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Category: Environment

  • MIL-OSI USA: Padilla Statement on Senate Republicans’ Threat to Go Nuclear on Senate Rulebook to Expedite Trump’s Nominees

    US Senate News:

    Source: United States Senator Alex Padilla (D-Calif.)

    Padilla Statement on Senate Republicans’ Threat to Go Nuclear on Senate Rulebook to Expedite Trump’s Nominees

    WASHINGTON, D.C. — Today, U.S. Senator Alex Padilla (D-Calif.), Ranking Member of the Senate Committee on Rules and Administration, issued the following statement as Senate Republicans threaten to cave to President Trump and unilaterally rewrite the Senate rulebook once again to expedite the confirmation of Trump’s extreme nominees:

    “Facing Trump’s latest demands to fast track his extreme and blindly obedient nominees, Senate Republicans are considering blowing up the Senate rules yet again.

    “We can and should have thoughtful, bipartisan conversations in the Rules Committee on updating the confirmation process for the future, but Republicans should keep in mind that if they choose to go nuclear — yet again — it will have consequences long beyond Donald Trump’s presidency.”

    Senate Republicans’ willingness to go nuclear on Senate filibuster rules to unilaterally push through Trump’s nominees marks a change from their stance during a bipartisan Senate Rules Committee hearing last year on reforming the Senate confirmation process, which took place before the election. While Democrats emphasized the importance of making any changes to the process ahead of the presidential election to avoid partisan advantage, Senate Republicans turned down the opportunity for bipartisan reform.

    Now that they are in power, Republicans are threatening to go nuclear on the Senate rules for the third time in six months. In May, the Republican majority utilized the nuclear option for the first time to eliminate a legislative filibuster for three joint resolutions on Environmental Protection Agency (EPA) waivers issued to California under the Clean Air Act. Last month, Senate Republicans shredded longstanding filibuster rules again by bypassing budget reconciliation restrictions with a fabricated, partisan budget score, abusing Sec. 312(a) of the Congressional Budget Act.

    MIL OSI USA News –

    August 5, 2025
  • MIL-OSI USA: Environmental Justice Caucus Co-Chairs Duckworth, Booker, Markey Slam Trump Administration for Plan to Eliminate EPA’s Ability to Protect Public Health from Climate Change

    US Senate News:

    Source: United States Senator for Illinois Tammy Duckworth

    July 31, 2025

    [WASHINGTON, D.C.] – Today, U.S. Senators Tammy Duckworth (D-IL), Cory Booker (D-NJ) and Edward J. Markey (D-MA)—co-chairs of the U.S. Senate Environmental Justice Caucus—issued the following statement after Environmental Protection Agency (EPA) Administrator Lee Zeldin announced his proposal to rescind the 2009 endangerment finding, a landmark determination that requires the EPA to address greenhouse gas emissions and pollution because of the threat that climate change poses to public health and welfare. By rescinding the endangerment finding, the Trump administration will effectively declaw the EPA, giving big businesses a green light to pollute our air and devastate environmental justice communities.

    “Once again, the Trump Administration is sacrificing our children’s future to protect polluters in the present. Trump and Zeldin are annihilating the key legal foundation that requires our government to act on climate change because it threatens the health of Americans—their repeal of the endangerment finding is ignorant, runs counter to scientific fact and will put lives at risk. Environmental justice communities are particularly threatened by this wrong-headed decision, since they are most exposed to climate impacts and have the fewest resources to protect themselves. The Trump Administration must reverse this decision—it flies in the face of science, the law and our moral responsibility to protect our future.”

    As co-chairs of the Senate Environmental Justice Caucus, Duckworth, Booker and Markey have long pushed to strengthen and defend environmental justice efforts across the country. Earlier this month, the three condemned Republicans’ cuts to environmental justice grants that were included in Donald Trump’s Big, Beautiful Betrayal. Earlier this week, Markey held a press conference outside EPA headquarters to rail against the Trump Administration’s plans to rescind the endangerment finding. In March, Duckworth and Booker condemned the Trump Administration for shutting down all of EPA’s environmental justice offices and slashing over 30 EPA regulations that have helped protect our nation’s public health and the environment for decades.

    In February, Duckworth, Booker and Markey—along with U.S. Senator Lisa Blunt Rochester (D-DE)—urged EPA Administrator Zeldin to reopen the EPA’s Office of Environmental Justice and External Civil Rights (OEJECR), which Duckworth and Booker led the charge to create. Duckworth, Booker and Markey also helped introduce legislation that would permanently codify the Office of Environmental Justice within the Department of Justice’s (DOJ) Environment and Natural Resources Division (ENRD) in response to Attorney General Bondi’s order eliminating all environmental justice efforts at the DOJ.

    For years, Duckworth and Booker have led the charge pushing for their A. Donald McEachin Environmental Justice For All Act—the most comprehensive environmental justice legislation in history—which would help achieve health equity and climate justice for all, particularly in underserved communities and communities of color that have long been disproportionately harmed by environmental injustices and toxic pollutants.

    -30-



    MIL OSI USA News –

    August 5, 2025
  • MIL-OSI China: China’s desert spring hits 20-year high in water level, revealing ecological progress

    Source: People’s Republic of China – State Council News

    China’s desert spring hits 20-year high in water level, revealing ecological progress

    Tourists visit the Mingsha Mountain and Crescent Spring scenic spot in Dunhuang City, northwest China’s Gansu Province, May 31, 2025. Crescent Spring, a famed desert oasis in northwest China’s Gansu Province, has recorded its highest water level and largest surface area in over 20 years, signaling a major victory in ecological restoration efforts.(Photo by Zhang Xiaoliang/Xinhua)

    Crescent Spring, a famed desert oasis in northwest China’s Gansu Province, has recorded its highest water level and largest surface area in over 20 years, signaling a major victory in ecological restoration efforts.

    According to a report by the provincial geological environment monitoring institute released on Wednesday, the crescent-shaped oasis now stands at 3.8 meters deep and spans 2.12 hectares, a dramatic recovery from the late 1990s, when the average water level dropped below 1 meter and the surface area was reduced to just 0.17 hectares.

    Nestled among the towering dunes of Mingsha Mountain in Dunhuang, a key hub of the ancient Silk Road, Crescent Spring has been celebrated for at least 2,000 years as a natural marvel where shifting sands and clear waters coexist in harmonious balance, according to historical records.

    The beautiful spring not only dazzles visitors but also sustains Dunhuang’s fragile desert ecosystem, with groundwater from nearby rivers percolating through porous sands to offset evaporation.

    Over the past decades, however, environmental changes and human activities have led to falling groundwater levels that pushed the spring to the brink of drying up.

    The turning point came in 2011, when the State Council introduced a comprehensive plan for Dunhuang’s water protection and ecological restoration, with a groundwater replenishment project for Crescent Spring being its key part.

    Huang Wenming, the service center director of the Crescent Spring scenic area, explained that the project aims to enhance groundwater replenishment by constructing infiltration dams along the Dang River.

    “By prolonging water retention time through 12 permeable dams, it raises the upstream water table to reverse the declining trend around Crescent Spring, ensuring this natural wonder remains forever vibrant,” Huang said.

    Thanks to these efforts, the average water level of the spring has risen steadily, surpassing 3 meters in 2021 before reaching a new peak this year.

    In addition to restoring Crescent Spring, the project also supports the region’s water storage, flood control and wetland development, contributing to improvements in the local ecosystem.

    The spring is also safeguarded through scientific research. Using advanced techniques such as three-dimensional laser scanning, high-precision wind tunnel tests and numerical simulations based on actual terrain, teams from the Northwest Institute of Eco-Environment and Resources (NIEER) under the Chinese Academy of Sciences have successfully unraveled the sand-spring coexistence mechanism and proposed targeted measures to protect the spring from shifting dunes.

    An Zhishan, a senior engineer at NIEER, noted that protection efforts for Crescent Spring have evolved from ad-hoc emergency responses to long-term, standardized management, incorporating scientific monitoring, systematic regulation and routine conservation, which has yielded remarkable results.

    Thanks to these concerted efforts, the local ecosystem has seen significant improvements, injecting new vitality into the tourism industry.

    From January to June this year, the scenic area welcomed some 1.26 million visitors, up 3.2 percent year on year, according to the local culture and tourism bureau.

    MIL OSI China News –

    August 5, 2025
  • MIL-OSI China: China champions global cooperation on wetland conservation at COP15

    Source: People’s Republic of China – State Council News

    Amid growing global attention to wetland conservation, China’s efforts and achievements in this field are particularly eye-catching at the 15th Meeting of the Conference of the Contracting Parties to the Ramsar Convention on Wetlands (COP15), due to conclude in Victoria Falls on Thursday.

    From building the world’s largest number of international wetland cities to achieving legislative breakthroughs and forging capacity-building partnerships with other countries, China has embraced a comprehensive approach to wetland protection, deeply rooted in ecological civilization and its unwavering support for global efforts.

    An aerial drone photo taken on June 5, 2025 shows volunteers taking a boat to inspect the breeding habitat of migrant birds at a wetland on the estuary of the Baisha River in Qingdao City, east China’s Shandong Province. (Photo by Wang Haibin/Xinhua)

    SIGNIFICANT PROGRESS

    At the height of summer, deep within the East Dongting Lake National Nature Reserve in central China’s Yueyang city, Hunan province, schools of fish swim freely in the lake, deer bound through the forests, and birds sing joyfully among the trees.

    “We are proud to say that the wetlands are now the ecological calling cards of Yueyang,” said Yu Ge, a representative of the city who attended COP15 in the resort city of Victoria Falls in the Matabeleland North Province of Zimbabwe.

    The COP15, themed “Protecting Wetlands for Our Common Future,” brought together government representatives to strengthen international commitments to wetland conservation and to highlight the vital role of wetlands in sustaining ecological health, biodiversity and climate resilience.

    Yu actively promoted Yueyang at every event during his short stay in Zimbabwe, warmly inviting participants from different countries to explore the city. With approximately 285,200 hectares of wetlands, Yueyang has stepped up its conservation efforts in recent years and was officially recognized as an international wetland city at this year’s COP15.

    A total of nine Chinese cities won the prestigious title during the meeting, bringing the total number of such cities in China to 22, the highest in the world, showcasing the country’s significant achievements in wetland conservation.

    According to China’s National Forestry and Grassland Administration, China currently boasts 56.35 million hectares of wetlands, ranking fourth in the world. It is also home to 82 Wetlands of International Importance and five national parks.

    Yan Zhen, deputy head of China’s National Forestry and Grassland Administration, said during the meeting that in recent years, China has continuously improved its legal and institutional framework for wetland conservation, comprehensively protected wetland ecosystems, and actively engaged in international cooperation, continuously contributing to global wetland protection efforts.

    “Over the last 20 years, China has made significant progress in wetland conservation, marking a turning point that has led to a more balanced and sustainable relationship between humans and nature,” Yan said.

    SHINING EXAMPLE

    China became a party to the Ramsar Convention in 1992 and hosted COP14 in 2022, during which it was elected as chair of the standing committee to lead the convention process for the following three years.

    This photo taken on July 22, 2025 shows a herd of yaks in a wetland near Mapam Yumco Lake in Burang County of Ngari Prefecture, southwest China’s Xizang Autonomous Region. (Xinhua/Tenzing Nima Qadhup)

    In an exclusive interview with Xinhua during COP15, Musonda Mumba, secretary general of the Convention on Wetlands, said she assumed the role six weeks before the opening of COP14 and felt “very fortunate” to start the journey with China. “China has provided leadership in making sure that all the draft resolutions made at COP14 were dealt with and delivered in a timely manner.”

    China’s Wetland Protection Law, effective since June 2022, is the country’s first dedicated legislation on wetlands, providing a comprehensive legal framework for wetland conservation, restoration, management and sustainable use.

    Hailing the law as a “shining example” to the world, Mumba said, “China is one of the very few countries that actually have a wetland law. And that for me is also incredibly impressive, because not only does the law talk about having inventory, having the right data, managing these wetland systems, it also talks about the role of cities and why these cities matter.”

    The success in wetland conservation has not only benefited China’s biodiversity, but also contributed to the health of cross-border ecosystems by integrating wetland protection with other environmental goals, such as migratory bird conservation, she noted.

    Moreover, China’s efforts to raise awareness have sparked a significant increase in global interest in wetland conservation over the past years, she added.

    “Indeed, if you look across the world, China has taken a leadership position in doing the right thing for wetlands,” Coenraad Krijger, CEO of Wetlands International, a global not-for-profit organisation, told Xinhua on the sidelines of COP15.

    He applauded China for its leading role in the global wetland preservation agenda, noting that China’s status as a major investment partner in the world makes it a key player in safeguarding the health of wetland ecosystems.

    “Through the trade relations that China has, and the investments that China has all over the world, (China) is also connected to (other) very important wetlands worldwide,” Krijger said.

    While development is welcome, there is a need to maintain a balance between development and the health of wetlands, he said, adding that he is eager to visit Chinese wetland cities in the future to learn how they achieve urban development while reaping the benefits of preserving the wetlands.

    UNWAVERING COMMITMENT

    In many rapidly developing regions of Africa, urban expansion has taken a toll on wetlands, a growing issue that communities and policymakers are striving to address.

    This photo taken on Nov. 27, 2023 shows little swans resting at a wetland in Yueyang City, central China’s Hunan Province. (Photo by Cao Zhengping/Xinhua)

    According to Wetlands International’s Director for East Africa Julie Mulonga, many African countries have policies in place to protect wetlands, but there is a lack of investment in implementation measures.

    Local communities and indigenous knowledge play a crucial role in effectively driving wetland conservation efforts, she said, adding that China’s wetland management experience could provide a valuable reference and its advanced technology could go a long way in helping the continent achieve green development.

    Over the years, China has been actively supporting many African countries in wetland governance through legislative exchanges, technical training and talent development, helping enhance their ability to restore and preserve wetlands.

    Wetlands are crucial for ecological resilience, and their future hinges on unwavering international cooperation, said Xia Jun, director general of the International Cooperation Department at China’s National Forestry and Grassland Administration. “This profound understanding underpins China’s unwavering commitment to its conservation.”

    In 2024, China launched the International Mangrove Center (IMC) in the southern city of Shenzhen to promote global mangrove conservation, sustainable use and international cooperation.

    Xia described the IMC as a landmark initiative that reflects the spirit of global cooperation.

    With the support of the IMC, the Mangrove Conservation Foundation, a private foundation based in China, has been carrying out programs in African countries such as Madagascar and Kenya to help preserve mangroves, which are vital coastal ecosystems along the continent’s shorelines, Sun Lili, co-founder and executive board chair of the foundation, told Xinhua.

    Christine Colvin, Freshwater Policy Lead, WWF International, said: “This COP is really important in terms of setting goals for the next period, for the next decade, and the strategic plan for the contracting parties to Ramsar, and it prioritises international cooperation.”

    Colvin said that China is demonstrating to municipalities and local governments around the world how to bring nature back into cities and design new urban areas that are more permeable, allowing the natural water cycle to function.

    Commending China for leading the way in this field, the WWF official said they are looking forward to continuing cooperation with China to boost global efforts to preserve wetlands and build more permeable sponge cities.

    MIL OSI China News –

    August 5, 2025
  • MIL-OSI NGOs: Veerawit Tianchainan named New Greenpeace Southeast Asia Executive Director, Leading the Charge for Environmental Justice

    Source: Greenpeace Statement –

    Bangkok, 1 August 2025 – Greenpeace Southeast Asia has appointed Veerawit Tianchainan as its new Executive Director, effective 1 August 2025. Assuming leadership at a time of intensifying escalating climate threats and systemic environmental injustices, Veerawit brings a bold and values-driven vision to lead the organisation in confronting the climate crisis and champion environmental justice across Southeast Asia.

    Greenpeace Southeast Asia has appointed Veerawit Tianchainan as its new Executive Director, effective 1 August 2025. Assuming leadership at a time of intensifying escalating climate threats and systemic environmental injustices, Veerawit brings a bold and values-driven vision to lead the organization in confronting the climate crisis and champion environmental justice across Southeast Asia. © Chanklang Kanthong / Greenpeace

    A seasoned leader in environmental and human rights advocacy, Veerawit brings over 25 years of experience working across Southeast Asia and globally. His career spans diplomacy, public policy, grassroots mobilisation and international cooperation with governments, multilateral institutions and civil society movements. 

    Early in his career, Veerawit worked with the United Nations High Commissioner for Refugees Regional Office in Thailand before founding the Thai Committee for Refugees Foundation (TCR), the country’s first nationally registered non-profit organisation dedicated to refugee protection. Under his leadership, TCR became a leading advocate for the rights of refugees, asylum seekers and stateless persons across Thailand and the region. 

    Prior to joining Greenpeace, Veerawit held leadership roles with the USAID-WWF Mekong for the Future Programme, where he led initiatives on environmental governance, community rights and natural resource protection across the Lower Mekong and wider ASEAN region. He also served leadership roles at The Freedom Story in Chiang Rai and the US Committee for Refugees and Immigrants, and has advised the National Human Rights Commission of Thailand, the ASEAN Intergovernmental Commission on Human Rights, and the ASEAN Commission on the Promotion and Protection of the Rights of Women and Children and the Asian Research Center for Migration.

    Upon his appointment, Veerawit stated:

    “We can only secure a thriving future for people and planet by standing up to unjust systems and creating bold, fair alternatives that put communities and the environment first. Greenpeace is a force for transformation – driven by courage, hope, and the power of people coming together. I’m proud to stand with Southeast Asia’s communities as we fight for environmental justice and a dignified future for all.”

    Welcoming the new Executive Director, Wahyu Dhyatmika, Chair of Greenpeace Southeast Asia’s Board of Directors, commented:

    “Veerawit’s bold vision, deep roots in community engagement, and proven leadership come at a time when bold action is urgently needed. The Board is confident he will guide Greenpeace Southeast Asia with purpose and drive the systemic change required to meet today’s environmental challenges.”

    With presence in Thailand, Indonesia, Malaysia, and the Philippines, for over 25 years, Greenpeace Southeast Asia continues to champion renewable energy, forest and ocean protection, and climate justice – working alongside communities and grassroots movements to build a just, peaceful and sustainable future.


    Download the image of Veerawit here

    For media inquiries, please contact:

    Somrudee Panasudtha, Senior Media Campaigner, Greenpeace Thailand

    Tel. 081 929 5747 Email: [email protected]

    MIL OSI NGO –

    August 5, 2025
  • MIL-OSI NGOs: Woodside decommissioning “more like decomposing”: Greenpeace

    Source: Greenpeace Statement –

    PERTH, Friday 1 August 2025 — In response to reports that fossil fuel giant Woodside has been hit with mandated orders over decommissioning by safety regulator NOPSEMA, the following statement can be attributed to Geoff Bice, WA Campaign Lead at Greenpeace Australia Pacific:

    “It’s unsettling but unsurprising that Woodside is yet again in trouble with the federal regulator NOPSEMA. Woodside’s mess is its own to clean up through thorough, safe and timely decommissioning of its toxic, retired offshore projects. But at this rate, what Woodside calls decommissioning is more like decomposing. 

    “Woodside’s decommissioning woes are piling up as its safety record and timelines blow out. The latest issues highlighted by the regulator include plastic from its Victorian structures washing up on local beaches, dangerous worker safety incidents, and ongoing issues related to the giant riser turret mooring that sank to the ocean floor near Ningaloo Reef.

    “This follows on from troubling reports last week that taxpayers are expected to foot Chevron’s bill for the massive clean-up required of the once-pristine Barrow Island. It has never been clearer that the oil and gas industry cannot be trusted to operate off the beautiful WA coast. We cannot risk similar outcomes at Scott Reef, where Woodside wants to drill up to 57 wells. The federal and Western Australian governments must make the polluters pay for their own full and proper clean up and prevent further risks to WA’s nature by rejecting Woodside’s dirty gas proposal at Scott Reef.”

    -ENDS-

    Photos and videos available here

    For more information or interviews, contact Kimberley Bernard on +61407581404 or [email protected]

    MIL OSI NGO –

    August 5, 2025
  • MIL-OSI USA: Environmental Justice Caucus Co-Chairs Markey, Duckworth, Booker Slam Trump Administration Plan to Eliminate EPA’s Ability to Protect Public Health from Climate Change

    US Senate News:

    Source: United States Senator for Massachusetts Ed Markey

    Washington (July 31, 2025) – Senators Edward J. Markey (D-Mass.), Tammy Duckworth (D-Ill.), Cory Booker (D-N.J.)—co-chairs of the U.S. Senate Environmental Justice Caucus—issued the following statement after Environmental Protection Agency (EPA) Administrator Lee Zeldin announced his proposal to rescind the 2009 endangerment finding, a landmark determination that requires the EPA to address greenhouse gas emissions and pollution because of the threat that climate change poses to public health and welfare. By rescinding the endangerment finding, the Trump administration will effectively declaw the EPA, giving big businesses a green light to pollute our air and devastate environmental justice communities.

    “Once again, the Trump administration is sacrificing our children’s future to protect polluters in the present. Trump and Zeldin are annihilating the key legal foundation that requires our government to act on climate change because it threatens the health of Americans—their repeal of the endangerment finding is ignorant, runs counter to scientific fact and will put lives at risk. Environmental justice communities are particularly threatened by this wrong-headed decision, since they are most exposed to climate impacts and have the fewest resources to protect themselves. The Trump administration must reverse this decision—it flies in the face of science, the law, and our moral responsibility to protect our future.”

    As co-chairs of the Senate Environmental Justice Caucus, Markey, Duckworth, and Booker have long pushed to strengthen and defend environmental justice efforts across the country. Earlier this month, the three condemned Republicans’ cuts to environmental justice grants that were included in Donald Trump’s Big, Beautiful Betrayal. Earlier this week, Markey held a press conference outside EPA headquarters to rail against the Trump administration’s plans to rescind the endangerment finding. In March, Duckworth and Booker condemned the Trump administration for shutting down all of EPA’s environmental justice offices and slashing over 30 EPA regulations that have helped protect our nation’s public health and the environment for decades.

    In February, Markey, Duckworth, and Booker—along with Senator Lisa Blunt Rochester (D-Del.)—urged EPA Administrator Zeldin to reopen the EPA’s Office of Environmental Justice and External Civil Rights (OEJECR), which Duckworth and Booker led the charge to create. Markey, Duckworth, and Booker also helped introduce legislation that would permanently codify the Office of Environmental Justice within the Department of Justice’s (DOJ) Environment and Natural Resources Division (ENRD) in response to Attorney General Bondi’s order eliminating all environmental justice efforts at the DOJ.

    MIL OSI USA News –

    August 5, 2025
  • MIL-Evening Report: Marine climate interventions can have unintended consequences – we need to manage the risks

    Source: The Conversation (Au and NZ) – By Emily M. Ogier, Associate Professor in Marine Social Science, University of Tasmania

    Stock for you, Shutterstock

    The world’s oceans are being rapidly transformed as climate change intensifies. Corals are bleaching, sea levels are rising, and seawater is becoming more acidic – making life difficult for shellfish and reef-building corals. All this and more is unfolding on our watch, with profound consequences for marine ecosystems and the people who depend on them.

    In response, scientists, governments and industries are trying to intervene.
    People all over the world are experimenting with new ways to capture and store more carbon dioxide, or make up for damage already done.

    Ocean-based climate actions include breeding more heat-tolerant corals, restoring mangroves, and farming seaweed. Such interventions offer hope, but they’re also inherently risky. Some may be ineffective, inequitable or even harmful.

    The pace of innovation is now outstripping the capacity to responsibly regulate, monitor and evaluate these interventions. This means current and future generations may not be getting value for money, or worse – the chance to avoid irreversible change may be slipping away.

    In our new research, published in Science, we reviewed the latest evidence on known and perceived risks of new ocean-based climate interventions. We then gathered emerging ideas on how to reduce those risks.

    We found the risks aren’t being widely considered, and the benefits are unclear. But there are emerging assessment tools and planning frameworks we can build on, to plan ocean-based climate actions that meet humanity’s climate goals.

    The promise and peril of marine climate interventions

    Marine climate interventions vary in scope and ambition. Examples can be found all over the world. These include:

    • making oceans in North America more alkaline (less acidic) so they can take up more carbon dioxide

    • breeding heat-tolerant corals in Australia to transplant onto degraded reefs

    • farming seaweed in Africa to capture carbon and reduce ocean acidity

    • restoring mangroves in Asia to defend coastal communities

    • avoiding emissions by banning offshore oil and gas exploration.

    Some interventions are still at proof-of-concept stage, and several have been tested and abandoned. Others are facing challenges owing to complexity of monitoring and verification.

    Each has its own set of benefits, costs and risks. For example, making the ocean more alkaline may help to squeeze in more carbon from the atmosphere, but it’s difficult to verify how much carbon has been removed. This makes it hard to justify the costs and the potential damage to ecosystems, such as effects on local fish populations.

    Restoring coral can support biodiversity in the short term, but it may not last as warming exceeds their (modified) ability to adapt. This type of intervention is also expensive and labour-intensive, with unintended emissions from energy-intensive processes. So it may be impossible to scale up.

    Seaweed farming at scale would occupy thousands if not millions of square kilometres of oceans, displacing fishing, shipping and conservation. Harvesting 1 billion tonnes of seaweed carbon would require farming more than 1 million square km of the Pacific Ocean, and would deliver just 10% of the annual atmospheric carbon dioxide removal required to limit global warming to 1.5°C.

    It’s doubtful whether seaweed farming would actually remove carbon from the atmosphere. But seaweed farming can – if well-planned – produce a range of other climate-related benefits.

    Moreover, interventions often overlap in space and time, creating cumulative impacts and unintended consequences. In some cases, the projects may displace other users, undermine Indigenous rights, or erode public trust in climate science and policy. Without careful understanding and planning, these efforts could exacerbate the very problems they aim to solve.

    Governance gaps and ethical dilemmas

    One of the most pressing challenges is the lack of regulation and oversight suited to the scale and complexity of marine climate interventions.

    Existing regulations are often outdated, fragmented, or designed for land-based systems. Few countries have biosafety laws for the ocean. This means many interventions proceed without comprehensive risk assessments or community consultation.

    Ethical dilemmas abound. Who decides what constitutes a “healthy” ocean? Who bears responsibility if an intervention causes harm? And how do we ensure benefits — such as improved livelihoods or climate resilience — are equitably distributed?

    Currently, scientists, funding bodies and non-government organisations do the bulk of the decision-making. There is limited input from governments, local communities and Indigenous Peoples. This imbalance risks perpetuating historical injustices and undermining the legitimacy of many ocean-based climate actions.

    Ocean Alkalinity Enhancement has been proposed for St Ives in Cornwall.
    diego_torres, pixabug, FAL

    Toward responsible marine transformation

    We identified opportunities for scientists, policymakers, and funding bodies to work together more effectively on more comprehensive assessments of interventions.

    Guidelines and insights are emerging from experimental-scale research into capturing and storing “blue” carbon in ocean and coastal ecosystems. Similarly, a non-profit organisation in the United States has developed a code of conduct for marine carbon dioxide removal. However these guidelines are yet to be integrated into broader governance frameworks.

    Awareness of the urgent need to ensure intervention is done responsibly is also growing. Many high-level policy documents now recognise the importance of transitioning to more sustainable, equitable, and adaptive states. For example, the Samoa Climate Change Policy 2020 recognises the need to adapt coastal economies and communities to warming oceans, while also working to reduce carbon emissions.

    We can use the ocean in our fight against climate change (United Nations)

    Proceed with caution

    The ocean is central to our climate future. It absorbs heat, stores carbon, and sustains life. But it is also vulnerable — and increasingly, a site of experimentation. If we are to harness the promise of ocean-based climate action, we must do so with care, humility, and foresight.

    Responsible governance is not a barrier to innovation — it is its foundation. By embedding ethical, inclusive, and evidence-based principles into our marine climate strategies, we can chart a course toward a more resilient and equitable ocean future.

    Emily M. Ogier receives salary support from the Australia Research Council. She receives funding from The Nature Conservancy, the Fisheries Research and Development Corporation and the Blue economy Centre for Research Excellence. She is affiliated with the Centre for Marine Socioecology.

    Gretta Pecl receives funding from the Australian Research Council, Department of Agriculture Water and the Environment, Department of Primary Industries NSW, Department of Premier and Cabinet (Tasmania), the Fisheries Research and Development Corporation, The Ian Potter Foundation and has received travel funding support from the Australian government for participation in the UN Intergovernmental Panel on Climate Change process. She is affiliated with the Biodiversity Council and the Centre for Marine Socioecology.

    Tiffany Morrison receives funding from the Australian Research Council Laureate and Discovery Programmes, WorldFish-CGIAR ( (formerly the Consultative Group for International Agricultural Research), and The Nature Conservancy Science for Nature and People Partnership.

    – ref. Marine climate interventions can have unintended consequences – we need to manage the risks – https://theconversation.com/marine-climate-interventions-can-have-unintended-consequences-we-need-to-manage-the-risks-262343

    MIL OSI Analysis – EveningReport.nz –

    August 5, 2025
  • MIL-OSI Russia: Rosneft Contributes to Study of Russia’s Wild Reindeer

    Translation. Region: Russian Federal

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

    On August 2, Russia celebrates Reindeer Day, a holiday dedicated to reindeer and reindeer herding. Rosneft makes a significant contribution to the study and conservation of the population of these animals in the Russian Federation.

    Wild reindeer are a vital link in Arctic ecosystems. Since 2014, the company has been studying the reindeer population in the Krasnoyarsk Territory, in the territories of Evenkia and the Taimyr Peninsula. Large-scale ground and aerial surveys of the animals are conducted annually. Using satellite tags installed on the reindeer, scientists have tracked the annual migration cycle for the first time, and also identified seasonal behavior patterns.

    In 2025, as part of the Tamura corporate environmental program, a new research expedition to study wild reindeer was launched in Western Taimyr. Field work is being conducted by scientists from the Siberian Federal University (SFU). The first group of specialists will travel along the Khatanga River and the upper section of the Kheta River. The total length of the boat routes will be more than 700 km. The second part of the scientific expedition started from Norilsk. Scientists plan to travel by boat along the Pyasina, Dudypta, Tareya, and Pura rivers. Based on the results of the work, the number of reindeer in Western Taimyr and their migration routes will be determined.

    In 2024, as part of the Tamura program, scientists from SFU and Taimyr reserves also conducted a comprehensive census of the number and migration of animals to update data on the state of the Taimyr-Evenki population.

    For many years, the East Siberian Oil and Gas Company (ESOG, part of Rosneft) together with SFU have been implementing the Evenki Deer project. Scientists track the movements, numbers, and habitat characteristics of wild deer in the region. For people living in the taiga and tundra, deer are an important part of their everyday life and culture.

    VSNK also supports research into musk deer, a small deer-like animal rare for Evenkia that lives in Siberia and the Far East. Their secretive lifestyle and size (up to 70 cm at the withers) make them almost invisible. These even-toed ungulates are listed in the Red Book of several regions of Russia and the Red List of the International Union for Conservation of Nature as a vulnerable species. Scientists have conducted work to find musk deer habitats in Evenkia. During the research, their presence was confirmed in an area that was previously considered unsuitable for this rare deer species, and the population size was estimated – it currently stands at 300 individuals.

    As part of the forest reindeer research with the support of RN-Uvatneftegaz (part of the Company’s oil production complex), scientists from the Tobolsk Scientific Station of the Ural Branch of the Russian Academy of Sciences carried out large-scale work in the Kunyaksky Reserve. Based on the results of aerial monitoring, which covered almost 60 thousand hectares, over 100 thousand images were obtained to clarify the reindeer population. The environmental program of RN-Uvatneftegaz is of great practical importance for the Tyumen Region – forest reindeer research has not been conducted in the region for more than 20 years.

    Thanks to the grant support of RN-Vankor (part of the oil production complex of NK Rosneft), SFU scientists have created a teaching aid, Wild Reindeer of Taimyr. The project is aimed at developing scientifically based strategies for the rational use and conservation of a key species-bioindicator of Arctic ecosystems. The aid systematizes extensive data obtained as a result of field and office studies.

    Reference:

    Rosneft pays special attention to environmental issues and biodiversity conservation, implementing the largest comprehensive Arctic region study program since Soviet times. The new Tamura research program, which started in 2024, is designed to update information on the state of key animal species living in the north of Krasnoyarsk Krai. The Tamura program includes studying the Kara subpopulation of polar bears, wild reindeer populations, valuable bird and fish species in the Yenisei estuary. Three expeditions to study the Kara subpopulation of polar bears have already taken place in 2025. In total, ten expeditions will be held in four years.

    Department of Information and AdvertisingPJSC NK RosneftAugust 1, 2025

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

    .

    MIL OSI Russia News –

    August 5, 2025
  • MIL-OSI United Kingdom: Appointment of Churches Conservation Trust members: 1 August 2025

    Source: United Kingdom – Government Statements

    Press release

    Appointment of Churches Conservation Trust members: 1 August 2025

    The King has approved the nomination of Trustees of the Board of the Churches Conservation Trust.

    The King has approved the nomination of Bishop Andrew Rumsey, Dr Ingrid Samuel OBE, Lord (Stephen) Parkinson of Whitley Bay, Michael Bithell JP, Vivienne King and Reverend Canon Timothy Goode.

    Andrew Rumsey read history at the University of Reading before training for ordination at Ridley Hall, Cambridge and doctoral studies at King’s College, London. Ordained in 1997, he has held a variety of parish posts in London and Southwark and was appointed Suffragan Bishop of Ramsbury in 2018. Andrew is the joint National Church of England Lead for Church and Cathedral Buildings, and is a writer, musician and champion for Anglican heritage.

    Dr Ingrid Helene Samuel OBE was educated at McGill University, Canada, obtaining BA in History, she then gained a M Litt and PhD in Modern History at Jesus College, Cambridge. In 2004 Ingrid was Head of Culture for the London Olympic Bid and between 2005 – 2011 has held several roles in the Department for Culture, Media and Sport including Head of Properties and Ceremonial Branch, Head of Heritage, and Head of Heritage and Architecture. Additionally, in 2011 she took up the role of Placemaking and Heritage Director with the National Trust.

    Lord Parkinson of Whitley Bay was educated at Emmanuel College, Cambridge, obtaining an MA in History. From 2021-2024 Stephen was Parliamentary Under-Secretary of State, Department for Culture, Media & Sport, and previously was Political Secretary to the Prime Minister and Special Adviser to the Home Secretary.

    Michael Bithell JP was educated at Magdalen College, Oxford, completing a MA in Engineering Science and post-graduate studies in Manufacture and Management at Cambridge University. Now retired, Michael was Group Finance Director of United Westminster and Grey Coat Foundation from 2015 to 2022. Previously, he worked for Deloitte LLP for 23 years, as Director, National Quality & Risk; and Director, Corporate Finance Government & Infrastructure. He has a number of voluntary and non-executive positions, including as a member of London Diocesan Synod, Finance Committee and Non-Property Investment Committee, as a Magistrate and an Honorary Steward of Westminster Abbey.

    Vivienne King was educated at Keele University obtaining a BSoc Sci in Law and Politics in 1983, subsequently completing a Legal Practice Course at the College of Law in 1985. In 2010 and 2012 she completed a Corporate Finance Programme with Cranfield University and in 2021 undertook Business Sustainability Management with the University of Cambridge Institute for Sustainability Leadership. After seven years as Real Estate Associate with Herbert Smith Freehills, Vivienne joined The Crown Estate in 1994 as a Senior Solicitor and was subsequently Director of Business Operations & General Counsel. She was CEO of the Soho Housing Association from 2016 to 2020, CEO of Revo and then Head of Real Estate Social Impact at The Good Economy. In March 2024 Vivienne founded Impactful Places, an independent sustainability consultancy.

    Timothy Goode has been the Canon for Congregational Discipleship and Nurture at York Minster since September 2023. Previously he was Rector of St Margaret’s Lee in South East London, and a member of General Synod and Archbishops’ Council. Tim is a member of the National Disability Task Group, which advises the Archbishops of Canterbury and York on disability issues and he led the first debate on disability at the General Synod in July 2022. Tim was a secondary school teacher at the Roehampton Institute and Director of Music of Homefield School from 1995-2007. He trained for ministry at Ripon College Cuddesdon and served his title at Croydon Minster, in the Diocese of Southwark and was ordained priest in 2010. From September 2012 to May 2018, he was Team Vicar of St Luke’s Whyteleafe and St Peter and St Paul, Chaldon, part of the Caterham Team ministry. From 2013 to 2021 he was additionally the Southwark Diocesan Disability Advisor. Tim was made an Honorary Canon of Southwark Cathedral in September 2020 and has been a trustee of the Churches Conservation Trust since November 2020. He has now been re-appointed in the role for a second term until October 2028.

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    Updates to this page

    Published 1 August 2025

    MIL OSI United Kingdom –

    August 5, 2025
  • MIL-OSI Africa: Government welcomes renewable energy investments initiative 

    Source: Government of South Africa

    The Minister of Forestry, Fisheries and the Environment, Dr Dion George, has applauded the launch of a research project investigating how private renewable energy investments in South Africa contribute to equitable social development.

    “Projects like Communities and the Private Renewable Energy Sector: Distributing Social Development Benefits in South Africa (COM-PRES),which support South Africa’s Renewable Energy Independent Power Producer Procurement Programme (REIPPPP), are not only welcome, but are encouraged as the knowledge that will be generated will contribute to driving innovation and investment that bolsters South Africa’s renewable energy capacity,” George said on Friday.

    COM-PRES is a four-and-a-half-year research project, which was launched on 31 July 2025, led by Danish-based social researcher, Dr Marianne S. Ulriksen from the University of Southern Denmark. 

    It will be implemented locally, in partnership with the Centre for Social Development in Africa, at the University of Johannesburg and the Centre for Social Science Research at the University of Cape Town.

    The South African government strongly focuses on integrating renewable energy projects with social development initiatives, particularly through the REIPPPP, which is also part of the country’s ambitious just energy transition agenda.

    “COM-PRES aims to understand how private-sector renewable energy projects can address inequality in affected and surrounding South African communities through novel mandatory community trusts and social development interventions,” Ulriksen said.

    According to Ulriksen, the knowledge and ideas generated at the community level – working collaboratively with community members, local stakeholders and independent power producers – will feed back to national stakeholders, with the aim of providing practical recommendations for designing and managing renewable energy investments to enhance socio-economic outcomes and relations between communities, the industry and government.

    “South Africa can develop a resilient, inclusive, and environmentally sustainable energy sector that also supports our efforts to drive sustainable economic growth, job creation and poverty reduction,” the Minister said. – SAnews.gov.za

    MIL OSI Africa –

    August 5, 2025
  • MIL-OSI Asia-Pac: Barbecued pork sample detected with Orange II

    Source: Hong Kong Government special administrative region – 4

    The Centre for Food Safety (CFS) of the Food and Environmental Hygiene Department today (August 1) announced that a barbecued pork sample was detected with Orange II, a non-permitted colouring matter in food. The CFS is following up on the incident.

    A spokesman for the CFS said, “The CFS collected the above-mentioned sample from a stall at San Hui Market in Tuen Mun for testing under its routine Food Surveillance Programme. The test result showed that the sample contained Orange II. The CFS has informed the stall concerned of the above-mentioned irregularity and instructed it to stop selling the food product concerned.”

         “Orange II, an industrial dye commonly used in wool, leather, paper and cosmetic products, is not permitted to be used in food in Hong Kong,” the spokesman added.

    According to the Colouring Matter in Food Regulations (Cap. 132H), no food intended for sale for human consumption shall contain any added colouring matter which is not a permitted colouring matter. Offenders may be liable to a maximum fine of $50,000 and six months’ imprisonment upon conviction.

    The CFS will continue to follow up on the incident and take appropriate action. An investigation is ongoing.

    MIL OSI Asia Pacific News –

    August 5, 2025
  • MIL-OSI Africa: Call to protect the nation’s oceans

    Source: Government of South Africa

    As South Africa joins the international community to celebrate Marine Protectors Day, the Minister of Forestry, Fisheries and the Environment, Dr Dion George, has called on all South Africans to protect the nation’s oceans.

    “Whether through reducing plastic waste, supporting sustainable seafood choices, or participating in coastal clean-up initiatives, every action counts. Together, we can ensure that our oceans remain vibrant and thriving for generations to come,” the Minister said on Friday.

    This day serves as a powerful reminder of the collective responsibility to protect the nation’s oceans, which are vital to biodiversity, food security, and the livelihoods of coastal communities.

    The Minister paid tribute individuals, communities and organisations dedicated to safeguarding South Africa’s rich marine ecosystems.

    “South Africa’s oceans are a cornerstone of our natural heritage, supporting millions of lives and driving economic growth through sustainable fisheries, tourism, and conservation initiatives. On Marine Protectors Day, we celebrate the rangers, scientists, enforcement officers, and community members who work relentlessly to preserve our marine resources for future generations,” the Minister said.

    Under his leadership, the Department of Forestry, Fisheries and the Environment (DFFE) has made significant strides in marine conservation. 

    Recent achievements include a 36% increase in fishing allocations for small-scale fishers on appeal, robust anti-poaching operations to combat illegal abalone harvesting, and the development of draft management plans for the Benguela Muds and Cape Canyon Marine Protected Areas. 

    These efforts underscore the department’s commitment to balancing environmental protection with socio-economic development.

    “Our Marine Protected Areas (MPAs) are sanctuaries for marine life, providing safe havens for species like the African Penguin and supporting the resilience of our coastal ecosystems,” George said.

    The Minister reaffirmed his commitment to expanding and strengthening these protected areas, in line with South Africa’s obligations under the Kunming-Montreal Global Biodiversity Framework.

    The DFFE, in collaboration with partners such as the South African National Biodiversity Institute (SANBI) and the South African Maritime Safety Authority (SAMSA), will continue to drive innovative policies and enforcement measures to combat marine pollution, overfishing, and environmental crime. –SAnews.gov.za

    MIL OSI Africa –

    August 5, 2025
  • MIL-OSI United Kingdom: Public invited to comment on Food Law secondary legislation01 August 2025 Islanders are invited to review and have their say on proposed secondary legislation under the Food Law, through a 10-week public consultation. The proposed legislation aims to protect the public health… Read more

    Source: Channel Islands – Jersey

    01 August 2025

    Islanders are invited to review and have their say on proposed secondary legislation under the Food Law, through a 10-week public consultation. 

    The proposed legislation aims to protect the public health of Islanders and visitors, ensuring that food sold, prepared and packaged in Jersey meets internationally recognised requirements, bringing Jersey in line with standards already in place in the UK and EU. 

    The secondary legislation focuses on three main areas: 

    • New licensing scheme for food businesses 
    • Food standards (including labelling and food allergens) 
    • Food hygiene and safety.

    Feedback gathered from the consultation will help to finalise the secondary legislation, which will then be presented to the States Assembly in early 2026. 

    If the secondary legislation is approved, the Food (Jersey) Law 2023 which was passed by the States in December 2022 can take effect. As the primary law has already been approved, the focus of this consultation is on the secondary legislation. 

    The labelling and food allergens area of the legislation introduces modern evidence-based requirements, following regulations in the EU and Natasha’s Law in the UK. The aim is to improve the information provided to consumers about food allergens present in food settings so that consumers can make safer, more informed choices. 

    Additionally, updated licensing arrangements are proposed which would be carried out on a risk-based framework, categorising food businesses based on the level of risk their activities potentially pose to customers. This approach would mean licensing fees more accurately reflect the time and resources spent by officers in inspecting and supporting food premises. 

    The closing date of the consultation is Thursday 9 October 2025. See the draft legislation and consultation survey here: Food (Jersey) Regulations 202-. 

    The Minister for the Environment, Deputy Steve Luce, said: “The Food (Jersey) Law 2023 is about improving food safety and consumer protection in Jersey. This proposed secondary legislation, if approved, will allow this law to come into force and will be a crucial step to ensuring Jersey’s food system is aligned with international standards. 

    “The law has been designed with proportionality in mind, and I want to reassure those with concerns that it is not intended to target occasional activities, like charity cake sales for example. This is ensuring high standards of food hygiene, safety and standards at every stage of the food chain – ​from the primary producer to the end consumer. Many food businesses are already making great efforts to do this, and the legislation will help ensure that everyone can enjoy food safely. 

    “I encourage Islanders, food businesses, and stakeholders to review the proposed legislation and share your thoughts. Your feedback will help inform the final legislation which will be brought to the States Assembly for approval early next year.” ​​

    MIL OSI United Kingdom –

    August 5, 2025
  • Toxic metals found in Himalayan clouds, pose health risk: study

    Source: Government of India

    Source: Government of India (4)

    A new scientific study has found that clouds drifting over the Eastern Himalayas and Western Ghats are carrying toxic heavy metals, posing potential carcinogenic and non-carcinogenic health risks, especially to children.

    The study, conducted by the Bose Institute—an autonomous body under the Department of Science and Technology (DST),  Ministry of Science & Technology , Government of India—found that clouds over the Eastern Himalayas contain 1.5 times higher pollution levels than those over the Western Ghats. This is largely due to emissions from heavy vehicular traffic and industrial activity in the foothill regions, the report noted.

    The research team, led by Dr. Sanat Kumar Das, Associate Professor at Bose Institute, detected harmful concentrations of cadmium (Cd), chromium (Cr), copper (Cu), and zinc (Zn) in non-precipitating clouds during the onset of the monsoon season. These clouds were found to be a major medium of long-range transport of pollutants from the lowlands to high-altitude regions.

    “The inhalation of cloud water laced with dissolved heavy metals is a significant exposure pathway, particularly in the Eastern Himalayas. This poses high health risks, especially among children, who are 30% more vulnerable than adults,” said Dr. Das.

    Published in the journal Environmental Advances, the study used statistical models to assess health risks through multiple exposure routes, including inhalation, ingestion, and dermal absorption. It found that the presence of carcinogenic metals like dissolved chromium in the cloud water notably raises the likelihood of developing cancer and other health issues.

    Despite the concerning findings, researchers noted that Indian clouds remain relatively less polluted compared to countries like China, Pakistan, Italy, and the United States. However, they cautioned that rising pollution levels and the lack of prior data on metal contamination in monsoon clouds make this an emerging public health concern.

    The study challenges long-held assumptions about the purity of mountain rainwater and opens a new avenue for atmospheric and health-related research in the region.

    August 5, 2025
  • MIL-OSI Analysis: Why Donald Trump has stopped some conflicts but is failing with Ukraine and Gaza

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

    In yet another twist in his unpredictable decision making, US president Donald Trump has dramatically shortened his original 50-day ultimatum to Vladimir Putin to call a ceasefire in Ukraine to a mere ten days. It’s an unmistakable sign of Trump’s frustration with the Russian leader who he now appears to view as the main obstacle to ending the war.

    Progress has been similarly limited on another of Trump’s flagship foreign policy projects: ending the war in Gaza. As a humanitarian catastrophe engulfs the territory, Trump and some of his Maga base are finally challenging Israel’s denials that, after almost two years of war, many Gazans now face a real risk of starvation.

    In neither case have his efforts to mediate and bring an end to the violence borne any fruit. But not all of Trump’s efforts to stop violence in conflicts elsewhere in the world have been similarly futile. The administration brokered a ceasefire between Rwanda and the Democratic Republic of Congo (DRC), which the two countries’ foreign ministers signed in Washington on June 27.

    The US president has also claimed to be behind the ceasefire between India and Pakistan in May after the two sides had engaged in several days of fierce combat following a terror attack in Indian-administered Kashmir by a Pakistan-backed rebel group. And, drawing a clear parallel between this conflict and the border clashes between Cambodia and Thailand in July, Trump announced he had pushed both countries’ leaders to negotiate a ceasefire.

    All of these ceasefires, so far, have held. By contrast, the ceasefire in the war between Israel and Hamas in Gaza, to which Trump contributed in January, even before he was inaugurated for his second term, broke down in March and fighting has escalated ever since. A short-lived ceasefire in Ukraine in April was barely worth its name given the countless violations.

    Mixed record

    Three factors can explain Trump’s mixed record of peacemaking to date. First, the US president is more likely to succeed in stopping the fighting where he has leverage and is willing to use it to force foreign leaders to bend to his will. For example, Trump was very clear that there would be no trade negotiations with Thailand or Cambodia “until such time as the fighting STOPS”.

    The crucial difference, so far, with the situation in the war against Ukraine is that Trump has, and has used, similar leverage only with the Ukrainian president, Volodymyr Zelensky. This led to a US-Ukraine agreement on a 30-day ceasefire proposal just two weeks after the now-notorious row between Trump and Zelensky in the Oval Office.

    The mere threat of sanctions against Russia, by contrast, has done little to persuade Putin to accept whatever deal might Trump offer him. Trump’s threats – which he has never followed through on – did not work in January or May. The Kremlin’s initial reactions to the latest ultimatum from the White House do not indicate a change in Putin’s attitude.

    A second factor that may explain why Trump has had peacemaking success in some cases but not others is the level of complexity of US interests involved. When it comes to US relations with Russia and Israel, there is a lot more at stake for Trump.

    The US president still appears keen to strike a grand bargain with Russia and China under which Washington, Beijing and Moscow would agree to recognise, and not interfere in, their respective spheres of influence. This could explains his hesitation so far to follow through on his threats to Putin.

    Similarly, US interests in the Middle East – whether it’s over Iran’s nuclear programme or relations with America’s Gulf allies – have put strains on the alliance with Israel. Trump also needs to weigh carefully the impact of any move against, or in support of, Israel on his domestic support base.

    In the deal Trump brokered between Rwanda and the DRC, the issues at stake were much simpler: access for US investors to the mineral riches of the eastern DRC. Just days into his second term, Trump acknowledged that the conflict was a “very serious problem”. Congo’s president, Felix Tshisekedi, responded by offering the US access to minerals in exchange for pushing Rwanda to a deal to end the invasion and stop supporting proxy forces in the DRC.

    This leads to the third factor that has enabled Trump’s peace-making success so far: simpler solutions are easier to achieve. Thailand and Cambodia and India and Pakistan can go back to the situation before their recent fighting. That does not resolve any of the underlying issues in their conflicts, but returns their relations to some form of non-violent stability.

    It is ultimately also in the interests of the conflict parties. They have had a chance to make their violent statements and reinforce what they will and won’t tolerate from the other side. The required investment by an external mediator to end battles that have achieved what the warring sides want anyway – to avoid further escalation – is consequently quite limited.

    Complex conflicts

    Getting to any kind of stability in Ukraine or the Middle East by contrast requires prolonged engagement and attention to detail. These conflicts are at a stage in which a return to how things were before is not in the interests of the parties or their external backers. Nudging warring parties along on the path to agreement under such conditions requires a well-designed process, which is absent in Ukraine and failing in Gaza.

    Thanks to funding and personnel cuts, the US secretary of state, Marco Rubio, is now required to perform multiple roles. Trump relies on personal envoys with at best limited foreign policy expertise, while insisting he makes all the decisions. This ultimately suggests that the White House simply may not have the bandwidth for the level of engagement that would be necessary to get to a deal in Ukraine and the Middle East.

    This is a self-inflicted opportunity lost, not only for the United States but also for the long-suffering people of Ukraine and the Middle East.

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

    – ref. Why Donald Trump has stopped some conflicts but is failing with Ukraine and Gaza – https://theconversation.com/why-donald-trump-has-stopped-some-conflicts-but-is-failing-with-ukraine-and-gaza-262241

    MIL OSI Analysis –

    August 5, 2025
  • MIL-OSI USA: Durbin Introduced Legislation To Protect More Than 13,000 Acres Of Shawnee National Forest

    US Senate News:

    Source: United States Senator for Illinois Dick Durbin

    July 31, 2025

    The Shawnee National Forest Conservation Act would create 12,700 additional acres of special management areas and 750 acres of wilderness in the Shawnee National Forest

    WASHINGTON – This week, U.S. Senate Democratic Whip Dick Durbin (D-IL) introduced the Shawnee National Forest Conservation Act, legislation that would create 12,700 additional acres of special management areas and 750 acres of wilderness in the Shawnee National Forest. Securing this designation for these acres would offer critical protections to the area.

    “The Shawnee National Forest welcomes thousands of visitors each year, who take advantage of the beautiful views and hiking trails. It’s critical that our natural areas are preserved to ensure that generations of Illinoisans can continue to enjoy all that Shawnee National Forest has to offer,” Durbin said. “I’m introducing the Shawnee National Forest Conservation Act to protect more than 13,000 acres of one of our state’s richest natural resources.”

    “Protecting these wonderful areas in the Shawnee National Forest, including the new Camp Hutchins Wilderness Area, will go a long way to preserving some of the most remarkable landscapes, biodiversity, and water resources in Southern Illinois,” said Howard Learner, Executive Director of the Environmental Law & Policy Center. “Illinois cares about Wilderness areas in the Shawnee, and we now have a great opportunity to continue protecting these special places for hiking, camping, and wildlife.”

    “These three areas are rich in biodiversity and among Illinois’ most pristine habitats, but they are not currently protected against logging or other commercial activities,” said Barbara McKasson, a leader with the Shawnee Group of the Sierra Club. “Senator Durbin’s proposal will ensure that future generations will be able to enjoy these high quality natural areas, and that they will continue to support a rich diversity of wildlife.”

     

    The 12,700 acres of special management areas will be from the following areas: 2,953 acres from Camp Hutchins; 3,445 acres from Ripple Hollow; and 6,310 acres from Burke Branch. The 750 acres of wilderness will be in Camp Hutchins.

     

    The Shawnee National Forest consists of 289,000 acres and its boundaries have been expanded three times since the U.S. Forest Service originally purchased the land in 1933. Roughly 10 percent, or about 30,000 acres, of the Shawnee National Forest is currently protected as wilderness.

     

    -30-

    MIL OSI USA News –

    August 5, 2025
  • MIL-OSI: SABLE OFFSHORE SHAREHOLDER ALERT: CLAIMSFILER REMINDS INVESTORS WITH LOSSES IN EXCESS OF $100,000 of Lead Plaintiff Deadline in Class Action Lawsuits Against Sable Offshore Corp. – SOC

    Source: GlobeNewswire (MIL-OSI)

    NEW ORLEANS, July 31, 2025 (GLOBE NEWSWIRE) — ClaimsFiler, a FREE shareholder information service, reminds investors that they have until September 26, 2025 to file lead plaintiff applications in a securities class action lawsuit against Sable Offshore Corp. (NYSE: SOC), if they purchased the Company’s securities (1) between May 19, 2025 and June 3, 2025, both dates inclusive (the “Class Period”); and/or (2) pursuant and/or traceable to Sable’s May 21, 2025 secondary public offering (the “SPO”). This action is pending in the United States District Court for the Central District of California.

    Get Help

    Sable Offshore investors should visit us at https://claimsfiler.com/cases/nyse-soc-1/ or call toll-free (844) 367-9658. Lawyers at Kahn Swick & Foti, LLC are available to discuss your legal options.

    About the Lawsuit

    Sable Offshore and certain of its executives are charged with failing to disclose material information during the Class Period, violating federal securities laws.

    On June 4, 2025, the Company disclosed that “a Santa Barbara County Superior Court Judge granted ex parte requests from plaintiffs in Center for Biological Diversity, et al. v.
    California Department of Forestry and Fire Protection, et al. (25CV02244) and Environmental Defense Center, et al. v. California Department of Forestry and Fire Protection, et al. (25CV02247) for temporary restraining orders prohibiting Sable Offshore Corp. from restarting transportation of oil through the Las Flores Pipeline System pending the hearing on an order to show cause regarding a preliminary injunction scheduled for July 18, 2025. Sable is exploring all possible avenues available to address these preliminary rulings.”

    On this news, the price of Sable’s shares fell by $0.94 per share, or 3.91%, to close at $23.10 on June 4, 2025.  

    The case is Johnson v. Sable Offshore Corp., et al., No. 25-cv-6869.

    About ClaimsFiler

    ClaimsFiler has a single mission: to serve as the information source to help retail investors recover their share of billions of dollars from securities class action settlements. At ClaimsFiler.com, investors can: (1) register for free to gain access to information and settlement websites for various securities class action cases so they can timely submit their own claims; (2) upload their portfolio transactional data to be notified about relevant securities cases in which they may have a financial interest; and (3) submit inquiries to the Kahn Swick & Foti, LLC law firm for free case evaluations.

    To learn more about ClaimsFiler, visit www.claimsfiler.com.

    The MIL Network –

    August 5, 2025
  • MIL-OSI USA: ICYMI: Mullin to Faulkner: Zeldin “Took a Sledgehammer to the Regulatory Environment”

    US Senate News:

    Source: United States Senator MarkWayne Mullin (R-Oklahoma)

    ICYMI: Mullin to Faulkner: Zeldin “Took a Sledgehammer to the Regulatory Environment”

    “I ran because the regulations literally put one of our companies out of business.”

    Washington, D.C. – On Wednesday, U.S. Senator Markwayne Mullin (R-OK) joined Fox News’s Harris Faulkner on The Faulkner Focus to react to Environmental Protection Agency (EPA) Administrator Lee Zeldin’s decision to rescind the Obama-era endangerment finding which costs the United States $1 trillion in regulations and $54 billion each year. The senator recounted his experience with the Obama EPA as a private business owner, and shared how his frustration with excessive government overreach motivated him to run for office. Additionally, the senator commented on his colleagues’ recent chaotic behavior on the Senate floor. Highlights below.

    Sen. Mullin’s full interview can be found here.

    On how red tape drove Mullin to public service:

    “This is the reason why I ran because the regulations literally put one of our companies out of business. What Lee Zeldin just did is took a sledgehammer to the regulatory environment. This single regulation right here was the single biggest factor in cost in history when it comes to regulations, especially when you look at what Obama did. This has cost the industry $1 trillion and since the last five years, has cost an annual $54 billion…

    “What he has done here was exactly what President Trump promised was he was going to roll back regulations that wasn’t actually beneficial.”

    On consumer choice being what President Trump is all about:

    “Let consumers choose. What an idea that is, right? That’s what America is about. Let consumers choose what they want. That’s what President Trump is about. That’s not what the Democrats are [about].”

    On the irony of Democrats discussing the Constitution:

    “They can’t point to one single thing that President Trump has done that’s non constitutional…

    “They want to talk about a constitutional overreach? You think, well, who was the person signing the [President Biden’s] executive orders? But no, Cory Booker is silent on that, and all the other Democrats are silent on that because of their derangement syndrome over their hatred towards President Trump, and it’s absolutely absurd, and this is why they lost, because the American people see right through this theatric behavior that Cory Booker displayed on the floor.”

    MIL OSI USA News –

    August 5, 2025
  • MIL-OSI USA: ICYMI: Senator Mullin joins “The Scott Jennings Show”, Highlights Administrator Zeldin’s Bold Action to Unleash American Energy

    US Senate News:

    Source: United States Senator MarkWayne Mullin (R-Oklahoma)

    ICYMI: Senator Mullin joins “The Scott Jennings Show”, Highlights Administrator Zeldin’s Bold Action to Unleash American Energy

    Washington, D.C. – On Tuesday, U.S. Senator Markwayne Mullin (R-OK), joined “The Scott Jennings Show”. The Senator discussed Environmental Protection Agency (EPA) Administrator Zeldin’s recent action to unleash American energy as well as how Senate Republicans are pushing forward on nominees despite unprecedented obstruction from Senate Democrats. Highlights below.

    The full interview can be found here.

    On the EPA Administrator Zeldin’s bold action to rescind burdensome regulations: 

    “Well, it’s absolutely the right move, and thank goodness that President Trump put Lee Zeldin in that place. What you see with President Trump’s nominees is that they all have a backbone to do what is right. The EPA, underneath the Obama administration, grew into this agency that was the ‘see all and fix all and end all’ agency. And so, what I mean is there wasn’t any permitting that could be done for infrastructure. There wasn’t any permitting that could be done for energy. There wasn’t any permitting that could be done for manufacturing, unless the EPA signed off on it. And because of all these sue and settle cases that was being administered underneath this executive order to which President Obama had put in in 2009, it had gummed up the process. And so, this one single move by Lee Zeldin has had more permanent reform than Congress could have done in an entire bill. This is a huge, huge act for regulation, to deregulate our economy and allow America to lead from the front. Again, I can’t under state the importance of this one move by Lee Zeldin.”

    On the importance of Nuclear Energy:

    “Because of this one single act by Obama in 2009 it basically stopped our ability for infrastructure when it comes to energy… Now let’s just think about we’re going to bring a nuclear power plant on line, what this single act did was make it almost impossible for a nuclear facility to come on line, which, by the way, is probably one the cleanest and safest ability to have energy and be able to meet the demands. Meaning with nuclear, you could bring up a nuclear plant and you can bring it down. And with the demand that is called upon during peak hours, you can’t do that with solar. You can’t do that with wind, but you could do it with nuclear.

    “The only way that we were able to do that without nuclear, would be either coal fired power plants or natural gas. The issue with coal fired power plants, because of this one act, you couldn’t build them, and they were actually requiring them to come offline. The thing with natural gas-powered systems is you couldn’t build the pipelines to be able to get the gas to the power plants to be able to actually provide the energy they need to meet the demand. And so it gummed up the entire system.” 

    On making the EPA Administrator’s act permanent:

    “Now you start talking about quantum computing, or you talk about AI technology, we will not be able to stay up with the energy demands that the future is calling on, that is going to the future of development. And America is either going to lead or it’s not going to lead, unless Lee Zeldin actually did this. And so, it is a full court pressure, Lee Zeldin working with Chris Wright, working with the President and working with Congress to be able to move this. Now what Congress’ point is that we need to make this move by Lee Zeldin, we need to put this in some type of permanent reform so it becomes law and can’t be simply changed, God forbid a Democrat gets in there in three and a half years.”

    On historic obstruction from Senate Democrats:

    “The thing that is something that’s never happened to any president of United States is President Trump is the only president in history not to have one single nominee go by unanimous consent or by voice vote. The Democrats have filibustered every single nominee, except the very first one, which was Marco Rubio. So out of 110, they filibustered 109 of his nominees. But because Leader Thune made this point when he first became leader of the Republican Senators, he said, the Democrats can either do this the hard way, or we can do this the easy way. And since they chose to do it the hard way, we’ve now taken more votes than any Senate in 35 years, and we’ve been in here longer than any senate meeting consecutive days than any Senate in 15 years. So, we are pushing forward.”

    On Democrats continuing to slow down the process:

    “Now, the option that we run into for August, we have 55, as we speak right now, we have 55 nominees that has been reported out of committee, meaning to the floor for a vote that have bipartisan support and in the past before prior to Chuck Schumer becoming leader, in the past, when they come out of committee with bipartisan support, typically, they go either by UC (unanimous consent) or by a voice vote, which means they do away with the two hour debate for cloture vote. They do away with having to switch in and out of executive calendar versus legislative calendar… but because of all these procedural motions, they are able to slow down the process.”

    On the three options the Senate faces:

    “One, either they give us a package and we agree with a package of bipartisan nominees that have been voted out of committee to the floor, and we get all those done before we recess. Two, we stay in and don’t recess and get them done. Or three, we go into a forced recess, which the President United States had the ability to do, call on Congress to recess. It’s not debatable, but amenable, meaning that they would try to amend the dates, we go back and forth, have to do a vote-a-rama on it, we’d get the vote-a-rama done and then send it to the House. The House also has to vote to go into recess, because the House isn’t in recess right now, they are in pro forma, meaning that they can still be called back in at any amount of time. And we ought to recess for 10 days, and then we just clean the slate and do every one of his noms.”

    On working with the President and Leader Thune to get all the nominees through:

    “Republicans, with the exception of maybe one or two, are all willing to stay and get this done. And so, I’ll go back to what Leader Thune said from the beginning of the year, the Democrats can do this the hard way, or we can do it the easy way, but we’re going to work to get President Trump’s people put in place. And we’ve said that. I’ve talked to the President now twice in the last three days about this, and he is all aboard. He understands he’s actually making a priority list of those that he would want in a package if we did that, and he’s also working with a priority list with us, if we stay here and continue to vote on how he would want those racked and stacked.”

    MIL OSI USA News –

    August 5, 2025
  • MIL-OSI USA: Gov. Kemp Announces 114 Appointments to Boards, Authorities, and Commissions

    Source: US State of Georgia

    Atlanta, GA – Governor Brian P. Kemp today announced 114 appointments and reappointments to various state boards, authorities, and commissions.

    Georgia Composite Medical Board

    Srenni Gangasani and David Retterbush were reappointed.

    Kamesha Harbison is a board-certified obstetrician-gynecologist serving the South Columbus community. She has provided women’s health care in the Chattahoochee Valley for over a decade, delivering comprehensive OB/GYN services and assisting with more than 1,000 births. She has also led community health initiatives, including organizing prenatal education and resource events for expectant mothers. Harbison began her career as a high school biology and chemistry teacher after earning a B.S. and M.Ed. from Xavier University of Louisiana. She later earned her medical degree from the University of Iowa Roy J. and Lucille A. Carver College of Medicine and completed her OB/GYN residency at Mercer University in Macon, Georgia. As an educator, she developed a mentoring program to address adolescent health, hygiene, and goal setting—laying the foundation for her transition into women’s healthcare. She is recognized for her commitment to patient education, community outreach, and improving health outcomes for women across the region.

    State Workforce Development Board

    Bárbara Rivera Holmes was sworn in as the 11th Commissioner of the Georgia Department of Labor and the state’s first Latina constitutional officer on April 4, 2025, by Georgia Gov. Brian Kemp. Holmes’ extensive experience includes appointments by former Gov. Nathan Deal to the Board of Regents of the University System of Georgia, which oversees Georgia’s 26 public colleges and universities, and by former Lt. Gov. Geoff Duncan as co-chair of the Georgia Innovates Task Force, which helped design the state’s technology blueprint. A former journalist, Holmes has earned awards for excellence in journalism from the Georgia Associated Press. She holds degrees in journalism and Spanish from Florida Southern College and studied at Estudio Sampere Internacional in Spain. A native of San Juan, Puerto Rico, Holmes resides in Albany with her husband, David, and their daughter.

    Steve Bradshaw served eight years on the DeKalb County Board of Commissioners. First elected in 2016, he was re-elected in 2020 without opposition. During his tenure, he was twice unanimously elected by his colleagues to serve as Presiding Officer of the Board. He also chaired several key committees, including Finance, Audit and Budget; Public Works and Infrastructure; and County Operations. Prior to public service, Bradshaw spent more than 15 years in the private sector in operations management and business development roles, most recently as business development manager for Delta Global Staffing, a subsidiary of Delta Air Lines. Bradshaw began his professional career as a U.S. Army officer as a tank commander. He served in both domestic and international assignments, including deployment to the Middle East during the First Persian Gulf War. His final military post was as a leadership instructor at the Army Officer Candidate School. He holds a master’s degree in public administration from Georgia State University and later served as an adjunct professor in the university’s Andrew Young School of Policy Studies, teaching both undergraduate and graduate students.

    Hearing Panel of the Judicial Qualifications Commission

    Richard Hyde was reappointed.

    Georgia Board of Examiners of Licensed Dietitians

    Cicely Thomas was reappointed.

    Alison Sturgill is a licensed and registered dietitian with over a decade of clinical experience specializing in oncology nutrition. She currently serves as a clinical dietitian IV at the Emory Proton Therapy Center, where she provides medical nutrition therapy to patients undergoing radiation treatment for various cancers. Previously, she held a similar role at Emory University Hospital, where she led inpatient oncology nutrition care and served as a preceptor and educator for dietetic interns. Sturgill holds both a Master of Science and a Bachelor of Science in Nutrition from Murray State University and is a Certified Specialist in Oncology Nutrition (CSO). Her work has been published in the Journal of Nursing Care Quality, and she remains active in multiple professional organizations, including the Academy of Nutrition and Dietetics.

    Franklin D. Roosevelt Warm Springs Memorial Advisory Committee

    Eric Bentley is retired from the Georgia Department of Natural Resources with over three decades of service to Georgia State Parks and Historic Sites, including a deep and enduring connection to the Little White House State Historic Site. A graduate of the University of Georgia with a degree in forest resources, Bentley began his career at Unicoi State Park before serving in various leadership roles, including park manager at Kolomoki Mounds and Fort Yargo. He was named Manager of the Year in 2009 and later served as Region 3 Manager, where he oversaw operations at the Little White House and F.D. Roosevelt State Park, secured funding, and strengthened partnerships with the Advisory Committee. From 2019 until his retirement in 2022, Bentley served as Assistant Director of State Parks, continuing to advocate for the Little White House and playing a key role in advancing major preservation projects.

    Board of Juvenile Justice

    Lisa Colbert was reappointed.

    State Board of Veterinary Medicine

    Jessica Sewell was reappointed.

    Employee Benefit Plan Council

    Courtney Ware and Christopher Wells were reappointed.

    Angelique McClendon was appointed Commissioner of the Georgia Department of Driver Services (DDS) on May 1, 2025. She joined DDS as General Counsel in 2015 and was later promoted to Assistant Deputy Commissioner of Legal and Regulatory Affairs. Her legal career began in 2005 as an assistant solicitor in DeKalb County, followed by her service as an assistant attorney general for the State of Georgia from 2008 to 2015, where she represented public safety agencies, including DDS.  McClendon has provided legal guidance on major state initiatives, including Georgia’s Digital Driver’s License, and is a recognized expert on identity management, digital credentials, and data privacy. She has held leadership roles with the American Association of Motor Vehicle Administrators (AAMVA), helping shape national policy and best practices in driver’s license administration. She holds a Bachelor of Science in chemistry from Xavier University of Louisiana and a Juris Doctor from Georgia State University College of Law.

    Board of Community Affairs

    Kwanza Hall, Donna Armstrong Lackey, and Charlie Maddox were reappointed.

    State Board of Technical College System of Georgia

    Mike Long, Fran Millar, and Lisa Winton were reappointed.

    North Georgia Mountains Authority

    Jeff Andrews, Randy Dellinger, Patrick Denney, Dan Garcia, and Paul Shailendra were reappointed.

    State Board of Podiatry Examiners

    Rupal Gupta is a board-certified podiatrist with over 20 years of clinical, academic, and administrative experience. She currently practices at Ankle and Foot Centers of America and has held leadership roles in both hospital and professional association settings, including serving as president of the Georgia Podiatric Medical Association and department chief at Emory Johns Creek Hospital. Gupta completed her residency at Jackson North Medical Center, where she received advanced training in surgical and non-surgical foot and ankle care, trauma, and wound management. She holds a Doctorate in podiatric medicine from Kent State University and a bachelor’s degree from Emory University. Dedicated to advancing podiatric medicine and public health, she has been an active advocate for clinical standards and evidence-based policy and continues to serve on various hospital committees and community initiatives.

    Lake Lanier Islands Development Authority

    Daniel Dooley and Lauren Talley were reappointed.

    Georgia Rural Development Council

    Robert “Bob” Ray, Jr. is managing member of Ray Family Farms, LLC, where he and his siblings continue six generations and over 200 years of family farming, now focused on pecan production and pine timber. Before returning full-time to agriculture, Ray served for 15 years as President and CEO of Flint Energies. Ray’s public service includes his tenure as Assistant Secretary of State and Chief Operating Officer under Secretary of State Cathy Cox, where he directed agency operations and intergovernmental affairs. Earlier in his career, he was legislative director for the Georgia Farm Bureau Federation and also worked as a corporate lending officer with NCNB National Bank. He holds a bachelor’s in finance from the University of Georgia’s Terry College of Business. Ray has served in leadership roles with Georgia EMC, Green Power EMC, GRESCO, and Leadership Georgia, and remains active in agricultural and community organizations statewide.

    Georgia Commission on the Holocaust

    Jon Barry is President and Founder of Spectrum Maintenance Services and leads the company’s marketing and growth strategies. His career in commercial real estate spans four decades, including extensive experience in all aspects of brokerage and property management. Initially formed to support Barry’s shopping center management platform, SMS has grown to become Atlanta’s leading full-service property maintenance company. Barry previously served on the Board of Advisors of the Kennesaw State University Entrepreneurship Center, is a member of CEO NetWeavers, and has served as mentor to numerous rising professionals.

    Georgia Ports Authority

    James Allgood, Jr., Leda Chong, and Doug Hertz were reappointed.

    Georgia Student Finance Commission Board of Commissioners

    John Loud, Sarah Hawthorne, Ed Pease, and David Perez were reappointed.

    State Board of Accountancy

    Emily Farrell and Todd Tolbert were reappointed.

    Carlton Hodges is a certified public accountant with more than four decades of experience in public accounting, specializing in tax compliance and audit services. He began his career in 1980 with SRLS, where he advanced to Tax Manager following a merger with Price Waterhouse. His practice focuses on business, individual, fiduciary, and nonprofit tax returns, as well as audit and accounting engagements in sectors such as construction, services, and government-assisted entities. Carlton holds Bachelor of Business Administration degrees in finance and accounting from Armstrong State College. He is a member of both the Georgia Society of CPAs and the American Institute of CPAs, and serves on the board and leadership council of the Georgia Society, where he also chairs the GSCPA Insurance Trust. His civic involvement includes prior service as a Pooler City Councilman, treasurer of the Savannah-Chatham MPC, and leadership roles with the Armstrong Foundation and Rotary Club of Savannah West.

    State Board of Registration for Professional Engineers and Land Surveyors

    Trent Turk was reappointed.

    Board of Commissioners of the Sheriffs’ Retirement Fund of Georgia

    Billy Hancock and Dan Kilgore were reappointed.

    Georgia Sports Hall of Fame Authority

    Bill Shanks and Earl Wright were reappointed.

    Phil Schaefer is an award-winning sportscaster whose career spans more than five decades across basketball, football, baseball, and golf. He was the voice of UGA basketball for 17 years, called Atlanta Hawks games for five seasons, and served as a CBS Radio broadcaster for the NCAA Tournament for 20 years. In football, he spent 16 years as UGA’s color commentator, 10 years as the voice of the Peach Bowl, and 20 years as public address announcer for the Atlanta Falcons. Schaefer also covered the Braves for 39 years and the Masters Tournament for 55 consecutive years, earning the Masters Major Achievement Award in 2010. A three-time Georgia Sportscaster of the Year, Schaefer held leadership roles at WSB Radio and later served as Athletic Coordinator for the DeKalb County School System. He is a member of the Georgia Radio Hall of Fame and the Georgia Sports Hall of Fame, and has received over 40 national and regional journalism awards, including a Peabody. He holds degrees from Ohio State University and Georgia State University and is the author of Sins of a Southern Sportscaster.

    Board of Behavioral Health and Developmental Disabilities

    Deb Bailey, Amanda Owens, Bill Slaughter, Jean Sumner, and Jimmy Thomas were reappointed.

    Georgia Behavior Analyst Licensing Board

    Margaret Molony and Robin Osborne were reappointed.

    Georgia Public Telecommunications Commission

    Greg Garrett and Mary Ellen Imlay were reappointed.

    Stephen Lawson is a principal in Dentons’ Regulatory, Public Policy, and Government Affairs practice in Atlanta, with nearly 15 years of experience in public affairs, communications, and political strategy. He has advised Fortune 500 companies, nonprofits, trade associations, and elected officials on complex issues including policy strategy, crisis management, media relations, and advocacy. Prior to joining Dentons, Lawson was president of Full Focus Communications, a public affairs firm based in Atlanta. He has served in senior advisory roles for high-profile public officials, including Florida Governors Rick Scott and Ron DeSantis, and in Georgia for Lieutenant Governor Burt Jones, Agriculture Commissioner Tyler Harper, Congressman Mike Collins, and Speaker of the House Jon Burns.

    George Levert is a retired venture capitalist with more than two decades of experience in technology investment. He was a Founding Partner of Kinetic Ventures, where he led investments in telecommunications, network automation, and internet technologies. He served on the boards of more than a dozen venture-backed companies, including Metricom, Pathfire, and Proficient Networks. Prior to his career in venture capital, he held roles with Oglethorpe Power Corporation, Accenture, Boeing, and the U.S. Navy Civil Engineer Corps during the Vietnam War. Levert holds a B.S. in electrical engineering from Louisiana Tech University and an M.S. in management from Georgia Tech. He has served on numerous civic and nonprofit boards, including the Georgia Tech Foundation, Catholic Charities of Atlanta, the Atlanta Opera, and the American Red Cross. He is also a former board member of the Smithsonian National Museum of African Art and the Museum of the American Indian. Levert has endowed multiple scholarships and leadership awards and remains active in philanthropic, educational, and faith-based organizations. He and his wife, Dale, live in Atlanta and have two sons and two granddaughters.

    Savannah-Georgia Convention Center Authority

    Bert Brantley, Martin Miller, and Pritpal Singh were reappointed.

    Board of Human Services

    Lisa Hamilton, Scott Johnson, and Jack Williams were reappointed.

    Criminal Justice Coordinating Council

    Nancy Bills, Denise Downer-McKinney, Ron Freeman, Scotty Hancock, and Joe Hood were reappointed.

    Board of Public Health

    James Curran, Lucky Jain, Mitch Rodriguez, Ryan Shin, and T.E. Valliere-White were reappointed.

    Professional Standards Commission

    Angela Byrne has over 11 years of teaching experience in public and private schools. She currently teaches ESOL to K–6 students at Anna K. Davie Elementary in Rome City Schools, where she has served for the past six years. Her previous roles include teaching kindergarten, fourth, and fifth grade. She holds certifications in Elementary Education and Middle Grades Math and Science, with endorsements in ESOL and Online Teaching. She has received the Rome City Schools Central Office Support Employee of the Year and the Anna K. Davie Star Teacher Award. Byrne lives in Rome, Georgia, with her husband, Lewis, and their three children.

    Christy Edwards is an elementary educator with 14 years of experience in the Hall County School System. She currently serves as the Language Lab Teacher at Tadmore Elementary, focusing on data-driven instruction and student performance. She previously taught second, fourth, and fifth grades, as well as Early Intervention Program (EIP) support. She holds a B.S. in early childhood education from the University of North Georgia and an ESOL endorsement from Pioneer RESA. Edwards has served as a Leadership Team member, RTI representative, and professional learning facilitator.

    Zach Miller is a certified elementary educator currently teaching reading, science, and social studies at Roan School in Dalton. He holds a Bachelor of Science in early childhood education from Dalton State College and is certified in Early Childhood Education (P-5), with endorsements in ESOL and K–5 Mathematics. Named Teacher of the Year at Roan School in 2025, Miller focuses on a student-centered approach that integrates project-based learning and relationship-building to drive academic success. He founded the District Elementary Soccer Tournament and mentors students through Soccer for Success. He also leads Roan’s Soccer and Disc Golf Clubs, coordinates the Social Studies Bee, and partners with local nonprofits to support families in need. Miller is active in his church, serving as vice chairman of the deacons at Fellowship Bible Church and leading the soccer portion of Grace Presbyterian Church’s summer sports camp.

    State Rehabilitation Council

    Jo Ellen Hancock is a long-serving advocate and leader in the fields of special education, behavioral health, and community engagement. Since 2005, she has served as the parent mentor for special education with the Cherokee County School District, supporting families and fostering collaboration between schools and parents of students with disabilities. She holds multiple leadership roles across state and local behavioral health organizations, including chair of the Statewide Leadership Council and immediate past chair of the Region 1 Advisory Council for the Georgia Department of Behavioral Health and Developmental Disabilities (DBHDD). She also serves on the Georgia Behavioral Health Planning and Advisory Council and the Behavioral Health Services Coalition. Hancock is a certified peer specialist – parent and currently chairs the Cherokee County Local Interagency Planning Team (LIPT), where she has led efforts to coordinate services for children with complex needs since 2018. She serves on the advisory board for NAMI Georgia and is communications chair for the Holly Springs Optimist Club.

    Charity Roberts assumed the position of State Director (IDEA) for the Office of Federal Programs Division for Exceptional Children on January 1, 2025. She is a quadruple Eagle from Georgia Southern University, obtaining her bachelor’s and master’s degrees in special education. She completed a specialist and doctorate degree in educational leadership. She is certified in multiple fields within general and special education, such as elementary education, reading (P-8), special education preschool, physical and health disabilities, and P-12 special education adaptive and general curriculum. Roberts has over 30 years of experience in special education instruction and leadership in a variety of roles. After serving as a special education teacher, she became a district director of special education. From there, Roberts provided leadership support as a GLRS Director for twelve years before joining the Georgia Department of Education Office of Rural Education and Innovation.

    Board of Community Supervision

    Jimmy Kitchens and Steve Queen were reappointed.

    Judicial Legal Defense Fund Commission

    Christine Hayes serves as Deputy Executive Counsel in the Office of Governor Brian P. Kemp. Prior to joining the Governor’s staff, she was director of governmental affairs for the State Bar of Georgia, where she worked on a variety of legislative issues that affect the judiciary and the legal profession. She also held roles at the Judicial Council/Administrative Office of the Courts, Georgia General Assembly, and as an associate at Fields Howell where she focused on insurance coverage issues and related litigation. Hayes holds a bachelor’s degree in political science from the University of Florida and a law degree from Emory University. She and her husband, Jonathan, live in Atlanta with their two daughters.

    State Board of Long-term Care Facility Administrators

    Timothy Bush and Laura Cayce were reappointed.

    Suzanne Gerhardt serves as Senior Vice President of Health Services at PruittHealth, Inc., where she oversees skilled nursing center operations across four states. With a career in long-term care that began in 1983, she brings decades of hands-on experience in healthcare management, including roles in business operations, social services, admissions, and auditing. Gerhardt became a licensed Nursing Home Administrator in 1997 and has since managed multiple facilities and regional operations. She is known for her focus on regulatory compliance, operational efficiency, and improving patient outcomes. In addition to her leadership at PruittHealth, she has served in various roles with the Georgia Health Care Association, including Chair of the Board and, currently, as immediate past chair.

    Donna Sant is a public policy professional with extensive experience in political organizing, campaign operations, and grassroots leadership. She served as Chairman of the Houston County Republican Party from 2018 to 2024 and has held multiple roles within the Georgia Republican Party, including State Committee Member and County Vice Chair. She has led volunteer efforts, managed election headquarters, coordinated large-scale events, and served as a liaison between voters and candidates. Sant holds a master’s in public policy from Liberty University and a B.F.A. in TV/Film production from Valdosta State College. A graduate of Republican Leadership for Georgia, she is also a recipient of the Ted & Barbara Waddle Award of Excellence. She lives in Elko, Georgia, with her husband. They have three adult children. Sant will serve as the consumer member on the State Board of Long-term Care Facility Administrators.

    Board of Trustees of the Teachers Retirement System of Georgia

    Mary Elizabeth Davis is the Superintendent of Cherokee County Schools, serving 42,000 students. She has spent nearly 20 years in Georgia public education, holding leadership roles in four school districts. Prior to her current role, she served as Superintendent of Henry County Schools for nearly seven years, where she led improvements in operational systems, financial management, and student outcomes. Her previous roles include Chief Academic Officer in Cobb County and Assistant Superintendent for Curriculum and Instruction in Gwinnett County. She began her career as a chemistry teacher and coach in Fairfax County, Virginia. Davis was named one of District Administration’s 100 most influential education leaders in 2024 and is a former finalist for Georgia Superintendent of the Year. She holds a chemistry degree from Messiah College and a Ph.D. in Education Policy from Georgia State University. She lives in Canton, Georgia with her husband and two children.

    Board of Juvenile Justice

    Lisa Colbert was reappointed.

    State Board of Veterinary Medicine

    Jessica Sewell was reappointed.

    Georgia Opioid Settlement Advisory Commission

    Trey Bennett is the general counsel and grants division director for the Georgia Governor’s Office of Planning and Budget. A seasoned attorney and public policy advisor, Bennett has over a decade of legal and governmental experience, including past service as deputy executive counsel to Governor Brian Kemp. He oversees the ethical execution of billions of dollars in federal grant funding, advises on statewide emergency responses, and helps shape key legislation across multiple sectors. Bennett also has substantial courtroom experience, having served as both a criminal prosecutor and a defense attorney in Northeast Georgia. He holds a J.D. from the University of Georgia School of Law and lives in Hoschton, Georgia, with his wife, Katherine, and their four children.

    Council for the Arts- Chair

    Colt Chambers was reappointed.

    Board of Commissioners of the Superior Court Clerks’ Retirement Fund of Georgia

    Timothy Harper, Linda Hays, Daniel Jordan, Michael King, and Rhett Walker were reappointed.

    Georgia Public Service Commission Advisory Committee

    Jeff Jacques is a civil engineering professional with over 35 years of experience in transportation and utility coordination. He began his career with the Georgia Department of Transportation in 1983 as a civil engineer co-op and held various roles over a 20 year tenure, including district utilities engineer and area maintenance engineer. Since 2007, he has served as worksite utility coordination supervisor and utility coordination manager with CWM. Jacques is actively involved in the Georgia Utility Coordination Council, Georgia 811 Excavator Advisory Council, GHCA Utilities Task Force, and the GUCC Legislative Committee. He also served Franklin County as a Republican member of the Board of Commissioners from 2002 to 2018 and as Chairman from 2023 to 2024. A graduate of Emmanuel College and Southern Tech, Jacques resides in Franklin County with his wife, Christy. They have three adult children, and he is a member of Liberty Baptist Church in Carnesville.

    Disability Services Ombudsman Medical Review Group

    George Leach is an Assistant Professor of Emergency Medicine at Emory University School of Medicine and an attending physician at Grady Memorial Hospital. He has over 15 years of clinical and academic experience, with a focus on quality improvement, systems-based practice, and medical education. Leach completed his undergraduate studies at the University of North Carolina and earned his medical degree from Emory University, where he also completed his emergency medicine residency and served as chief resident. His academic contributions include developing a national curriculum for advanced emergency medicine learners and leading peer review process improvements at Grady. He is a member of multiple professional organizations, including the American College of Emergency Physicians and the Society for Academic Emergency Medicine. Dr. Leach has received numerous teaching awards and is actively involved in resident education, mentorship, and committee leadership at Emory and Grady.

    Georgia Environmental Finance Authority

    Jimmy Andrews and Travis Turner were reappointed.

    Georgia Child Support Commission

    Ben Land was reappointed.

    Behavioral Health Reform and Innovation Commission

    Kevin Tanner was reappointed as Chairman.

    Karen Bailey, Melanie Dallas, Jason Downey, Nora Haynes, Miriam Shook, Sarah Vinson, DeJuan White, and Michael Yochelson were reappointed.

    DeAnna Julian serves as Chief Executive Officer of the Frazer Center, a nonprofit providing inclusive early childhood, adult, and behavioral health services for individuals with intellectual and developmental disabilities (IDD). She also serves as President of the Service Providers Association for Developmental Disabilities (SPADD), where she works to strengthen Georgia’s IDD service network through policy engagement and provider collaboration. A former special education teacher, Julian holds certifications in special education, early childhood, and physical education, along with a master’s degree in education and transition services from the University of Kansas. She previously served as Executive Director of The Arc of Southwest Georgia, leading efforts to expand access and advance systemic reform. With more than 20 years of leadership in education and disability services, Julian has been recognized with honors including the Annette Bowling Advocacy Award and Albany’s Top 40 Under 40. She lives in Atlanta with her husband, Steve, and their two adult children.

    Carey Parrott, Sr. is the founder and CEO of Parrott Counseling Services, LLC, with over two decades of experience in addiction and mental health counseling. A licensed clinical social worker, master addictions counselor, certified clinical supervisor, and certified peer specialist for addictive diseases, he provides direct care and specialized services to individuals, families, and justice-involved populations, including re-entry and mandated clients. Parrott is a two-time graduate of the University of Georgia, earning a B.S. in psychology and an M.S.W. He later earned a doctorate in clinical social work leadership from Tulane University. His professional background includes service as caregiver support coordinator at the U.S. Department of Veterans Affairs, where he supported veterans and families navigating the challenges of mental illness and substance use. He has also served as a consultant to the Georgia Department of Behavioral Health and Developmental Disabilities, providing clinical supervision and workforce development for addiction counselors statewide. Parrott began his career working in residential treatment settings and community behavioral health programs. He is recognized for his collaborative, personalized approach and his ongoing commitment to supporting recovery and resilience in the Athens community and beyond.

    Child Advocate Advisory Committee

    Andre Blanchard and Jay Watkins were reappointed.

    Georgia Hotel Motel Tax Performance Review Board

    David Dukes was reappointed. 

    MIL OSI USA News –

    August 5, 2025
  • MIL-OSI USA: Supporting Zero-Emission Transportation Solutions

    Source: US State of New York

    overnor Kathy Hochul today announced over $21 million is now available to support zero-emission mobility transportation solutions in communities across New York State. The Clean Mobility Program provides funding for scalable, community-led demonstration projects that improve connections through micro mobility, ridesharing, and on-demand shared transportation options. Together, these solutions lower pollution and offer residents affordable connections to services, jobs, and transit, including in underserved communities.

    “Even as the federal government walks away from clean air and energy standards, New York continues to invest in modern, flexible and efficient electric transportation options that improve air quality and expand affordable consumer choices,” Governor Hochul said. “Our priority is linking communities, including areas that have been historically marginalized, with resources that provide residents with a variety of flexible transportation options that allow them to conduct their daily business uninterrupted.”

    The Clean Mobility Program, administered by the New York State Energy Research and Development Authority (NYSERDA), will competitively award funding to local governments, transit operators, community-based organizations, or employers with more than 1,000 employees for demonstration projects that advance innovative clean mobility options to address transportation challenges. Proposed solutions must expand access to shared zero-emission transportation options, create long-term affordable options, and can be continued into the future. Eligible technologies include bikes, electric bikes (e-bikes) and electric scooters (e-scooters), on-demand electric vehicle ride-hailing, and small-scale, on-demand electric public transit services, or shared electric vehicle options.

    Proposals for demonstration projects must include a completed planning document that includes community engagement, site identification and operations, project partner identification, technical feasibility assessment, and a policy and regulatory feasibility assessment. Only one proposal per applicant will be awarded and a cost share of at least 20 percent of the total project cost in non-NYSERDA funding is required. E-bikes or e-scooters must meet industry safety standards such as being UL-certified.

    New York State Energy Research and Development Authority President and CEO Doreen M. Harris said, “Supporting electric vehicle ride sharing, e-bikes, e-scooters and other sustainable, affordable mobility options helps keep people engaged and active in their communities. We look forward to receiving innovative demonstration proposals that offer the opportunity to help New Yorkers maintain transportation independence and can be replicated and adopted throughout the state for the benefit of all.”

    The Clean Mobility program offers up to $21.6 million for projects across New York State and will award up to $3 million per project, with priority given to projects in disadvantaged communities, as defined by the Climate Justice Working Group.

    Additionally, up to $8 million is set aside to fund demonstration projects located in specific areas of the state, including those served by the upstate investor-owned utilities. This includes a total of up to $5 million for micro mobility projects in the Central Hudson, National Grid, New York State Electric & Gas, and Rochester Electric & Gas region and up to $3 million for any type of eligible demonstration projects located in the Bronx.

    New York State Department of Public Service CEO Rory M. Christian said, “It is critically important for New York to invest in and create affordable transportation opportunities for our citizens, especially those who find themselves without flexible transportation options. This program will do just that.”

    New York State Department of Environmental Conservation Commissioner Amanda Lefton said, “With this latest $21 million in funding, Governor Hochul is bolstering actions to help communities most vulnerable to pollution-driven asthma and other harmful health impacts. Clean Mobility Program funding promotes the pursuit of accessible and affordable green transportation options and supports our efforts to improve air quality statewide by transitioning to cleaner, zero-emission transportation.”

    New York State Department of Transportation Commissioner Marie Therese Dominguez said, “Clean transportation solutions do more than just reduce emissions—they improve public health, advance equity and accessibility and build a more sustainable, connected future. No one understands a community’s transportation challenges better than the people who live there. Empowering people to help develop mobility solutions is a game changer as we strive for a more resilient, community-centered future for transportation in New York.”

    State Senator Jeremy Cooney said, “The Clean Mobility Program represents a major step forward in delivering economic opportunity and cleaner transportation to underserved communities across Upstate New York. By investing in ridesharing, micro mobility, and on-demand transportation options, we’re expanding access to jobs, public transit, while also reducing emissions. As chair of the NYS Senate Transportation Committee, I’m proud to support this initiative and am grateful to Governor Hochul for her leadership and commitment to clean, equitable transportation solutions.”

    Assemblymember William Magnarelli said, “People in some regions of our state without access to mass transit or a car are unable to get around. It’s laudable that the Governor saw fit to invest $21 million in a program that looks to improve the connections for micro mobility, ridesharing, and on-demand shared transportation options, to begin solving this problem.”

    Proposals are due on September 25, 2025 by 3:00 p.m. ET. For more information on this funding opportunity please visit NYSERDA’s website.

    NYSERDA will host an informational webinar on August 7, 2025 from 3:00 p.m. to 4:00 p.m. ET to provide more explanations on the solicitation, project requirements, and the application process.

    To support demonstration project applicants, NYSERDA offers a Mobility Solutions Provider Directory that highlights companies that manufacture, supply, develop, install, operate, or maintain mobility solutions eligible under the Clean Mobility Program.

    NYSERDA will host a virtual showcase for prospective applicants on August 14, 2025. The morning session will take place from 10:30 a.m. to 12:00 p.m. ET to highlight companies that support two-wheeled mobility solutions. The afternoon session will take place from 1:00 p.m. to 3:00 p.m. ET for companies that support four-wheeled mobility solutions.

    In June 2024, Governor Hochul announced the $32 million Clean Mobility Program which supports community-led planning and demonstration projects that solve local transportation needs and help reduce emissions. In March 2025, NYSERDA announced that $2.9 million was awarded to 29 community-led planning projects to enhance planning for shared electric transportation solutions. These projects are eligible to apply for the demonstration project planning announced today, although previous participation in the Clean Mobility Program is not a requirement for demonstration project funding.

    Last summer, Governor Hochul signed legislation to encourage the safe use of e-bikes and lithium-ion batteries. The guidelines and manufacturing standards adopted for e-mobility devices help consumers understand safety requirements and protocols, and provide information on purchasing, storage, and avoiding risks. The New York State Department of State and Division of Homeland Security and Emergency Services have also developed a consumer safety guide for lithium-ion batteries which is available here. Together, these efforts help to raise awareness and educate consumers about how to safely and properly purchase, use, charge and maintain devices with lithium-ion batteries, including micro-mobility options.

    For more than fifty years, NYSERDA has been a trusted and objective resource for New Yorkers, taking on the critical role of energy planning and policy analysis, along with making investments that drive New York toward a more sustainable future. This program is part of New York’s nearly $3 billion investment in zero emissions vehicles and growing access to clean transit to benefit all New Yorkers, including those in low-income or disadvantaged communities, by reducing emissions to create cleaner air and healthier communities. It complements New York State’s other zero-emission transportation initiatives including the New York Clean Transportation Prizes Initiative, administered by NYSERDA, the New York State Department of Public Service and the Department of Environmental Conservation (DEC), as part of an $85 million allocation through New York’s EV Make Ready program to accelerate the transition to a clean transportation future.

    The program is funded through a combination of Clean Energy Fund (CEF), Regional Greenhouse Gas Initiative (RGGI), and New York State’s climate agenda calls for an affordable and just transition to a clean energy economy that creates family-sustaining jobs, promotes economic growth through green investments, and directs a minimum of 35 percent of the benefits to disadvantaged communities. New York is advancing a suite of efforts to achieve an emissions-free economy by 2050, including in the energy, buildings, transportation, and waste sectors.

    MIL OSI USA News –

    August 5, 2025
  • MIL-OSI Canada: Freedom to water

    To ensure that plants receive the water they need, Alberta is removing the requirement to have a temporary diversion licence to water plants as part of a riparian restoration project. This change will cut unnecessary red tape, keep plants alive and ensure the time and money that communities and businesses put into watershed restoration projects are not wasted.

    Traditionally, a licence has been required in Alberta to water newly planted trees, shrubs, grasses and other vegetation along rivers, creeks and lakes. This requirement means that otherwise healthy plants could die from lack of water if a licence could not be obtained in time due to bureaucratic delays, water shortages or drought conditions in the area.

    A solar-powered irrigation system at a riparian restoration site along the Elbow River in Calgary (Credit: Leaf Ninjas)

    “Freedom to water is about cutting through the clutter of bureaucracy so real work can happen. This change stops the waste, ends the delays and lets communities focus on restoring Alberta’s rivers, creeks and lake banks – not filling out forms.”

    Rebecca Schulz, Minister of Environment and Protected Areas

    “This amendment is a huge step forward for practical, common-sense riparian restoration in Alberta. This simple change will reduce flood and drought risk, protect our watersheds and ensure Alberta’s restoration efforts are resilient and effective. We applaud the Alberta government for listening to restoration practitioners, cutting red tape and delivering a solution that benefits both the environment and Albertans.”

    Andrew Renaux, chief executive officer and founder, Leaf Ninjas

    Riparian restoration projects are crucial for expanding, repairing and rejuvenating ecosystems near water bodies. The requirement to have a temporary diversion licence made this important work more difficult by adding additional costs onto small companies and organizations and delaying projects while waiting for licences. It also meant that if a licence could not be obtained or water shortages were seen in an area, water had to be trucked in, or the plants were left to die.

    “Our government is pleased to support the important work of restoring riparian areas and improving the health of our rivers. Allowing a small quantity of water to be used without a licence will help establish healthy, lush vegetation along previously degraded riverbanks and help make these projects successful over the long term.” 

    Grant Hunter, Associate Minister of Water

    “By cutting unnecessary red tape, we’re empowering communities and ecological restoration groups to focus on what really matters: restoring Alberta’s watersheds. This change will ensure that their hard work and investment won’t be lost to bureaucratic delays, allowing more time to focus on helping plants thrive and our environment flourish.”

    Dale Nally, Minister of Service Alberta and Red Tape Reduction

    With the removal of the requirement to have a temporary diversion licence, more restoration projects will be able to adapt to changing conditions. In addition to the removal of the temporary diversion licence requirement, there are new industry-led technologies like solar-powered drip systems that make watering more efficient than ever and reduce the amount of water needed.  

    Quick facts:

    • The exemption only applies to small projects consuming no more than 100 cubic metres per day, for water that will be used to support the growth and establishment of plants along a watercourse or water body.
    • Strong, healthy vegetation around waterways helps restore native habitats, prevents erosion to riverbanks, stabilizes nearby land and improves water quality.
    • Alberta’s Watershed Resiliency and Restoration Program provides grants to restore riverbanks and riparian areas across the province.

    Related Information:

    • Watershed Resiliency and Restoration Program

    MIL OSI Canada News –

    August 5, 2025
  • Iranian president says country is on brink of dire water crisis

    Source: Government of India

    Source: Government of India (4)

    Iran’s President Masoud Pezeshkian warned against excessive water consumption which he said was untenable for the country and could leave Tehran facing severe shortages by September, semi-official Tasnim news agency reported on Thursday.

    Faced with resource mismanagement and over-consumption, Iran has faced recurrent electricity, gas and water shortages during peak demand months.

    “In Tehran, if we cannot manage and people do not cooperate in controlling consumption, there won’t be any water in dams by September or October,” Pezeshkian said on Thursday.

    The country has faced drought conditions for the last five years according to the director of the Environmental Protection Organisation Sheena Ansari and the Meteorological Organisation recorded a 40% drop in rainfall over the last four months compared to a long-term average.

    “Neglecting sustainable development has led to the fact that we are now facing numerous environmental problems like water stress,” Ansari told state media on Thursday.

    Excessive water consumption represents a major challenge for water management in Iran, with the head of Tehran province’s water and wastewater company Mohsen Ardakani telling Mehr news agency that 70% of Tehran residents consume more than the standard 130 litres a day.

    Natural resource management has been a chronic challenge for authorities, whether it is natural gas consumption or water use, as solutions require major reforms, notably in the agricultural sector which represents as much as 80% of water consumption.

    On Wednesday, Pezeshkian rejected a government proposal to impose a day-off on Wednesdays or having a one-week holiday during the summer, saying that “closing down is a cover-up and not a solution to the water shortage problem”.

    In the summer of 2021, protests took place against water shortages in southwestern Iran.

    (Reuters)

    August 5, 2025
  • MIL-OSI Africa: Africa steps forward: SA G20 proposed Africa Energy Efficiency Facility hailed

    Source: Government of South Africa

    South Africa’s proposed Africa Energy Efficiency Facility could emerge as a defining achievement of the country’s G20 Presidency – a bold, continent-led initiative that embodies African leadership on the global stage and turns commitments into action.

    United Nations Environment Programme (UNEP) Chief of Mitigation Branch: Climate Division, Hongpeng Lei – who delivered remarks at a side event at the Energy Transitions Working Group meeting this week, applauded South Africa’s “vision of placing energy efficiency at the core of the… G20 energy agenda”.

    “This gathering is more than a technical forum. It is a political and strategic turning point. It is a moment where Africa steps forward with confidence and clarity to shift to a legacy of practical climate action rooted in equity, innovation and resilience.

    “We are here to lay the foundations for what could become a defining outcome of South Africa’s G20 Presidency – the African Energy Efficiency Facility. This initiative reflects the shared priorities of the G20 Energy Transitions Working Group. Affordability, energy access, climate resilience and inclusive growth… all begin with efficiency.”

    Hongpeng noted that South African leadership on the facility “references the G20 evolution from high level priorities to… regional action”. 

    “By the time we reach COP30 in Brazil, it could stand as a model on how the G20 delivers community, credibility and concrete solutions.

    “This facility, proudly championed by South Africa and the African Union and supported by UNEP is… a long-term platform to mobilise finance… technical assistance and skill up the efficiency solutions across the continent. 

    “It will serve as a strategic G20 legacy initiative. One that reflects the ethos of this Presidency, Africa led, globally supported and designed to deliver results where it matters the most,” Hongpeng said.

    The UNEP representative noted that energy efficiency is the most equitable pass way to reduce emissions, expand energy access and ensuring energy security.

    “But it is not just a numbers game. It is about development, dignity and delivery.

    “We have an opportunity and responsibility to ensure that this facility becomes more than a concept. Let it be the enduring symbol of what this G20 Presidency stands for – African solutions for global challenges built on equity, innovation and partnerships.

    “We call on G20 members, development banks and the African partners to secure predictable and ethical financing for this facility. Let the message be clear: Africa is not waiting, Africa is leading. Let us rise to the moment, deliver a legacy worthy of this G20,” Hongpeng concluded. – SAnews.gov.za

    MIL OSI Africa –

    August 5, 2025
  • MIL-OSI New Zealand: Reducing red tape for adventure activity and amusement ride operators

    Source: New Zealand Government

    Workplace Relations and Safety Minister Brooke van Velden is consulting on health and safety regulations in the recreation and entertainment sectors to reduce unnecessary compliance pressure, while maintaining safety outcomes.  

    “We’re making it easier for recreation providers by making sure only those running genuinely high-risk adventure activities need to meet the stricter safety requirements,” says Ms van Velden.   

    “The first proposed change is to amend the definition of ‘adventure activities’ in the Adventure Activities Regulations. The current definition is so broad that it may require low-risk activities to meet compliance standards designed for higher-risk operations.   

    “There’s a big difference in the level of risk associated with things like white water rafting and bungy jumping versus a bike ride on one of the New Zealand cycle trails,” says Ms van Velden.   

    “I’m proposing this change to ensure only businesses providing higher-risk adventure activities need to meet the stricter higher risk safety requirements. We will be consulting with the sector so that we get the boundary right between high risk and lower risk activities.”   

    The second change is to update the Amusement Device Regulations so that only transportable high-risk amusement devices require a permit from local councils.   

    “I have heard from local councils who say the regulations are outdated and in need of review.   

    “Councils currently permit a wide range of amusement devices regardless of risk. There’s a difference in risk between large Ferris wheels that are frequently dismantled and reinstalled, and small merry-go-rounds or fixed amusement rides that are never moved.   

    “This change will streamline the process, such as the use of low-risk amusement devices at the school fair. It will make it easier for communities to put on local events like Guy Fawkes or Easter shows because the operators from the communities don’t have to get local permits from the Councils,” says Ms van Velden.   

    “I have also heard from a number of groups that recreational organisations are reluctant to organise volunteer work in the outdoors, like checking traps and pest control or trail maintenance, because of concerns about triggering health and safety liabilities.”   

    Social and community groups are having to develop extensive policies and documentation for their volunteer workers, rather than focusing on actions to keep them safe.   

    Local authorities are concerned about extensive health and safety obligations for people who spontaneously volunteer and self-organise during emergencies, over which they may not have much control.   

    “I will be seeking Cabinet approval to include a provision on clarifying the obligations for volunteer organisations in the Health and Safety Reform Bill that I expect to be introduced later this year.   

    “I have asked my officials to consult a wide range of affected groups like the Federated Mountain Clubs, Aotearoa Climbing Access Trust, Department of Conservation, Volunteering NZ, and Local Government NZ.   

    “It is important we get the balance right between encouraging voluntary activities that all New Zealanders benefit from, while keeping people safe.   

    “By targeting regulation better, we’re helping recreation and entertainment businesses spend less time on paperwork and more time delivering safe, enjoyable experiences,” says Ms van Velden.  

    “These changes will save time and costs for businesses and workers as we cut-red-tape to make it easier to do business. When our Kiwi businesses thrive, there are more jobs and lower prices for all New Zealanders.”

    MIL OSI New Zealand News –

    August 5, 2025
  • MIL-OSI Security: IAEA-Supported Laboratory Opens to Fight Microplastics in Galapagos Islands

    Source: International Atomic Energy Agency – IAEA

    The Galapagos Islands where the Oceanography and Microplastics Laboratory, supported by the IAEA, was established to monitor and analyse microplastic pollution.

    A new laboratory supported by the International Atomic Energy Agency (IAEA) was officially inaugurated this month in the Galapagos Islands to address the growing threat of marine microplastic pollution.

    The Oceanography and Microplastics Laboratory was established by the government in Ecuador, with support from the IAEA, to monitor and analyse microplastic pollution in the Galapagos Islands. Designated a UNESCO World Heritage Site, the Galapagos Islands are renowned for their extraordinary biodiversity and unique evolutionary adaptations, shaped by their remote location some 1000 kilometres west of mainland Ecuador.

    While a robust monitoring and cleanup programme is in place to tackle the estimated six tonnes of plastic waste that wash ashore on the islands each year, microplastics — plastic particles smaller than five millimetres — pose a more complex challenge for the Galapagos National Park, a protected area encompassing 97% of the islands.

    Nuclear-derived techniques can help detect and analyse microplastic particles too small for traditional monitoring. The laboratory is now analysing water samples and will be able to analyse sediment, and biota samples from the islands at a microscopic scale to identify the types of polymers and improve the understanding of how they disperse in the marine environment where they can endanger marine life.

    In a video address at the opening ceremony for the laboratory on 17 July, IAEA Director General Rafael Mariano Grossi said the laboratory — situated on the Santa Cruz Island — will be an active partner in environmental monitoring and reporting of microplastic pollution for Ecuador, including the Galapagos Islands.

    “The laboratory offers new opportunities to conduct studies on the environmental impact on the vulnerable and relevant biodiversity of the Islands, helping authorities to take and implement more precise control measures aimed at the protection and conservation of the Galapagos National Park,” he added.

    The new laboratory marks a significant milestone in the IAEA’s NUTEC Plastics initiative, which has supported countries since its launch in 2020 in researching microplastics and applying nuclear techniques to enhance recycling processes. The support to the Galapagos Islands follows the IAEA’s work in Antarctica — another valuable ecosystem — with the launch of microplastics research there in 2024.

    The data generated in the new laboratory will enable local and national authorities to more accurately assess plastic pollution levels and design targeted strategies to mitigate their impact. The information will also feed into the IAEA’s coordinated efforts under the IAEA Marine Environment Laboratories in Monaco to build a global network of laboratories with analytical capacities to monitor and mitigate marine microplastic pollution.

    The IAEA, through its technical cooperation programme, has also strengthened monitoring and analytical capacities in institutions such as the Galapagos National Park and the Escuela Superior Politécnica del Litoral (ESPOL) in Guayaquil, to address the growing threat of marine pollution from microplastics in the Galapagos Islands. The IAEA has allocated nearly €1 million to provide the new laboratory with equipment and training for monitoring marine stressors such as ocean acidification, eutrophication, and microplastic pollution — all of which threaten the region’s unique biodiversity and ecosystems.

    MIL Security OSI –

    August 5, 2025
  • MIL-OSI United Nations: IAEA-Supported Laboratory Opens to Fight Microplastics in Galapagos Islands

    Source: International Atomic Energy Agency (IAEA)

    A new laboratory supported by the International Atomic Energy Agency (IAEA) was officially inaugurated this month in the Galapagos Islands to address the growing threat of marine microplastic pollution.

    The Oceanography and Microplastics Laboratory was established by the government in Ecuador, with support from the IAEA, to monitor and analyse microplastic pollution in the Galapagos Islands. Designated a UNESCO World Heritage Site, the Galapagos Islands are renowned for their extraordinary biodiversity and unique evolutionary adaptations, shaped by their remote location some 1000 kilometres west of mainland Ecuador.

    While a robust monitoring and cleanup programme is in place to tackle the estimated six tonnes of plastic waste that wash ashore on the islands each year, microplastics — plastic particles smaller than five millimetres — pose a more complex challenge for the Galapagos National Park, a protected area encompassing 97% of the islands.

    Nuclear-derived techniques can help detect and analyse microplastic particles too small for traditional monitoring. The laboratory is now analysing water samples and will be able to analyse sediment, and biota samples from the islands at a microscopic scale to identify the types of polymers and improve the understanding of how they disperse in the marine environment where they can endanger marine life.

    In a video address at the opening ceremony for the laboratory on 17 July, IAEA Director General Rafael Mariano Grossi said the laboratory — situated on the Santa Cruz Island — will be an active partner in environmental monitoring and reporting of microplastic pollution for Ecuador, including the Galapagos Islands.

    “The laboratory offers new opportunities to conduct studies on the environmental impact on the vulnerable and relevant biodiversity of the Islands, helping authorities to take and implement more precise control measures aimed at the protection and conservation of the Galapagos National Park,” he added.

    The new laboratory marks a significant milestone in the IAEA’s NUTEC Plastics initiative, which has supported countries since its launch in 2020 in researching microplastics and applying nuclear techniques to enhance recycling processes. The support to the Galapagos Islands follows the IAEA’s work in Antarctica — another valuable ecosystem — with the launch of microplastics research there in 2024.

    The data generated in the new laboratory will enable local and national authorities to more accurately assess plastic pollution levels and design targeted strategies to mitigate their impact. The information will also feed into the IAEA’s coordinated efforts under the IAEA Marine Environment Laboratories in Monaco to build a global network of laboratories with analytical capacities to monitor and mitigate marine microplastic pollution.

    The IAEA, through its technical cooperation programme, has also strengthened monitoring and analytical capacities in institutions such as the Galapagos National Park and the Escuela Superior Politécnica del Litoral (ESPOL) in Guayaquil, to address the growing threat of marine pollution from microplastics in the Galapagos Islands. The IAEA has allocated nearly €1 million to provide the new laboratory with equipment and training for monitoring marine stressors such as ocean acidification, eutrophication, and microplastic pollution — all of which threaten the region’s unique biodiversity and ecosystems.

    MIL OSI United Nations News –

    August 5, 2025
  • MIL-OSI NGOs: IAEA-Supported Laboratory Opens to Fight Microplastics in Galapagos Islands

    Source: International Atomic Energy Agency (IAEA) –

    The Galapagos Islands where the Oceanography and Microplastics Laboratory, supported by the IAEA, was established to monitor and analyse microplastic pollution.

    A new laboratory supported by the International Atomic Energy Agency (IAEA) was officially inaugurated this month in the Galapagos Islands to address the growing threat of marine microplastic pollution.

    The Oceanography and Microplastics Laboratory was established by the government in Ecuador, with support from the IAEA, to monitor and analyse microplastic pollution in the Galapagos Islands. Designated a UNESCO World Heritage Site, the Galapagos Islands are renowned for their extraordinary biodiversity and unique evolutionary adaptations, shaped by their remote location some 1000 kilometres west of mainland Ecuador.

    While a robust monitoring and cleanup programme is in place to tackle the estimated six tonnes of plastic waste that wash ashore on the islands each year, microplastics — plastic particles smaller than five millimetres — pose a more complex challenge for the Galapagos National Park, a protected area encompassing 97% of the islands.

    Nuclear-derived techniques can help detect and analyse microplastic particles too small for traditional monitoring. The laboratory is now analysing water samples and will be able to analyse sediment, and biota samples from the islands at a microscopic scale to identify the types of polymers and improve the understanding of how they disperse in the marine environment where they can endanger marine life.

    In a video address at the opening ceremony for the laboratory on 17 July, IAEA Director General Rafael Mariano Grossi said the laboratory — situated on the Santa Cruz Island — will be an active partner in environmental monitoring and reporting of microplastic pollution for Ecuador, including the Galapagos Islands.

    “The laboratory offers new opportunities to conduct studies on the environmental impact on the vulnerable and relevant biodiversity of the Islands, helping authorities to take and implement more precise control measures aimed at the protection and conservation of the Galapagos National Park,” he added.

    The new laboratory marks a significant milestone in the IAEA’s NUTEC Plastics initiative, which has supported countries since its launch in 2020 in researching microplastics and applying nuclear techniques to enhance recycling processes. The support to the Galapagos Islands follows the IAEA’s work in Antarctica — another valuable ecosystem — with the launch of microplastics research there in 2024.

    The data generated in the new laboratory will enable local and national authorities to more accurately assess plastic pollution levels and design targeted strategies to mitigate their impact. The information will also feed into the IAEA’s coordinated efforts under the IAEA Marine Environment Laboratories in Monaco to build a global network of laboratories with analytical capacities to monitor and mitigate marine microplastic pollution.

    The IAEA, through its technical cooperation programme, has also strengthened monitoring and analytical capacities in institutions such as the Galapagos National Park and the Escuela Superior Politécnica del Litoral (ESPOL) in Guayaquil, to address the growing threat of marine pollution from microplastics in the Galapagos Islands. The IAEA has allocated nearly €1 million to provide the new laboratory with equipment and training for monitoring marine stressors such as ocean acidification, eutrophication, and microplastic pollution — all of which threaten the region’s unique biodiversity and ecosystems.

    MIL OSI NGO –

    August 5, 2025
  • MIL-OSI Security: CISA and USCG Identify Areas for Cyber Hygiene Improvement After Conducting Proactive Threat Hunt at US Critical Infrastructure Organization

    Source: US Department of Homeland Security

    Summary

    The Cybersecurity and Infrastructure Security Agency (CISA) and U.S. Coast Guard (USCG) are issuing this Cybersecurity Advisory to present findings from a recent CISA and USCG hunt engagement. The purpose of this advisory is to highlight identified cybersecurity issues, thereby informing security defenders in other organizations of potential similar issues and encouraging them to take proactive measures to enhance their cybersecurity posture. This advisory has been coordinated with the organization involved in the hunt engagement.

    In 2024, CISA led a proactive hunt engagement at a U.S. critical infrastructure organization with the support of USCG analysts. During hunts, CISA proactively searches for evidence of malicious activity or malicious cyber actor presence on customer networks. The organization invited CISA to conduct a proactive hunt to determine if an actor had been present in the organization’s environment. (Note: Henceforth, unless otherwise defined, “CISA” is used in this advisory to refer to the hunt team as an umbrella for both CISA and USCG analysts).

    During this engagement, CISA did not identify evidence of malicious cyber activity or actor presence on the organization’s network, but did identify cybersecurity risks, including:

    • Insufficient logging;
    • Insecurely stored credentials;
    • Shared local administrator (admin) credentials across many workstations;
    • Unrestricted remote access for local admin accounts;
    • Insufficient network segmentation configuration between IT and operational technology (OT) assets; and
    • Several device misconfigurations.

    In coordination with the organization where the hunt was conducted, CISA and USCG are sharing cybersecurity risk findings and associated mitigations to assist other critical infrastructure organizations with improving their cybersecurity posture. Recommendations are listed for each of CISA’s findings, as well as general practices to strengthen cybersecurity for OT environments. These mitigations align with CISA and the National Institute for Standards and Technology’s (NIST) Cross-Sector Cybersecurity Performance Goals (CPGs), and with mitigations provided in the USCG Cyber Command’s (CGCYBER) 2024 Cyber Trends and Insights in the Marine Environment (CTIME) Report.

    Although no malicious activity was identified during this engagement, critical infrastructure organizations are advised to review and implement the mitigations listed in this advisory to prevent potential compromises and better protect our national infrastructure. These mitigations include the following (listed in order of importance):

    • Do not store passwords or credentials in plaintext. Instead, use secure password and credential management solutions such as encrypted password vaults, managed service accounts, or built-in secure features of deployment tools.
      • Ensure that all credentials are encrypted both at rest and in transit. Implement strict access controls and regular audits to securely manage scripts or tools accessing credentials.
      • Use code reviews and automated scanning tools to detect and eliminate any instances of plaintext credentials on hosts or workstations.
      • Enforce the principle of least privilege, only granting users and processes the access necessary to perform their functions.
    • Avoid sharing local administrator account credentials. Instead, provision unique, complex passwords for each account using tools like Microsoft’s Local Administrator Password Solution (LAPS) that automate password management and rotation.
    • Enforce multifactor authentication (MFA) for all administrative access, including local and domain accounts, and for remote access methods such as Remote Desktop Protocol (RDP) and virtual private network (VPN) connections.
    • Implement and enforce strict policies to only use hardened bastion hosts isolated from IT networks equipped with phishing-resistant MFA to access industrial control systems (ICS)/OT networks, and ensure regular workstations (i.e., workstations used for accessing IT networks and applications) cannot be used to access ICS/OT networks.
    • Implement comprehensive (i.e., large coverage) and detailed logging across all systems, including workstations, servers, network devices, and security appliances.
      • Ensure logs capture information such as authentication attempts, command-line executions with arguments, and network connections.
      • Retain logs for an appropriate period to enable thorough historical analysis (adhering to organizational policies and compliance requirements) and aggregate logs in an out-of-band, centralized location, such as a security information event management (SIEM) tool, to protect them from tampering and facilitate efficient analysis.

    For more detailed mitigations addressing the identified cybersecurity risks, see the Mitigations section of this advisory.

    Technical Details

    Note: This advisory uses the MITRE ATT&CK® Matrix for Enterprise framework, version 17. See Appendix: MITRE ATT&CK Tactics and Techniques for a table of potential activity mapped to MITRE ATT&CK tactics and techniques.

    Overview

    Cybersecurity and Infrastructure Security Agency (CISA) and United States Coast Guard (USCG) analysts (collectively referred to as CISA in this report) conducted a threat hunt engagement at a critical infrastructure organization in 2024. During this hunt, CISA proactively searched for evidence of malicious activity or the presence of a malicious cyber actor on the customer’s network using host, network, industrial control system (ICS), and commercial cloud and open-source analysis tools. CISA searched for evidence of activity by looking for specific exploitation tactics, techniques, and procedures (TTPs) and associated artifacts.

    While CISA did not find evidence of threat actor presence on the organization’s network, the team did identify several cybersecurity risks. These findings are listed below in order of risk. Technical details of each identified cyber risk are included, along with the potential impact from threat actor exploitation of each risk (recommendations for mitigating each risk are listed in the Mitigations section below).

    Several of these findings align with those observed during similar engagements conducted by US Coast Guard Cyber Command (CGCYBER), which are documented in their 2024 Cyber Trends and Insights in the Marine Environment (CTIME) report. The authoring agencies encourage critical infrastructure organizations to review the CTIME report to understand trends in the techniques/attack paths threat actors are using to compromise at-risk organizations, and what mitigations organizations should implement to prevent a successful attack.

    Key Findings

    Shared Local Admin Accounts with Non-Unique Passwords Stored as Plaintext

    Details: CISA identified a few local admin accounts with non-unique passwords; these accounts were shared across many hosts. The credentials for each account were stored plaintext in batch scripts. CISA discovered these authorized scripts were configured to create user accounts with local admin privileges and then set identical, non-expiring passwords—these passwords were stored in plaintext in the script. One script was configured to create an admin account (set with a password stored in the script in plaintext) and automatically add to the admin group. The account was set as the local admin account on many other hosts.

    Potential Impact: The storage of local admin credentials in plaintext scripts across numerous hosts increases the risk of widespread unauthorized access, and the usage of non-unique passwords facilitates lateral movement throughout the network. Malicious actors with access to workstations with either of these batch scripts could obtain the passwords for these local admin accounts by searching the filesystem for strings like net user /add, identifying scripts containing usernames and passwords [T1552.001], and accessing these accounts to move laterally.

    For example, during a controlled security validation exercise (with explicit permission from the customer), CISA used the credentials found in one of the scripts to log into its associated admin account locally on a workstation [T1078.003], and then establish a Remote Desktop Protocol (RDP) connection to another workstation [T1021.001]. This demonstrated that the credentials allowed local login to an admin account and enabled lateral movement to any workstation with the account. While using this account, the user had local admin privileges on many workstations. Upon initiating the RDP session, the system issued out a notification that another user was currently logged in and that continuing the session would disconnect the existing user, confirming that the account can be accessed remotely via RDP.

    The uniform use of local admin accounts with identical, non-expiring passwords across numerous hosts, coupled with the storage of these credentials in plaintext within accessible scripts, elevates the risk of unauthorized access and lateral movement throughout the network.

    With local admin access, malicious cyber actors can:

    • Modify existing accounts or create new accounts [T1098], potentially escalating privileges or maintaining persistent access.
    • Install malicious browser extensions on compromised systems [T1112].
    • Communicate with compromised systems using standard application layer protocols [T1071], which may bypass certain security monitoring tools.
    • Modify local policies to escalate privileges or disable security features [T1484].
    • Alter system configurations or install software that executes at startup [T1547], ensuring continued access and persistence.
    • Hijack the execution flow of applications to inject malicious code [T1574].

    The widespread distribution of plaintext credentials and the use of identical passwords across hosts increases the risk of unauthorized access throughout the network. This vulnerability heightens the potential for attackers to conduct unauthorized activities, which may impact the confidentiality, integrity, and availability of the organization’s assets.

    Note: This finding was associated with workstations only; servers and other devices were not affected.

    Insufficient Network Segmentation Configuration Between IT and Operational Technology Environments

    Details: While assessing interconnectivity between the customer’s IT and operational technology (OT) environments, CISA identified that the OT environment was not properly configured. Specifically, standard user accounts could directly access the supervisory control and data acquisition (SCADA) virtual local area network (VLAN) directly from IT hosts.

    First, CISA determined it was possible to establish a connection via port 21 from a user workstation in the IT network to a system within the SCADA VLAN. The test established that a network path was available, the remote host was reachable, the port was open and listening for connections, and that the port was directly accessible between the IT and SCADA VLANs, with misconfigured network-level restrictions—for example, firewalls or access control lists (ACLs)—blocking the Transmission Control Protocol (TCP) connection on the port. This test was conducted using a standard user account on a regular IT workstation without administrative privileges [T1078].

    Second, CISA discovered that the customer did not have sufficient secured bastion hosts dedicated for accessing SCADA and heating, ventilation, and air conditioning (HVAC) systems. A bastion host­—sometimes referred to as a jump box or jump server—is a specialized, highly secured system (often a server or dedicated workstation) that serves as the sole access point between a network segment (such as an internal IT network) and a protected internal network (like an OT or ICS environment). By inspecting and filtering all inbound and outbound traffic, a bastion host is designed to prevent unauthorized access and lateral movement, ensuring that only authenticated and authorized users can interact with internal systems. Though several hosts were designated as bastion hosts for remote access to SCADA and HVAC systems, they lacked the enhanced security configuration, dedicated monitoring, and specialized scrutiny expected of bastion hosts.

    Potential Impact: Insufficient OT network segmentation configuration, network access control (NAC), and the ability of a non-privileged user within the IT network to use their credentials to access the critical SCADA VLAN [T1078] presents a security and safety risk. Given that SCADA and HVAC systems control physical processes, compromises of these systems can have real-world consequences, including risks to personnel safety, infrastructure integrity, and equipment functionality.

    Malicious actors could further exploit potentially unsecured workstations with access to OT systems, and insufficient network segmentation configuration between IT and OT systems, in the following ways:

    • Use RDP or Secure Shell (SSH) protocols to move laterally from compromised IT workstations to OT systems [T1021.001] [T1021.004].
    • Execute commands and scripts using scripting languages like PowerShell to attack OT systems [T1059].
    • Map network connections to identify paths to OT systems [T1049].
    • Gather information about network configurations to plan attacks on OT systems [T1016].

    By exploiting these weaknesses, attackers can potentially gain unauthorized access to critical OT systems, manipulate physical processes, disrupt operations, and cause harm.

    Insufficient Log Retention and Implementation

    Details: CISA was unable to hunt for every MITRE ATT&CK® procedure in the scoped hunt plan partly because the organization’s event logging system was insufficient for this analysis. For example, Windows event logs from workstations were not being forwarded to the organization’s security information event management (SIEM), verbose command line auditing was not enabled (meaning command line arguments were not being captured in Event ID 4688), logging in the SIEM was not as comprehensive as required for the analysis, and log retention did not allow for a thorough analysis of historical activity.

    Potential Impact: The absence of comprehensive and detailed logs, along with a lack of an established baseline for normal network behavior, prevented CISA from performing thorough behavior and anomaly-based detection. This limitation hindered the ability to hunt for certain TTPs, such as living-off-the-land techniques, the use of valid accounts [T1078], and other TTPs used by sophisticated threat actors. Such techniques often do not produce discrete indicators of compromise or trigger alerts from antivirus software, intrusion detection systems (IDS), or endpoint detection and response (EDR) solutions. Further, the lack of workstation logs in the organization’s SIEM meant CISA could not analyze authentication events to identify anomalous activities, such as unauthorized access using local administrator credentials. This gap exposes networks to undetected lateral movement and unauthorized access.

    Insufficient logging can prevent the detection of malicious activity by hindering investigations, which makes detection of threat actors more challenging and leaves the network susceptible to undetected threats.

    Additional Findings

    Misconfigured sslFlags on a Production Server

    Details: CISA used PowerShell to examine the ApplicationHost.config file[1]—a central configuration file for Internet Information Services (IIS) that governs the behavior of the web server and its applications and websites—on a production IIS server. CISA observed an HTTPS binding configured with sslFlags==“0”, which keeps IIS in its legacy “one-certificate-per-IP” mode. This mode disables modern certificate-management features, and because mutual Transport Layer Security (TLS) (client-certificate authentication) must be enabled separately in “SSL Settings” or by adding , the binding leaves the client-certificate enforcement off by default, allowing any TLS client to complete the handshake anonymously. Moreover, sslFlags does not control protocol or cipher selection, so outdated protocols or weak cipher suites (e.g., SSL 3.0, TLS 1.0/1.1) may still be accepted unless Secure Channel (Schannel)[2] has been explicitly hardened.

    Potential Impact: The misconfigured sslFlags could enable threat actors to attempt an adversary-in-the-middle attack [T1557] to intercept credentials and data transmitted between clients and the IIS server. Malicious actors could also exploit vulnerabilities in older Secure Sockets Layer (SSL)/TLS protocols, as well as weak cipher suites, increasing the risk for protocol downgrade attacks in which an attacker forces the server and client to negotiate the use of weaker encryption standards [T1562.010]. This compromises the confidentiality and integrity of data transmitted over this channel. Furthermore, the absence of client certificate enforcement meant the server did not validate the identity of the connecting clients beyond the basic SSL/TLS handshake. This deficiency exposed the server to risks where unauthorized or malicious clients could impersonate legitimate users, potentially gaining access to sensitive resources without proper verification.

    Misconfigured Structured Query Language Connections on a Production Server

    Details: CISA reviewed machine.config file on a production server and identified that it was configured with a centralized database connection string, LocalSqlServer, for both profile and role providers. This configuration implies that, unless overridden in each application’s web.config files, every ASP.NET site on the server connects to the same Structured Query Language (SQL) Express or aspnetdb database and shares the same credentials context.

    Additionally, CISA identified that the machine.config file set the minRequiredPasswordLength to be less than 15 characters, which is CISA’s recommended password length.

    Potential Impact: Using a centralized database approach increases risk, as a single breach or misconfiguration in this central SQL database server can compromise all applications dependent on the server. This creates a single point of failure and could be exploited by attackers aiming to gain broad access to the system.

    Additionally, setting the minimum password length to any password under 15 characters is more vulnerable to various forms of brute-force attacks, such as password guessing [T1110.001], cracking [T1110.002], spraying [T1110.003], and credential stuffing [T1110.004]. If a threat actor successfully cracked these weak passwords, they could gain unauthorized access to user or application accounts and leverage vulnerabilities within applications to further escalate privileges, potentially leading to unauthorized access to the backend SQL Server databases. This could result in data breaches, data manipulation, or a loss of database integrity.

    Mitigations

    CISA and USCG recommend that critical infrastructure organizations implement the mitigations below to improve their organization’s cybersecurity posture. Recommendations to reduce cyber risk are listed for each of CISA’s findings during this engagement and are ordered starting from the highest to lowest importance for organizations to implement. CISA and USCG also include general practices to strengthen cybersecurity for OT environments that are not tied to specific findings.

    These mitigations align with the Cross-Sector Cybersecurity Performance Goals jointly developed by CISA and the National Institute for Standards and Technology (NIST). The Cybersecurity Performance Goals (CPGs) provide a minimum set of practices and protections that CISA and NIST recommend all organizations implement. CISA and NIST based the CPGs on existing cybersecurity frameworks and guidance to protect against the most common and impactful TTPs. Visit CISA’s CPGs webpage for more information.

    Many of these mitigations also align with recommendations made by CGCYBER in their 2024 CTIME report. The report provides relevant information and lessons learned about cybersecurity risks gathered through operations similar to this threat hunt engagement, and best practices to mitigate these risks. Please see the 2024 CTIME report for additional recommendations for critical infrastructure organizations to implement to harden their environments against malicious activity.

    Implement Unique Credentials and Access Control Measures for Administrator Accounts

    • Provision unique and complex credentials for local administrator accounts [CPG 2.C] on all systems. Do not use shared or identical administrative credentials across systems. Ensure service accounts/machine accounts have passwords unique from all member user accounts.
      • For example, organizations can deploy Microsoft LAPS (see Microsoft Learn’s Windows LAPS Overview for more information) to ensure each machine has a unique, complex local administrator password; passwords are rotated automatically within Microsoft Active Directory, reducing the window of vulnerability; and that password retrieval is limited to authorized personnel only.
    • Require phishing-resistant multifactor authentication (MFA) [CPG 2.H] in addition to unique passwords for all administrative access, including local- and domain-level administrator accounts, RDP sessions, and VPN connections.
    • Use privileged access workstations (PAWs) dedicated solely for administrative tasks and isolate them from the internet and general network to reduce exposure to threats and lateral movement.
      • Harden PAWs by applying CIS Benchmarks: limit software to essential administrative functions, disable unnecessary services and ports, and ensure regular updates and patches.
      • Enforce strict access controls to restrict PAW access to authorized administrators only.
    • Conduct continuous auditing of privileged accounts by regularly collecting and analyzing logs of administrative activities, such as login attempts, command executions, and configuration changes [CPG 2.T].
      • Configure automated alerts for anomalous behaviors, including logins outside standard hours, access from unauthorized locations, and repeated failed logins.
      • Periodically review all administrator accounts to confirm the necessity and appropriateness of access levels; align these auditing practices with NIST SP 800-53 Rev. 5 Controls AU-2 (Auditable Events) and AU-12 (Audit Record Generation).
    • Apply the principle of least privilege by limiting administrative privileges to the minimum required for users to perform their roles [CPG 2.E].
      • Create individual administrative accounts with unique credentials and role-specific permissions and disable or rename built-in local administrator accounts to reduce common attack vectors.
      • Avoid using shared administrator accounts to improve accountability and auditability, and ensure administrators use standard accounts for non-administrative tasks to minimize credential exposure.
      • Implement Role-Based Access Control (RBAC) to assign permissions based on job functions, as aligned with NIST SP 800-53 Rev. 5 Control AC-5 (Separation of Duties).
    • Identify and remove unauthorized or unnecessary local administrator accounts, maintain oversight by documenting and tracking all authorized accounts, and enforce strict account management policies by restricting account creation privileges and implementing approval workflows for new administrator accounts.

    Securely Store and Manage Credentials

    • Purge credentials from the System Center Configuration Manager (SCCM). Review SCCM packages, task sequences, and scripts to ensure that no plaintext credentials are embedded, and update or remove any configurations that deploy scripts with plaintext credentials.
    • Do not store plaintext credentials in scripts. Instead, store credentials in a secure manner, such as with a credential/password manager or vault, or other privileged account management solution [CPG 2.L].
    • Use encrypted communication. If scripts must retrieve credentials at runtime, use encrypted channels and protocols (e.g., TLS 1.3) to communicate with secure credential stores. Ensure that credentials are not written to disk or exposed in logs.
    • Use unique local administrator passwords, such as by deploying Microsoft LAPS. Set appropriate permissions on Active Directory attributes used by LAPS (ms-MCS-AdmPwd and ms-MCS-AdmPwdExpirationTime) per Microsoft’s security recommendations.

    Establish Network Segmentation Between IT and OT Environments

    • Assess the existing network architecture to ensure effective segmentation between the IT and OT networks [CPG 2.F]—this process should evaluate both logical and physical segmentation, ensuring clear boundaries between IT and OT assets.
      • Use NIST SP 800-82 Rev. 3 (Guide to OT Security) and International Electrotechnical Commission (IEC) 62443 standards as guides for network segmentation best practices.
      • Network segmentation is essential for containing breaches within isolated segments and preventing them from spreading across networks. Depending on your environment, consider implementing the following segmentation:
        • Implement VLAN segmentation with inter-VLAN access controls.
        • Create separate VLANs for IT and OT systems, specifically isolating OT components such as SCADA systems from IT network VLANs.
        • Configure inter-VLAN access controls, including Layer 3 ACLs, to restrict traffic between IT and SCADA VLANs.
        • Deploy firewalls with application-layer filtering capabilities to monitor and control data flow between the VLANs, ensuring that only authorized protocols and devices can communicate across segments.
    • Implement a demilitarized zone (DMZ) between IT and OT environments to provide an additional security layer.
      • Position firewalls at both the IT-DMZ and OT-DMZ boundaries to filter traffic and enforce strict communication policies.
      • Configure the DMZ to act as an intermediary, with only essential communications permitted between IT and OT networks.
      • Ensure the DMZ hosts shared services (e.g., bastion hosts, jump servers, or data historians) that require limited interaction with both environments, with access controls and monitoring in place.
    • Consider a full network re-architecture if current segmentation methods cannot effectively separate IT and OT networks.
      • Collaborate with cybersecurity and network experts to design an architecture that meets ICS-specific security requirements—this redesign may involve transitioning to a micro-segmented or zero trust architecture, which includes strict identity verification for all users and devices attempting to access OT assets.[3]
    • Implement unidirectional gateways (data diodes) where appropriate to prevent bidirectional communication.
    • Keep network diagrams, configuration files, and asset inventories up to date.
    • Regularly test segmentation controls to validate their effectiveness in restricting unauthorized access by conducting penetration testing and security assessments.
      • Include simulated breach scenarios to confirm that segmentation contains threats within isolated zones.
      • Ensure compliance with NIST SP 800-53 Rev. 5 Control AC-4 (Information Flow Enforcement) to align segmentation measures with best practices for controlled information flow.

    Prevent Unauthorized Access via Port 21

    • Disable File Transfer Protocol (FTP) services on SCADA devices and servers if they are not required. Replace FTP with secure alternatives, such as SSH FTP (SFTP) or FTP over TLS/SSL (FTPS).
    • Block inbound and outbound FTP traffic on port 21 using firewalls and ACLs.
      • Implement restrictive ACL policies at network boundaries to control FTP access across all network layers.
      • As outlined in CIS Control 9.2 (Limit Unnecessary Ports, Protocols, and Services), close any unused ports to strengthen network defenses.
    • Implement IDS/Intrusion Prevention System (IPS) technologies to monitor traffic between the IT network and SCADA VLAN, use signature and anomaly detection, and integrate IDS/IPS with a SIEM system for centralized monitoring.
    • Enhance authentication and encryption mechanisms. Require MFA for SCADA access, use secure remote access technologies when necessary, securely encrypt communications (using protocols such as TLS 1.2 or higher, preferably TLS 1.3), and establish VPN tunnels to communicate between IT networks and SCADA systems.
    • Perform network traffic filtering and deep packet inspection.
      • Use SCADA-aware firewalls capable of understanding SCADA protocols and inspecting and filtering traffic at the application layer.
      • Only allowlist authorized protocols and command structures to SCADA operations. Use one-way communication devices to prevent data from flowing back into the SCADA network.

    Establish Secure Bastion Hosts for OT Network Access

    • Ensure bastion hosts are dedicated secure access points exclusively used to access the OT network and deployed as exclusive management gateways for all devices within a network.
      • Make bastion hosts the single access points for conducting all administrative tasks, system management, and configuration changes; this centralizes access control and ensures any interaction with the OT system passes through a rigorously monitored and secure environment, minimizing the potential for unauthorized access.
    • Do not allow staff to use bastion hosts as regular workstations.
      • Provide staff with separate workstations for accessing email, internet browsing, etc., on the IT network.
      • Establish and enforce policies that prohibit non-administrative activities on bastion hosts, ensuring they remain dedicated to OT network access.
    • Regularly audit and monitor bastion hosts to maintain security integrity, prevent unauthorized use, and quickly address any vulnerabilities or policy non-compliance.
    • Configure comprehensive logging of all activities on bastion hosts, including authentication attempts, command executions, configuration changes, and file transfers. Aggregate logs into a SIEM.
    • Isolate bastion hosts from the IT network; bastion hosts should reside in a separate security zone with restricted communication pathways (see CISA’s infographic on Layering Network Security Through Segmentation).
      • Deploy bastion hosts in a DMZ, imposing physical and logical isolation from other networks.
      • Configure firewalls between the IT network, bastion hosts, and the OT network, enforcing strict access control policies to allow only necessary traffic.
    • Ensure secure configuration and hardening of bastion hosts: Comply with NIST SP 800-123 and CIS Benchmarks and CNSSI 4009-2015, remove nonessential applications and services to reduce the attack surface, configure system settings to be secure, conduct effective patch management, enforce the principle of least functionality, and disable unused ports and protocols.
    • Implement access control policies: remove any access permissions to the OT network from IT workstations and ensure only bastion hosts have access to the OT network.
      • Implement NAC solutions to enforce policy-driven access control decisions based on device compliance and user authentication to provide dynamic access control and real-time visibility into the devices on the network.
    • Equip each bastion host with robust authentication mechanisms, including phishing resistant MFA [CPG 2.H], to verify the identity of users accessing the network.
      • Align with AAL3 as defined in NIST SP 800-63B. AAL3 requires hardware-based authenticators and proof of possession of cryptographic keys through secure authentication protocols.
    • Implement stringent access controls that restrict access to authorized personnel only using RBAC principles, ensuring that personnel can only access information and perform tasks pertinent to their roles and duties. This reduces the risk of internal threats or lateral movement and prevents unauthorized access.
    • Securely configure remote access tools, including by using secure protocols and disabling remote access tools on IT workstations to the OT network, enforcing that all remote access occurs through bastion hosts.
      • Disable insecure protocols like Telnet and unencrypted VNC to prevent interception and unauthorized access.
      • Log all remote access sessions and monitor for unauthorized or anomalous activities.

    Implement Comprehensive Logging, Log Retention, and Analysis

    • Implement comprehensive and verbose (i.e., detailed) logging across all systems, including workstations, servers, network devices, and security appliances [CPG 2.T].
      • Enable logging of critical events such as authentication attempts, command-line executions with command arguments (Event ID 4688), and network connections.
    • Aggregate logs in an out-of-band, centralized location [CPG 2.U] where adversaries cannot tamper with them, such as a dedicated SIEM, in order to facilitate behavior analytics, anomaly detection, and proactive threat hunting [CPG 2.T, 2.U]. For more information on behavior- and anomaly-based detection techniques, see joint guidance Identifying and Mitigating Living off the Land.
    • Ensure comprehensive logging on bastion hosts for all activities. Capture detailed records of login attempts [CPG 2.G], commands executed (with command arguments enabled), configurations changed, and files transferred.
    • Continuously monitor logs for early detection of anomalous activities. Configure the SIEM to generate automatic alerts for suspicious activity and implement behavior analysis techniques to detect anomalies.
    • Securely store log backups and use tamper resistant storage [CPG 2.U] to prevent a threat actor from altering or purging logs to conceal malicious activity.

    For additional guidance on logging, see joint guidance Best Practices for Event Logging and Threat Detection.

    Securely Configure HTTPS Bindings and LocalSqlServer Connection String

    • Enforce both client certificate verification and secure renegotiation in IIS by configuring the sslFlags setting to “3” in the ApplicationHost.config file. Setting sslFlags=“3” requires clients to present valid X.509 certificates for authentication and implements the TLS Renegotiation Indication Extension (RFC 5746). To implement this, perform the following steps:
      • Locate the element for the HTTPS site within ApplicationHost.config.
      • Set the sslFlags attribute to “3”: .
      • Restart IIS to apply the changes: iisreset.
    • Restrict the server to use only secure and up-to-date SSL/TLS protocols and cipher suites.
      • Disable deprecated protocols like SSL 2.0, SSL 3.0, TLS 1.0, and TLS 1.1 to prevent protocol downgrade attacks that compromise the confidentiality and integrity of data.
    • Override the global settings in machine.config by modifying each application’s web.config file to define its own connection strings and providers. This isolates applications at the database level and allows for tailored security configurations for each application.
    • Create dedicated SQL Server database accounts for each application with permissions limited to necessary operations (e.g., SELECT, INSERT, UPDATE), and avoid granting excessive privileges.
      • Do not assign roles like db_owner or sysadmin to application accounts. This reduces the risk of privilege escalation and enhances accountability through segregated access logs.
    • Use machine.config only for configurations that must be applied globally across all applications on the server.
      • Audit the machine.config file to ensure no application-specific settings are present.

    Enforce Strong Password Policies

    • Implement a system-enforced policy that requires a minimum password length of 15 or more characters for all password-protected IT assets and all OT assets, when technically feasible [CPG 2.B].
      • Consider leveraging passphrases and password managers to make it easier for users to maintain sufficiently long passwords.
    • In instances where minimum password lengths are not technically feasible, apply and record compensating controls, such as rate-limiting login attempts, account lockout thresholds, and strong network segmentation. Prioritize these systems for upgrade or replacement.
    • Implement MFA [CPG 2.H] in addition to strong passwords (i.e., passwords 15 characters or longer).

    Additional Mitigation Recommendations to Strengthen Cybersecurity

    CISA and USCG recommend critical infrastructure organizations implement the following additional mitigations (not tied to specific findings from the engagement) to improve the cybersecurity of their IT and OT environments:

    • Secure RDP from the IT to OT environments by deploying dedicated VPNs for all remote interactions with the OT network. Using RDP without strong authentication practices can lead to credential theft. Additionally, RDP does not inherently segregate or closely monitor user sessions, which can allow a compromised session to affect other parts of the network.
      • Deploy VPNs with strong encryption protocols such as SSL/TLS or Internet Protocol Security (IPsec) [CPG 2.K] to safeguard data integrity and confidentiality; use MFA [CPG 2.H] at all VPN access points to ensure only authorized personnel can gain access.
      • Configure VPN gateways to perform rigorous security checks and manage traffic destined for the OT network, ensuring comprehensive validation of all communications through pre-defined security policies.
        • VPN gateways should function as the primary enforcement points for access controls, scrutinizing every data packet to detect and block unauthorized access attempts.
      • Align the VPN traffic monitoring with the DMZ’s capabilities to regulate and inspect the data flow between IT and OT environments.
      • As part of the broader network architecture review, ensure the VPN infrastructure is correctly segmented from other network resources [CPG 2.F] to prevent any spillover effects from the IT environment to the OT network, containing potential breaches within isolated network zones.
      • Within the VPN configuration, enforce strict routing rules that require all remote access requests to pass through the DMZ and be authenticated by bastion hosts. This minimizes the risk of unauthorized access and ensures that all remote interactions with the OT network are monitored and controlled.
    • If wireless technology is employed within the OT environment, implement Wi-fi Protected Access 3 (WPA3)-Enterprise encryption with strong authentication protocols like Extensible Authentication Protocol (EAP)-TLS to ensure data confidentiality and integrity.
      • Deploy and continuously monitor Wireless Intrusion Prevention Systems (WIPS) to detect, prevent, and respond to unauthorized access attempts and anomalous activities within the wireless network infrastructure.
      • Disable unnecessary features like Service Set Identifier (SSID) broadcasting and peer-to-peer networking, enable Media Access Control (MAC) filtering as an additional layer, and keep wireless firmware updated.

    Validate Security Controls

    In addition to applying mitigations, CISA and USCG recommend exercising, testing, and validating your organization’s security program against the threat behaviors mapped to the MITRE ATT&CK for Enterprise framework in this advisory. CISA and USCG recommend testing your existing security controls inventory to assess how they perform against the ATT&CK techniques described in this advisory.

    To get started:

    1. Select an ATT&CK technique described in this advisory (see Table 1 to Table 9).
    2. Align your security technologies against the technique.
    3. Test your technologies against the technique.
    4. Analyze your detection and prevention technologies’ performance.
    5. Repeat the process for all security technologies to obtain a set of comprehensive performance data.
    6. Tune your security program—including people, processes, and technologies—based on the data generated by this process.

    CISA and USCG recommend continually testing your security program, at scale, in a production environment to ensure optimal performance against the MITRE ATT&CK techniques identified in this advisory.

    Contact Information

    Critical infrastructure organizations are encouraged to report suspicious or criminal activity related to information in this advisory to:

    Additional Resources

    For more information on improving cyber hygiene for critical infrastructure IT and OT environments, please see the following additional resources authored by CISA, CGCYBER, and international partners:

    Disclaimer

    The information in this report is being provided “as is” for informational purposes only. CISA and USCG do not endorse any commercial entity, product, company, or service, including any entities, products, or services linked within this document. Any reference to specific commercial entities, products, processes, or services by service mark, trademark, manufacturer, or otherwise, does not constitute or imply endorsement, recommendation, or favoring by CISA and USCG.

    Version History

    July 31, 2025: Initial version.

    Appendix: MITRE ATT&CK Tactics and Techniques

    See Table 1 to Table 9 for all referenced threat actor tactics and techniques in this advisory. For assistance with mapping malicious cyber activity to the MITRE ATT&CK framework, see CISA and MITRE ATT&CK’s Best Practices for MITRE ATT&CK Mapping and CISA’s Decider Tool.

    Table 1: Initial Access
    Technique Title ID Use
    Valid Accounts T1078 Malicious actors could use access to valid accounts for access to IT and OT networks.
    Valid Accounts: Local Accounts T1078.003 Threat actors could use credentials obtained for local administrator accounts to gain administrator access to workstations or services that use the account.
    Account Manipulation T1098 Malicious actors could modify existing accounts or create new accounts to maintain access or escalate privileges. 
    Table 2: Execution
    Technique Title ID Use
    Command and Scripting Interpreter  T1059 Malicious actors could use script interpreters like PowerShell to execute commands and scripts. 
    Table 3: Persistence
    Technique Title ID Use
    Boot or Autostart Execution T1547 Malicious actors could configure autostart execution paths to ensure persistence.
    Hijack Execution Flow T1574 Malicious actors could hijack the execution flow of applications and inject malicious code.
    Table 4: Privilege Escalation
    Technique Title ID Use
    Domain or Tenant Policy Modification T1484 Malicious actors could modify domain policies to escalate privileges or evade defenses.
    Table 5: Defense Evasion
    Technique Title ID Use
    Modify Registry T1112 Malicious actors could install malicious browser extensions on compromised systems.
    Impair Defenses: Downgrade Attack T1562.010 Malicious actors could exploit vulnerabilities in older systems to force a downgrade to a less secure mode of operation.
    Table 6: Credential Access
    Technique Title ID Use
    Unsecured Credentials: Credentials in Files T1552.001 Malicious actors could search for and exploit credentials stored in unsecured files. 
    OS Credential Dumping T1003 Malicious actors could extract credentials from memory or storage from unsecured workstations.
    Adversary-in-the-Middle T1557 Malicious actors could position themselves between networked devices to intercept credentials and other data. 
    Brute Force: Password Guessing T1110.001 Malicious actors could systematically guess possible passwords.
    Brute Force: Password Cracking T1110.002 Malicious actors could recover plaintext credentials after obtaining password hashes or other similar credential material.
    Brute Force: Password Spraying T1110.003 Malicious actors could attempt to use a common password against different accounts to try to obtain account access. 
    Brute Force: Credential Stuffing T1110.004 Malicious actors could try to use credentials gained from an unrelated account to gain access to a desired account in the victim’s environment. 
    Table 7: Discovery
    Technique Title ID Use
    System Network Connections Discovery T1049 Malicious actors could map network connections to identify paths to OT systems from an unsecured IT workstation with access to the OT network. 
    System Network Configuration Discovery T1016 Malicious actors could use an unsecured workstation to discover network configurations.
    Table 8: Lateral Movement
    Technique Title ID Use
    Remote Services: Remote Desktop Protocol T1021.001 Malicious actors could use valid credentials to establish an RDP connection to access a workstation. 
    Remote Services: SSH T1021.004 Malicious actors could use valid accounts to establish an SSH connection to a workstation.
    Table 9: Command and Control
    Technique Title ID Use
    Application Layer Protocol T1071 Malicious actors could use application layer protocols to communicate with systems they compromised while blending in with existing network traffic. 

    MIL Security OSI –

    August 5, 2025
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