Prime Minister Narendra Modi will visit Bihar and West Bengal on Friday to launch a series of development projects worth over ₹12,000 crore, aimed at strengthening infrastructure, connectivity, and socio-economic growth in the two states.
PM in Bihar
Prime Minister will lay the foundation stone, inaugurate and dedicate to the nation development projects catering to Rail, Road, Rural Development, Fisheries, Electronics and Information Technology sectors.
In line with his commitment to boost connectivity and infrastructure, Prime Minister will dedicate to the nation multiple rail projects. It includes automatic signalling between Samastipur-Bachhwara rail line that will enable efficient train operations in this section. Doubling of Darbhanga-Thalwara and Samastipur-Rambhadrapur rail line part of Darbhanga-Samastipur doubling project worth over Rs 580 crore that will enhance the capacity of train operations and reduce delays.
The Prime Minister will also lay the foundation stone for multiple rail projects. These include the development of infrastructure for the maintenance of Vande Bharat trains at Patliputra, and the installation of automatic signalling on the 114 km Bhatni–Chhapra Gramin rail line to enable streamlined train operations. The upgradation of the traction system in the Bhatni–Chhapra Gramin section will allow higher train speeds by strengthening traction infrastructure and optimising energy efficiency. Additionally, the Darbhanga–Narkatiaganj rail line doubling project, worth around ₹4,080 crore, will increase sectional capacity, enable the operation of more passenger and freight trains, and strengthen connectivity between North Bihar and the rest of the country.
Furthering road connectivity in the region, Prime Minister Modi will lay the foundation stone for the four-laning of the Ara bypass of NH-319 and inaugurate the Parariya to Mohania section of NH-319. This corridor, which connects Ara Town to the Golden Quadrilateral, is expected to enhance both passenger and freight transport. He will also inaugurate a two-lane paved shoulder road from Sarwan to Chakai under NH-333C, which serves as a vital link between Bihar and Jharkhand.
In the digital infrastructure sector, the Prime Minister will inaugurate a new Software Technology Parks of India (STPI) facility in Darbhanga and a state-of-the-art incubation centre in Patna. These facilities are designed to support the growth of the IT and startup ecosystem in Bihar, promoting software exports and fostering innovation and entrepreneurship.
Under the Pradhan Mantri Matsya Sampada Yojana (PMMSY), several fisheries development projects will also be inaugurated. These projects include the setting up of hatcheries, biofloc units, ornamental fish farming units, and integrated aquaculture infrastructure. The new projects are expected to generate employment and uplift the rural economy through increased fish production and entrepreneurship.
In line with the vision for a modern and accessible railway network, the Prime Minister will flag off four new Amrit Bharat trains connecting key cities such as Patna, Motihari, Darbhanga, and Malda Town with major destinations like New Delhi and Lucknow, enhancing regional and interstate rail connectivity.
Further, the Prime Minister will release ₹400 crore to approximately 61,500 Self-Help Groups (SHGs) in Bihar under the Deendayal Antyodaya Yojana-National Rural Livelihoods Mission (DAY-NRLM). He will also hand over keys to beneficiaries under the Pradhan Mantri Awaas Yojana-Gramin as part of a Griha Pravesh event for 12,000 families, and release over ₹160 crore to 40,000 beneficiaries of the scheme.
PM in West Bengal
Later in the day, around 3 PM, the Prime Minister will visit Durgapur in West Bengal, where he will launch and dedicate several development projects in Oil and Gas, Power, Road, and Rail sectors, cumulatively worth over ₹5,000 crore.
In a major push to energy infrastructure, he will lay the foundation stone for the Bharat Petroleum Corporation Limited (BPCL) City Gas Distribution project in Bankura and Purulia districts. The ₹1,950 crore project aims to provide piped natural gas to households and CNG for vehicles, boosting employment and supporting clean energy usage.
He will also dedicate the 132-km Durgapur to Kolkata section of the Durgapur-Haldia Natural Gas Pipeline to the nation. This segment, worth over ₹1,190 crore, is part of the Pradhan Mantri Urja Ganga project and will facilitate the supply of natural gas across multiple districts including Purba Bardhaman, Hooghly, and Nadia.
In keeping with the focus on clean energy, the Prime Minister will inaugurate Flue Gas Desulphurization (FGD) systems at Durgapur Steel Thermal Power Station and Raghunathpur Thermal Power Station under the Damodar Valley Corporation. These pollution control systems, worth over ₹1,457 crore, are expected to improve air quality and support sustainable power generation in the region.
Rail infrastructure in West Bengal will also see enhancement with the inauguration of the doubling of the Purulia-Kotshila rail line, a 36-km stretch worth over ₹390 crore. The project will boost industrial connectivity from Jamshedpur, Bokaro, and Dhanbad to Ranchi and Kolkata, improving logistics and reducing transit time.
The Prime Minister will also inaugurate two road overbridges at Topsi and Pandabeshwar in Paschim Bardhaman, constructed under the Setu Bharatam programme at a cost of over ₹380 crore. These bridges are expected to ease traffic flow and reduce accidents at railway level crossings.
Source: People’s Republic of China in Russian – People’s Republic of China in Russian –
An important disclaimer is at the bottom of this article.
Source: People’s Republic of China – State Council News
BEIJING, July 17 (Xinhua) — The fishing season on the Chinese-Russian border river Ussuri opened at 00:00 on July 16, ending a 35-day summer moratorium on fishing on this right tributary of the Heilongjiang (Amur) River, the local fisheries department said.
During the fishing season, the Chinese border control agency is prepared to strengthen inspection and patrolling using drones, patrol boats and CCTV to ensure the safety of fishermen and the legality of their fishing operations.
According to the report, during the summer fishing ban of the current year, the local border control service conducted 21 patrol raids on the Ussuri River, during which 296 people were prevented from committing crimes, thanks to which the number of administrative and criminal cases concerning the border control and the neighboring country in the corresponding section of the border was reduced to zero.
Let us recall that the seasonal moratorium on fishing in the border waters between China and Russia is being introduced mainly on the Heilongjiang and Ussuri rivers, as well as in Lake Xingkaihu in order to preserve fish resources and ensure the sustainable development of fishing in these waters.
In 1999, China established the Ussuri River Aquatic Resources Protection Group, which releases juvenile fish into the Ussuri every year during the fishing ban. -0-
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.
Source: People’s Republic of China – State Council News
Wounded, yet never tamed, China’s former world champion boxer Xu Can, aka “The Monster”, is back on the prowl, more bloodthirsty than ever, as he targets another title shot in a heavier division.
Following a career setback that saw him lose his belt in 2021, China’s former WBA featherweight world champion Xu Can (right) is ready to punch his way back into title contention in the super featherweight class and become China’s first two-division champion. XINHUA
The former World Boxing Association featherweight (126 pound, 57kg) belt holder will have his mettle for the title in the 130-pound class seriously tested on Aug 15, when he defends his International Boxing Organization international title in the super featherweight division against French challenger Jaouad Belmehdi on home soil in Beijing.
The fight was announced on Tuesday as the main event of the “Kzmall’s Night”, a multi-bout boxing show, organized by Beijing-based Max Power Promotions and sanctioned by the IBO, which will be staged at the National Convention Center in the Chinese capital’s Olympic park.
Xu, China’s first featherweight world champion under a major sanctioning body, is embracing his defense of the intercontinental belt as a statement of his lofty ambition to become the first Chinese man to win world titles across two weight classes.
“My goal since coming back (from two straight defeats) is to become China’s first two-division world champion,” said Xu, who claimed his first world title by beating Puerto Rico’s Jesus Rojas via a unanimous decision in January 2019 in Houston to snatch up the WBA featherweight strap.
“And to do so, I need to climb the rankings all over again by taking on some legitimate opponents. I am ready for it, I am serious about my mission and I will let my punches do the talking.”
After wresting the title from Rojas, Xu kept his momentum rolling with two successful defenses against Japan’s Shun Kubo and Manny Robles III of the United States in the same year. It cemented his status as China’s most internationally recognized pro boxer, which was underlined by a five-star rating on BoxRec in 2019, while drawing another wave of mainstream attention to the sport following retired Olympian Zou Shiming’s back-to-back light flyweight gold medals at Beijing 2008 and London 2012.
The pandemic, unfortunately, hit at the worst possible time for Xu’s career ascent, severely disrupting his preparations for a third title defense against then British champ Leigh Wood in a bout that later proved to be a Waterloo for the Chinese star, and pushed him almost to the brink of quitting the sport.
“It was a huge blow for me, psychologically and emotionally, that made me want to give up boxing,” said Xu, who was knocked out by Wood with a 12th-round right hook in July 2021 in England, losing his WBA title.
Xu’s attempt at an immediate riposte was denied by a split-decision loss to Mexico’s Brandon “Leoncito” Benitez in October 2022, dragging him abruptly out of the sport’s spotlight.
However, the resilient fighter — known for his slogan: “I am Can, I can!” — refuses to hang up his gloves just yet, having rekindled his fire for a comeback after a yearlong break, accompanied by family and friends, during a healing process that “helped restore his love” for the brutally competitive sport.
“Looking back at the setbacks, I feel like it was just part of the process of my growth as a pro,” said Xu, a 31-year-old native of Fuzhou, East China’s Jiangxi province.
“Perhaps, I’ve had too smooth of an early career to be true, progressing on a flat path all the way until losing the belt. Now, I have just started the uphill climb. I am taking steps slower than before, but I am making solid progress — one step at a time,” said Xu, who beat Panama’s Jhonatan Arenas via TKO in his most recent fight in December, claiming the vacant IBO 130-pound international title.
Standing 1.75 meters tall with impressive range, Xu has built a reputation for high-volume punching and superior endurance during his featherweight reign. However, learning from his defeats, he realizes that striking power, timing and finesse are the keys for success in the super featherweight realm, should he make a convincing run for a world title in the heavier, and more competitive, division.
Supported by his agency Max Power at Beijing gym M23, Xu, who keeps a 20-4-0 win-loss-draw record, has been focusing on his strength conditioning, footwork and combination diversity to prepare for the fight against Belmehdi (23-1-3), a knockout specialist known as “The Moroccan Bomber “and who is currently rated at three stars on BoxRec.
“Can is a very good boxer, but I am very confident of my skill. See you on August 15 for an explosive fight,” said the 27-year-old Belmehdi, who’s chalked up 11 KO wins.
Justin Kennedy, vice-president of IBO, said the winner between Xu and Belmehdi will move closer to a shot at the division’s ultimate prize.
“This is going to be a great event in the heart of Beijing, in a country that is moving forward rapidly in world boxing with a lot of really world-class fighters coming through,” Kennedy said in a video message played at the news conference launching the event on Tuesday.
“The fight between these two highly skilled fighters will be a great display of boxing. Please tune in and turn up for what will be an amazing night.”
Members of the Hauraki Gulf Alliance have deployed a massive ‘Ban Bottom Trawling’ banner on the deck of the Rainbow Warrior, demanding an end to destructive bottom trawling in the Hauraki Gulf Marine Park.The Alliance, which includes Forest & Bird, LegaSea and Greenpeace, has a long-running campaign to remove trawling from Hauraki Gulf and the renewed call comes as bottom trawling faces increased public scrutiny.
Speaking from the Rainbow Warrior, in the Gulf, “Heal the Hauraki” documentary producer Mandy Kupenga says:”For too long, the practice of bottom trawling has bulldozed the rich and fragile ecosystems beneath the surface of the Hauraki Gulf. Entire ocean communities have been devastated. What happens beneath the waves doesn’t stay there-when we lose biodiversity in the sea, we lose part of what sustains life on land as well.
“We cannot continue turning a blind eye. It’s time to restore the mauri-the life force-of the Gulf, and honour our responsibility to future generations. Ending bottom trawling in and around the Hauraki Gulf isn’t just a conservation decision. It’s a moral one.”
Gulf advocate Shaun Lee says the Minister of Oceans and Fisheries “needs to listen to 97.2% of 8,909 submitters who have asked for a full ban on bottom impact fishing in the Gulf”. LegaSea spokesperson Benn Winlove says he is disappointed the Minister for Oceans and Fisheries is willing to ignore such strong public sentiment against bottom trawling.
“Public opposition to environmental destruction is growing and it’s incredible that a Minister in charge of ensuring sustainability of fish populations and their habitat is willing to let bottom trawling continue in the Gulf, let alone in the Marine Park.”
Bianca Ranson, campaigner from Forest & Bird, says:
“97% of submitters have called for a complete ban of bottom impact fishing in the Hauraki Gulf yet the Minister of Oceans and Fisheries, Shane Jones, mocks Tīkapa Moana calling it ‘just a mud-stained bottom’. That is an insult to every living thing that dep
Source: United States Senator Alex Padilla (D-Calif.)
Padilla, Schiff, Booker, Markey Lead 28 Senate Colleagues in Effort to Protect California’s Proposition 12
Senators: “The Food Security and Farm Protection Act would harm America’s small farmers and infringe on the fundamental rights of states to establish laws and regulations within their own borders.”
This letter follows an announcement last week from the Trump Administration seeking to undermine Proposition 12 and other state laws.
WASHINGTON, D.C. — U.S. Senators Alex Padilla (D-Calif.), Adam Schiff (D-Calif.), Cory Booker (D-N.J.), and Edward J. Markey (D-Mass.) led 28 of their Senate colleagues in strongly objecting to the inclusion of the Food Security and Farm Protection Act in the next Farm Bill or in any other legislation. This letter follows a frivolous Trump Administration lawsuit announced last week seeking to undermine Proposition 12 and other state laws.
In a letter to Senate Agriculture, Nutrition, and Forestry Committee Chair John Boozman (R-Ark.) and Ranking Member Amy Klobuchar (D-Minn.), the Senators raised concerns over the risk this legislation poses to California’s Proposition 12, Massachusetts’ Question 3, and other similar laws nationwide that allow states regulate their own food standards. They also highlighted how undermining these measures would hurt American farmers who have long met the standards set by Proposition 12 or who already invested in resources to comply.
“This legislation would have a sweeping impact if passed—threatening countless state laws and opening the floodgates to unnecessary litigation. The bill is particularly draconian in that it aims to negate state and local laws when there are no federal standards to take their place, creating an overnight regulatory vacuum,” wrote the Senators. “In doing so, it would drastically broaden the scope of federal preemption, and disregard the wisdom of duly-enacted laws that address local concerns.”
“Countless farmers who wanted to take advantage of this market opportunity invested resources and made necessary modifications to be compliant. Federal preemption of these laws would be picking the winners and losers, and would seriously harm farmers who made important investments,” continued the Senators.
Fifteen states, including California, have implemented public health, food safety, and human standards for the in-state production and sale of certain products, following demands from consumers, food companies, and farmers. These standards include consumer information safeguards, food quality and safety regulations, animal welfare standards, and more.
In addition to Padilla, Schiff, Booker, and Markey, the letter is signed by Senators Angela Alsobrooks (D-Md.), Richard Blumenthal (D-Conn.), Lisa Blunt Rochester (D-Del.), Maria Cantwell (D-Wash.), Christopher Coons (D-Del.), Tammy Duckworth (D-Ill.), John Fetterman (D-Pa.), Ruben Gallego (D-Ariz.), Kirsten Gillibrand (D-N.Y.), Maggie Hassan (D-N.H.), Martin Heinrich (D-N.M), Mazie Hirono (D-Hawaii), Mark Kelly (D-Ariz.), Andy Kim (D-N.J.), Angus King (I-Maine), Jeffrey Merkley (D-Ore.), Chris Murphy (D-Conn.), Patty Murray (D-Wash.), Gary Peters (D-Mich.), Ben Ray Luján (D-N.M.), Jack Reed (D-R.I.), Bernie Sanders (I-Vt.), Brian Schatz (D-Hawaii), Chris Van Hollen (D-Md.), Elizabeth Warren (D-Mass.), Peter Welch (D-Vt.), Sheldon Whitehouse (D-R.I.), and Ron Wyden (D-Ore.).
Full text of the letter is available here and below:
Dear Chairman Boozman and Ranking Member Klobuchar:
We write today expressing our strong opposition to inclusion of the “Food Security and Farm Protection Act” (S. 1326), previously known as the “Ending Agricultural Trade Suppression Act (EATS) Act,” or any similar legislation in the next Farm Bill. Modeled after former Representative Steve King’s amendment, which was intensely controversial and ultimately excluded from the final 2014 and 2018 Farm Bills, the Food Security and Farm Protection Act would harm America’s small farmers and infringe on the fundamental rights of states to establish laws and regulations within their own borders.
This legislation would have a sweeping impact if passed—threatening countless state laws and opening the floodgates to unnecessary litigation. The bill is particularly draconian in that it aims to negate state and local laws when there are no federal standards to take their place, creating an overnight regulatory vacuum. In doing so, it would drastically broaden the scope of federal preemption, and disregard the wisdom of duly-enacted laws that address local concerns.
The range of potentially impacted laws includes measures aimed at protecting states from invasive pests and infectious disease, health and safety standards, consumer information safeguards, food quality and safety regulations, animal welfare standards, and fishing regulations. Below are just a few of the many areas that could be impacted by the Food Security and Farm Protection Act:
Alabama, Iowa, Nebraska, and South Dakota regulate the labeling of bitter almonds or prohibit their sale as a poison. Florida prohibits the sale of citrus fruits containing arsenic.
Arkansas, Connecticut, Florida, Illinois, Indiana, Massachusetts, Minnesota, New York, Oregon, Utah, Vermont and Wisconsin have laws that restrict the importation of firewood in order to prevent the spread of invasive pests and diseases. Additionally, at least 23 states have restrictions on the importation of Ash trees in order to prevent the spread of the emerald ash borer. Alabama, Florida, Louisiana, South Carolina and Texas are among states that have passed laws to prevent the spread of the Asian citrus psyllid, which causes citrus greening, and many states have implemented regulations to protect iconic species of trees that grow in various regions of the United States.
Arkansas, Kansas, Louisiana, Pennsylvania, and Texas have laws governing sales within their states of seeds and seed oils. Dozens of states have enacted laws on noxious weeds, rules for spraying manure on fields, sourcing requirements, and many other agricultural matters.
Many states impose additional requirements beyond federal regulations to address risks to cattle from brucellosis (48 states), bovine tuberculosis (41 states), and Johne’s Disease (North Dakota, Wisconsin, and Wyoming).
Demand from consumers, food companies, and the farming community has propelled 15 states to enact public health, food safety, and humane standards for the in-state production and sale of products from egg-laying chickens, veal calves, and sows. The Food Security and Farm Protection Act was introduced with the primary goal of undermining these standards – particularly California’s Proposition 12, in response to the Supreme Court’s recent decision upholding that law, and Massachusetts’s Question 3. Last Congress, the House Agriculture Committee included a similarly harmful provision in their Farm Bill draft, adding another poison pill that contributed to a lack of progress on the next Farm Bill.
California’s Proposition 12 has been in full effect for over a year, while Massachusetts’s Question 3 has been in full effect since 2023. The demand for Proposition 12- and Question 3- compliant products has been met. Countless farmers who wanted to take advantage of this market opportunity invested resources and made necessary modifications to be compliant. Federal preemption of these laws would be picking the winners and losers, and would seriously harm farmers who made important investments.
Due to these concerns, we respectfully ask that you reject inclusion of this provision in any form, as you did in the 2014 and 2018 Farm Bills.
Thank you, and we look forward to working with you to pass a bipartisan Farm Bill.
Source: United States Senator for Rhode Island Jack Reed
VIDEO: Sen. Reed speaks out on Senate floor in opposition to Trump’s rescissions package that would eliminate life-saving global health programs, peacekeeping efforts, and economic development abroad, and undercut community-focused TV and radio stations
WASHINGTON, DC – Ahead of a July 18 deadline, Senate Republicans are rushing to pass a rescissions package to claw back roughly $9 billion in humanitarian aid and funding for public broadcasting. Senate Republicans advanced the proposal last night on a 50-50 vote with three Senate Republicans joining all Democrats and Independents opposing the measure, but with Vice President Vance breaking the tie.
U.S. Senator Jack Reed (D-RI) is urging lawmakers on both sides of the aisle to “oppose this partisan rescission bill because it represents a complete surrender of Congress’s power of the purse. It will hurt America’s standing in the world and it will cost lives,” Reed said today on the Senate floor. “We are considering this package at a time when the Trump Administration has frozen congressionally enacted funds, illegally impounded funds, and threatened to cancel unspent funds at the end of fiscal year. Now, the Administration is back asking Congress to ratify even more cuts.”
Reed is urging Senators to vote for their constituents best interests and against the Trump Administration’s rescission package, which includes cuts to public television and radio funds that Congress previously authorized and appropriated.
The Trump Administration’s attempt to defund public media investment would revoke about $1.1 billion in previously-appropriated funding for the Corporation for Public Broadcasting (CPB), including over $1 million annually for Rhode Island TV and radio stations.
Congress provided CPB approximately $535 million in in federal support for each of the next two fiscal years to disburse across nearly 1,500 local radio and TV stations nationwide, as well as programmers and technology infrastructure providers. Cutting this funding in the upcoming two fiscal years could force some local stations off the air, while other stations may have fewer shows to broadcast and fewer resources for local news reporting and educational programming.
Speaking on the Senate floor today, Reed stated: “This bill will eliminate close to $1.1 billion in funding for the Corporation of Public Broadcasting. This would not simply affect funding for National Public Radio and national PBS, it would result in funding cuts for local stations like Rhode Island PBS and the Public’s Radio, which lose about 10 percent of its funding if this bill passes. The same story will play out in every state with independent local news and civic discourse taking the hit just because of the President’s command to the majority party.”
Reed also noted that public radio is decentralized. Stations in Kansas are covering local issues, with local personalities, differently than public broadcasters in Rhode Island or other states.
Since 2013, public TV stations have helped the Wireless Emergency Alert (WEA) system deliver emergency alerts to people’s cell phones via the stations’ own transmitters when cell companies’ connections fail.
In 2024, over 11,000 alerts were issued by federal, state, and local authorities via the PBS WARN system. Similarly, the Public Radio Satellite System (PRSS), which is managed by NPR, helps send presidential emergency alerts to local public radio stations nationwide—allowing critical communications to reach people, even when the internet or cellular connections fail.
Reed asked: “In the wake of deadly flooding in Texas and elsewhere do my colleagues really want to support a package that cuts funding for emergency alerts?”
The bill would also cut $7.9 billion from the kind of global assistance programs that are crucial to U.S. national security and our efforts to compete with China economically and diplomatically.
These programs are also the embodiment of American idealism and morality. As Catholic Relief Services wrote: “If passed, these rescissions drastically decrease U.S. investment in international assistance programs that support human dignity, protect life and build good will with countries around the world. Not only that, these cuts and other measures to eliminate international assistance programs also represent a retreat of the U.S. as a global leader in addressing poverty around the world. This would undermine decades of work in serving the global community and fostering a peaceful and prosperous world.”
The cuts on the table include $500 million from global health programs, which could affect efforts that have successfully slowed the spread of infectious diseases, along with cuts to lifesaving humanitarian assistance.
One proven program that could see drastic cuts under this rescissions package is the disbursement of Ready-to-Use Therapeutic Food (RUTF). RUTF is a specialty product used to treat severe malnutrition in children, and could be impacted by the proposed cuts to UNICEF included in Trump’s package.
“Unfortunately, we have already seen this Administration’s disregard for the lifesaving treatment provided by RUTF. Edesia Nutrition, a key manufacturer of RUTF based in Rhode Island, has been forced to curtail production and delay shipments of lifesaving therapeutic food, which has sat in warehouses, unable to get to the children who need it because of the Trump Administration’s needless slow-walking. If OMB really cared about waste, it wouldn’t have this food aid and the millions of tons of wheat and other crops sitting and rotting rather than distributing it,” said Senator Reed, noting these are American-made products made by American workers, using domestically produced food, to prevent millions of at-risk, malnourished children from starving to death.
“These cuts are shortsighted, there is no other way to put it. To paraphrase former Secretary of Defense Mattis, ‘if we don’t fund these soft power and diplomatic programs, then we need to buy more ammunition,’” concluded Reed.
Source: United States Senator for Texas John Cornyn
WASHINGTON – U.S. Senators John Cornyn (R-TX) and Ted Cruz (R-TX) released the following statements on their provision to consider moving the Space Shuttle Discovery from Virginia to its rightful home near the National Aeronautics and Space Administration’s (NASA) Johnson Space Center (JSC) in Houston getting signed into law by President Trump in the One Big Beautiful Bill Act:
“Houston has long been the cornerstone of our nation’s human space exploration program, and it’s overdue for Space City to receive the recognition it deserves by bringing the Space Shuttle Discovery home,” said Sen. Cornyn. “I am glad to see this provision become law as part of the One Big Beautiful Bill and look forward to welcoming Discovery to Houston and righting this egregious wrong.”
“Houston has long stood at the heart of America’s human spaceflight program, and this legislation rightly honors that legacy,” said Senate Committee on Commerce, Science, & Transportation Chairman Cruz. “It ensures that any future transfer of a flown, crewed space vehicle will prioritize locations that have played a direct and vital role in our nation’s manned space program, making Houston, Texas, a leading candidate. Bringing such a historic space vehicle to the region would underscore the city’s indispensable contributions to our space missions, highlight the strength of America’s commercial space partnerships, and inspire future generations of engineers, scientists, and pioneers who will carry our legacy of American leadership in space.”
Background:
The Senators’ provision will result in consideration of the Space Shuttle Discovery moving from Virginia to its rightful home near NASA’s JSC in Houston.
Mission Control at NASA’s Johnson Space Center led all of the space shuttle flights throughout the program’s history, and the astronauts who flew aboard the shuttles lived and trained in the area Houston. Four space shuttles were retired from NASA in 2010, and one of them was expected to go on display in the Space City. Congress stated in the NASA Authorization Act of 2010 that the four space shuttles were to be given to states with a “historical relationship with either the launch, flight operations, or processing of the Space Shuttle orbiters or the retrieval of NASA-manned space vehicles, or significant contributions to human space flight.” Unfortunately, this directive was unlawfully ignored by the Obama administration, who played politics to keep Houston from getting one of the shuttles. Notably, the administration gave one of the four shuttles to New York City, which has not made any major contributions to the nation’s history of space exploration and is not home to a NASA center—unlike Houston. The Space Shuttle Discovery should be transferred to Houston. This legislation would authorize the movement of the Space Shuttle Discovery from the Smithsonian’s National Air and Space Museum’s Steven F. Udvar-Hazy Center in Virginia to an entity near the JSC in Houston.
Additional space-related provisions led by Sen. Cornyn, including the Mission to Modernize Astronautic Resources (MARS) for SpaceAct, nearly $10 billion in NASA funding for programs at JSC, funding for National Aeronautics and Space Administration’s (NASA) Artemis program, and resources to support the International Space Station (ISS), were also signed into law as part of this legislation on July 4, 2025.
Source: United Kingdom – Executive Government & Departments
Two papers published in NEJM look at the use of mitochondrial donation an preimplantation genetic testing for mitochondrial disease.
Dr David J Clancy, Lecturer in Biogerontology, Lancaster University, said:
“This comment is to discuss Mitochondrial Replacement Therapy (MRT) in terms of costs and benefits in light of what we now know.
Benefits
“Mitochondrial replacement therapy allows women with pathogenic mitochondrial DNA to have a baby which bears her own chromosomes, while reducing or replacing the pathogenic mtDNA. If the primary purpose is to avoid mitochondrial disease, then women could also have IVF by donor sperm or donor egg (or donor embryo), or they might choose adoption if IVF technologies don’t suit them for clinical or personal reasons.
“In chromosomal dominant diseases like Huntington’s disease, affected people are offered pre-implantation genetic testing (PGT) and they are also offered IVF using donor eggs or embryos if the patient is a woman. For these sorts of genetic disease there is currently no alternative. In these cases a woman cannot have a child bearing her own chromosomes.
“When having a family there are two ways to break genetic lineages – inheritance down generations: one is to adopt and another is to have IVF by donor sperm or donor egg (or donor embryo). It is difficult to value genetic lineage. It will be more valuable to some, less to others. While maternity is never in doubt, paternity often is. Perhaps we should then value maternal genetic lineage more than paternal. Mitochondrial replacement therapy allows unbroken maternal lineage.
I cannot determine whether the Mitochondrial Reproductive Advice Clinic suggests IVF by donor egg or embryo (or adoption). The paper says “Patients with heteroplasmy (part pathogenic mitochondrial DNA, part healthy) were offered PGT, and patients with homoplasmy or elevated heteroplasmy (all or mostly pathogenic mitochondrial DNA) were offered pronuclear transfer.”
Costs
“The money cost is presumably significant. The work was funded by Wellcome and NHS England and carried out by Newcastle University, UK and the Newcastle upon Tyne Hospitals NHS Foundation Trust. Presumably they could give an idea of the cost. This might be considered important, in an environment of limited resources for national healthcare.
Possible harms
“Because these babies would not exist without the MRT intervention, we want to know about possible problems; in medicine the saying is “First, do no harm”, though in current healthcare, harm is often inevitable. While the babies so far seem probably unaffected, assessing the potential for future harm as they develop by looking at the degree of heteroplasmy in the infants is a large part of the reason for the publications.
“Measurements were on white blood cells so we don’t know about tissue mosaicism, which is where you can have high heteroplasmy in some tissues and low in others, and is common in many mitochondrial diseases. In tissues demanding high energy production (e.g. neurons), lower levels of heteroplasmy can still be symptomatic. In a mouse model, a proportion of >20% energy-deficient neurons in the brain was necessary for observable symptoms.
“Three of eight newborns from MRT had heteroplasmy levels of 5%, 12%, and 16% (the other five were
“All of these things were mostly known before these publications, so apparently the Human Fertilization and Embryology Authority (HFEA), who approved it, is happy with the cost-benefit ratio. It also appears that other countries also approve, because the technique is spreading; there is a clinic in North Cyprus, and Prof Mary Herbert, the study’s lead, has moved to a pioneer institution in IVF, Monash University in Melbourne, Australia, partly to introduce a mitochondrial replacement program.”
Prof Joanna Poulton, Professor and Honorary Consultant in Mitochondrial Genetics, Nuffield Department of Women’s and Reproductive Health, said:
“From this study, it isn’t clear that MD (mitochondrial donation) has any advantage over PGT (pre-implantation genetic testing, an alternative strategy) for heteroplasmic mtDNA disorders (where patients have mixtures of normal and mutant mtDNA and severity depends on the “dose” of mutant). The “take home baby” rate and the reduction in mutant load is similar (if anything less good for MD).
“MD has a clear theoretical advantage for homoplasmic disorders (where the mother’s mtDNA is 100% mutant), because while PGT while can be used to reduce risk, it cannot be used to reduce the load of mutant mtDNA. Over half of the MD children were from Leber Hereditary Optic Neuropathy (LHON) families, where the chance of male offspring going blind in adolescence is around 20% but only 4% for females. The risk of blindness can be reduced 5 fold using PGT to select female embryos, but they risk transmitting it to their children. Happily, male identical twins were born by MD with undetectable mutant mtDNA, they will be very low risk for blindness and as males, they will not transmit the problem to their children (because LHON is a maternally transmitted disorder). Slightly worryingly, one baby from a m.4300A>G family, where the mother has a heart disorder (cardiomyopathy) for which she may ultimately need a heart transplant, has an unspecified heart defect: they conclude it is probably unrelated to m.4300A>G but this remains uncertain. Another from a m.3260A>G family had a mutant load of 16% in blood. While this probably means the risk of symptoms is low, one symptomatic m.3260A>G woman had a blood level that was lower than this (11% with 81% in muscle). Happily, male identical twins were born by MD with undetectable mutant mtDNA, they will be very low risk for blindness and as males, they will not transmit the problem to their children because LHON is a maternally transmitted disorder.
“A great deal of research funding has been channelled into the centre that has developed MD. While this has generated fascinating scientific data and this treatment option is now available on the NHS, it hasn’t yet resulted in a dramatic clinical advance. Time will tell.”
Prof Dusko Ilic, Professor of Stem Cell Science, King’s College London, said:
“A remarkable accomplishment! State-of-the-art technology. Kudos to the team!”
Prof Dagan Wells,Professor of Reproductive Genetics, University of Oxford, and Director, Juno Genetics, Oxford, said:
“This is an important study which has been eagerly anticipated ever since the first license to carry out mitochondrial replacement therapy to avoid mitochondrial disease was granted eight years ago.
“The results indicate that established methods for avoiding mitochondrial DNA diseases, such as preimplantation genetic testing, perform well and will be suitable for most women at risk of having an affected child.
“A minority of patients are unable to produce any embryos free of mitochondrial disease, and for those women the study provides hope that they may be able to have healthy children in the future.
“The treatment has succeeded in producing 8 babies, and although mitochondrial DNA mutations can be detected in the cells of most of the children, the great majority of their mitochondria are functional, and consequently they do not have mitochondrial disease.
“The published results are very valuable, but some scientists will be a little disappointed that so much time and effort has, so far, only led to the birth of 8 children.
“Larger studies will be needed to truly understand the value of mitochondrial replacement therapy, and to understand whether there are any risks associated with the treatment.
“Three of the eight children born have some evidence of ‘reversal’, a phenomenon where the therapy initially succeeds in producing an embryo with very few defective mitochondria, but by the time the child is born the proportion of abnormal mitochondria in its cells has significantly increased.
“It is not understood why reversal sometimes occurs. Taking data from the new study as well as previous research, it seems that it may affect as many as one-third of embryos produced using mitochondrial replacement therapy. Importantly, all the children in the study have low levels of abnormal mitochondria in their cells, including those where a degree of reversal has occurred. However, the fact that reversal can happen suggests there is a chance that mitochondrial replacement therapy might occasionally fail, and consequently the procedure should be seen as a way of reducing the risk of mitochondrial disease inheritance, not guaranteeing it.”
Dr Andy Greenfield, Honorary Fellow at the Nuffield Department of Women’s & Reproductive Health, University of Oxford, said:
“Mitochondria are the energy-producing organelles of the body’s cells. They contain DNA (mitochondrial DNA, mtDNA) and as such are prone to changes to that DNA (mutations) that can disrupt mitochondrial function and cause disease. The paper by Hyslop et al describes the first clinical use in the UK of a technique – mitochondrial donation (MD) – aimed at reducing the risk of transmitting a class of mitochondrial diseases (mtDNA diseases) from mother to offspring. This is an often devastating and life-limiting group of diseases for which no curative treatments exist. The specific technique described, based on IVF, is pronuclear transfer (PNT), one of the two MD techniques made lawful in the UK in 2015. The last preclinical review of the safety and effectiveness of MD, commissioned by the HFEA and published in 2016, recommended its clinical use as a risk reduction strategy – to be used only in those women for whom preimplantation genetic testing (PGT, an established procedure that is used to detect genetic abnormalities, including the amount of disease-causing (pathogenic) mtDNA, in an embryo) followed by selection of an embryo with low levels of pathogenic mtDNA for transfer was unlikely to be a successful strategy i.e. only in those women with high levels of pathogenic mtDNA (elevated heteroplasmy) in all eggs or with exclusively pathogenic mtDNA in their eggs (homoplasmy). This cautious approach is at the heart of this new report, which, along with an accompanying paper by McFarland et al, assesses MD alongside PGT in an integrated programme performed at Newcastle Fertility Centre, UK, under the regulatory framework developed by the HFEA.
“Whilst PGT for mtDNA is an established procedure that acts as a useful comparator, the attention here will be rightly focused on the MD clinical data: 22 women at high risk of transmitting mitochondrial disease to their offspring were treated using PNT, resulting in 8 live births and one ongoing pregnancy. Firstly, this headline result alone is highly significant: PNT is compatible with embryo viability in humans. Secondly, levels of pathogenic mtDNA (in blood) from the infants varied from 0% to 16%. Whilst the last figure hints at a degree of reversion to the maternal mtDNA type, it is also sufficiently low to conclude that the procedure has successfully reduced the risk of mtDNA in all children born. The amount of maternal mtDNA could, however, vary from tissue to tissue and so follow-up of these children is vitally important. McFarland et al report that none of the children has any health condition that could be straightforwardly attributed to the presence of mtDNA disease. As the authors note, there are reasons to be optimistic about the outcome of this first MD treatment in the UK.
“The data in the last paragraph, whilst summarised very briefly, are the culmination of decades of work: from the earliest investigations in mice aimed at understanding the impacts of nuclear transfer, through to targeted experiments in human embryos to provide preclinical evidence of safety and effectiveness. But this is to focus only on some of the scientific/technical challenges that have been overcome. There were parallel activities over a similar time frame concerning ethical inquiry, public and patient engagement, law-making, drafting of regulations and execution of those regulations by committees. And last but not least: the careful establishment of a clinical pathway by which the health of the mothers and infants born could be monitored and they could be cared for (detailed in McFarland et al). This all represents a vast amount of work by a large number of people over a long period.
“The Hyslop et al paper itself is a treasure trove of data, which will likely to be the starting points of new avenues of research and opportunities for refinement. What is the explanation for the somewhat elevated maternal mtDNA levels (still beneath the clinical threshold for disease) detected in two babies born following PNT? Further studies of mitochondrial DNA replication, segregation and interaction with the nuclear DNA may provide clues. The reduction in normally fertilized eggs in the PNT group also requires explanation and may indicate that some mtDNA pathogenic variants can compromise fertilisation of the egg, which is an energy-demanding process. This observation opens up a whole area of research concerning the role of played by mitochondria in fertility. Of course, numbers analysed here are still low and a larger and more diverse cohort will be required to draw firm conclusions about efficacy and safety of MD at a population level. We can look forward to future assessments of maternal spindle transfer (the other lawful MD technique in the UK) and even, possibly, the use of targeted, enzymatic degradation of pathogenic mtDNA to eliminate the risk of carry-over and reversion.
“How do we summarise what this all means? It is a triumph of scientific innovation in the IVF clinic – a world-first that shows that the UK is an excellent environment in which to push boundaries in IVF; a tour de force by the embryologists who painstakingly developed and optimised the micromanipulation methods; an example of the value of clinical expertise, developed over decades of working with children and adults suffering from these devastating diseases, being used to support a new intervention and subsequent follow-up, potentially for many years. And it is so much more, depending on whether one’s perspective is that of an historian, sociologist, ethicist or philosopher. It is tempting to suggest that this report marks the end of a process – but it is actually the beginning, of a new era in which technologies that change how we think about human reproduction are introduced into a tightly regulated environment – the only way in which they should be introduced.
“In time, there will no doubt be retrospective studies and assessments of how all this was done – some critical – and there will be much to learn. It is hoped that other papers will follow, detailing different aspects of the process by which these first UK children were born, because this whole exercise has been a steep learning curve for all involved and future progress relies on such learning being shared. Safety assessment should be at the heart of all these and future reports. Some may wonder about the time taken for these current reports to see the light of day – but that would be to underestimate what is required to transition from preclinical research activities in an academic setting to offering a bona fide clinical service on the NHS (with the spanner of COVID-19 thrown into the works for good measure). Others will wonder whether supporting the desire to have biological children merits all this time and effort, when ‘unmet clinical need’ is the focus and budgetary constraints are the norm. But this evaluation unnecessarily attempts to marginalise a human activity – ‘having children’ – that is actually central to the health and wellbeing of a significant proportion of the population. And those ordinary resemblances that parents and children often share also matter to them. Of course, the results of clinical follow-up of the children born using PNT will be a major determinant of the future prospects for mitochondrial donation in the IVF clinic, as this report acknowledges.
“There will be many responses to this work, but I see these reports, despite their matter-of-fact understatement, as an extraordinary reminder of what well intentioned science, collaborating with medicine, can do to improve the lives of human beings.”
Mr Stuart Lavery, Divisional Clinical Director Women’s Health and Consultant in Reproductive Medicine/Honorary Associate Professor, University College Hospitals NHS Foundation Trust, said:
“The concept of nuclear transfer has attracted much commentary and occasionally concern and anxiety.
“The Newcastle team have demonstrated that it can be used in a clinically effective and ethically acceptable way to prevent disease and suffering.
“The HFEA has shown that regulation need not always be restrictive, and that permissive regulation can lead to innovation at the highest level, allowing scientists to push boundaries, patients to be successfully treated and the public to be reassured.
“This truly represents the very best of British science and regulation.”
Prof Bert Smeets, Professor in Clinical Genomics with focus on Mitochondrial Diseases, said:
“These are papers, the scientific community has waited for, for a long time, as they describe the experience of the Newcastle team on pronuclear transfer to prevent the transmission of mtDNA disease, for which they got approval in 2017. The papers describe the current experience in PNT and PGT for preventing the transmission of mtDNA disease. It is good to present a reproductive care pathway, although it is not fully complete and some of the criteria might be reevaluated based on the presented data. The care pathway starts with carriers of mtDNA mutations. I would also include women who have affected children with de novo mtDNA mutations. This concerns about 25% of the mtDNA patients. The recurrence risk is low and generally prenatal diagnosis is offered for reassurance. Furthermore, women with a very low mtDNA mutation load, with skewing mtDNA mutations or large scale deletions could also opt for prenatal diagnosis. For a reproductive care pathway for mtDNA disease, these groups should be included as well. It is clear that for the remainder according to the HFEA guidelines PNT should only be offered if PGT is unsuitable. It is great that the PNT as an addition to the reproductive choices for mtDNA disease seems to deliver as 8 children without the mtDNA condition were born. However, there are still concerns, as 2 PNT children had a higher mutation load than the carry-over, which means that reversal can occur and could be a risk for having affected children in future treatments. Also, two children had rare medical complications, which according to the authors were not related to the treatment, as this would then be expected for all of them. I do not think that is true as technical variation occurs and donors will be different. It is good to carefully monitor this, as one of the aims of HFEA guided clinical application is to find-out if PNT by itself is safe, not only to prevent mtDNA disease. The discussion on this is not very strong. Finally, a key unanswered question is why it took so long to come out with these results. Eight births with no mtDNA disease in 7 years deviates largely from the expected150 yearly births, as described by the same group in NEJM in 2015, if all women would opt for this procedure. It seems that the children born are quite recent (only one >18 months), so one wonders if there is a learning curve, change in procedure or whatsoever, explaining the increasing success rate. It would be fair to discuss this in more detail as it would make it much clearer and more realistic which women of the target group will benefit from MD. And that is still a positive message.”
Comments on the broader story:
Kevin McEleny, Chair, British Fertility Society, said:
“These landmark papers provide compelling evidence that mitochondrial donation through pronuclear transfer can massively reduce the transmission of pathogenic mitochondrial DNA variants and are a terrific example of how a regulatory framework can be adapted to permit world-leading scientific discovery. Although the number of babies conceived through this novel treatment is small and their long-term follow-up will be required, the study provides hope to people affected by mitochondrial DNA disease and their loved ones.”
Sarah Norcross, Director of the Progress Educational Trust (PET), said:
“We could not be more delighted by the news that eight babies with donated mitochondria have been born in the UK, and that all of these children have made normal developmental progress.
“Our charity spent many years campaigning for UK law to be changed, to permit the use of mitochondrial donation in treatment. We salute the patients who had the courage to attempt these novel treatments, and we thank the team at Newcastle for justifying patients’ confidence in them.
“Mitochondrial donation will not necessarily be appropriate for every patient who carries disease-causing mitochondrial DNA mutations – rather, its appropriateness depends on various factors that are explored in detail in the new studies. Importantly, the studies place mitochondrial donation within the context of a broader NHS care pathway, that offers a variety of options for people carrying mitochondrial DNA mutations who wish to have children.
“Nonetheless, the studies demonstrate that mitochondrial donation is a feasible option – indeed, a positive reproductive choice – for some patients. An important consideration is that women considering mitochondrial donation are advised to start their fact-finding early, because of the decline of egg quality with age.
“The medical and scientific work at Newcastle, and the policy and legal work that preceded it, have set a high standard for introducing new reproductive technology in a careful and scrupulously regulated way. We are pleased to see that Australia is following a similarly responsible path, having recently introduced its own law that permits the use of mitochondrial donation for the purpose of avoiding mitochondrial disease.
“The work at Newcastle will no doubt inform – and in future, will perhaps also be informed by – the mitoHOPE pilot programme for mitochondrial donation in Australia.”
Nick Meade, Chief Executive Genetic Alliance,said:
“Most rare conditions do not yet have a cure or treatment, so for families affected, reproductive choice techniques are the only opportunities to take control of the impact of the condition. For serious conditions caused by nuclear DNA, these opportunities have existed for many years (through preimplantation genetic testing), with today’s news, we know more families have that opportunity now. These techniques have the potential to work for hundreds of conditions caused by mitochondrial DNA, and they are an example of how innovative research can be applied to take steps forward for multiple rare conditions in parallel. With more than 7,000 rare conditions affecting people in the UK, we need this kind of progress.”
Beth Thompson, Executive Director for Policy & Partnerships at Wellcome, said:
“This is a remarkable scientific achievement, which has been years in the making and we are overjoyed for the families of the eight children born so far.
“The pioneering work behind mitochondrial donation is a powerful example of how discovery research can change lives. The UK has led the way and has demonstrated the importance of science grounded in close and careful co-ordination between researchers, funders and regulators – and, very importantly, working closely with families affected.
“Wellcome has proudly supported this work since the earliest days, including advocating for legislation and licensing. As the science progresses, we will continue championing brave investment in science and for policy and regulation to keep pace. The success of this research should inspire us move forward on other updates, opening the way for further innovation. The groundwork for review of Human Fertilisation and Embryology Act, for example, has been done, it now needs to move forward. We must ensure the UK stays a world leader in life sciences.”
Danielle Hamm, Director of the Nuffield Council on Bioethics, said:
“Today we have seen the first evidence that for a small number of UK families the use of pronuclear transfer (PNT) to prevent the transfer of maternally inherited mitochondrial DNA disorders has resulted in what everyone hoped it would: children who are thriving and appear free of the devastating symptoms of mitochondrial disease.
“The Nuffield Council on Bioethics’ landmark ethical review of techniques for the prevention of maternally inherited mitochondrial disorders has been instrumental in creating the right regulatory environment to allow this innovative treatment to reach the clinic and change lives for the better.
“The HFEA’s licensing conditions followed our recommendation and ensured that PNT is only available through a specialist centre. The establishment of the NHS Highly Specialised Mitochondrial Reproductive Care Pathway has ensured that families referred to the service are fully supported and have access to appropriate information, and that long term follow up of participants has been secured.
“We welcome this great progress, but continued follow-up is crucially important to inform our understanding of the long-term efficacy of the treatment.”
Peter Thompson, Chief Executive of the HFEA, said:
“Ten years ago, the UK was the first country in the world to licence mitochondrial donation treatment to avoid passing the condition to children. For the first time, families with severe inherited mitochondrial illness have the possibility of a healthy child. Although it’s still early days, it is wonderful news that mitochondrial donation treatment has led to eight babies being born.
“Only people who are at a very high risk of passing a serious mitochondrial disease onto their children are eligible for this treatment in the UK, and every application for mitochondrial donation treatment is individually assessed in accordance with the law. These robust but flexible regulatory processes allow the technique to be used safely for the purposes that Parliament agreed in 2015.”
Prof Frances Flinter, Chair of the HFEA’s Statutory Approvals Committee, said:
“We are pleased to see the peer-reviewed papers published in the New England Journal of Medicine that explain what has happened to those patients who the HFEA authorised to have mitochondrial donation treatment at the Newcastle Centre at Life. These are patients for whom there was no other option to have a healthy baby who is genetically related to them, and we are delighted for those families.
“The HFEA will continue to oversee the safe use of mitochondrial donation treatment and assess each application as families come through the programme. These results are testimony to how the UK continues to be a world leader in the use of new medical techniques to change lives.”
Comment from the editor of the journal the papers are published in (so NOT third party):
Eric Rubin, MD, PhD, Editor-in-Chief, The New England Journal of Medicine, said:
“These studies unite scientific rigor, clinical innovation, and deep ethical reflection to illustrate the full research continuum from bench to bedside. At the New England Journal of Medicine, we chose to publish this work in its full context, not only to highlight the outcomes, but also to surface the critical questions it raises about translating breakthroughs into patient care. Where allowed by government regulations, this research has the potential to prevent serious inherited disease and gives parents truly meaningful new options for their children. Its publication also reminds us that preserving the infrastructure and integrity of biomedical research in the U.S. and around the world is essential if we are to continue delivering such transformative treatments to patients.”
Comments via colleagues at other international SMCs:
Prof. Dr. Marcus Deschauer, Head of the Working Group on Rare Hereditary Neurological Diseases and Senior Physician at the Clinic and Polyclinic for Neurology, Klinikum rechts der Isar, Technical University of Munich (TUM), said:
“To my knowledge, this is the first publication of a larger cohort of families/mothers with mitochondrial DNA (mtDNA) disorders who have given birth to children after pre-implantation genetic diagnosis or mitochondrial donation. The work is therefore very important for assessing the effectiveness and risks of these methods in practice.”
“Per se, the study includes well-studied families with reliable data, but it was not possible to prevent the transmission of the disease-causing mtDNA variants in all families.””A certain carry-over of mtDNA with a disease-causing variant occurs during pre-cell nucleus transfer. It cannot be ruled out that the proportion of mutated mtDNA will continue to increase over the course of a lifetime after carry-over. However, this is unlikely: for example, in patients with the m.3243A>G variant, the degree of heteroplasmy in the blood decreases over the course of life.“
”The follow-up periods are not yet sufficient to assess the risks of later disease. Manifestation of an mtDNA disease at a later stage is conceivable in children.””A pathological mtDNA variant is identified in women who can pass it on by means of molecular genetic testing if the woman has symptoms of a mitochondriopathy. There are also cases in which molecular genetic diagnostics are performed for another indication – such as the search for another genetic disease – and a pathological mtDNA is detected. However, according to the ACMG recommendations, this should not be disclosed by genetic laboratories.“
”Until now, the lack of data has made it difficult to advise women with mitochondrial diseases on their desire to have children. The DGN guideline ‘Mitochondrial Diseases’ states: ‘Human genetic counselling is particularly complex when it comes to the desire to have children. Prenatal diagnosis can be routinely performed for nuclear mutations, but is more limited for mutations of mitochondrial DNA. The data on preimplantation diagnosis as a means of preventing or reducing the risk of inheritance of pathogenic mitochondrial DNA mutations is extremely limited, and the method is subject to the Preimplantation Diagnosis Ordinance in Germany. These two studies from Newcastle are helpful for counselling.“
”Whether a woman with mtDNA disease can expect an uncomplicated pregnancy also depends on the manifestation/severity of the woman’s disease. In cases of significant muscle weakness (including respiratory muscle weakness), this may increase during pregnancy. Natural childbirth may be difficult, making a caesarean section necessary.”
“If the mitochondrial donation procedure were also permitted in Germany, this would be an option for selected women with an mtDNA disease to significantly reduce the risk of passing on a disease-causing mtDNA variant with a heteroplasmy level above a disease-causing threshold. This would increase the chances of healthy children for families.”
“However, the data from Newcastle do not suggest that the methods used can guarantee that the disease will not be passed on. In some mtDNA variants, the severity of the disease clearly depends on the degree of heteroplasmy in the blood, so that a reduction in the degree of heteroplasmy in such cases could lead to a milder form of the disease in children.”
“In the short term, there are no good therapeutic methods for treating mtDNA diseases, so preventing the transmission of mtDNA diseases is the better option. I also consider it difficult to successfully treat children who have inherited an mtDNA variant in the medium term, as gene therapy must reach the DNA in the mitochondria. There is the example of 5q-associated spinal muscular atrophy, in which infants diagnosed in newborn screening can be treated very successfully. Unfortunately, this is not expected to be the case for mtDNA diseases in the near future.””I consider it unlikely that the two children who were symptomatic have a maternally inherited mitochondriopathy. In the case of the child with epilepsy, I would even classify this as very unlikely. I consider the authors’ assessment that the reproductive technology procedure itself or pregnancy complications or metabolic disorders in the mother may be responsible for the symptoms of the two children to be plausible.”
Nuno Costa-Borges, researcher and embryologist, scientific director and CEO of Embryotools, Barcelona Science Park, says:
“As a pioneering center in mitochondrial replacement therapies (MRT), Embryotools welcomes the recent publication by Hyslop et al. in The New England Journal of Medicine, reporting outcomes from pronuclear transfer (PNT) to prevent the transmission of mitochondrial DNA (mtDNA) disease. The study reports the birth of eight babies—four girls and four boys, including one set of identical twins—born to seven women at high risk of transmitting severe mtDNA disorders. Importantly, all infants are healthy and show no signs of mitochondrial disease. However, the detection of low-level postnatal mtDNA heteroplasmy (“reversal”) in 3 of the 8 infants (5%–16%) deserves particular discussion.
“Due to UK regulations that prohibit testing for heteroplasmy in embryos, the timing of this reversal could not be pinpointed. Their analysis relied on arrested embryos and blood samples from newborns, which limits interpretation. In contrast, our recent pilot trial using maternal spindle transfer (MST)—a form of MRT where mitochondrial replacement occurs in the oocyte before fertilization—in infertile patients led to seven live births, two of which also showed reversal, a comparable frequency. However, our approach included direct assessment of heteroplasmy in blastocysts and, longitudinally, in multiple tissues including amniotic fluid. This allowed us to accurately define that reversal occurred between the blastocyst stage and mid-gestation (~15 weeks), reinforcing the importance of prenatal testing to detect reversal early and guide clinical decision-making. In our study, all infants are also healthy and have been followed up showing no adverse events.
“This phenomenon—mtDNA ‘reversal’—has previously been described in human cells in vitro but not in MRT-derived children. Minimal levels of maternal mtDNA carryover can expand substantially, potentially compromising the efficacy of MRTs to prevent mitochondrial disease. The biological mechanisms underlying this selective amplification remain unclear but appear to occur early in development, and instances may therefore be detectable using prenatal testing. It is worth noting that the impact of mtDNA reversal in infertility treatments is likely less concerning, as maternal mtDNA in these cases does not carry pathogenic mutations. Moreover, with appropriate matching of mtDNA haplotypes between the mother and donor, the biological consequences of low-level heteroplasmy could be further minimized or even rendered clinically irrelevant.
“Currently, only the UK and Australia have regulated the use of MRT to prevent transmission of mtDNA mutations. We believe that other countries should adopt similar regulatory models. In particular, MRT should also be contemplated for infertility treatment. Infertility is a disease recognized by the WHO, and MRT can offer a genetic link to the mother for patients who would otherwise rely on egg donation. This justification aligns with the ethical principles underpinning MRT for disease prevention. As a pioneer group in this technology, Spain should lead in regulating these applications to ensure patient safety and prevent reproductive tourism to countries where such techniques may be offered without appropriate oversight.
“In light of these findings, we reaffirm the urgent need to continue performing well-regulated, larger, long-term studies to fully evaluate the safety, efficacy, and clinical implications of MRTs. Ongoing research under appropriate oversight is essential to ensure the responsible development of these technologies, improve genetic counseling, and support informed decision-making by patients and clinicians alike.
“We also advocate for thoughtful regulatory evolution that upholds patient autonomy, scientific excellence, and the principle of reproductive justice.”
Dr. Dunja M. Baston-Büst, Deputy Head of the IVF Laboratory, UniCareD Cryobank, and UniKiD Research, University Hospital Düsseldorf, Germany, said:
“Since there are currently no curative therapies for mitochondrial diseases, advances in assisted reproductive technology open up new possibilities for reducing the transmission of such variants. Preimplantation genetic diagnosis, which is commonly used to detect defects in nuclear DNA, can also be used to identify embryos with a low proportion of maternal pathogenic mitochondrial DNA variants, thereby reducing the risk of disease.
“The replacement of the donor’s zygote pronuclei with the patient’s pronuclei was successful in 127 of 160 cases (79.4 per cent). Of the 127 embryos resulting from this, 122 (96.1 per cent) were still intact on the following day (day 1). The number of intact zygotes per pre-nuclear transfer performed (33 procedures in total) ranged from zero to seven.
“In 37 of the 39 patients (95 per cent) in the preimplantation diagnosis group, the embryos were assessed on the third day after intracytoplasmic sperm injection (ICSI). For preimplantation diagnosis, a blastomere was biopsied on day three of embryonic development and transfer was usually performed in the fresh cycle after analysis of the mitochondrial DNA from the blastomere.
“Implementation in Germany is not possible under the current legal requirements (Embryo Protection Act), as egg donation is prohibited.
“The earlier and more severe a mitochondrial disease occurs, the earlier patients can be identified. Patients in Germany receive comprehensive human genetic or interdisciplinary counselling in accordance with the current S1 guideline ‘Mitochondrial Diseases’. A decision regarding the options for reproductive measures and possible preimplantation diagnosis is made in consultation with the patients and depending on the degree of heteroplasmy. Pre-implantation genetic screening is not possible in Germany due to the ban on egg donation. The alternatives are egg donation abroad or adoption.
“A patient registry for mitochondrial diseases was established in Germany in 2009. It would be beneficial for reproductive medicine if reproductive outcomes were also collected there, or analysis results if preimplantation diagnosis was performed. Unfortunately, there is no cross-linking between the registries. “Furthermore, the search for biomarkers is generally supported in Germany in order to increase the diagnostic accuracy for mitochondrial diseases.
“For reproductive medicine, I currently see no application of the technology presented in the study in Germany without a comprehensive revision of the Embryo Protection Act and the legalization of egg donation.
“The new EU SOHO Regulation will come into force in the next few years. Its main purpose is to provide greater protection for the genetic background of children born from egg and sperm donation (in addition to the amendments to the sperm donation register), so that many questions will still arise in the case of three-parent constellations.
“In mitochondrial donation using pre-nucleation transfer, the nuclear genome is transferred from a fertilized egg cell of the affected woman to an enucleated, fertilized egg cell from a healthy donor. The pronuclei are removed individually from the patients’ zygotes and, after brief treatment with a fusion agent (haemagglutinating virus from the Japanese shell), are placed together under the zona pellucida (protective shell around the egg cell; editor’s note) of the enucleated donor egg cell. Based on findings from preclinical studies, it is standard practice to freeze (vitrify) the eggs of patients for whom pre-nuclear transfer is planned, as donor eggs are not always available at the same time and in sufficient quantities.
“Pathological variants of mitochondrial DNA can be either homoplasmic (present in all mitochondrial DNA copies) or heteroplasmic (present in only some of the copies). Homoplasmic variants are passed on completely to all offspring, but their expression (penetrance) can vary from individual to individual.
“Clinical pregnancies were confirmed in eight of 22 patients (36 per cent) who underwent intracytoplasmic sperm injection (ICSI) as part of preimplantation genetic testing, and in 16 of 39 patients (41 per cent) who underwent ICSI as part of preimplantation genetic diagnosis (PGD). Pronuclear transfer resulted in eight live births and one ongoing pregnancy. PGD resulted in 18 live births.
“Heteroplasmy levels in the blood of the eight infants after pronuclear transfer ranged from undetectable to 16 per cent. Compared to the enucleated zygotes, the proportion of diseased maternal mitochondrial DNA was reduced by 95 to 100 percent in six newborns and by 77 to 88 per cent in two newborns. Heteroplasmy data were also available for ten of the 18 infants after preimplantation genetic diagnosis, with values ranging from undetectable to seven percent.
“For reasons that are still unclear, the small amount of transferred maternal mitochondrial DNA can rise to homoplasmic levels in about 20 per cent of embryonic stem cell lines derived from embryos after mitochondrial donation. In addition, one in six infants born after maternal spindle transfer for the treatment of infertility had elevated heteroplasmy levels (40 to 60 per cent) of maternal mtDNA. These observations raise the question of whether mitochondrial donation can reliably prevent the transmission of diseased mitochondrial DNA in all cases, especially in homoplasmic variants.
“Approximately one in 5,000 people develop a mitochondrial disease, making it one of the most common hereditary diseases, although the symptoms can often vary greatly. The symptoms of mitochondrial diseases are very diverse and can affect various organs, for example the muscles with muscle weakness and pain, the nervous system with encephalopathy, epilepsy and neurological disorders, the heart with heart muscle disease, the eyes with blindness and visual impairment, the ears with hearing loss and the endocrine system with diabetes mellitus.
“Other examples of mitochondriopathies with named syndromes include: autosomal dominant optic atrophy (ADOA) with slowly progressive, usually bilateral, central vision loss; Kearns-Sayre syndrome with cardiac conduction disorders, degenerative changes in the retina, and external ophthalmoplegia; chronic progressive external ophthalmoplegia, which is an incomplete form of Kearns-Sayre syndrome and is characterized by external ophthalmoplegia; MERRF syndrome with cerebellar ataxia, myoclonus, generalized seizures, short stature, and dementia; MELAS syndrome with seizures, dementia, and headaches.
“In addition to the disease entities listed here, there are a number of other, sometimes very rare syndromes that can be classified as mitochondriopathies but have often been little researched or not yet described.”
Dr Holger Prokisch, Head of the Mitochondrial Genetics Research Group, Helmholtz Centre Munich – German Research Centre for Health and Environment, Munich, said:“The field of mitochondrial medicine has been eagerly awaiting the results of this study. The robust data describe a real breakthrough for women with a (nearly) homoplasmic pathogenic mitochondrial DNA (mtDNA) variant in terms of their ability to probably have healthy genetically related children. The risk of the children to develop the disease after preimplantation genetic testing is minimal. All gene variants tested require very high heteroplasmy for the disease to manifest, or are typically homoplasmic.“”There is an observation in the literature that in a few cases, the mother’s mutated DNA is revised. Interestingly, this also involves an LHON mutation (Leber’s hereditary optic neuropathy) [3][4], which is almost always homoplasmic in the population and, according to recent data, has a low penetrance of less than five percent for LHON disease [5](only five percent of gene carriers also develop the disease; editor’s note). In this respect, the selection of mutation carriers for this study with four LHON mutations is not entirely fortunate. The homoplasmy of the LHON variants suggests that they may offer a selective advantage [6]. Since mitochondrial transfer does not eliminate the mutation, there is a risk that the mutation will be passed on to the next generation. This often leads to significant shifts in heteroplasmy, sometimes to the detriment of patients. However, disease-causing variants tend to have a selection pressure [6].“Human studies show no risk of incompatibility between the donor mtDNA and the parents’ nuclear DNA.””There is no newborn screening for mitochondrial DNA mutations. Women are identified as mutation carriers when they or one of their children develop the disease. Prediction or risk assessment for the next generation is difficult for mtDNA mutations in the mother. Many centers for mitochondrial diseases work with the group in Newcastle to provide information about the options available there or to offer preimplantation genetic diagnosis.”[3] Hudson G et al. (2019): Reversion after replacement of mitochondrial DNA. Nature. DOI: 10.1038/s41586-019-1623-3. [4] Kang E et al. (2016): Mitochondrial replacement in human oocytes carrying pathogenic mitochondrial DNA mutations. Nature. DOI: 10.1038/nature20592. [5] Mackey DA et al. (2022): Is the disease risk and penetrance in Leber hereditary optic neuropathy actually low?. The American Journal of Human Genetics. DOI: 10.1016/j.ajhg.2022.11.014. [6] Kotrys AV et al. (2024): Single-cell analysis reveals context-dependent, cell-level selection of mtDNA. Nature. DOI: 10.1038/s41586-024-07332-0.
Prof. Dr. Nils-Göran Larsson, Group Leader “Maintenance and expression of mtDNA in disease and ageing”, Department of Medical Biochemistry and Biophysics, Karolinska-Institut, Stockholm, Schweden, said: “The study in NEJM is very important and represents a breakthrough in mitochondrial medicine. It should be remembered mitochondrial diseases can be devastating and cause substantial suffering in affected children, sometimes leading to an early death. Families are profoundly affected and the paper in NEJM describe how birth of affected children can be prevented by mitochondrial donation.
“This advanced procedure is not a disease-treatment but rather an intervention that minimizes the transmission of mutated mtDNA from mother to child. For affected families this is a very important reproductive option. The paper describes a relatively small series of 8 babies born after mitochondrial donation by pronuclear transfer. The paper is carefully done and of very high quality but as always in science the results need to be confirmed by independent studies. Also, long-term clinical follow-up studies of born babies will give additional information about the safety and efficacy of mitochondrial donation.”
“Before this procedure was applied to human reproduction there was a very long development and evaluation process. There has been a lot of constructive discussion in the scientific community, and the UK Parliament approved legislation allowing mitochondrial donation in 2015.”
“Mitochondrial donation by the pronuclear transfer procedure always leads to carry-over of some mitochondria from the mother and mutant mtDNA can be transferred. The data presented in the NEJM paper shows that mutant mtDNA was not detected in blood of 5 of the born children. However, in three children, low levels of mutant mtDNA were detected in blood. These low levels of mutant mtDNA are unlikely to cause mitochondrial disease but additional follow-up studies are needed. As pointed out by the authors, the mitochondrial donation by pronuclear transfer should be regarded as a risk-reduction strategy. As always, when it comes to new medical procedures there is a need for validation by independent studies. Also, additional long-term follow-up studies of children born after mitochondrial donation will be needed.”
“The authors report that the transferred mtDNA has no mutations and the donor mtDNA is therefore unlikely to cause disease or impact ageing. During normal ageing, mtDNA acquires mutations (somatic mutations), e.g., during the massive cell division when the embryo is formed and develops. These mutations are typically present at low levels but accumulate to high levels in a subset of cells in many different ageing tissues. The mitochondrial donation involves transfer of mtDNA without mutations and there is no reason to believe that the donor mtDNA will additionally impact the ageing process.”
“When it comes disease-causing mtDNA mutations that are present in all copies (i.e., homoplasmic mtDNA mutations) there is currently no alternative to mitochondrial donation to prevent transmission of mutated mtDNA from mother to child. It is possible that alternate methods will be available in the future, e.g., correction of mutant mtDNA by gene editing techniques. There are currently a few promising pharmacological therapies for mitochondrial disease, e.g., nucleoside therapy for mtDNA depletion disorders. It is likely that more treatments will be available in the near future because this field is rapidly developing.”
Prof. Dr. Heidi Mertes, Associate Professor in Medical Ethics, Department of Philosophy and Moral Sciences, Ghent University, Belgien, said:
“I am happy to see that the first results from the Newcastle University group are now finally published, after being granted a license by the HFEA in 2017, and that the eight resulting children are in good health. However, while the results show that the technique is feasible and can lead to a substantial reduction of the mutation load in the resulting children, it also shows that we need to tread very carefully.”
“In line with previous research by the group of Nuno Costa-Borges [1], this research confirms the possibility of reversal (meaning that although there is only a small fraction of the intended mother’s mitochondrial DNA (mtDNA) in the embryo, this fraction sometimes increases substantially as the foetus develops), which could still result in mitochondrial diseases in the resulting children. Fortunately, preliminary research does indicate that while the mutation loads appear to increase between the embryonic phase and birth, they appear to remain stable after birth.”
“These are very important results as there was a lot of uncertainty over the safety of MRT. Using PGT when possible and reserving MRT for those cases in which PGT cannot offer a solution was a prudent approach given the experimental nature of MRT. It will be interesting to see more data in the future on whether reversal is more frequent in MRT or PGT, so that the safest procedure can be selected.”
“Although the heteroplasmy-levels are limited in this study, it does show that reversal is a real danger for the offspring, which can have serious health implications. At least three things follow from this.”
“First, people entering into this and future clinical trials will need to be extensively counselled that this is not a risk-elimination treatment, but a risk-reduction treatment.” “Second, we need more research into the mechanisms that trigger reversal, so that it can be prevented before this technique is implemented in routine care + We need follow-up research in the children born after MRT.”
“Third, it is important to keep in mind that by framing this as a risk-reduction strategy, we are ignoring the possibility of conceiving through a traditional egg donation procedure. While genetic parenthood is evidently important to many people, the trade-off that we are making here is that between a genetically related child with a high risk of mitochondrial disease (natural conception), a genetically related child with a reduced risk of mitochondrial disease (PGT or MRT) and a non-genetically related child with the near-absence of a risk of mitochondrial disease (through donor conception). If people who would have chosen for donor conception now opt for MRT, this is actually a risk-increasing technology, rather than a risk-reducing one.”
“This strategy lowers the risk of mitochondrial disorders in the children when the point of comparison is natural reproduction by the parents, but the safest option is still donor conception, which eliminates the risk of passing on the mitochondrial condition, rather than reducing it.”
“While the donor plays an essential role in the birth of the child, attributing them a parenthood-status based on a small genetic contribution appears unwarranted. At the same time it would be correct to call them a ‘genetic progenitor’ or ‘genetic contributor’.”
“While the group of Nuno Costa-Borges ([1] [2]) received a lot of backlash for performing their MRT clinical trial in people with repeated IVF failure, rather than people with mitochondrial diseases, we must acknowledge in hindsight that given the phenomenon of reversal, their approach might have been the more prudent one. In their study they observed reversal in one infant going from
Prof David Thorburn, co-Group Leader of Brain & Mitochondrial Research at Murdoch Children’s Research Institute and the University of Melbourne, said:
“Mitochondrial donation was legalised in the UK in 2015 and in Australia in 2022. It was clearly a complex process in the UK to develop the approvals processes, the clinical and lab pathways, cope with delays from COVID and accumulate sufficient outcomes to publish them without impinging on the privacy of the families involved.So it is very exciting to see the first publications describing results for the first 8 babies born in the UK program. The initial results demonstrate that the approach is effective in reducing the risk of having a child with mitochondrial DNA disease for women who are at high risk. For about three quarters of couples participating in the pronuclear transfer method, at least one suitable embryo was generated. About 40% of these couples had a baby and all were healthy and had undetectable or low levels of the abnormal mitochondrial DNA. Three babies had short-term symptoms that resolved and did not appear to relate to mitochondrial disease. All babies are developing normally to date, with the oldest 5 years of age.The studies emphasise that longer-term followup needs to be performed, and the efficiency of the method could be further improved to achieve higher pregnancy rates. They demonstrate the value of offering the program in conjunction with other reproductive options, such as pre-implantation genetic testing, which can be effective in women with lower risk. I regard these results as very encouraging and supporting the ongoing development and use of mitochondrial donation in the UK and Australia.
Dr Santiago Restrepo Castillo, biomedical engineer and postdoctoral researcher at the University of Texas at Austin (USA), said:
“Mitochondrial diseases are a group of chronic metabolic disorders that can be fatal. These diseases are caused by mutations in the human genome, which consists of nuclear DNA and mitochondrial DNA. In particular, metabolic disorders caused by mutations in mitochondrial DNA, which affect one in five thousand people, are maternally inherited and currently incurable. In recent years, there have been major advancements in the development of strategies for the treatment or prevention of genetic disorders caused by mutations in nuclear DNA. In contrast, similar strategies for diseases caused by alterations in mitochondrial DNA have remained largely understudied. Aiming to establish a preventive strategy for metabolic diseases caused by mitochondrial DNA mutations, the authors of this pair of studies published in the New England Journal of Medicine developed an integrated program of preimplantation genetic testing and pronuclear transfer (PGT and PNT, respectively). In this program, female patients carrying mitochondrial mutations underwent PGT to identify embryos with low levels of mitochondrial DNA mutations. In cases where an embryo with these characteristics was identified, the embryo was implanted in the patient and the course of the pregnancy was monitored. In addition, in cases where it was not possible to identify embryos with low levels of genetic alterations, the patients underwent PNT, a procedure in which mitochondrial DNA without mutations is obtained from a donor. Encouragingly, through this integrated PGT and PNT program, at the time of publication, the authors have already demonstrated a significant reduction in the maternal transmission of mitochondrial mutations in eight cases. Furthermore, the children born from these cases have shown normal development. In conclusion, this study represents a major advancement in the field of medical genetics and genomics. Understanding the current limitations of mitochondrial gene editing, which would allow genetic alterations to be corrected in different contexts, the authors chose to explore a procedure that cuts the problem off at the root by preventing the transmission of the mutated genetic material. Furthermore, this pair of studies demonstrates clinical benefits in children who, without the integrated PGT and PNT program, would likely have been born with debilitating or fatal genetic mutations. It will be exciting to see if the benefits are maintained over time, and it will be critical to further develop this integrated process to increase its success rates”.
Prof Lluís Montoliu, Research Professor at the National Biotechnology Centre (CNB-CSIC) and at the CIBERER-ISCIII, Spain, says:
“In 2016, John Zhang, a specialist doctor at an assisted reproduction clinic in New York called the New Hope Fertility Center, crossed the border into Mexico to perform a procedure that was banned in the US and not yet regulated in Mexico. A couple from Jordan had come to this clinic hoping to have viable offspring. The couple had already had two children who had died from Leigh syndrome, one of several mitochondrial diseases that are often devastating and untreatable. Mitochondria (our energy factories) are usually inherited from the mother, from the egg. The mother had approximately 25% of her mitochondria affected, and these were the ones she had passed on to her two deceased children. Dr. Zhang did not use the procedure pioneered in the UK because of the couple’s Muslim faith, which opposed the destruction of human embryos. Instead, he chose to extract the nucleus from the mother’s egg (actually the metaphase plate, an incomplete nuclear division, which is the stage at which all eggs are ready for fertilization) and transferred it to the egg of another woman (with healthy mitochondria), from which he had also previously removed the nucleus. Once the nucleus from the mother had been transferred to the egg of the second woman, he used this resulting egg to perform in vitro fertilization with sperm from the father to obtain embryos. Dr. Zhang created five embryos in this way, only one of which developed normally, was implanted in the mother’s uterus, and resulted in the birth of a healthy baby. It was the first newborn obtained using the “three-parent technique”: two mothers and one father.
“In the United Kingdom, the Human Fertilisation and Embryology Authority (HFEA) had approved another procedure in 2015, technically different but also called the “three-parent technique,” to solve problems related to mitochondrial diseases. In this case, the father’s sperm is used to fertilize (through intracytoplasmic sperm injection, ICSI) two eggs, one from the mother carrying the affected mitochondria and one from another woman with healthy mitochondria. After fertilization begins, the two pronuclei (paternal and maternal) that appear temporarily are destined to fuse and form the first nucleus of the zygote. Before this happens, researchers can extract the two pronuclei from the in vitro fertilization between the mother’s egg and the father’s sperm and transfer them to the egg of the woman fertilized by the same sperm from the father, from which the pronuclei will have been previously removed. The result is that the egg with the woman’s healthy mitochondria hosts the two pronuclei of the couple, whose baby will be born without the mitochondrial genetic disease and will be genetically from both the father and the mother. The healthy mitochondria will come from the female donor. In this procedure, which is methodologically somewhat more aggressive than the previous one but less risky, one embryo is destroyed to create another, something that the Muslim couple assisted by Dr. Zhang considered unacceptable. The first baby in the United Kingdom obtained through the authorized British three-parent procedure was born in 2023.
“Ten years later [after the approval of this technique in the UK], a team of British and Australian doctors and researchers published the results of applying the British “three-parent” technique to 22 women carrying pathogenic mutations in their mitochondria (and therefore at high risk of having children born with these incurable diseases) in the prestigious New England Journal of Medicine (NEJM). Of the 22 women treated, only 8 gave birth (36%), and one more pregnancy is still in progress. The eight babies born are healthy, with no signs or very low levels of affected mitochondria, which are not sufficient to cause the disease. So far, all eight children are doing well. Only a couple of them developed minor clinical problems, initially unrelated to the procedure, which were resolved with treatment or spontaneously. In addition, the researchers applied a second technique (preimplantation genetic testing, or PGT) to women with heteroplasmy (a mixture of healthy and affected mitochondria) to assess the percentage of affected mitochondria in babies obtained through in vitro fertilization and select those with lower values of affected mitochondria. In this case, they obtained 16 pregnancies from 39 women (41%) with the result of 18 babies born with a percentage of affected mitochondria of less than 7%.
“In Spain, our Law 14/2006 of May 26 on assisted human reproduction techniques does not explicitly refer to this technique (which did not exist when this legislation was passed), so sensu stricto the procedure is neither expressly prohibited nor explicitly authorized in our country. Essentially, it is not regulated. The legal and ethical doubts that remain have so far prevented the three-parent technique from being applied in Spain.However, this new study shows that the technique has a remarkable success rate (36%) that could well be offered to couples in which the mother is a carrier of affected mitochondria to have offspring free from terrible mitochondrial diseases. Personally, I believe that we should allow this technique in our country in assisted reproduction clinics that have adequate training in this sophisticated method of embryo intervention.”
Dr Paul Wuh-Liang Hwu, Professor, College of Medicine, Pediatrics, National Taiwan University, Taipei, Taiwan / Distinguished Research Fellow, China Medical University Hospital, Taichung, Taiwan, said:
“In this week’s New England Journal of Medicine, two research articles published by groups of researchers from the UK describe the success of mitochondrial donation treatments for mitochondrial DNA (mtDNA) diseases. Each human cell contains a few hundred mitochondria. The mitochondrion is a double membrane-bound organelle, and each mitochondrion contains a few copies of double-stranded, circular DNA molecules of around 16,500 genetic units (base pairs).
“Mitochondria are responsible for energy (ATP) production, fatty acid oxidation, and some other functions for the cells. Pathological variations or deletions of mitochondrial DNA can impair mitochondrial function, and when the proportion of defective mitochondria (heteroplasmy level) is high, cause serious symptoms involving the brain, muscle, and metabolism. During reproduction, all mitochondria are inherited from the mother (the egg). However, the level of defected mitochondria in offspring can be very different from their mothers, leaving reproduction planning almost impossible.
“In the two studies, mitochondrial donation by pronuclear transfer (PNT) was conducted to reduce the reproductive risk of women with mitochondrial diseases. Both the mitochondrial donor and patient eggs were fertilized first. The nucleus of the donor’s fertilised egg was removed and discarded, leaving behind a fertilised egg without a nucleus but with healthy mitochondria. The nucleus from the patient’s fertilised egg was then transferred into this enucleated donor egg.
“The PNT zygote was then cultured and implanted to continue pregnancy. All live births were in good health and with low levels of defective mitochondria. PNT has been widely used in animal research and now proved to be safe and efficient in humans. This breakthrough gives a reproductive choice for women affected with mitochondrial diseases, which is very important for the patients and their families. However, this study also broke the ban for continuing pregnancy of genetically manipulated human embryos. One argument is that PNT does not really touch the genetic materials but only provides normal mitochondria. The excellent outcome of this study also eases the concerns of nuclear/mitochondrial genome compatibility and other safety issues. Nevertheless, one may still worry if this technology will be abused to improve human physiological quality, for example, creating a body with more efficient energy production. Then, how about adding a little bit of normal, or good, DNA to the nuclear genome, if we can do that safely?
“As doctors and researchers who take care of patients with genetic disease, we welcome inventions, including reproduction medicine, that can help patients. Certainly, before the safety of new treatments can be confirmed, they should be used in patients with no other choices, or with a favorable benefit over risk. Recently, gene therapies, including gene editing treatments, are rapidly developing, offering hope to patients who previously have no option for treatment. However, we need to ask people to restrain themselves, not to apply PNT or gene therapy to improve the health of people without a medical condition, but to let these new treatments be developed to rescue lives of patients.”
Prof Lee Chung-HisProfessor, Graduate Institute of Health and Biotechnology Law, Taipei Medical University, Taipei, Taiwan, said:
“Pronuclear Transfer Technology: Advancing with Cautious Innovation and International Consensus. While early clinical results show promise in reducing the level of pathogenic mitochondrial DNA in newborns, the application of Pronuclear transfer (PNT) raises significant ethical and regulatory questions that must be addressed through both national oversight and international dialogue. From a bioethical standpoint, germline modification—defined as altering genetic material in a way that affects future generations—has long been met with caution. This is because it involves irreversible changes to the human genome, with potential consequences not only for the individuals born from such interventions but also for society’s understanding of what it means to be human.
“Pronuclear transfer, however, occupies a unique space in this debate. It targets mitochondrial DNA, which, although essential for cellular energy production, contributes relatively little to traits traditionally associated with identity, such as physical appearance, personality, or intelligence. Because of this limited influence on key phenotypic characteristics, PNT is viewed by some as an acceptable “ethical testing ground” for germline-level intervention. Rather than resorting to high-risk gene therapy after the onset of a hereditary disease, using PNT technology to reduce the likelihood of disease is a more ethically acceptable option. It provides a possible pathway to explore the responsible use of reproductive technologies without crossing the bright-line boundaries typically drawn around nuclear DNA modification.
“Nonetheless, mitochondrial DNA modification is not without ethical complexity. Even if its direct functional role is narrower, it still involves heritable changes and the creation of embryos with genetic contributions from three individuals—the intended mother and father, and a mitochondrial donor. This raises questions about identity, kinship, and the rights of the resulting child, especially regarding disclosure and autonomy. Moreover, the long-term health effects of such interventions remain unknown. To prevent a gradual erosion of ethical boundaries, transparent ethical review processes and long-term clinical monitoring must be established as foundational requirements for any country considering the use of PNT.
“From a clinical perspective, preimplantation genetic testing (PGT) should remain the first-line option for reducing the risk of mitochondrial disease transmission. PGT is a more established and less invasive method that allows for the selection of embryos with minimal or undetectable levels of pathogenic mitochondrial DNA. In many cases, this approach has proven effective and carries fewer biological and ethical uncertainties than PNT. In contrast, PNT is a more complex and experimental procedure that combines nuclear DNA from the parents with mitochondrial DNA from a donor egg, and it may result in lower fertilization rates or higher embryonic loss. Therefore, in keeping with the precautionary principle in bioethics, PNT should be considered only when PGT is not feasible or has been shown to be ineffective.
“The United Kingdom currently leads in the clinical implementation of PNT, having established a strict licensing and regulatory regime through the Human Fertilisation and Embryology Authority (HFEA). The UK’s model reflects a commitment to enabling scientific advancement while maintaining ethical vigilance. However, reproductive technologies such as PNT are inherently transnational. If only a few countries offer access to such procedures, it may prompt “reproductive tourism”, whereby patients travel abroad to seek unregulated or less strictly governed treatments, potentially undermining safety standards and ethical norms.
“For this reason, a coordinated international approach is urgently needed. The World Health Organization (WHO) and the World Medical Association (WMA) are well-positioned to initiate global discussions and help formulate shared ethical guidelines and governance frameworks. These discussions should encompass not only scientific and medical dimensions but also social, cultural, and legal implications. Establishing minimum ethical standards and oversight mechanisms will help ensure that the benefits of PNT are pursued responsibly and that global health equity and ethical integrity are preserved.”
‘Mitochondrial Donation and Preimplantation Genetic Testing for mtDNA Disease’ by Louise A. Hyslop et al. and ‘Mitochondrial Donation in a Reproductive Care Pathway for mtDNA Disease’ by Robert McFarland et al. was published in The New England Journal of Medicine at 22:00 UK time on Wednesday 16th July.
DOI: 10.1056/NEJMoa2415539
DOI: 10.1056/NEJMoa2503658
Declared interests
Dr David J Clancy: No interests to declare
Prof Joanna Poulton: Nothing to declare
Prof Dusko Ilic: No conflicts of interest
Prof Dagan Wells: I don’t think I have any declarations relevant to this.
Dr Andy Greenfield: Andy was a member of the board of the Human Fertilisation & Embryology Authority (HFEA) from 2009 to 2018; he was a member of its Scientific & Clinical Advances Advisory Committee (SCAAC) and Chair of its Licence Committee. He chaired the 3rd and 4th preclinical scientific reviews of the safety and efficacy of mitochondrial donation, in 2014 and 2016. Andy chairs the Independent Advisory Committee of the MitoHOPE Program in Australia. He is also a member of the board of the Human Tissue Authority (HTA), the Regulatory Horizons Council (RHC), the Advisory Committee on Novel Foods and Processes (ACNFP) and Singapore’s Ministry of Health Regulatory Advisory Panel. Andy’s programme of research in developmental genetics was funded by the Medical Research Council at its Harwell Unit from 1996 to 2021. All opinions expressed are his own and not necessarily shared by any organisations with which he is associated.
Mr Stuart Lavery: No DOIs
Prof Bert Smeets: I am scientific advisor for the HFEA on PNT applications.
Sarah Norcross: PET – https://www.progress.org.uk/ – is a charity that improves choices for people affected by infertility and genetic conditions, and that campaigned for the introduction of the Human Fertilisation and Embryology (Mitochondrial Donation) Regulations 2015 into UK law.
Beth Thompson: Wellcome funded research into mitochondrial donation and co-funded the clinical trial to assess the safety and effectiveness of the treatment.
Danielle Hamm: The Nuffield Council on Bioethics conducted an ethical review of new techniques that aim to prevent the transmission of maternally-inherited mitochondrial DNA disorders in 2012. The report and key findings of the review are available here.
HFEA: As of 1 July 2025, 35 patients have been given approval for mitochondrial donation treatment by the HFEA Statutory Approvals Committee. These decisions are made on an individual case by case basis where there are no other options for the families involved and in strict accordance with the law. The published papers set out that 25 of those patients have undergone pronuclear transfer (mitochondrial donation treatment.)
Prof. Dr. Marcus Deschauer: “Apart from the fact that I spent six months as a researcher in the Mitochondrial Research Group over 20 years ago and subsequently collaborated with the group on scientific projects, and that I am of course well acquainted with some of the co-authors of the two papers, I have no conflicts of interest.”
Dr. Dunja M. Baston-Büst: “I have no conflict of interest.”
Dr Holger Prokisch: “I have no conflicts of interest.”
Prof. Dr. Nils-Göran Larsson: “I have no conflicts of interest with this work.”
Prof. Dr. Heidi Mertes: “I have no conflicts of interest.”
Prof David Thorburn: David has declared he has no financial conflicts of interest and has the following unpaid positions:
Board Member of the Mito Foundation (the major relevant mito advocacy group) and he played a prominent role in their advocacy for legalising mitochondrial donation in Australia.
He is also a Member of the MitoHOPE Executive, funded by the Medical Research Future Fund to deliver an Australian clinical trial of mitochondrial donation.
Dr Santiago Restrepo Castillo: No conflicts of interest
Prof Lluís Montoliu: He declares that he has no conflicts of interest
For all other experts, no reply to our request for DOIs was received.
Source: United States Senator Alex Padilla (D-Calif.)
Padilla, Chu, Colleagues Join Union Workers to Announce Legislation to Protect Workers from Extreme Heat
WATCH: Padilla pushes for enforceable workplace heat stress protections after hottest year on record
WASHINGTON, D.C. — Today, on the heels of another harsh heat wave across California, U.S. Senator Alex Padilla (D-Calif.) and Representative Judy Chu (D-Calif.-28) joined union workers from the United Farm Workers (UFW), American Federation of State, County and Municipal Employees, and United Steelworkers to announce their bipartisan, bicameral legislation to implement federal enforceable workplace heat stress protections.
Co-leads of the legislation include U.S. Senators Edward J. Markey (D-Mass.) and Catherine Cortez Masto (D-Nev.), and Representatives Robert C. “Bobby” Scott (D-Va.-03), Ranking Member of the House Committee on Education and Workforce, and Alma Adams (D-N.C.-12).
To address the increasing risks from extreme temperatures, the lawmakers introduced the Asunción Valdivia Heat Illness, Injury, and Fatality Prevention Act, legislation to protect the safety and health of indoor and outdoor workers who are exposed to dangerous heat conditions in the workplace. The legislation would protect workers against occupational exposure to excessive heat by requiring the Occupational Safety and Health Administration (OSHA) to establish an enforceable federal standard to protect workers in high-heat environments with commonsense measures like paid breaks in cool spaces, access to water, limitations on time exposed to heat, and emergency response for workers with heat-related illness. The bill also directs employers to provide training for their employees on the risk factors that can lead to heat illness and guidance on the proper procedures for responding to symptoms.
The bill is named in honor of Asunción Valdivia, who died in 2004 after picking grapes for 10 hours straight in 105-degree temperatures. Mr. Valdivia fell unconscious, but instead of calling an ambulance, his employer told Mr. Valdivia’s son to drive his father home. On his way home, he died of heat stroke at the age of 53.
“Asunción Valdivia’s death was completely preventable, yet his story is sadly not unique. As the planet continues to grow hotter, there is still no federally enforceable heat safety standard for workers. That’s not just dangerous for the farm workers and construction workers who work all day outside in the sun — it’s also dangerous for the factory and restaurant workers in boiling warehouses and kitchens,” said Senator Padilla. “Every family deserves to know that even on the hottest day, their loved one will come back home. A national heat safety standard would provide that peace of mind and finally give workers the safety they deserve.”
“Even as heat waves become more frequent, longer-lasting, and more severe, red state politicians are rolling back heat protections and child labor protections across the country. It’s not rocket science—you cannot be pro-worker if you are anti-heat protection,” said Senator Markey. “Our legislation would provide workers with basic, effective protections: access to water, access to shade, time limits on high heat exposure, and procedures for emergency medical response. Every worker deserves to know when they clock in that they will return home safe at the end of their shift. The thermometer is rising and the clock is ticking. Republicans want to sacrifice working Americans. Let’s save our workers instead.”
“From farmhands to construction workers, America’s essential workforce is doing important work while under extreme heat conditions,” said Senator Cortez Masto. “Temperatures continue to reach record highs in Nevada and across the United States. We must act now to protect our communities’ vital workers.”
“As we continue to experience record-breaking summer heat waves, we’re also seeing a distressing increase in cases of workers collapsing and even losing their lives due to excessive heat. I will never forget people like Asunción Valdivia or Esteban Chavez Jr., who passed away in Pasadena, California in 2022 after a day of delivering packages in 90-degree heat in a truck without air conditioning. Unfortunately, their tragic deaths were entirely preventable,” said Representative Chu. “Whether on a farm, driving a truck, or working in a warehouse, workers like Asunción and Esteban keep our country running while enduring some of the most difficult conditions—often without access to water or rest. To protect our workforce and save lives, we must pass this bill into law and establish comprehensive and enforceable federal standards addressing heat stress on the job.”
“This summer, Americans across the country are grappling with some of the hottest temperatures on record. Yet workers in this country still have no legal protection against excessive heat—one of the oldest, most serious, and most common workplace hazards. Heat illness affects workers in our nation’s fields, warehouses, and factories, and climate change is making the problem more severe every year,” said Ranking Member Scott, House Committee on Education and Workforce. “This legislation will require OSHA to issue a heat standard on a much faster track than the normal OSHA regulatory process. I was proud to advance this important bill in 2022, and I urge Chairman Walberg and Committee Republicans to do so again this Congress. Workers deserve nothing less, particularly as heat-related illnesses and deaths rise.”
“As we face record temperatures, it has never been more important that we protect our workers facing extreme heat in the workplace,” said Representative Adams. “Last year, a North Carolina postal worker Wendy Johnson lost her life to heat illness after spending hours in the back of a postal truck on a 95-degree day with no air conditioning. Her death was entirely preventable, and Wendy should still be with us today. I’m proud to introduce this bill so we can honor her memory and ensure every worker has the protections from extreme heat that Wendy deserved.”
According to the National Oceanic and Atmospheric Administration (NOAA), 2024 was the warmest year on record for the United States. The past decade, including 2024, was the hottest on record, marking a decade of extreme heat that will only get worse. Heat-related illnesses can cause heat cramps, organ damage, heat exhaustion, stroke, and even death. Between 1992 and 2017, heat stress injuries killed 815 U.S. workers and seriously injured more than 70,000. The Washington Center for Equitable Growth estimates hot temperatures caused at least 360,000 workplace injuries in California from 2001 to 2018, or about 20,000 injuries a year. The failure to implement simple heat safety measures costs U.S. employers nearly $100 billion every year in lost productivity.
From 2011-2020, heat exposure killed at least 400 workers and caused nearly 34,000 injuries and illnesses resulting in days away from work; both are likely vast underestimates. Farm workers and construction workers suffer the highest incidence of heat illness. And no matter what the weather is outside, workers in factories, commercial kitchens, and other workplaces, including ones where workers must wear personal protective equipment (PPE), can face dangerously high heat conditions all year round.
The Asunción Valdivia Heat Illness, Injury, and Fatality Prevention Act has the support of a broad coalition of over 250 groups, including: Rural Coalition, International Brotherhood of Teamsters, AFL-CIO, UNITE HERE!, Communication Workers of America, Alianza Nacional de Campesinas, Sierra Club, United Farm Workers, Farmworker Justice, Public Citizen, International Union of Bricklayers and Allied Craftworkers, United Food and Commercial Workers International Union, Union of Concerned Scientists, United Steelworkers, National Resources Defense Council, American Lung Association, and Health Partnerships.
“Every worker safety rule in America is written in blood,” said UFW President Teresa Romero. “The UFW has been fighting for heat safety protections for decades. Over 20 years later, Asuncion Valdivia’s death still hurts. There are so many other farm workers — many whose names we do not know — who have also been killed by extreme heat on the job in the years since. Enough is enough. Every farm worker deserves access to water, shade, and paid rest breaks — it’s past time for Congress get this done.”
“Too many workers – including AFSCME members – have lost their lives on the job as a result of blistering heat waves and record-breaking temperatures,” said AFSCME President Lee Saunders. “As the number of heat-related illnesses and fatalities continue to rise, it is well past time we adopt nationwide safeguards to better protect the workers who maintain our infrastructure, keep our streets clean, harvest our food, and keep our economy moving. We at AFSCME thank Senator Padilla and Representative Chu for introducing the Asunción Valdivia Heat Illness, Injury, and Fatality Prevention Act, which will ensure essential workers who brave the heat can do their jobs safely and effectively, and most importantly, make it home alive.”
“For the Steelworkers Union, we represent workers in manufacturing settings and in a host of other areas where not only is it hot outside, but the areas that they work around are as hot as up to 3,000 degrees and they must wear protective equipment. The Asunción Valdivia Heat, Illness, Injury, and Fatality Prevention Act is important because it will provide a basic standard for not just outdoor, but indoor workplaces as well to ensure that there is proper rest breaks and the ability to stay cool. The Steelworkers are absolutely supportive of this bill and are going to work with Republicans and Democrats to ensure that heat illness is the last thing a worker should worry about,” said Roy Houseman, Legislative Director of United Steelworkers.
“Everyone deserves safe working conditions, but powerful corporations have not done enough to protect their workers from hot working environments, exacerbated by the climate crisis,” said Liz Shuler, President of the AFL-CIO. “Extreme heat is increasingly causing indoor and outdoor workers to collapse or even die on the job, and our union family has already lost too many members to preventable, work-related heat illness. The Occupational Safety and Health Administration (OSHA) must issue a strong heat rule, not a weak one, to ensure workers have specific protections they need and to be able to raise unsafe working conditions without fear of retaliation.”
“It’s long past time for meaningful legislation to protect Teamsters and other workers from the effects of prolonged heat exposure and dangerous heat levels while at work,” said Teamsters General President Sean M. O’Brien. “Paid breaks in cool spaces, access to water, and limitations on time exposed to heat are simple common sense steps that should be mandated immediately. Waiting to implement these measures is unacceptable and will result in the further loss of lives.”
“Workers in America are facing unprecedented dangers from climate-driven heat and extreme weather, and things are only getting worse. It is far past time for a strong national standard to protect workers from illness and death caused by exposure to extreme heat. The provisions mandated in this bill, including temperature triggers, acclimatization, water, shade and paid rest breaks, would save countless lives. They represent a common sense and common decency approach that employers could quickly adopt. American workers deserve no less, and they urgently need it. Today, OSHA is in the final stage of issuing a final rule on this issue. It is imperative that the rule maintain the integrity and high standards called for in the Asuncíon Valdivia Heat Illness, Injury, and Fatality Prevention Act. We applaud Senators Padilla, Markey, and Cortez Masto and Representatives Chu, Adams, and Scott, as well as the dozens of Senators and Congresspersons who have joined them in this long effort. It’s time to bring a high quality, protective standard to the finish line for American workers,” said Ernesto Archila, Climate and Financial Regulation Policy Director, Public Citizen.
“Every summer high temperature records get broken in states across the country, and while public health officials urge residents to stay inside and stay safe millions of workers have to report for work. From fields to warehouses, airports to schools, construction sites to manufacturing plants, and many more industries, too many workers are at risk of not getting home safely at the end of the day due to exposure to heat on the job. We know how to prevent these dangers. In fact, both outdoor and indoor workers in states like Oregon, California, and Maryland have strong, enforceable protections in place already. And in Washington, Colorado, and Minnesota at least some categories of workers are being kept safe from heat. But millions labor in other states where there are no protections; worker safety is left to the federal government in these states, and absent strong rules workers are left to protect themselves and hope for the best. We must extend workplace protections from heat to all workers. The National Employment Law Project thanks Senator Padilla and Representative Chu, as well as the dozens of Senators and Congresspersons who have cosponsored the Asunción Valdivia Heat Illness, Injury, and Fatality Prevention Act of 2025,” said Anastasia Christman, Senior Policy Analyst, National Employment Law Project.
The bill is cosponsored by Senators Angela Alsobrooks (D-Md.), Tammy Baldwin (D-Wis.), Richard Blumenthal (D-Conn.), Lisa Blunt Rochester (D-Del.), Cory Booker (D-N.J.), John Fetterman (D-Pa.), Ruben Gallego (D-Ariz.), Kirsten Gillibrand (D-N.Y.), Martin Heinrich (D-N.M.), Mazie Hirono (D-Hawaii), Mark Kelly (D-Ariz.), Ben Ray Luján (D-N.M.), Jeff Merkley (D-Ore.), Patty Murray (D-Wash.), Jack Reed (D-R.I.), Bernie Sanders (I-Vt.), Brian Schatz (D-Hawaii), Adam Schiff (D-Calif.), Chris Van Hollen (D-Md.), Elizabeth Warren (D-Mass.), Peter Welch (D-Vt.), Sheldon Whitehouse (D-R.I.), and Ron Wyden (D-Ore.).
Senator Padilla has acted urgently to address the threats posed by extreme heat as the climate crisis becomes more severe. Padilla successfully called on OSHA to establish the first-ever federal safety standard to protect workers from the severe risks of excessive heat, implementing key provisions from the Asunción Valdivia Heat Illness, Injury, and Fatality Prevention Act. Padilla and his colleagues also led 112 members of Congress in calling on the Biden Administration to implement a workplace federal heat standard as quickly as possible. The letter urged OSHA to model the standard after the provisions in the Asunción Valdivia Heat Illness, Injury, and Fatality Prevention Act. Additionally, Padilla and Markey’s Preventing Health Emergencies and Temperature-related (HEAT) Illness and Deaths Act advanced out of the Senate Committee on Commerce, Science, and Transportation last year.
Padilla previously joined union members and workers from UFW and the Kern, Inyo, and Mono Counties Central Labor Council, AFL-CIO in Forty Acres, California in 2023 to announce his legislation to implement an enforceable federal workplace heat standard.
A one-pager on the Asunción Valdivia Heat Illness, Injury, and Fatality Prevention Act is available here.
A section-by-section of the bill is available here.
In early June, the Labor opposition moved a motion of no confidence in the Liberal Premier, Jeremy Rockliff. The motion passed with the support of three crossbench MPs, the Greens, and a casting vote from the speaker.
Rockliff refused to step aside and Opposition Leader Dean Winter ruled out doing a deal with the Greens to govern in minority, which left the Governor with no choice but to call an election just 16 months after the last.
Some Tasmanians would be forgiven for feeling a bit of election fatigue. On top of the March 2024 state election, there was the federal election on May 3, voting for three legislative council seats on May 24 and now this poll.
Trudging along the campaign trail
The vibe of the campaign has veered wildly between pedestrian and acrimonious.
Candidates have struggled to connect with a disgruntled public, and a combination of the stadium saga and political mudslinging have distracted from Tasmania’s serious challenges.
Despite the election being brought about by Labor’s no confidence motion, the party seemed curiously unprepared. Its candidate announcements were slow and disjointed, and red corflutes have been greatly outnumbered by blue.
Labor’s campaign has picked up some momentum in recent weeks by following the federal party’s playbook of making big health policy announcements.
In contrast to Labor, the Liberals hit the ground running with a slew of candidate announcements. They have presented themselves as the only party with a realistic chance of winning a majority, and sought to frame Labor’s Dean Winter as a power-hungry wrecker. They have also campaigned hard on health, attempting to neutralise Labor’s traditional strength in this area.
A bevy of former federal candidates are running, which could lead to changes in personnel, if not a big shift in the distribution of seats in parliament. Ones to watch include:
Liberal’s Bridget Archer (who lost her seat of Bass in May) and Gavin Pearce (retired Braddon MP)
Labor’s Brian Mitchell, the Lyons MP who stood aside for Rebecca White
Peter George, the anti-salmon farming independent in Franklin
and Vanessa Bleyer, a two-time Greens Senate candidate running in Braddon.
The Nationals are also in the mix following the latest in a series of Tasmanian “reboots” over the past few decades. Their candidate list includes former Jacqui Lambie Network and Liberal MPs, which could create a tense and chaotic party room if they win seats.
Disappointingly, both Labor and Liberal leaders have repeatedly demanded the other side stop playing “political games”, while merrily engaging in skulduggery of their own.
Labor was indignant when the Liberals challenged the eligibility of one of their star candidates, unionist Jessica Munday.
A few days later, Rockliff was righteously outraged when Labor grandee and former premier Paul Lennon registered the business “Tasinsure” – the name of the Liberals’ proposed state-owned insurance company.
Subpar signage
It’s fair to say no one has covered themselves in glory here.
The Liberals went with “Let’s finish the job for Tasmania”. I’m sure this isn’t meant to be read as a threat, but I can’t help but hear it in Alan Rickman’s voice.
Even if we leave aside the (unintended?) menacing implications, the slogan encourages voters to wonder why the job hasn’t been finished in the previous 11 years of Liberal government.
Labor is using “A Fresh Start for Tasmania”: a cliche, but serviceably simple.
The problem is, they stretched the slogan to the point of collapse by applying it to all of their policy headings. This meant that we ended up enduring “a fresh start for cost of living relief”, “a fresh start for our society”, and so on.
A special mention to Labor’s social media ads, which had all the gravitas of a toddler demanding their turn on the playground swings.
The Greens didn’t limit themselves to one slogan. Instead, they used various taglines on the theme of “the mess made by the major parties”, or simply stated their main policy pillars: stopping the stadium, investing in health and housing, protecting the environment, and stopping privatisation.
There were also some questionable offerings from the menagerie of independents. Surely the voters are entitled to expect more from their MPs than the “familiar face in Clark” offered by former Liberal MP Elise Archer? And as an experienced journalist, I’m sure Peter George could have done better than the derivative “Time for Change”.
What can we expect?
What will Tasmanians end up with after a campaign that has been less sound and fury and more white noise and niggle?
It looks like more of the same.
Polling shows that the two major parties are on the nose, particularly with younger voters. Labor and Liberal are fairly aligned on some of the headline issues that divide the electorate, including the stadium and salmon farming.
All this points to no party winning a majority of the 35 seats. If this happens, the convention is that the Governor gives the party with the most seats the first crack at cobbling together enough support from the crossbench to form a minority government.
Minority governments can come in lots of different shapes and sizes, from loose “confidence and supply” agreements to more formal power-sharing coalitions.
If the party with the most seats fails to form government, the Governor would typically let the second-largest party try.
Both the Liberals and Labor will face big challenges if they are given the opportunity to form minority government.
The Liberal Party has its nose ahead in most polls. However, several of the crossbench MPs the previous Liberal government relied on for support voted in favour of the no confidence motion in Rockliff.
Most of these MPs are likely to be re-elected, and will be wary of doing deals that essentially put in place the same government that they recently helped to bring down.
Labor have backed themselves into a corner by repeatedly ruling out working with the Greens. This would leave them needing to negotiate with a diverse array of crossbench MPs. Depending on the final distribution of seats, this might not secure them enough votes on the floor of parliament.
If – as seems likely – Tasmania ends up with another hung parliament, it will fall to our MPs to move beyond point scoring and gamesmanship. We urgently need budget repair, alongside ambitious reforms in health, housing, education, sustainability and productivity.
Here’s hoping that the next government is willing to collaborate and compromise – for the good of the state and to restore trust in our political system.
Robert Hortle does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.
In early June, the Labor opposition moved a motion of no confidence in the Liberal Premier, Jeremy Rockliff. The motion passed with the support of three crossbench MPs, the Greens, and a casting vote from the speaker.
Rockliff refused to step aside and Opposition Leader Dean Winter ruled out doing a deal with the Greens to govern in minority, which left the Governor with no choice but to call an election just 16 months after the last.
Some Tasmanians would be forgiven for feeling a bit of election fatigue. On top of the March 2024 state election, there was the federal election on May 3, voting for three legislative council seats on May 24 and now this poll.
Trudging along the campaign trail
The vibe of the campaign has veered wildly between pedestrian and acrimonious.
Candidates have struggled to connect with a disgruntled public, and a combination of the stadium saga and political mudslinging have distracted from Tasmania’s serious challenges.
Despite the election being brought about by Labor’s no confidence motion, the party seemed curiously unprepared. Its candidate announcements were slow and disjointed, and red corflutes have been greatly outnumbered by blue.
Labor’s campaign has picked up some momentum in recent weeks by following the federal party’s playbook of making big health policy announcements.
In contrast to Labor, the Liberals hit the ground running with a slew of candidate announcements. They have presented themselves as the only party with a realistic chance of winning a majority, and sought to frame Labor’s Dean Winter as a power-hungry wrecker. They have also campaigned hard on health, attempting to neutralise Labor’s traditional strength in this area.
A bevy of former federal candidates are running, which could lead to changes in personnel, if not a big shift in the distribution of seats in parliament. Ones to watch include:
Liberal’s Bridget Archer (who lost her seat of Bass in May) and Gavin Pearce (retired Braddon MP)
Labor’s Brian Mitchell, the Lyons MP who stood aside for Rebecca White
Peter George, the anti-salmon farming independent in Franklin
and Vanessa Bleyer, a two-time Greens Senate candidate running in Braddon.
The Nationals are also in the mix following the latest in a series of Tasmanian “reboots” over the past few decades. Their candidate list includes former Jacqui Lambie Network and Liberal MPs, which could create a tense and chaotic party room if they win seats.
Disappointingly, both Labor and Liberal leaders have repeatedly demanded the other side stop playing “political games”, while merrily engaging in skulduggery of their own.
Labor was indignant when the Liberals challenged the eligibility of one of their star candidates, unionist Jessica Munday.
A few days later, Rockliff was righteously outraged when Labor grandee and former premier Paul Lennon registered the business “Tasinsure” – the name of the Liberals’ proposed state-owned insurance company.
Subpar signage
It’s fair to say no one has covered themselves in glory here.
The Liberals went with “Let’s finish the job for Tasmania”. I’m sure this isn’t meant to be read as a threat, but I can’t help but hear it in Alan Rickman’s voice.
Even if we leave aside the (unintended?) menacing implications, the slogan encourages voters to wonder why the job hasn’t been finished in the previous 11 years of Liberal government.
Labor is using “A Fresh Start for Tasmania”: a cliche, but serviceably simple.
The problem is, they stretched the slogan to the point of collapse by applying it to all of their policy headings. This meant that we ended up enduring “a fresh start for cost of living relief”, “a fresh start for our society”, and so on.
A special mention to Labor’s social media ads, which had all the gravitas of a toddler demanding their turn on the playground swings.
The Greens didn’t limit themselves to one slogan. Instead, they used various taglines on the theme of “the mess made by the major parties”, or simply stated their main policy pillars: stopping the stadium, investing in health and housing, protecting the environment, and stopping privatisation.
There were also some questionable offerings from the menagerie of independents. Surely the voters are entitled to expect more from their MPs than the “familiar face in Clark” offered by former Liberal MP Elise Archer? And as an experienced journalist, I’m sure Peter George could have done better than the derivative “Time for Change”.
What can we expect?
What will Tasmanians end up with after a campaign that has been less sound and fury and more white noise and niggle?
It looks like more of the same.
Polling shows that the two major parties are on the nose, particularly with younger voters. Labor and Liberal are fairly aligned on some of the headline issues that divide the electorate, including the stadium and salmon farming.
All this points to no party winning a majority of the 35 seats. If this happens, the convention is that the Governor gives the party with the most seats the first crack at cobbling together enough support from the crossbench to form a minority government.
Minority governments can come in lots of different shapes and sizes, from loose “confidence and supply” agreements to more formal power-sharing coalitions.
If the party with the most seats fails to form government, the Governor would typically let the second-largest party try.
Both the Liberals and Labor will face big challenges if they are given the opportunity to form minority government.
The Liberal Party has its nose ahead in most polls. However, several of the crossbench MPs the previous Liberal government relied on for support voted in favour of the no confidence motion in Rockliff.
Most of these MPs are likely to be re-elected, and will be wary of doing deals that essentially put in place the same government that they recently helped to bring down.
Labor have backed themselves into a corner by repeatedly ruling out working with the Greens. This would leave them needing to negotiate with a diverse array of crossbench MPs. Depending on the final distribution of seats, this might not secure them enough votes on the floor of parliament.
If – as seems likely – Tasmania ends up with another hung parliament, it will fall to our MPs to move beyond point scoring and gamesmanship. We urgently need budget repair, alongside ambitious reforms in health, housing, education, sustainability and productivity.
Here’s hoping that the next government is willing to collaborate and compromise – for the good of the state and to restore trust in our political system.
Robert Hortle does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.
PUERTO PLATA, Dominican Republic – The Mercy-class hospital ship USNS Comfort (T-AH 20) arrived in Puerto Plata, Dominican Republic for the fourth mission stop of Continuing Promise 2025 (CP25), July 15, 2025.
16 July 2025
From Petty Officer 2nd Class Alfredo Marron – U.S. Naval Forces Southern Command / U.S. 4th Fleet
“It is an honor and a privilege to leave our footprint in the Dominican Republic,” said Capt. Grace Key, commanding officer, Medical Treatment Facility aboard Comfort. “From the medical site and community relations, to the repairs the Seabees will make to the facilities, we will strengthen our partnership with the people of the Dominican Republic.”
Comfort and Dominican medical professionals will work side-by-side to provide medical care to the community of Puerto Plata. By working together and exchanging knowledge, the Dominican Republic and partners in the region can maintain regional stability as a team and work collectively in the event of natural disasters, medical catastrophes, or regional conflict.
“Throughout Continuing Promise, the clinical staff and personnel have welcomed us with open arms at every port visit,” said Lt. j.g. Althea Caraballo, the Puerto Plata medical site assistant officer in charge. “I am excited to be in Dominican Republic and very inspired by our partnerships and the opportunity to expand our professional and cultural horizons.”
Medical care during the Dominican Republic mission stop will be provided at Polideportivo, Puerto Plata and will include services in adult medicine, pediatrics, dental, optometry, women’s health, dermatology, cardiology, physical therapy, nutrition, preventative medicine, radiology, and pharmacy.
“This mission is a valuable opportunity to deepen cooperation between the United States and the Dominican Republic, particularly in the areas of security and humanitarian assistance,” said Lt. Col. Lowell D. Krusinger, senior defense official/defense attaché, U.S. Embassy Santo Domingo. “We’re proud to see U.S. and Dominican medical professionals working shoulder to shoulder aboard the USNS Comfort, including seven Dominican providers who are lending their expertise to benefit communities across six countries on the ship’s tour.”
Additionally, Comfort’s medical personnel will conduct subject matter expert exchanges (SMEE) with Dominican health professionals, to include tactical combat casualty care (TCCC) and round tables on preventative medicine, nutrition, and wound care. U.S. Army veterinarians embarked aboard Comfort from the 248th Medical Detachment Veterinary Service Support will conduct a dairy farming SMEE and K-9 tactical causality combat care.
This visit marks the sixth Continuing Promise visits the Dominican Republic and the fifth visit from Comfort. The last time Comfort visited the Dominican Republic was during Continuing Promise 2022, where the medical team treated 4,435 patients at sites in Santo Domingo and Azua, as well as conducted 87 surgeries aboard Comfort.
“I am excited to be here as we bring the same service offered to other countries to my home country,” said Dominican Republic 1st Lt. Luiz Rameriez, doctor of obstetrics and gynecology embarked aboard Comfort. “I am excited for the U.S. service members to tour our facilities and to see how we can improve and impact the overall health of the population.”
The CP25 mission in Dominican Republic also includes a Humanitarian Assistance and Disaster Relief (HA/DR) SMEE and a table-top exercise with local responders. Sailors aboard Comfort will also support the region through a variety of community relations events to include a beach clean-up and performances from the U.S. Fleet Forces band “Unchartered Waters.”
“This mission is a blessing, there are people not as fortunate to receive advanced medical care and we are able to provide it while we are here,” said Hospitalman Joseclaudia Garcia, a food service associate assigned to Comfort with Dominican heritage. “The Dominican people will really feel very appreciated that we get to share these engagements with them. I am very excited my fellow service members will get to experience my culture first hand!”
CP25 marks the 16th mission to the region since 2007 and the eighth aboard Comfort. The mission will foster goodwill, strengthen existing partnerships with partner nations, and encourage the establishment of new partnerships among countries, non-federal entities, and international organizations.
U.S. Naval Forces Southern Command/U.S. 4th Fleet supports U.S. Southern Command’s joint and combined military operations by employing maritime forces in cooperative maritime security operations to maintain access, enhance interoperability, and build enduring partnerships in order to enhance regional security and promote peace, stability and prosperity in the Caribbean, Central and South American region.
Learn more about USNAVSOUTH/4th Fleet news and photos, visit facebook.com/NAVSOUS4THFLT, https://www.fourthfleet.navy.mil/, X – @ NAVSOUS4THFLT, and https://www.linkedin.com/company/u-s-naval-forces-southern-command-u-s-4th-fleet
overnor Kathy Hochul today announced that 11 New York State Department of Environmental Conservation Forest Rangers and Lands and Forests staff are traveling to Colorado to support ongoing efforts to contain wildland fires raging in the state. Wildland firefighters were deployed this week for an anticipated two-week assignment.
“New Yorkers are always ready to volunteer when other states need our help,” Governor Hochul said. “We’re fortunate to have well-trained incident command and wildland firefighting experts in New York State to lend emergency assistance and support. I thank all the responders working the fires for their efforts and look forward to their safe return.”
New York State Department of Environmental Conservation Commissioner Amanda Lefton said, “DEC firefighters are among the most highly trained wildland firefighters in the country. Along with expert firefighting, Forest Rangers are trained to support and lead Incident Command during coordinated wildfire response missions. In addition, our expert Lands and Forest staff will support efforts to contain these raging wildfires to ensure safe operations for the response crews and the people of Colorado affected by these wildfires. I know our staff will make DEC proud.”
New York State Health Commissioner Dr. James McDonald said, “Wildfire smoke is particularly concerning for those most vulnerable to negative health impacts from unhealthy air quality including those with heart conditions or lung disease, as well as the very young, those over 65 years old, and pregnant people. We are grateful to the New York State Department of Environmental Conservation firefighters and other responders working to put out fires in Colorado, reduce the smoke in those areas and protect public health.”
Six Forest Rangers and four Lands and Forests staff members are assigned to the Pagosa Ranger District on the San Juan National Forest in Pagosa Springs. They will support the initial attack during a period of high fire danger and expected lightning. One Forest Ranger is assigned to the South Rim Fire in Gunnison National Park, which has burned more than 3,600 acres of land and is zero percent contained.
New York State regularly deploys highly trained wildland firefighters to help battle fires and support incident response in other states and nations as part of interstate and international firefighting compacts.
In 1979, New York sent its first firefighting crew to assist western states with large wildfires. On average, one or two crews are deployed as needed to assist with wildfires every year. In addition to helping contain wildfires and minimize damage to people and property, these crews gain valuable experience that will be utilized fighting wildfires and managing incidents in New York State.
All personnel and travel expenses for the New York crews are either paid directly by the U.S. Forest Service or reimbursed to New York State based on a mutual aid agreement between states and federal land agencies.
New York State recently issued Air Quality Health Advisories due to the impact of smoke from wildfires in Canada. These conditions are especially dangerous for vulnerable New Yorkers with medical conditions such as asthma and/or heart disease. DEC and the State Department of Health (DOH) issue Air Quality Health Advisories when DEC meteorologists predict levels of pollution, either ozone or fine particulate matter, are expected to exceed an Air Quality Index (AQI) value of 100. Recent advisories are due to fine particulate matter carried by the wind from the wildfires. Ozone production can also be enhanced by the presence of wildfire smoke. The AQI was created as an easy way to correlate levels of different pollutants to one scale, with a higher AQI value indicating a greater health concern.
The latest AQI Forecast and current advisories in effect can be viewed here.
Central mixed woods, commonly found in Gipsy-Gordon Wildland Provincial Park (Credit: Monica Dahl)
Northeastern Alberta contains trees, lakes and wetlands that are critical habitats for many species of birds, fish and other animals. From songbirds to bumble bees to big game, a variety of large and small wildlife call it home. This area also supports businesses and industries that are vital to the province’s growing economy and is used by local Indigenous communities, trappers and others.
The new Gipsy-Gordon Wildland Provincial Park will help protect over 150,000 more acres of Alberta wilderness while supporting working landscapes and responsible conservation. Located southeast of Fort McMurray near the Alberta-Saskatchewan border, the new park will preserve breathtaking landscapes and protect local wildlife for future generations.
“This park will help protect our forests, preserve important habitat for wildlife and provide recreation opportunities for Albertans, all while supporting the exercise of Treaty rights by Indigenous Peoples.”
“The Fort McMurray area is full of vibrant landscapes and diverse wildlife. I want to thank Minister Schulz and Environment and Protected Areas for the extensive consultation that went into establishing this expanded wildland park, which will protect our environment, grow our economy and strengthen our community for generations to come.”
The Gipsy-Gordon Wildland Provincial Park will help protect important habitats for threatened species and species of concern, like the yellow-banded bumble bee, and for species at risk like the olive-sided flycatcher as well. The park also supports traditional Indigenous activities, including the exercise of Treaty rights, as well as backcountry recreation including hunting, fishing, trapping and motorized recreation on designated trails.
The total size of the new park is 186,739 hectares. It replaces the previous Gipsy Lake Wildland Provincial Park, which was about 35,000 hectares and is included within the new Gipsy Gordon Wildland Provincial Park.
Wildland provincial parks conserve Alberta’s rich natural heritage while offering opportunities for backcountry recreation on lands that are relatively undisturbed. There are 34 wildland provincial parks located throughout the province.
Quick facts:
The Gipsy-Gordon Wildland Provincial Park was originally established as a conservation area under the Lower Athabasca Regional Plan, and sets the stage for growth, vibrant communities and a healthy environment within the region over the next 50 years.
Formal designation as an established protected area enables the Provincial Parks Act to support long-term management of the area, contributing to Alberta’s efforts on conservation of land and water.
New industrial and commercial land disturbances, including oil sands and mineral development, are prohibited in the park, except where existing agreements continue to be honoured in accordance with the Lower Athabasca Regional Plan.
Forestry is prohibited, except for management of wildfire, insects and disease, in accordance with the Lower Athabasca Regional Plan.
The Gipsy-Gordon Wildland Provincial Park includes ranges for 28 provincially or federally designated species at risk, including 18 bird species, one fish species, one amphibian species, five invertebrates, and five mammals.
Source: The Conversation – USA – By Robin R. Murphy, Professor of Computer Science and Engineering, Texas A&M University
The landscape In the aftermath of a flood makes it challenging to spot victims.AP Photo/Gerald Herbert
For search and rescue, AI is not more accurate than humans, but it is far faster.
Recent successes in applying computer vision and machine learning to drone imagery for rapidly determining building and road damage after hurricanes or shifting wildfire lines suggest that artificial intelligence could be valuable in searching for missing persons after a flood.
Machine learning systems typically take less than one second to scan a high-resolution image from a drone versus one to three minutes for a person. Plus, drones often produce more imagery to view than is humanly possible in the critical first hours of a search when survivors may still be alive.
Unfortunately, today’s AI systems are not up to the task.
We are robotics reseacherswho study the use of drones in disasters. Our experiences searching for victims of flooding and numerous other events show that current implementations of AI fall short.
However, the technology can play a role in searching for flood victims. The key is AI-human collaboration.
Drones have become standard equipment for first responders, but floods pose unique challenges. Eric Smalley, CC BY-ND
AI’s potential
Searching for flood victims is a type of wilderness search and rescue that presents unique challenges. The goal for machine learning scientists is to rank which images have signs of victims and indicate where in those images search-and-rescue personnel should focus. If the responder sees signs of a victim, they pass the GPS location in the image to search teams in the field to check.
The ranking is done by a classifier, which is an algorithm that learns to identify similar instances of objects – cats, cars, trees – from training data in order to recognize those objects in new images. For example, in a search-and-rescue context, a classifier would spot instances of human activity such as garbage or backpacks to pass to wilderness search-and-rescue teams, or even identify the missing person themselves.
A classifier is needed because of the sheer volume of imagery that drones can produce. For example, a single 20-minute flight can produce over 800 high-resolution images. If there are 10 flights – a small number – there would be over 8,000 images. If a responder spends only 10 seconds looking at each image, it would take over 22 hours of effort. Even if the task is divided among a group of “squinters,” humans tend to miss areas of images and show cognitive fatigue.
The ideal solution is an AI system that scans the entire image, prioritizes images that have the strongest signs of victims, and highlights the area of the image for a responder to inspect. It could also decide whether the location should be flagged for special attention by search-and-rescue crews.
Where AI falls short
While this seems to be a perfect opportunity for computer vision and machine learning, modern systems have a high error rate. If the system is programmed to overestimate the number of candidate locations in hopes of not missing any victims, it will likely produce too many false candidates. That would mean overloading squinters or, worse, the search-and-rescue teams, which would have to navigate through debris and muck to check the candidate locations.
Developing computer vision and machine learning systems for finding flood victims is difficult for three reasons.
One is that while existing computer vision systems are certainly capable of identifying people visible in aerial imagery, the visual indicators of a flood victim are often very different compared with those for a lost hiker or fugitive. Flood victims are often obscured, camouflaged, entangled in debris or submerged in water. These visual challenges increase the possibility that existing classifiers will miss victims.
Second, machine learning requires training data, but there are no datasets of aerial imagery where humans are tangled in debris, covered in mud and not in normal postures. This lack also increases the possibility of errors in classification.
Third, many of the drone images often captured by searchers are oblique views, rather than looking straight down. This means the GPS location of a candidate area is not the same as the GPS location of the drone. It is possible to compute the GPS location if the drone’s altitude and camera angle are known, but unfortunately those attributes rarely are. The imprecise GPS location means teams have to spend extra time searching.
How AI can help
Fortunately, with humans and AI working together, search-and-rescue teams can successfully use existing systems to help narrow down and prioritize imagery for further inspection.
In the case of flooding, human remains may be tangled among vegetation and debris. Therefore, a system could identify clumps of debris big enough to contain remains. A common search strategy is to identify the GPS locations of where flotsam has gathered, because victims may be part of these same deposits.
A machine learning algorithm identified piles of debris large enough to contain bodies in an aerial image of a flood aftermath. Center for Robot-Assisted Search and Rescue and University of Maryland
An AI classifier could find debris commonly associated with remains, such as artificial colors and construction debris with straight lines or 90-degree corners. Responders find these signs as they systematically walk the riverbanks and flood plains, but a classifier could help prioritize areas in the first few hours and days, when there may be survivors, and later could confirm that teams didn’t miss any areas of interest as they navigated the difficult landscape on foot.
Robin R. Murphy receives funding from the National Science Foundation. She is affiliated with the Center for Robot-Assisted Search and Rescue.
Thomas Manzini is affiliated with the Center for Robot Assisted Search & Rescue (CRASAR), and his work is funded by the National Science Foundation’s AI Institute for Societal Decision Making (AI-SDM).
Source: United States House of Representatives – Congressman Mark Pocan (2nd District of Wisconsin)
WASHINGTON, DC– Today, U.S. Representative Mark Pocan (WI-02)released the following statement after Secretary of Health and Human Services Robert F. Kennedy Jr. promised to discuss at a House Appropriations Committee hearing on May 14, 2025. At that time, Kennedy stated that he was ‘happy to talk about it’ further with Pocan. Since then, multiple attempts to reach out to your office have gone unanswered.
“This hotline has already saved countless lives. Unfortunately, in June, Secretary Kennedy’s agency announced plans to terminate the dedicated LGBTQ+ lifeline by July 17, 2025. Since that announcement, my office has reached out multiple times to request a meeting with him to discuss this proposed plan, based on his prior agreement to speak, but we have been unable to get a response. This shortsighted and dangerous plan undermines 988’s ability to provide tailored support for a population with a higher risk of suicide and will have lethal consequences if enacted. I urge the Secretary meet expeditiously to discuss this further.”
The Province, in collaboration with partner First Nations, has protected 1,450 hectares of critical ecosystems in the Great Bear Sea.
“The Great Bear Sea is home to some of the richest ecosystems in the world, and together with First Nations, we’re conserving these important areas that support biodiversity, community well-being and economic prosperity for coastal communities,” said Randene Neill, Minister of Water, Land and Resource Stewardship. “In doing so, we continue our partnership with nature. I thank the Gitga’at First Nation and Gitxaała Nation for their efforts in making co-governance possible.”
This newest wildlife management area (WMA) covers the north coast’s Kishkosh and Kitkiata inlets, southeast of Prince Rupert. It includes habitat for humpback whales, wild salmon and overwintering and migratory seabirds and shorebirds, as well as eelgrass meadows and kelp beds that help support these key species. The area also includes ecologically and culturally important sites and supports food security for First Nations and coastal communities, as the inlets are also home to groundfish, bivalves, crabs and prawns.
“The Marine Protected Area Network is designed for and by the people of the coast to protect and conserve these important resources to grow our local economies, enhance culture and biodiversity, and develop the tools to become more self-reliant,” said Christine Smith Martin, CEO, Coastal First Nations-Great Bear Initiative. “Coastal First Nations-Great Bear Initiative is honoured to support its member Nations in the establishment of their marine protected areas. These marine protected areas are integral to advancing a healthy and sustainable future for the coast, including abundant fisheries and healthy marine ecosystems that support the needs of all British Columbians.”
The WMA advances progress of B.C.’s first Coastal Marine Strategy, released in July 2024, and fulfils a recommendation from the 2023 Marine Protected Area Network Action Plan for the Great Bear Sea. Endorsed by 15 First Nations, Canada and the Province, the action plan recommended conservation objectives for marine protected areas in the Northern Shelf Bioregion and links together efforts to manage biodiverse environments from northern Vancouver Island to the southern Alaska border.
Next steps for the partner First Nations and the Province include co-developing a management plan for the WMA. Together, they will manage the area collaboratively and work to maintain the conservation objectives for the area, while balancing commercial and public use. Further public and stakeholder engagement is anticipated during the management planning phase.
Quotes:
Tamara Davidson, Minister of Environment and Parks and MLA for North Coast-Haida Gwaii –
“B.C.’s beautiful coastlines are part of what makes this land so special, and I am blessed to live near one of the most unique, the Great Bear Sea. Through meaningful partnership with the Gitga’at First Nation and Gitxaała Nation, this Wildlife Management Area will chart a path forward for stewardship of these waters, ensuring humpback whales, salmon and numerous other fish and birds can continue to thrive now and into the future.”
Christine Boyle, Minister of Indigenous Relations and Reconciliation –
“This partnership is helping to protect marine ecosystems, cultural sites and food security in the vital Great Bear Sea region. Together with the Gitga’at First Nation and Gitxaała Nations who have stewarded these areas since time immemorial, we are collaboratively working to ensure the rich ecological and cultural legacies of these important areas remain for future generations.”
Quick Facts:
Conservation and management of fish, wildlife and their habitats are the priority in a WMA management plan, which may also support limited or modified resource-based activities if compatible with conservation objectives.
Public and stakeholder engagement in the planning phase of the Marine Protected Area Network Action Plan included direct input from representatives of 17 sectors, including coastal forestry, commercial tourism, aquaculture, and local government and members of the public, from 2015-22.
The designation of this WMA does not affect any existing approvals or authorizations.
Learn More:
To learn more about the work of Coastal First Nations, visit: https://coastalfirstnations.ca
To read about the importance of wildlife management areas, visit: https://www2.gov.bc.ca/gov/content/environment/plants-animals-ecosystems/wildlife/wildlife-habitats/conservation-lands/wma
To find out about Marine Protected Area Network partners’ plan to protect British Columbia’s North Coast, visit: https://news.gov.bc.ca/stories/marine-protected-area-network-partners-endorse-plan-to-protect-british-columbias-north-coast
To get a summary of MPA Network Action Plan, visit: https://www.dfo-mpo.gc.ca/oceans/publications/nsb-mpan-ramp-bpn/index-eng.html
Fishing in Saskatchewan this summer? Know your limit and stay within it!
“Our province is celebrated by both residents and visitors for its breathtaking waters and world-class fishing opportunities,” Environment Minister Travis Keisig said. “By respecting catch limits, anglers play a vital role in supporting Saskatchewan’s efforts to maintain healthy, thriving fish populations for generations to come.”
Before hitting the lake, anyone planning on fishing should check out the 2025-26 Anglers Guide to review rules, tools and tips to make the most of their experience. The guide is available online at saskatchewan.ca/fishing or wherever fishing licences are sold.
Remember: Saskatchewan angling regulations set daily limits for the maximum amount and size of fish that can be caught and retained in most waters. This includes all fish that are caught, eaten, given away, stored or transported – whether at your campsite, while travelling or held by someone else on your behalf.
Most provincial Crown waters in Saskatchewan follow general fishing limits. However, certain waters have special regulations that may further restrict what you can catch or how you fish. If you are angling in one of these areas, you must follow the specific rules that apply.
For water body maps, lists of fish species and special regulations, visit the Hunting, Angling and Biodiversity Information of Saskatchewan page at HABISask.
For more information about fishing in Saskatchewan, visit: saskatchewan.ca/fishing.
Source: United States House of Representatives – Representative Sean Casten (IL-06)
July 16, 2025
Washington, D.C. — U.S. Congressman Sean Casten (IL-06) led 16 House Democrats in submitting a Freedom of Information Act (FOIA) request for details of Environmental Protection Agency (EPA) Administrator Lee Zeldin’s efforts to slow-walk the promulgation and enforcement of public health standards.
“At your January 16 confirmation hearing before the Senate Environment and Public Works Committee, you pledged to be ‘transparent and accountable to Congress and the public,’” the lawmakers wrote. “In keeping with that commitment, please provide us with copies of the records requested below. Your response will help address our concerns about the Environmental Protection Agency’s (EPA) implementation of the President’s various executive orders and other actions.”
In their FOIA request, the lawmakers have demanded information on, among other things:
The interest groups that Zeldin and other senior officials have met with and the lobbying documents they have provided;
EPA’s current pace of inspections and enforcement, key metrics in assessing how the agency is fulfilling its responsibility of enforcing environmental laws and regulations;
Any actual or proposed actions to expedite certain permits pursuant to the “emergency authority” of an executive order;
The number of EPA’s public servants who have left or are leaving;
The job classifications of the individuals installed in Zeldin’s front office; and
The specific statutory provisions that authorize EPA to waive or modify otherwise-applicable requirements under existing federal laws, in following the president’s executive orders.
In addition to Rep. Casten, the request was signed by Reps. Jamie Raskin, Summer Lee, Lloyd Doggett, Delia Ramirez, Cleo Fields, Rashida Tlaib, Jan Schakowsky, Pramila Jayapal, Jesús G. “Chuy” García, Mike Quigley, Mark Takano, Sarah Elfreth, Troy Carter, Steve Cohen, and Jim McGovern.
A copy of the FOIA request can be found here. Text of the request is below.
Dear Administrator Zeldin,
At your January 16 confirmation hearing before the Senate Environment and Public Works Committee, you pledged to be “transparent and accountable to Congress and the public.” In keeping with that commitment, please provide us with copies of the records requested below. Your response will help address our concerns about the Environmental Protection Agency’s (EPA) implementation of the President’s various executive orders and other actions. Freedom of Information Act Request Our specific requests for EPA records listed below are submitted pursuant to the Freedom of Information Act (FOIA), 5 USC 552. For purposes of this request, “records” include reports, memoranda, power points, correspondence, or other responsive documents. At this time, we are not seeking copies of (a) emails that transmit, discuss or acknowledge receipt of the records requested; (b) draft or marked up versions of any document; (c) press clippings or any record of media coverage; or (d) any information that is exempt from disclosure under 42 USC 552(b), provided that EPA identifies the specific exemptions in that paragraph that justify withholding records responsive to this request.
We expect EPA to waive any fees associated with your response to our request, as disclosure will contribute significantly to public understanding of the operations and activities of a government agency and does not serve any private commercial interest.
A. Calendar for EPA Administrator and Other Political Appointees
Former EPA Administrator William Ruckelshaus released the so-called “fishbowl” memo in May 1983, which included a promise to make the meeting calendars for the Administrator, Deputy Administrator, Assistant, Associate and Regional Administrators, and Staff Office Directors publicly available by the end of each week.
EPA provides online access to “simplified meeting calendars” for the Administrator, Regional Administrators, and other high-ranking officials at https://www.epa.gov/senior-leaders-calendars, but advises that a FOIA request is required to obtain the “official record” of such meetings. Please provide copies of the official record of all meetings between January 20 and July 15, 2025, for the Administrator, all Regional Administrators, and for Barry Breen, Kimberly Patrick, Maureen Gwinn, Chad McIntosh, Sarah Dunham, Gregg Tremi, Rick Keigwin, Jeffrey A. Hall, James Payne, Rafael DeLeon, and Peggy Browne.
Please provide a copy of any analyses, power point presentations, charts, reports, letters, or other documents provided to the Office of the Administrator that were prepared by, or on behalf of, any individual or organization identified in the official record of your meeting calendar. You may exclude any confidential briefing materials prepared by any EPA employee.
B. EPA Workforce
The numerous announcements regarding the number of EPA employees terminated, rehired, retiring, accepting buyouts, or subject to actual or planned reductions in staffing have left Congress and the public confused about the actual size of EPA’s workforce and its capacity to carry out its mission.
For each office, program or region that appears on EPA’s website at https://www.epa.gov/aboutepa/epa-organization-chart, please provide records that identify the total number of full time-equivalents (FTE) on EPA’s payroll as of July 15, 2025.
For each office, program or region, please provide records that identify the number of FTE’s who:
are on administrative leave because they have accepted buyouts and are expected to leave EPA on or before September 30, 2025;
have been placed on administrative for any other reason;
are still employed but have notified EPA of their intention to retire on or before September 30, 2025;
are still employed, but will be terminated on or before September 30, 2025, due to planned reductions in enforce or the elimination of specific functions or programs; and
have been hired since January 20, 2025, excluding any employees who were rehired after they were mistakenly terminated.
Please provide records that identify the number, name, and job classifications of individuals hired by the Office of the Administrator since January 20, 2025.
C. EPA Enforcement Actions
Federal environmental law directs EPA to notify sources violating permit or pollution control standards, as well as the relevant state agencies, and authorizes (and in some cases requires) EPA enforcement actions if needed to bring violators into compliance.
Please provide copies of the following records:
Notices of noncompliance issued by EPA from January 1, 2024, to the present, including notices of violation, findings of violation, or warning letters;
Civil complaints filed in federal court since January 1, 2023, for any cases that have not yet been resolved through litigation or an appropriate consent decree;
Inspection reports completed since January 1, 2024;
Information requests issued since January 1, 2024; and
Administrative penalty orders that are still pending, i.e., have not been resolved through consent orders.
D. EPA Reports Required By Executive Order
The EPA and other federal agencies are required to report regularly on the actions they have taken to implement President Trump’s various executive orders. We request copies of the reports or records itemized below, along with any records of the analyses that EPA relied upon to prepare them.
Executive Order 14156: The Clean Water Act authorizes the Army Corps of Engineers to expedite the permitting of projects that may pollute wetlands or other waters during emergency situations that result in “…an unacceptable hazard to life, a significant loss of property, or an immediate, unforeseen, and significant economic hardship…” (33 C.F.R. 325.2(e)). Executive Order (EO) 14156, “Declaring a National Energy Emergency,” directs the EPA and other agencies to exercise this emergency permitting authority “…to the fullest extent possible…to facilitate the Nation’s energy supply”; to identify actual, planned or potential actions to implement this directive within 30 days (by February 19), and every thirty days thereafter to report on their status as well as any new opportunities to exercise this emergency authority.
Please provide a copy of:
all reports that EPA has prepared and submitted in response to EO 14156; and
any actual or potential actions to expedite permits pursuant to the emergency authority cited in EO 14156.
Executive Order 14154: EO 14154, “Unleashing American Energy,” requires EPA and other Agencies to suspend, revise, or rescind “…all existing regulations, orders, guidance documents, policies, settlements, consent orders and any other actions…” that impose an undue burden on the “development and use” of fossil fuels, critical minerals, and other energy sources that do not include wind, solar power, or electric vehicles. Agencies must notify the Attorney General of any actions taken to implement this directive and within 30 days report to OMB as to whether reducing or eliminating enforcement could help to implement the President’s policy goals.
Please provide a copy of any record of:
the EPA actions reported to the Attorney General under EO 14154;
any report or other document provided to OMB regarding the actual or potential exercise of its enforcement authority under EO 14154; and
for any federal law implemented in whole or in part by EPA, any records that interpret the specific statutory provisions that authorize the EPA to waive or modify otherwise applicable requirements.
any guidance, memoranda, or policy issued by EPA that establish or explain the criteria for determing when a regulation, order, guidance, policy, settlement, consent order or “any other action” will pose an “undue burden” on the development or use of fossil fuels or critical minerals.
Please feel free to contact me directly if you have questions about the scope of this request or wish to discuss a schedule for response. Alternatively, your staff may contact Nikki Roy in my office (Nikki.Roy@mail.house.gov). Thank you for your attention to our request. We look forward to your reply.
The Rhode Island Department of Health (RIDOH) and Rhode Island Department of Environmental Management (DEM) have lifted the recommendation to avoid recreational activities at Wilson Reservoir in Burrillville. The harmful algae bloom (HAB) caused by blue-green algae (cyanobacteria) has cleared. Recent testing shows algae levels are low and no toxins were detected, meeting safety guidelines.
RIDOH and RIDEM are extending the advisory and advising people to avoid contact with all Roger Williams Park Ponds in Providence due to a confirmed cyanobacteria bloom. Cyanobacteria, also known as blue-green algae, are naturally present in bodies of water, but under certain environmental conditions will form harmful algae blooms?(HABs). All recreation, including swimming, fishing, boating and kayaking, is high risk to health and recommended to be avoided at this location. HABs can produce toxins which can be harmful to humans and animals.
Use caution in all areas of Roger William Park Ponds as cyanobacteria HABs can move locations in ponds and lakes. People should not drink untreated water or eat fish from affected waterbodies.?Pet owners should not allow pets to drink or swim in this water.?
Skin contact with water containing toxin-producing cyanobacteria can cause irritation of the skin, nose, eyes, and throat. Symptoms from ingestion of water can include stomachache, diarrhea, vomiting, and nausea. Less common symptoms can include dizziness, headache, fever, liver damage, and nervous system damage. Young children and pets are at higher risk for health effects associated with cyanobacteria HABs because they are more likely to swallow water when they are in or around bodies of water. People who have had contact with these ponds and experience those symptoms should contact their healthcare provider.?
If you or your pet come into contact with a cyanobacteria HAB:
– Rinse your skin with clean water right away.
– Shower and wash your clothes when you get home.
– If your pet was exposed, wash it with clean water immediately and don’t let it lick algae from its fur.
– Call a vet if your pet shows signs of illness like tiredness, no eating, vomiting, diarrhea or other symptoms within a day.
– If you feel sick after contact, call a healthcare provider.
Affected waters might look bright to dark green, with thick algae floating on the surface. It may resemble green paint, pea soup, or green cottage cheese. If you see water like this, people and pets should avoid contact with the water.
To report suspected cyanobacteria blooms, contact DEM’s Office of Water Resources at 401-222-4700 Press 6 or?DEM.OWRCyano@dem.ri.gov?and if possible, send a photograph of the reported algae bloom. For more information and the Freshwater Cyanobacteria Tracker Dashboard that lists current advisories and data, visit:?www.dem.ri.gov/bluegreen
From your phone to your sponge, your toothbrush to your trolley handle, invisible armies of bacteria are lurking on the everyday objects you touch the most. Most of these microbes are harmless – some even helpful – but under the right conditions, a few can make you seriously ill.
But here’s the catch: some of the dirtiest items in your life are the ones you might least expect.
Here are some of the hidden bacteria magnets in your daily routine, and how simple hygiene tweaks can protect you from infection.
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Shopping trolley handles
Shopping trolleys are handled by dozens of people each day, yet they’re rarely sanitised. That makes the handles a prime spot for germs, particularly the kind that spread illness.
One study in the US found that over 70% of shopping carts were contaminated with coliform bacteria, a group that includes strains like E. coli, often linked to faecal contamination. Another study found Klebsiella pneumoniae, Citrobacter freundii and Pseudomonas species on trolleys.
Protect yourself: Always sanitise trolley handles before use, especially since you’ll probably be handling food, your phone or touching your face.
Kitchen sponges
That sponge by your sink? It could be one of the dirtiest items in your home. Sponges are porous, damp and often come into contact with food: ideal conditions for bacteria to thrive.
After just two weeks, a sponge can harbour millions of bacteria, including coliforms linked to faecal contamination, according to the NSF Household Germ Study and research on faecal coliforms.
Protect yourself: Disinfect your sponge weekly by microwaving it, soaking it in vinegar, or running it through the dishwasher. Replace it if it smells – even after cleaning. Use different sponges for different tasks (for example, one for dishes, another for cleaning up after raw meat).
Chopping boards
Chopping boards can trap bacteria in grooves left by knife cuts. Salmonella and E. coli can survive for hours on dry surfaces and pose a risk if boards aren’t cleaned properly.
Protect yourself: Use separate boards for raw meat and vegetables. Wash thoroughly with hot, soapy water, rinse well and dry completely. Replace boards that develop deep grooves.
Tea towels
Reusable kitchen towels quickly become germ magnets. You use them to dry hands, wipe surfaces and clean up spills – often without washing them often enough.
Research shows that E. coli and salmonella can live on cloth towels for hours.
Protect yourself: Use paper towels when possible, or separate cloth towels for different jobs. Wash towels regularly in hot water with bleach or disinfectant.
Mobile phones
Phones go everywhere with us – including bathrooms – and we touch them constantly. Their warmth and frequent handling make them ideal for bacterial contamination.
Research shows phones can carry harmful bacteria, including Staphylococcus aureus.
Protect yourself: Avoid using your phone in bathrooms and wash your hands often. Clean it with a slightly damp microfibre cloth and mild soap. Avoid harsh chemicals or direct sprays.
Protect yourself: Store your toothbrush as far from the toilet as possible. Rinse it after each use, let it air-dry upright and replace it every three months – or sooner if worn.
Bathmats
Cloth bathmats absorb water after every shower, creating a warm, damp environment where bacteria and fungi can thrive.
Protect yourself: Hang your bathmat to dry after each use and wash it weekly in hot water. For a more hygienic option, consider switching to a wooden mat or a bath stone: a mat made from diatomaceous earth, which dries quickly and reduces microbial growth by eliminating lingering moisture.
Pet towels and toys
Pet towels and toys stay damp and come into contact with saliva, fur, urine and outdoor bacteria. According to the US national public health agency, the Centers for Disease Control and Prevention, pet toys can harbour E. coli, Staphylococcus aureus and Pseudomonas aeruginosa.
Protect your pet (and yourself): Wash pet towels weekly with hot water and pet-safe detergent. Let toys air dry or use a dryer. Replace worn or damaged toys regularly.
Protect yourself: Bring your own tools to salons or ask how theirs are sterilised. Reputable salons will gladly explain their hygiene practices.
Airport security trays
Airport trays are handled by hundreds of people daily – and rarely cleaned. Research has found high levels of bacteria, including E. coli.
Protect yourself: After security, wash your hands or use sanitiser, especially before eating or touching your face.
Hotel TV remotes
Studies show hotel remote controls can be dirtier than toilet seats. They’re touched by many hands and rarely sanitised.
Common bacteria include E. coli, enterococcus and Staphylococcus aureus, including MRSA, according to research.
Protect yourself: Wipe the remote with antibacterial wipes when you arrive. Some travellers even put it in a plastic bag. Always wash your hands after using shared items.
Bacteria are everywhere, including on the items you use every day. You can’t avoid all germs, and most won’t make you sick. But with a few good habits, such as regular hand washing, cleaning and smart storage, you can help protect yourself and others.
Manal Mohammed does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.
The report is from Community Living Ontario, a non-profit organization that advocates for people who have an intellectual disability. It analyzes the results from a survey of 541 caregivers of students with disabilities about their experiences in Ontario schools.
Seclusion rooms are spaces where students can be kept in isolation and are not permitted to leave. Respondents to the Crisis in the Classroom report detailed incidents such as a student being secluded in a padded room, and a student being isolated in a small, closet-sized room.
While some school boards have developed guidance independently, there is currently no provincial policy on the use of seclusion rooms in Ontario. The Crisis in the Classroom report calls for clear and enforceable provincial regulations and policy around seclusion and restraint.
As an assistant professor of childhood and youth studies whose work examines constructions of the “problem child” and everyday injustices against disabled and racialized children, I believe it is critical for Ontario residents and policymakers to take stock of the negative effects of seclusion rooms and commit to alternatives.
I am unaffiliated with this report, but earlier in my career, I worked as as a one-on-one educational aide for students who attended a special education school that used seclusion.
Defining seclusion rooms
As education researchers Nadine Alice Bartlett and Taylor Floyd Ellis show, there is inconsistent terminology used to describe seclusion in schools, meaning that “the conditions under which such practices may be used in some instances are subjective,” and this “may contribute to a broad interpretation of what is deemed acceptable … in schools.”
As opposed to sensory rooms, which students can usually leave at will and are often designed with sensory tools available for self-regulation (like weighted toys), seclusion rooms serve to isolate or contain students.
In the Crisis in the Classroom report, 155 survey respondents said seclusion was used on their child in the 2022-23 school year, where seclusion means having a locked/blocked door (83 respondents) or being physically prevented from leaving (25 respondents).
Regular, sustained seclusion
Crisis in the Classroom notes that almost half of the students who had experienced seclusion were secluded on a regular basis, and more than 10 per cent were secluded for longer than three hours.
Research shows thatseclusion is often discriminatory along lines of race, class and ability. Reflecting these patterns identified in larger research, the report flags that students had a higher risk for being secluded if they came from households with lower parental education and income levels, and if they were labelled with a behavioural identification or a mild intellectual disability.
More than half of the caregivers surveyed had never given permission for their children to be secluded, and the report includes quotes from caregivers who were never told it was happening.
Response to perceived source of school violence
Seclusion rooms are commonly justified as necessary tools to keep teachers and (other) students safe.
I argue that turning to these alternatives, as the report recommends, is of dire importance. Investigations elsewhererepeatedly find that seclusion rooms are most frequently used for discipline or punishment — not for safety.
With adequate staffing and trauma-informed training, some schools have reduced or eliminated seclusion. (CDC/Unsplash)
This appears in the physical harm (for students and staff) that can occur in the physical restraints often required to force a student into a seclusion room. It also appears in the trauma that can ensue from seclusion (for students and staff) that increases the likelihood of future physical confrontations.
As the Crisis in the Classroom report and repeated exposés illustrate, a lack of policy does not mean seclusion isn’t happening in Ontario. It means seclusion is happening without provincial policy to regulate things like:
Which students can or cannot be secluded, for how long and how often;
What rooms for seclusion must look like and essential safety features;
What data staff must collect about why seclusion rooms are used;
When caregivers must be notified.
Without these guidelines, sometimes no one knows that seclusion is happening — much less in what spaces, for which students and why — beyond the students and school staff who may be traumatized by this practice.
Reports of violence in schools
Crisis in the Classroom notes that teachers’ unions have reported there’s been an increase in violence by students against teachers, often presented in a way that suggests that disabled students are a primary source of this violence. The report acknowledges that the Elementary Teachers’ Federation of Ontario has said that students with special education needs have been “chronically under-served by the government.”
News media coverage, the report suggests, “often takes the side of educational staff, and has an unfortunate habit of conflating disability with aggressive behaviour.”
The report points to the dire need to eliminate seclusion and turn towards possibilities that do not increase violence in schools and target disabled students.
The report’s recommendations echo calls from teachers’ unions for appropriate, adequate staffing in schools and increased professional development, especially trauma-informed training, that would support teachers’ work delivering supportive and inclusive education that keeps everyone safe.
And these recommendations make an urgent call for strong and clear policy on seclusion and restraint in Ontario that would severely limit it or eliminate it entirely — and at least track when it’s occurring.
Safer and more humane schools
This devastating report illustrates that we need policy on seclusion in Ontario now to protect everyone in our schools.
More humane practices will keep schools safer for everyone, including teachers and all students, especially students who are still being subjected to seclusion today.
Hunter Knight receives funding from the Social Sciences and Humanities Research Council.
Residents are being invited to Roker on Saturday 19 July for a Back to the Bandstand event and the first of three Sunderland Art Festivals.
From 11am to 4pm at Roker Park, visitors can immerse themselves in Tide and Terrain, an art exhibition curated by Amy South, featuring works inspired by nature’s textures and tides. Throughout the day, live art performances will bring fresh perspectives to familiar landscapes. This includes Stephanie Smith and Victoria Armstrong’s rhythmic Turn-Re-Turn, Phil Wardle’s thought-provoking poetry, and Sarah Dobbs’ evocative Body of Water on the beach.
Art lovers can also browse art stalls, join mindful workshops like Park Patterns: Nature Mandalas, craft with sea glass, and transform old photo frames through creative upcycling. Families can hop aboard the Little Locomotive Loop, try their hand at bowls, or sail miniature boats thanks to the Friends of Roker Park. Free portraits, storytelling sessions, live DJ sets, and creative challenges like the Rapid Draw Rally ensure there’s something for everyone.
As the day continues, the festival extends to Roker Beach from 12noon to 9pm, offering tote bag printing, jellyfish mobile-making, sand art, and chalk walks. Visitors can explore augmented reality artworks, join beach cleans with Durham Wildlife Trust, and discover coastal wildlife with Coast Sunderland. The evening brings collaborative community sand art and a seaside sculpture. This can be enjoyed to the soundtrack of a laid-back DJ set from Déja Brew who will keep the summer atmosphere going.
Councillor Beth Jones, Sunderland City Council’s Cabinet Member for Communities, Culture and Tourism, said: “This collaborative event is a celebration of Sunderland’s creativity, resilience and incredible sense of community. By bringing art, music and performance into the heart of Roker, we’re not only showcasing our local talent—we’re strengthening the social fabric of our city and making culture more accessible to everyone. From toddlers to grandparents, there’s truly something for all to enjoy. I’d like to encourage all residents to get down and be part of this fantastic day.”
Roberta Redecke, Marketing and Events Manager for Sunderland BID said: “Roker Park and Beach is the perfect setting to launch the first Sunderland Art Festival. It will bring creativity to the coast with a day full of colour, community, and imagination. From immersive art experiences to live music and mindful moments, this is about celebrating local talent and offering something genuinely unique for visitors of all ages at Sunderland’s Seafront. We hope this will become a regular event in the calendar to support the fantastic businesses we have within the Seafront BID.”
Whether you’re an art enthusiast, a family looking for a fun day out, this promises a day of creativity, community, and coastal charm.
Back to the Bandstand is a Sunderland City Council programme to invite local community groups to help bring Sunderland’s parks and outdoor spaces to life. This is part of a citywide celebration of arts and culture.
Whether it’s performances, creative workshops, wellbeing sessions, or sports activities, the Sunderland Festivals & Events Fund offers grants to support your ideas. This is a fantastic opportunity to engage the community and transform local spaces into vibrant hubs of creativity and connection.
Source: US Department of Health and Human Services – 3
For Immediate Release: July 16, 2025
The U.S. Food and Drug Administration today announced it is revoking, or proposing to revoke, 52 food standards after concluding they are obsolete and unnecessary. The 52 standards are for canned fruits and vegetables, dairy products, baked goods, macaroni products and other foods. Today’s actions are the first results from the agency’s ongoing analysis of its portfolio of over 250 food Standards of Identity (SOI) to make sure they are useful, relevant and serve consumers in the best possible way. The removal of these standards is in alignment with broader efforts to ensure that HHS is directing resources to where they’re most needed – delivering better outcomes for the American people. “I’m eliminating outdated food regulations that no longer serve the interests of American families,” said HHS Secretary Robert F. Kennedy Jr. “Today marks a crucial step in my drive to cut through bureaucratic red tape, increase transparency and remove regulations that have outlived their purpose.” The FDA began establishing food standards in 1939 to promote “honesty and fair dealing” and to ensure that the characteristics, ingredients and production processes of specific foods were consistent with what consumers expect. However, advances in food science, agriculture and production practices, and additional consumer protections have made many of these older, rigid “recipe standards” unnecessary. “The FDA’s Standards of Identity efforts have helped ensure uniformity, boost consumer confidence and prevent food fraud. But many of these standards have outlived their usefulness and may even stifle innovation in making food easier to produce or providing consumers healthier choices,” said FDA Commissioner Marty Makary, M.D., M.P.H. “Antiquated food standards are no longer serving to protect consumers. It is common sense to revoke them and move to a more judicious use of food standards and agency resources.” Today’s actions include publication of the following:
A direct final rule revoking standards for 11 types of canned fruits and vegetables that are no longer sold in U.S. grocery stores, including seven standards for fruits artificially sweetened with saccharin or sodium saccharin. The agency is issuing a companion proposed rule in the same issue of the Federal Register in case the direct final rule is withdrawn because significant adverse comments are received, and the agency needs to move forward with a proposed rule to put these changes in place. A proposed rule that would revoke standards for 18 types of dairy products – including certain milk and cream products, cheeses and related cheese products and frozen desserts. A proposed rule that would revoke standards for 23 types of food products –including bakery products, macaroni and noodle products, canned fruit juices, fish and shellfish, and food dressings and flavorings.
Many of the standards listed in the two proposed rules predate more recent consumer protections such as requirements about ingredient safety, ingredient labeling, food packaging, safe food production and manufacturing practices and nutrition labeling information and claims. On May 13, HHS and FDA issued a Request for Information to identify and eliminate outdated or unnecessary regulations. This initiative supports a broader federal effort to reduce regulatory burdens and increase transparency, in alignment with President Trump’s Executive Order 14192 “Unleashing Prosperity Through Deregulation.” Related Information
Related Information
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Boilerplate
The FDA, an agency within the U.S. Department of Health and Human Services, protects the public health by assuring the safety, effectiveness, and security of human and veterinary drugs, vaccines and other biological products for human use, and medical devices. The agency also is responsible for the safety and security of our nation’s food supply, cosmetics, dietary supplements, radiation-emitting electronic products, and for regulating tobacco products.
Source: United States Senator for Maine Angus King
WASHINGTON, D.C. — U.S. Senators Susan Collins (R-ME) and Tina Smith (D-MN) today introduced legislation to reauthorize the Kay Hagan Tick Act, their landmark legislation to improve research, prevention, diagnostics, and treatment for tick-borne diseases, which became law in 2019. Senator Angus King (I-ME) joins them as an original co-sponsor. The Kay Hagan Tick Act unites the effort to confront the alarming public health threat posed by Lyme disease and other tick-borne diseases. Confirmed cases of Lyme disease reached a record number in Maine – 3,035 – last year. Senators Collins and Smith named their bill in honor of former Senator Kay Hagan (D-NC) who passed away on October 28th, 2019, due to complications from the tick-borne disease known as the Powassan virus.
“Our state has been battling diseases like Lyme for decades, so it is critical we continue to invest in our research and understanding of these vector-borne diseases to better protect Maine residents and visitors,”saidSenator King. “The Kay Hagan Tick Act will further the prevention efforts that keep us safe by funding research, testing and diagnostics along with resources for improved data collection. I am proud to work on this critical bipartisan legislation that will help mitigate this long-term public health threat for the future safety and health of all Maine people.”
“Last year, Maine reported over 3,000 cases of Lyme disease—a record in our state. The reauthorization of our Tick Act is urgently needed to continue to support those who struggle with Lyme and other tick-borne illnesses and keep improving research, diagnostics, treatment, and prevention for these terrible diseases,”said Senator Collins. “Resources from the Tick Act have led to exciting developments such as the first-ever clinical trial for a Lyme disease vaccine for people, which is underway right now at the MaineHealth Institute for Research.”
“My home state of Minnesota is proud to have more than 10,000 lakes and thousands of rivers for us to enjoy, and we’re always especially eager to get outside after a long winter,”said Senator Smith.“Unfortunately, the number of Lyme disease cases in the state—and states across the country—is on the rise. This bill would empower regional centers to lead the response against these diseases and expanded the federal government’s role in researching, testing and treating these diseases. For the sake of Americans’ health and well-being, we need to keep moving this bill forward.”
“Reauthorizing the Kay Hagan Tick Act will continue the nation’s coordinated framework for tick-borne disease surveillance, diagnostics, and prevention”,said Griffin Dill, Director of the University of Maine Tick Lab.Continued support means earlier detection, targeted interventions, and fewer families facing the physical and financial burden of Lyme disease and other emerging infections. Through this investment, Congress can ensure a proactive approach to safeguarding our communities from increasing threats related to ticks.”
“With an estimated 500,000 new cases of Lyme disease each year, it is critical that the United States is equipped to effectively prevent, detect, and respond to this growing public health threat,” said Bonnie Crater, co-founder and board member at Center for Lyme Action.“We applaud the foundation laid by the Kay Hagan Tick Act, which established the National Public Health Strategy to Prevent and Control Vector-Borne Diseases in Humans and we are committed to working with Congress and federal agencies to ensure this strategy is fully implemented and strengthened. We commend Senator Collins, Senator King, and Senator Smith for their bipartisan leadership in advancing the reauthorization of this vital legislation to protect the health and safety of Americans nationwide.”
Using a three-pronged approach, the Kay Hagan Tick Reauthorization Act would:
Require the Department of Health and Human Services (HHS) to continue implementing and updating, as appropriate, its National Public Health Strategy to Prevent and Control Vector-Borne Diseases in People. This strategy has been integral in expanding research into tick-borne diseases, improving testing and diagnostics, and coordinating efforts across the federal government.
Reauthorize Regional Centers of Excellence in Vector-Borne Disease for five years. Funding for these centers, which was allotted in 2017, expires this year. These Centers have led the scientific response against tick-borne diseases, which now make up 75 percent of vector-borne diseases in the U.S. There are four centers located at universities in California, Florida, Texas, and Wisconsin.
Reauthorize CDC Grants to State Health Departments to improve data collection and analysis, support early detection and diagnosis, improve treatment, and raise awareness. These awards would help states continue to build a public health infrastructure for Lyme and other vector-borne diseases and amplify their initiatives through public-private partnerships.
In May, Senator Collins delivered the opening remarks at the Center for Lyme Action Congressional Series and spoke to the need for continued federal funding for tick-borne disease research. Click here to watch and here to download her remarks. Senator Collins has also urged leading health officials to continue to support the development of treatment for these illnesses, including the clinical trials currently ongoing in Maine for the first Lyme disease vaccine for people.
Senator King is a longtime advocate for the elimination of vector-borne diseases. His SMASH Act, bipartisan legislation to reauthorize critical public health tools that support states and localities in their mosquito surveillance and control efforts, especially those linked to mosquitos that carry the Zika virus, and improve the nation’s preparedness for Zika and other mosquito-borne threats like West Nile virus, chikungunya, and Eastern Equine Encephalitis (“triple-e”) virus was signed into law in 2019. A re-authorization of SMASH was introduced in 2023 and included in the Pandemic All-Hazards Preparedness Act Reauthorization.
Source: United States House of Representatives – Representative Eric Burlison (R-Missouri 7th District)
WASHINGTON—Subcommittee on Economic Growth, Energy Policy, and Regulatory Affairs Chairman Eric Burlison (R-Mo.) today announced a hearing titled “The New Atomic Age: Advancing America’s Energy Future.” The hearing will examine advancements made in nuclear power technology and the importance of making small and micro modular reactors (SMRs and MMRs) commercially viable and available. Members will also evaluate supply chain challenges that limit access to nuclear fuel and discuss what Congress can do to grow and strengthen American energy.
“America is at risk of falling behind in the global energy race—and that should concern every one of us. The hard truth is that excessive regulations and red tape from previous administrations have stifled private-sector innovation, preventing us from fully unleashing America’s energy potential. Fortunately, the Trump Administration is implementing common-sense policies designed to redefine power generation and open new pathways to solving our domestic energy challenges. Advanced nuclear reactors will make energy more accessible, more affordable, and more abundant for hardworking Americans. I look forward to hearing from witnesses on how Congress can bolster nuclear energy development and ensure American energy dominance,” said Subcommittee Chairman Burlison.
WHAT: Hearing titled “The New Atomic Age: Advancing America’s Energy Future”
DATE: Tuesday, July 22, 2025
TIME: 1:00 P.M. ET
LOCATION: HVC-210, U.S. Capitol Visitors Center
WITNESSES:
Alex Epstein, President and Founder, Center for Industrial Progress Joshua Smith, Energy Policy Lead, Abundance Institute
BACKGROUND:
On July 11, 2025, Subcommittee Chairman Burlison and members of the Subcommittee on Economic Growth, Energy Policy, and Regulatory Affairs traveled to Los Angeles County, California, to examine nuclear power reactors and evaluate next steps toward advancing nuclear energy.
Blindness, pneumonia, severe diarrhoea and even death – measles virus infections, especially in children, can have devastating consequences. Fortunately, we have a safe and effective defence. Measles vaccines are estimated to have averted more than 60 million deaths between 2000 and 2023.
But there’s more at stake than just measles itself. Emerging research suggests that the measles vaccination may offer surprising additional health benefits. Children who receive the vaccine have been shown to have a significantly lower risk of infections from diseases unrelated to measles.
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One explanation for this broader benefit is the idea of “measles amnesia.” This refers to the ability of the measles virus to erase parts of the body’s immune memory.
Our immune system contains various cells that protect us from infections. Some produce antibodies that neutralise viruses, while others detect and destroy infected cells. Immune memory allows the body to “remember” past infections and mount faster responses in the future.
However, measles infection may reduce the number and diversity of these memory cells – leaving children vulnerable to a wide range of diseases they had previously developed immunity to. In other words, the virus doesn’t just make children ill in the short term, it may also undo years of immune protection.
In one study, researchers found that between 11% and 73% of antibodies targeting other diseases were lost after a measles infection in unvaccinated children. This immune depletion was not observed in children who had received the vaccine, suggesting that vaccination protects against this damaging effect.
This broad loss of immune protection may explain why measles outbreaks are often followed by spikes in other infectious diseases. Ongoing studies are exploring the impact of measles amnesia in regions such as West Africa, where measles and other infections remain widespread.
A vaccine that does more?
Another theory for the vaccine’s broader benefit is known as the “non-specific effect”. Unlike measles amnesia, which explains how the virus weakens immunity, the non-specific effect suggests that the measles vaccine actively strengthens the immune system against a wide range of pathogens.
Recent research has shown that measles vaccination may enhance the function of certain immune cells, making them more effective at fighting off other diseases. Some scientists believe this effect, rather than protection against amnesia alone, could be the primary reason why vaccinated children have better overall health outcomes.
The measles vaccine is a live attenuated vaccine, which means it uses a weakened version of the virus to stimulate a strong immune response. Live vaccines, including the BCG vaccine for tuberculosis, are known to provide broad immune training effects, which may explain this non-specific protection.
Forgotten the dangers
In the 1960s, before widespread vaccination, measles caused around 2.6 million deaths per year. It’s hard to imagine today, but that’s partly the problem.
As measles became rare, society began to forget how serious it is. We forgot how contagious it is (one infected person can spread the virus to up to 90% of nearby unvaccinated people) and we forgot how effective vaccination is (two doses provide more than 90% long-term protection).
And in some circles, this fading memory has been replaced by something more dangerous: mistrust. Misinformation, vaccine myths, and anti-vaccine rhetoric are spreading, just like the virus itself.
So, whether the additional protection offered by the vaccine is due to prevention of immune amnesia, a non-specific immune boost, or both, the takeaway is the same: Vaccinate children against measles. Because when we protect them from measles, we may also be protecting them from so much more.
Antony Black does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.
Zonal pricing would have categorised Britain into distinct zones, each with wholesale electricity prices that reflect how much power is generated locally, and how much demand there is for it. It would have raised prices in areas with lots of demand but low generation, like London, and lowered them where supply outstrips demand, such as in the turbine-rich Scottish Highlands.
This might have caused an immediate increase in the energy bills of already vulnerable households in some high-demand, low-generation areas, such as Tower Hamlets in London and Blackpool in north-west England.
But the idea was to encourage the construction of renewable energy to meet high demand in higher-priced zones, and prompt big electricity consumers to move to where electricity is cheaper. It was also intended to ease the need for new infrastructure to transmit electricity over long distances, like pylons. Australia, Norway and several EU nations already use this method.
The ultimate goal of zonal pricing was to make the price of electricity more accurately reflect generation and transmission costs. However, one thing has significantly inflated electricity prices in recent years, which this pricing method wouldn’t have addressed on its own: gas.
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Gas is expensive, even more so since Russia’s invasion of Ukraine. Britain’s electricity system operator brings power plants onto the system to meet demand in order of the lowest to highest marginal costs.
The point at which supply meets demand forms the wholesale price of electricity. Renewable sources, like wind and solar, have zero or very low marginal costs. But most of the time the wholesale price is set by gas plants, because they can readily fill a gap in supply but have high and erratic marginal costs (largely tied to what they pay for fuel).
We need another, cheaper technology to set the wholesale price of electricity. Batteries, which can store electricity over several hours, and options capable of storing energy for longer, such as compressed air and low-carbon hydrogen, could be just the thing.
The idea is simple: batteries can be charged at times when there is a lot of surplus electricity generation (on a bright, windy day, for example) and discharge it at times of peak demand (or when the sun doesn’t shine and the wind doesn’t blow). This would entail grid operators (and ultimately, consumers) not having to pay gas plants to fire up when renewable generation cannot meet the shortfall.
Unfortunately, batteries comprised just 6% of Britain’s total electricity capacity in 2024. Investment in energy storage has lagged behind what the government forecasts is necessary to meet its 2030 clean power goals, but it is at least increasing.
Research shows that the more money that is invested in batteries, the more associated costs come down. If used instead of gas to stabilise the grid, energy storage could significantly lower the wholesale cost of the UK’s energy over time, and with the right balance of policies, household bills too. This would require subsidies to cover some of the cost of making and installing batteries, and planning mandates to build new renewables alongside new batteries.
Affordable and fair
The government could also try alternatives to zonal pricing. Wholesale electricity prices could reflect the “strike” price in renewable energy contracts. This is the price at which developers have agreed to build clean electricity generation projects, like wind farms. This would mean that gas no longer sets the wholesale price, but stable, predictable prices agreed years in advance, which would help to regulate the retail costs consumers pay.
Solar arrays installed on farmland in Devon, southern England. Pjhpix/Shutterstock
These types of reforms can help set efficient energy prices, which the government usually talks about as the price needed to encourage investment in new energy technologies. But just because prices are efficient, it doesn’t mean they’re fair. Some households struggle to afford their energy bills even when markets are working efficiently. So, when prices change to encourage cleaner energy, it can hit them harder.
The government should implement new policies and expand eligibility for existing measures to take the burden off energy-poor households. These include social tariffs, which offer discounted rates to vulnerable consumers, and discounts for blocks of electricity use when renewables are generating a lot of it.
This support, combined with increasing investment in energy storage and renewables, will lower the wholesale price of electricity over time – and make energy more affordable (and fair) for everyone.
Don’t have time to read about climate change as much as you’d like?
Anupama Sen has previously received funding from the Quadrature Climate Foundation and Children’s Investment Fund Foundation.
Cassandra Etter-Wenzel and Sam Fankhauser do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.
Many dating app companies are enthusiastic about incorporating generative AI into their products. Whitney Wolfe Herd, founder of dating app Bumble, wants gen-AI to “help create more healthy and equitable relationships”. In her vision of the near future, people will have AI dating concierges who could “date” other people’s dating concierges for them, to find out which pairings were most compatible.
Dating app Grindr is developing an AI wingman, which it hopes to be up and running by 2027. Match Group, owner of popular dating apps including Tinder, Hinge and OK Cupid, have also expressed keen interest in using gen-AI in their products, believing recent advances in AI technology “have the power to be transformational, making it more seamless and engaging for users to participate in dating apps”. One of the ways they think gen-AI can do this is by enhancing “the authenticity of human connections”.
Use of gen-AI in online dating is not just some futuristic possibility, though. It’s already here.
Want to enhance your photos or present yourself in a different style? There are plenty of online tools for that. Similarly, if you want AI to help “craft the perfect, attention-grabbing bio” for you, it can do that. AI can even help you with making conversation, by analysing your chat history and suggesting ways to reply.
Extra help
It isn’t just dating app companies who are enthusiastic about AI use in dating apps either. A recent survey carried out by Cosmopolitan magazine and Bumble of 5,000 gen-Zers and millennials found that 69% of respondents were excited about “the ways AI could make dating easier and more efficient”.
An even higher proportion (86%) “believe it could help solve pervasive dating fatigue”. A surprising 86% of men and 77% of the women surveyed would share their message history with AI to help guide their dating app conversations.
Dating today can feel like a mix of endless swipes, red flags and shifting expectations. From decoding mixed signals to balancing independence with intimacy, relationships in your 20s and 30s come with unique challenges.Love IRL is the latest series from Quarter Life that explores it all.
These research-backed articles break down the complexities of modern love to help you build meaningful connections, no matter your relationship status.
It’s not hard to see why AI is so appealing for dating app users and providers. Dating apps seem to be losing their novelty: many users are reportedly abandoning them due to so-called “dating app fatigue” – feeling bored and burnt out with dating apps.
Apps and users might be hopeful that gen-AI can make dating apps fun again, or if not fun, then at least that it will make them actually lead to dates. Some AI dating companions claim to get you ten times more dates and better dates at that. Given that men tend to get fewer matches on dating apps than women, it’s also not surprising that we’re seeing more enthusiasm from men than women about the possibilities AI could bring.
Talk of gen-AI in connection to online dating gives rise to many ethical concerns. We at the Ethical Dating Online Network, an international network of over 30 multi-disciplinary academics interested in how online dating could be more ethical, think that dating app companies need to convincingly answer these worries before rushing new products to market. Here are a few standout issues.
Pitfalls of AI dating
Technology companies correctly identify some contemporary social issues, such as loneliness, anxiety at social interactions, and concerns about dating culture, as hindering people’s dating lives.
But turning to more technology to solve these issues puts us at risk of losing the skills we need to make close relationships work. The more we can reach for gen-AI to guide our interactions, the less we might be tempted to practise on our own, or to take accountability for what we communicate. After all, an AI “wingman” is of little use when meeting in person.
Also, AI tools risk entrenching much of dating culture that people find stressful. Norms around “banter”, attractiveness or flirting can make the search for intimacy seem like a competitive battleground. The way AI works – learning from existing conversations – means that it will reproduce these less desirable aspects.
Gen-AI may reproduce the negative elements of online dating culture. fizkes/Shutterstock
Instead of embracing those norms and ideals, and trying to equip everyone with the tools to seemingly meet impossibly high standards, dating app companies could do more to “de-escalate” dating culture: make it calmer, more ordinary and help people be vulnerable. For example, they could rethink how they charge for their products, encourage a culture of honesty, and look at alternatives to the “swiping” interfaces.
The possibility of misrepresentation is another concern. People have always massaged the truth when it comes to dating, and the internet has made this easier. But the more we are encouraged to use AI tools, and as they are embedded in dating apps, bad actors can more simply take advantage of the vulnerable.
An AI-generated photo, or conversation, can lead to exchanges of bank details, grooming and sexual exploitation.
Stopping short of fraud, however, is the looming intimate authenticity crisis. Online dating awash with AI generated material risks becoming a murky experience. A sincere user might struggle to identify like-minded matches on apps where use of AI is common.
This interpretive burden is annoying for anyone, but it will exacerbate the existing frustrations women, more so than men, experience on dating apps as they navigate spaces full of with timewasting, abuse, harassment and unwanted sexualisation.
Indeed, women might worry that AI will turbo-charge the ability of some men to prove a nuisance online. Bots, automation, conversation-generating tools, can help some men to lay claim to the attention of many women simultaneously.
AI tools may seem like harmless fun, or a useful timesaver. Some people may even wholeheartedly accept that AI generated content is not “authentic” and love it anyway.
Without clear guardrails in place, however, and more effort by app companies to provide informed choices based on transparency about how their apps work, any potential benefits of AI will be obscured by the negative impact it has to intimacy online.
The authors do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.
None of the cultural love stories of the 2000s started with a swipe. Friends taught us that your social circle could double as a dating pool. The Office proved that love could blossom by the water cooler, and in High School Musical the perfect match could be the new girl at school.
But in the years since, apps have changed the way we date. The old-fashioned meet-cute was replaced by swipes, and slow-burn feelings were forgotten in favour of instant digital chemistry. It came with some benefits. Gone were the days when your romantic options were limited to bad set-ups, overly flirty colleagues, or trying to catch the eye of the hottie reading on the train. And introverts could pursue connections without the anxiety of approaching someone in a noisy bar or making the first move with a friend. But there were losses too.
While the convenience of dating apps expanded our horizons, they also stripped away some of the spontaneity and authenticity of in-person connections. The rush of emotions tied to real-life interactions – the spark of chemistry when eyes meet across a room or the thrill of an unexpected conversation – has become less frequent. Swiping left and right creates a kind of detachment, where it’s easier to dismiss someone with a flick of the thumb than to take a moment to truly get to know them. What we gained in options, we lost in meaningful connections.
Now another love revolution is on the horizon as algorithms and AI start to play an ever-growing role in how we form and navigate our relationships. Whether you’re single, dating, married or somewhere in between, our love lives are increasingly mediated by technology.
This is especially true for those of us in our 20s and 30s, who grew up with the promise of finding romance in real life but came of age as the dating app revolution began in earnest. Which is where Love IRL, a new Quarter Life series from The Conversation, comes in. These research-backed articles break down the complexities of modern love, from decoding mixed signals to balancing independence with intimacy. Along the way we’ll help you navigate the ghosts, love-bombers, breadcrumbers and catfishers and strive for more meaningful connections – offline and on.
Thoughts? Relationship woes? Get in touch at quarterlife@theconversation.com
Dating today can feel like a mix of endless swipes, red flags and shifting expectations. From decoding mixed signals to balancing independence with intimacy, relationships in your 20s and 30s come with unique challenges. Love IRL is the latest series from Quarter Life that explores it all.
These research-backed articles break down the complexities of modern love to help you build meaningful connections, no matter your relationship status.