is one of many customers on future flights. PRIME-1 was funded by NASA’s Space Technology Mission Directorate Game Changing Development program. 
    Learn more about CLPS and Artemis at: 
    https://www.nasa.gov/clps

    MIL OSI USA News –

    February 14, 2025
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