Category: Fisheries

  • MIL-OSI Africa: UN security council: African countries face hurdles and dangers in getting permanent seats

    Source: The Conversation – Africa – By Anthoni van Nieuwkerk, Professor of International and Diplomacy Studies, Thabo Mbeki African School of Public and International Affairs, University of South Africa

    There is growing global consensus among the members of the United Nations that the UN security council, responsible for maintaining international peace and security, requires reform or restructuring to reflect the current balance of forces, and to improve its working methods and ability to do its work.

    There is also growing consensus among members of the African Union that Africa deserves a permanent presence at the council.

    The debate took a new turn on 13 September, when the US announced it would support the creation of two new permanent seats for African countries, and a non-permanent seat for small island developing nations. This came after a pledge in 2022 by the Biden administration to support the expansion of the security council.

    The new permanent seats would come without the power of a veto vote.


    Read more: Africa on the UN security council: why the continent should have two permanent seats


    There are several reasons why, in my view, this quest to expand the council is likely to fail. I have followed and published on the South African experience of the UN security council and believe there is need for a sober assessment of what is achievable.

    First, those with permanent seats and veto power (Russia and China, the US, the UK and France) are reluctant to share it, for fear of diluting their own interests and influence.

    Second, if there was agreement on expansion, who would be worthy to fill the extra seats, and how would they be chosen? There are many deserving candidates, from Latin America to Europe and Asia.

    Third, how would Africa go about selecting two of its own to represent the continent on the council?

    Fourth, what would prevent such newcomers from being co-opted by the powerful (in this case, the US) to support or help implement western peace and security agendas at the expense of African and global south agendas?

    To offset the attractiveness and prestige of joining the premier international security club, Africa should be mindful of the entry requirements (namely, diplomatic nous, experience with peacekeeping and the ability to finance such), lest it find itself relegated to serving the security council’s longstanding members.

    Africa would be wise to select and support candidates that have experience, resources and a credible peacebuilding track record on the continent.

    Hurdles and dangers

    It is far from obvious that the continent’s two economic giants, Nigeria and South Africa, should represent Africa. Size counts but doesn’t always translate into attractiveness or credibility at home – a key requirement for a successful role in regional and international affairs.

    The unfortunate reality is that Africa remains divided on the basis of region, language and culture. The continent struggles to speak with one voice on critical matters such as peace and security – the priority of the UN security agenda.

    Under these conditions, a drawn-out and perhaps even unsuccessful process of selecting two out of the 54 members of the African Union is likely.

    In addition, the offer by the west for Africa to take up seats should not be viewed as an act of benevolence. Bringing Africa into the western sphere of influence is a strategic calculation to counter the growing impact of Russia and China on global affairs.

    The emergence of a new world order produces stresses and strains. The west, led by the US, continues to exercise hard power but declining influence, while an assertive alliance of global south states, led by China, is bent on eventually determining international affairs.


    Read more: Pan-Africanism remains a dream: four key issues the African Union must tackle


    Prominent members of the global south are enticed or pressured to partner with one or the other power bloc.

    Africa in particular is being courted precisely because of its large voting number (54 countries can swing decisions at multilateral meetings) but more strategically, because it constitutes the reservoir of the world’s future economy. Apart from being blessed with a youthful demographic, Africa can come into central focus due to its unique endowment of green transition minerals like cobalt, lithium and nickel.

    Where to from here?

    If all obstacles are overcome, the chosen countries would have their work cut out for them. Serving – never mind shaping – the UN security council agenda is a demanding, full-time task. The chosen African countries would have to commit significant human and financial resources, peacebuilding capacity and diplomatic leadership skills.

    South Africa is arguably the best placed to meet these criteria and can play a constructive role pushing the African agenda. But it needs to be wary.


    Read more: Rating agencies and Africa: the absence of people on the ground contributes to bias against the continent – analyst


    The country’s president, Cyril Ramaphosa, was quick to respond to the US statement. On the eve of departing for the annual UN general assembly talk show he told the media

    We have been campaigning and the concept has been accepted and of course Africa continues to play through various countries on the continent, important roles, peacekeeping missions not only on our continent but around the world. So, we [have] got the capability, we know how and Africa needs to be given its rightful place in the UN system and its various structures.

    Some critical questions need to be answered by all African leaders first:

    • What are the benefits for an African country taking up a permanent seat on the UN security council?

    • How would it contribute, and what would it receive in return?

    • Would it be able to set agendas and norms, or would it be forced to carry out the tasks of those who allowed it a seat at the table?

    Africa is not unfamiliar with the workings of the United Nations system. It has benefited immensely from UN involvement as it strove for decolonialisation and overcoming the apartheid system. It works closely with the UN as it faces the challenges of underdevelopment, unequal trade, extreme weather and the ongoing exploitation of its human and natural resources.

    It is fitting and ethical for Africa to take up permanent seats at the apex institution and put the security council to work to address Africa’s peace and security challenges.

    To do so, its chosen members must chart an African course of action, supported by the other members of the council.

    – UN security council: African countries face hurdles and dangers in getting permanent seats
    – https://theconversation.com/un-security-council-african-countries-face-hurdles-and-dangers-in-getting-permanent-seats-239642

    MIL OSI Africa

  • MIL-OSI Global: UN security council: African countries face hurdles and dangers in getting permanent seats

    Source: The Conversation – Africa – By Anthoni van Nieuwkerk, Professor of International and Diplomacy Studies, Thabo Mbeki African School of Public and International Affairs, University of South Africa

    There is growing global consensus among the members of the United Nations that the UN security council, responsible for maintaining international peace and security, requires reform or restructuring to reflect the current balance of forces, and to improve its working methods and ability to do its work.

    There is also growing consensus among members of the African Union that Africa deserves a permanent presence at the council.

    The debate took a new turn on 13 September, when the US announced it would support the creation of two new permanent seats for African countries, and a non-permanent seat for small island developing nations. This came after a pledge in 2022 by the Biden administration to support the expansion of the security council.

    The new permanent seats would come without the power of a veto vote.




    Read more:
    Africa on the UN security council: why the continent should have two permanent seats


    There are several reasons why, in my view, this quest to expand the council is likely to fail. I have followed and published on the South African experience of the UN security council and believe there is need for a sober assessment of what is achievable.

    First, those with permanent seats and veto power (Russia and China, the US, the UK and France) are reluctant to share it, for fear of diluting their own interests and influence.

    Second, if there was agreement on expansion, who would be worthy to fill the extra seats, and how would they be chosen? There are many deserving candidates, from Latin America to Europe and Asia.

    Third, how would Africa go about selecting two of its own to represent the continent on the council?

    Fourth, what would prevent such newcomers from being co-opted by the powerful (in this case, the US) to support or help implement western peace and security agendas at the expense of African and global south agendas?

    To offset the attractiveness and prestige of joining the premier international security club, Africa should be mindful of the entry requirements (namely, diplomatic nous, experience with peacekeeping and the ability to finance such), lest it find itself relegated to serving the security council’s longstanding members.

    Africa would be wise to select and support candidates that have experience, resources and a credible peacebuilding track record on the continent.

    Hurdles and dangers

    It is far from obvious that the continent’s two economic giants, Nigeria and South Africa, should represent Africa. Size counts but doesn’t always translate into attractiveness or credibility at home – a key requirement for a successful role in regional and international affairs.

    The unfortunate reality is that Africa remains divided on the basis of region, language and culture. The continent struggles to speak with one voice on critical matters such as peace and security – the priority of the UN security agenda.

    Under these conditions, a drawn-out and perhaps even unsuccessful process of selecting two out of the 54 members of the African Union is likely.

    In addition, the offer by the west for Africa to take up seats should not be viewed as an act of benevolence. Bringing Africa into the western sphere of influence is a strategic calculation to counter the growing impact of Russia and China on global affairs.

    The emergence of a new world order produces stresses and strains. The west, led by the US, continues to exercise hard power but declining influence, while an assertive alliance of global south states, led by China, is bent on eventually determining international affairs.




    Read more:
    Pan-Africanism remains a dream: four key issues the African Union must tackle


    Prominent members of the global south are enticed or pressured to partner with one or the other power bloc.

    Africa in particular is being courted precisely because of its large voting number (54 countries can swing decisions at multilateral meetings) but more strategically, because it constitutes the reservoir of the world’s future economy. Apart from being blessed with a youthful demographic, Africa can come into central focus due to its unique endowment of green transition minerals like cobalt, lithium and nickel.

    Where to from here?

    If all obstacles are overcome, the chosen countries would have their work cut out for them. Serving – never mind shaping – the UN security council agenda is a demanding, full-time task. The chosen African countries would have to commit significant human and financial resources, peacebuilding capacity and diplomatic leadership skills.

    South Africa is arguably the best placed to meet these criteria and can play a constructive role pushing the African agenda. But it needs to be wary.




    Read more:
    Rating agencies and Africa: the absence of people on the ground contributes to bias against the continent – analyst


    The country’s president, Cyril Ramaphosa, was quick to respond to the US statement. On the eve of departing for the annual UN general assembly talk show he told the media

    We have been campaigning and the concept has been accepted and of course Africa continues to play through various countries on the continent, important roles, peacekeeping missions not only on our continent but around the world. So, we [have] got the capability, we know how and Africa needs to be given its rightful place in the UN system and its various structures.

    Some critical questions need to be answered by all African leaders first:

    • What are the benefits for an African country taking up a permanent seat on the UN security council?

    • How would it contribute, and what would it receive in return?

    • Would it be able to set agendas and norms, or would it be forced to carry out the tasks of those who allowed it a seat at the table?

    Africa is not unfamiliar with the workings of the United Nations system. It has benefited immensely from UN involvement as it strove for decolonialisation and overcoming the apartheid system. It works closely with the UN as it faces the challenges of underdevelopment, unequal trade, extreme weather and the ongoing exploitation of its human and natural resources.

    It is fitting and ethical for Africa to take up permanent seats at the apex institution and put the security council to work to address Africa’s peace and security challenges.

    To do so, its chosen members must chart an African course of action, supported by the other members of the council.

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

    ref. UN security council: African countries face hurdles and dangers in getting permanent seats – https://theconversation.com/un-security-council-african-countries-face-hurdles-and-dangers-in-getting-permanent-seats-239642

    MIL OSI – Global Reports

  • MIL-OSI USA: Advancing Specialty Care for Metastatic Melanoma at UConn Health

    Source: US State of Connecticut

    When patients have a concern about melanoma, a form of skin cancer, they may turn to their dermatologist for care. Fortunately, for most patients, melanoma is detected early and may be treated with simple excision and dermatologic follow-up.

    For a small number of patients with more advanced melanoma, there is an increased risk of their disease spreading into lymph nodes or other sites in the body. For these patients, specialized expertise from a surgical oncologist and a medical oncologist can provide treatments that offer better outcomes, including a better chance of a cure.

    The Carole and Ray Neag Comprehensive Cancer Center in collaboration with the Dermatology Department now offers specialized melanoma care at UConn Health and the UConn School of Medicine. With the arrival of medical oncologist, Dr. Margaret Callahan, chief of the Division of Hematology and Oncology, and surgical oncologist Dr. Giao Phan, professor of surgery, joining expert medical oncologist Dr. Upendra Hegde and a well-established dermatology and dermatopathology team led by Dr. Philip Kerr and Dr. Campbell Stewart, these melanoma and skin cancer experts provide specialized expertise and comprehensive care in treating melanoma at any stage, including advanced disease. This team meets on a weekly basis to discuss new patients and review care plans in a multi-disciplinary fashion.

    Phan, a graduate of Johns Hopkins University School of Medicine, completed surgical oncology fellowships and research at the National Cancer Institute/National Institutes of Health and at the Moffitt Cancer Center. As a surgical oncologist specializing in melanoma and skin/soft tissue cancers, Phan’s expertise plays a crucial role in the comprehensive care of patients with these conditions. She is an expert in the spectrum of surgical tools for treating advanced melanoma, including lymph node mapping and intralesional treatments (such as the FDA-approved therapy Imlygic/T-VEC), providing a multidimensional approach to patient care. In addition to her surgical expertise, she has extensive experience with clinical research in immunotherapies including adoptive T cell therapy and radiographic surveillance of melanoma.

    Callahan, a medical oncologist, is a graduate of UConn and the UConn School of Medicine, where she received her MD and Ph.D.  She completed her oncology fellowship and served as faculty at Memorial Sloan Kettering before joining UConn as the chief of the division of hematology and oncology. With over a decade of experience focused on treating patients with advanced melanoma and leading clinical trials of novel immunotherapies, she brings a wealth of specialized melanoma knowledge and clinical insight to her practice. She also leads a translational research team focused improving the immunotherapy treatment options for patients.

    UConn’s expanded team of melanoma and skin cancer experts and researchers creates a hub for melanoma expertise and patient-focused research in Connecticut. This initiative offers a modern multidisciplinary approach to diagnosing, researching, and treating melanoma, a particularly aggressive form of skin cancer, while teaching the next generation of cancer specialists.

    “Having a team of specialized melanoma specialists within one organization allows for a comprehensive approach to the treatment and management of melanoma, with all team members working collaboratively,” says Phan. “This collaboration leads to more effective and personalized care for patients dealing with melanoma, as they can benefit from the expertise of all specialists. The team of experts reflects a commitment by UConn Health to providing state-of-the-art care for patients with melanoma.

    “I’m delighted to be returning to my alma mater, UConn,” says Callahan. “Working together with Drs. Phan and Hegde and bringing some of my experience in advanced melanoma and in clinical trials to the team, I hope will be a great way to give back. I’m also looking forward to being part of the vibrant academic community and helping to train the next generation of clinicians and clinician scientists. UConn has an excellent immunology department, led by Dr. Anthony Vella, and they have had a longstanding commitment to immunotherapy research.”

    Phan, Callahan, and Hegde treat a wide spectrum of melanoma and skin cancer patients, starting with patients who could be cured with surgery alone to those with more advanced disease who might need multimodality therapy, such as patients whose disease has spread to lymph nodes or distant organs like the lung, liver, or brain. Surgical interventions, such as lymph node removal, aim to address localized spread, while systemic therapies play a crucial role in targeting cancer cells throughout the body. Immunotherapy and targeted inhibitors have improved outcomes for patients with advanced melanoma, often providing effective treatment options that often control the disease.

    Additionally, Callahan and Phan are excited about continuing their passion and expertise in immunotherapy research and working to bring innovative therapies and new clinical trials to UConn Health patients. They look forward to working with medical students, fellows and research collaborators and highlight the strength of the immunology department and the opportunities for translational research in the future.

    For referrals call the melanoma navigator at 860-692-8455.

    MIL OSI USA News

  • MIL-OSI USA: Dissenting Statement of Commissioner Summer K. Mersinger Regarding Settlement With Piper Sandler Hedging Services, LLC

    Source: US Commodity Futures Trading Commission

    I respectfully dissent from the Commission’s[1] enforcement action settling charges against Piper Sandler Hedging Services, LLC (“Piper Sandler” or “Respondent”).

    Despite the Commodity Futures Trading Commission imposing more than $1.1 billion in offline communication-related civil monetary penalties across more than 20 recent actions[2], I fear this particular case sends the message that everything is a business record, even if such a conclusion has no foundation in the Commodity Exchange Act (“CEA”) or CFTC regulations.

    Enforcement is one of many tools available in our regulatory toolbox to promote a culture of compliance with our regulated entities.  Our policy divisions can conduct targeted examinations, issue guidance, and work with our self-regulatory organizations on their compliance efforts.  Our enforcement authorities should not be our default tool and should only be wielded after ensuring our expectations for compliance with our regulations are clearly communicated to impacted entities.  Only after the Commission fulfills that fundamental responsibility should we use our enforcement function to pursue those who either have no interest in complying or who have failed in their attempts to comply.

    As I have said before, regulation through enforcement is the antithesis of regulatory clarity and transparency.[3]  Unfortunately, without providing additional clarity into how our Division of Enforcement is approaching recordkeeping requirements, including those in Regulation 1.35 which are implicated in today’s settlement, regulated entities and their associated persons are left to determine what constitutes a violation under the looming threat of a visit from our enforcement attorneys.

    Transaction-Related Records Should Be Preserved

    I do not dispute that business related records identified under the CEA and CFTC regulations must be preserved to facilitate an effective regulatory and enforcement program, and I have approved other offline communication cases when the surrounding circumstances warrant such support.  However, the mere existence of business-related communications occurring through unofficial channels is not necessarily a violation.  The threshold inquiry is whether an entity failed to preserve a record they were required to preserve.

    Conclusory statements in settlement orders that business related communications occurred via unofficial channels offer no explanation on how a particular respondent violated the CEA or CFTC regulations.  More importantly, these statements fail to offer any guidance to other similarly situated entities on compliance with these requirements to avoid becoming the next respondent in a CFTC enforcement matter.

    Recordkeeping Requirements Are Not One Size Fits All

    The CEA and CFTC regulations do not require every record of every business activity to be preserved.  Instead, Congress developed a recordkeeping framework which varies based on the category of the entity.[4]  Under this umbrella, the Commission and its staff have developed recordkeeping requirements tailored to respective market participants.

    For example, Section 4g(a) of the CEA requires introducing brokers (IBs), to “keep books and records pertaining to such transactions and positionsas may be required by the Commission.[5]  Compare that to Section 4n of the CEA, which requires registered commodity pool operators and commodity trading advisors to “maintain books and records and file such reports in such form and manner as may be prescribed by the Commission.”  It is significant that Section 4g of the CEA, the section at issue in today’s enforcement action, is limited to records pertaining to transactions and positions, whereas Section 4n of the CEA lacks such limitation.[6]

                Regulation 1.35 – Tailored Transactional Records

    The Commission has consistently respected these statutory distinctions when adopting numerous modifications to Regulation 1.35, its principal recordkeeping rule for intermediaries, including IBs.

    Regulation 1.35 imposes categorical recordkeeping requirements on futures commission merchants, retail foreign exchange dealers, IBs and designated contract market and swap execution facility members.[7]  In fact, the basic provisions of Regulation 1.35 have remained in place since as early as 1938.[8]  Importantly, Regulation 1.35 requires preservation of records related to transactions and has never, or at least for the past 86 years, contained a general mandate to preserve all records.[9]

    Regardless of intermediary, Regulation 1.35 identifies two major types of records required to be maintained: (1) transaction records (consisting of both “commodity interest and related records” and “original source documents”); and, (2) pre-trade communications (both “oral” and “written”).[10]  All of the key record types defined in Regulation 1.35 are framed around the statutory construction discussed above and therefore, must be related to transactions—in a commodity interest and any related cash or forward transactions.[11]  Furthermore, Regulation 1.35(a) requires the records, except for pre-trade communications, to be “kept in a form and manner that allows for the identification of a particular transaction.”[12]  When the Commission first added the “particular transaction” provision to the regulation, it stated the purpose of the rule would be satisfied “when a market participant can identify those records that pertain to a particular transaction,”[13] versus requiring that all records on all transactions be maintained in a specific manner.

    The rule has been expanded several times as both new registrants have been added to the Commission’s jurisdiction and as technological changes have necessitated revised requirements.[14]  In each case, the Commission has carefully balanced the application of these requirements, not only on different market participants and intermediaries, but also by size and type within certain categories.  These revisions were done to acknowledge that for certain intermediaries, particularly IBs, the burden and costs associated with complying with Commission’s recordkeeping requirements may be significant without substantial benefit.[15] 

    Most importantly in this regard, small IBs – those earning less than $5 million in aggregate gross revenue over a three-year period – have been specifically carved out of certain recordkeeping requirements in Regulation 1.35.  Again, this was done citing the Commission’s concerns “regarding costs and the availability of relevant technology,” and further noting such a balancing would, “achieve the Commission’s objectives and the benefits of promoting market integrity and protecting customers albeit at lower cost.”[16]  Like many rules in Part 1 of the CFTC’s regulations, Regulation 1.35’s requirements vary by entity size and type, reflect the Commission’s long history of carefully weighing the cost and benefits of recordkeeping requirements, and strategically balance these policy considerations.

    Any action by the Commission should respect these important considerations made when adopting our rules around recordkeeping requirements.  Recognizing that our rules must evolve as technology and businesses evolve, the Commission’s approach to this evolution should be clear and should only occur in a public and transparent manner.  Using enforcement to influence that change is the opposite of clarity and transparency.

    The Pitfalls of Interpreting Settlements

    Despite statutory and regulatory intricacies, of the more than 20 recent settlements related to violations of both Section 4g of the CEA and Regulation 1.35, most of these settlement orders[17] include essentially the same boilerplate language in the legal discussion section of the order.  

    The sole application of law to facts in the legal discussion section of these orders is or closely mirrors the following, “[a]s a result of the widespread use of unapproved methods of communication by [firm or their] employees, which communications were not preserved and maintained, [respondent[s]] failed to keep full, complete, and systematic records of all transactions relating to its business of dealing in commodity interests, in violation of Section 4g of the Act and Regulation 1.35.”[18]

    Unfortunately, neither the fact nor the summary sections of these orders facilitate a greater understanding of the regulation, the alleged violation, or how the regulation has been applied in the settlement.  Furthermore, these orders refer to “business-related communications”, “messages related to [ the respondent’s] business as a Commission registrant”, “unapproved communication methods … to engage in firm business”, and “conducted firm business via unapproved methods.”  These generic references, such as “business” and “firm”, fail to describe the substance of the communications at issue or to explain the kind of record that serves as the basis for the alleged violation.  Without more information and context, others subject to the same regulations have limited ability to understand potential compliance risks and costs when deciding whether to remain in or to exit a line of business subject to CFTC regulation.

    No doubt, the inability to accurately gauge compliance risks and the costs of records management systems could lead to further consolidation in the industry, a trend we are already witnessing.

    A Clearer Path Forward

    Without additional context or further clarification by the Commission, entities subject to Section 4g of the CEA and Regulation 1.35 are left with little insight into how the Division of Enforcement construes violations when settling these matters.

    Unfortunately, I cannot support further settlements with IBs concerning offline communications violations until such time as the Commission as a whole, not just the Division of Enforcement, uses the actual words of the statute and the implementing regulation to clarify how an IB can properly comply with recordkeeping requirements.

    For these reasons, I respectfully dissent.


    [1] This statement will refer to the Commodity Futures Trading Commission as the “Commission”, “CFTC”, or “Agency.” All web pages cited herein were last visited on September 11, 2024.

    [4] See e.g., 7 U.S.C. §§ 6(a), 6g(a), 6i, 6n(3)(A), 6r(c), 6s, 6t, 7b-3(f)(10).

    [5] 7 U.S.C. § 6g(a) (emphasis added).

    [6] Had Congress intended to impose on introducing brokers broader recordkeeping requirements as it did in Section 4n of the CEA, it could have amended Section 4g to match the preexisting language of Section 4n. Compare, 7 U.S.C. § 6g with 7 U.S.C. § 6n.  Congress had such opportunity but declined to do so when both sections of the CEA were last modified by the Futures Trading Act of 1982, which broadened Section 4g’s recordkeeping requirements to include introducing brokers (IBs).  Pub. L. 97–444, title II, §209, Jan. 11, 1983, 96 Stat. 2302.

    [7] 17 C.F.R. § 1.35.

    [8] GENERAL REGULATIONS UNDER THE COMMODITY EXCHANGE ACT, 17 CFR, 1938 ed. [901, 913].

    [10] 17 C.F.R. § 1.35(a)(1)(i), (ii) and (iii) (emphasis added).

    [11] 17 C.F.R. § 1.35(a)(1)(i) and (iii).

    [12] 17 C.F.R. § 1.35(a)(5).

    [13] Records of Commodity Interest and Related Cash or Forward Transactions, 80 FR 80247, 80249 (Dec. 24, 2015).  When the Commission modified Regulation 1.35(a)(5) to eliminate the form and manner provision, it slightly modified the particular transaction provision; however, the operative language described in the quote above was unaffected.

    [14] This includes the addition of IBs in 1982. Supra n.6.  As well as the more recent addition of members of swap execution facilities in the 2012 amendments. See Adaption of Regulation to incorporate Swap, Notice of Proposed Rulemaking, 76 FR 33066, 33072 (June 7, 2011).

    [15] Adaptation of Regulations to Incorporate Swaps—Records of Transactions, Final Rule,77 FR 75523, 75528 (Dec. 21, 2012).

    [16] Id.

    [17] In re JPMorgan Chase Bank, N.A., CFTC No. 22-07, 2021 WL 6098347 (Dec. 17, 2021) (consent order) ($75 million CMP); In re Bank of Am., N.A., CFTC No. 22-38, 2022 WL 4733591 (Sept. 27, 2022) (consent order) ($100 million CMP); In re Barclays Bank PLC, CFTC No. 22-39, 2022 WL 4733593 (Sept. 27, 2022) (consent order) ($75 million CMP); In re Goldman Sachs & Co. LLC, CFTC No. 22-40, 2022 WL 4733598 (Sept. 27, 2022) (consent order) ($75 million CMP); In re Nomura Glob. Fin. Prods. Inc., CFTC No. 22-41, 2022 WL 4733602 (Sept. 27, 2022) (consent order) ($50 million CMP); In re UBS AG, CFTC No. 22-42, 2022 WL 4733603 (Sept. 27, 2022) (consent order) ($75 million CMP); In re Jefferies Fin. Servs., Inc., CFTC No. 22-43, 2022 WL 4733600 (Sept. 27, 2022) (consent order) ($30 million CMP); In re Morgan Stanley & Co. LLC, CFTC No. 22-44, 2022 WL 4733603 (Sept. 27, 2022) (consent order) ($75 million CMP); In re Cantor Fitzgerald & Co., CFTC No. 22-45, 2022 WL 4733597 (Sept. 27, 2022) (consent order) ($6 million CMP); In re Citibank, N.A., CFTC No. 22-46, 2022 WL 4733594 (consent order) (Sept. 27, 2022) ($75 million CMP); In re Credit Suisse Int’l, CFTC No. 22-47, 2022 WL 4733595 (Sept. 27, 2022) (consent order) ($75 million CMP); In re Deutsche Bank AG, CFTC No. 22-48, 2022 WL 4733596 (Sept. 27, 2022) (consent order) ($75 million CMP); In re Bank of Nova Scotia, CFTC No. 23-25, 2023 WL 3455084 (May 11, 2023) (consent order) ($15 million CMP); In re HSBC Bank USA, N.A., CFTC No. 23-27, 2023 WL 3496489 (May 12, 2023) (consent order) ($30 million CMP); In re Wedbush Secs. Inc., CFTC No. 23-37, 2023 WL 5089708 (Aug. 8, 2023) (consent order) ($6 million CMP); In re Wells Fargo Bank NA, CFTC No. 23-36, 2023 WL 5089709 (Aug. 8, 2023) (consent order) ($75 million CMP); In re Société Générale, CFTC No. 23-35, 2023 WL 5089710 (Aug. 8, 2023) (consent order) ($75 million CMP); In re BNP Paribas S.A., CFTC No. 23-33, 2023 WL 5089707 (Aug. 8, 2023) (consent order) ($75 million CMP); In re Interactive Brokers Corp., CFTC No. 23-56, 2023 WL 6442571 (Sept. 29, 2023) (consent order) ($20 million CMP); In re Oppenheimer & Co. Inc., CFTC No. 24-04, 2024 WL 1236474 (Mar. 19, 2024) (consent order) ($1 million CMP); In re Cowen & Co., CFTC No. 24-11, 2024 WL 3844670 (Aug. 13, 2024) (consent order) ($3 million CMP).

    [18] Id. Both CFTC No. 24-04 and CFTC No. 24-11 omit the word widespread in front of the word use. However, the orders otherwise follow the quotation above.

    MIL OSI USA News

  • MIL-OSI USA: ICYMI: Sullivan Urges Biden to Stand Up to Iran at UNGA

    US Senate News:

    Source: United States Senator for Alaska Dan Sullivan
    09.23.24
    WASHINGTON—In an opinion published in the Wall Street Journal over the weekend, U.S. Senator Dan Sullivan (R-Alaska), a member of the Senate Armed Services Committee (SASC), condemned the Biden-Harris administration for abandoning the Trump administration’s policies towards Iran, resulting in a more powerful Iran and a more dangerous world. Senator Sullivan urged President Biden to course correct this week during what will likely be the President’s last major foreign policy speech. Tomorrow, President Biden is set to address the United Nations General Assembly (UNGA).
    “It’s hard to deny that the world is more dangerous today than when he [Biden] became president,” Sen. Sullivan writes in the Wall Street Journal. “There are many reasons for this, but the single most important course correction Mr. Biden could make is on his Middle East policy. In his speech he should call on the U.N. to condemn and impose sanctions on the Iranian terrorist regime for acting as the architect of chaos throughout the Middle East and Ukraine.  Mr. Biden should also denounce the antisemitism that has pervaded the U.N. for decades and call out the organization for insufficiently condemning Hamas’s massacre of 1,200 Israelis. He should demand that the U.N. declare Iran-backed Hamas a terrorist organization. He also needs to denounce the U.N. Relief and Works Agency, some of whose employees participated in Hamas’s Oct. 7 attacks. Unfortunately, none of this is likely to happen. Appeasing Iran has been a hallmark of the Biden-Harris administration, and as a result the terrorist leadership has become richer, more powerful and more menacing.”
    Senator Sullivan has frequently warned of the Biden-Harris administration’s weakness on Middle East policy and pushed for a return to Trump-era sanctions aimed at re-establishing deterrence against Iran and its terrorist proxies. His latest op-ed in the Wall Street Journal details many of those efforts. Click here or below to read the full opinion.

    Opinion: Biden’s Last Opportunity to Stand Up to Iran
    By: U.S. Senator Dan Sullivan
    September 20, 2024
    On Monday I will go to New York with a group of senators to meet with foreign leaders at the United Nations General Assembly. President Biden will likely give his last major foreign-policy speech on Tuesday, a final opportunity to correct course. It’s hard to deny that the world is more dangerous today than when he became president. There are many reasons for this, but the single most important course correction Mr. Biden could make is on his Middle East policy.
    In his speech he should call on the U.N. to condemn and impose sanctions on the Iranian terrorist regime for acting as the architect of chaos throughout the Middle East and Ukraine.
    . . .
    Before Mr. Biden took office, under the Trump administration’s sanctions, Iran’s oil exports in 2020 were reduced to about 200,000 barrels a day from 2.7 million and its foreign reserves to roughly $4 billion from $122.5 billion. The Trump administration negotiated the Abraham Accords, the Middle East’s first peace agreement in 26 years, which could put the region on a path to widespread peace.
    The Biden-Harris administration chose not to enforce the Trump-era sanctions. As a result, Iran has been enriched with about $100 billion in oil revenue, with which Tehran funds, trains and equips the Houthis, Hamas and Hezbollah.
    In a meeting with Mr. Biden last year, I raised the issue of reinstating Trump-era sanctions against Iran. He supported the idea and told me to work with Jake Sullivan, his national security adviser. It hasn’t happened.

    The Houthis, with intelligence from Iranian navy spy ships, have launched dozens of drones and missiles to sink U.S. Navy and commercial ships in the Red Sea. Senior military officials operating in the Middle East requested permission to sink these Iranian spy ships but were denied by senior administration officials. They argued that such actions would be “escalatory.” This is a case study in self-deterrence.
    There is a precedent for the U.S. to sink Iranian warships that target our Navy. In 1988, President Ronald Reagan authorized Operation Praying Mantis in retaliation after Iran nearly sank a U.S. Navy ship in the Persian Gulf. By the end of the operation, our military sank several Iranian ships and destroyed two Iranian oil platforms. Tehran got the message.
    The most outrageous example of appeasement has been the Biden-Harris administration’s relative silence on the Iranian regime’s atrocious human-rights record, particularly against women. When Iran’s “morality police” murdered 22-year-old Mahsa Amini two years ago for not properly wearing her hijab, tens of thousands of Iranians, mostly women, took to the streets. More than 22,000 people have been arrested and more than 530 put to death. I wrote Secretary of State Antony Blinken, urging him to meet with Masih Alinejad, one of the courageous leaders of the Woman, Life, Freedom movement. He refuses to do so.
    . . .
    The administration’s policy toward Iran has dangerous repercussions across the globe. When U.N. member nations refused to reinstate the multilateral sanctions on Iran’s ballistic missiles, the White House didn’t protest. Now Iran is sending missiles to Russia to use against Ukraine.
    The Biden-Harris administration’s appeasement has squandered America’s progress against Iran. The Trump administration punished the regime with maximum sanctions, killed Quds Force Commander Qassem Soleimani, and spearheaded the Abraham Accords. History has shown time and again that appeasement doesn’t work and invites more aggression. We should learn from history.

    MIL OSI USA News

  • MIL-OSI USA: Duckworth, Ricketts, Bera, Wittman Launch Bipartisan, Bicameral Quad Caucus Ahead of Quad Leaders Summit

    US Senate News:

    Source: United States Senator for Illinois Tammy Duckworth
    September 20, 2024
    [WASHINGTON, DC] – Today, U.S. Senator Tammy Duckworth (D-IL) and Pete Ricketts (R-NE)—members of the U.S. Senate Foreign Relations Committee— joined U.S. Representatives Ami Bera, M.D. (D-CA-06) and Rob Wittman (R-VA-01) in launching the bipartisan Senate and House Quad Caucuses. This announcement comes ahead of this weekend’s Quad Leaders Summit in Wilmington, Delaware, where President Biden will welcome heads of state from Australia, India and Japan. The Quad is committed to supporting the region’s development, stability and prosperity to advance a free and open Indo-Pacific. The leaders’ ambitious efforts include major initiatives on infrastructure, maritime security, public-private partnership, climate, health, critical and emerging technologies and space.
    “Over the years, the Quad has represented the United States’ steadfast commitment to the current and future prosperity, strength and stability of the Indo-Pacific region—and proof of our ability to come together with allies and partners to uphold our shared principles,” said Senator Duckworth. “In a strong display of bipartisan support for the region, I’m proud to help launch the Senate’s first-ever Quad Caucus alongside co-chair Senator Ricketts ahead of President Biden’s leaders’ summit this weekend. Together, we’re sending a strong message to our allies and partners—and our competitors—that the United States is here for the long haul.”
    “Partnerships like the Quad are our greatest strength in protecting a prosperous, free and open Indo-Pacific against coercion and malign aggression The launch of the bipartisan Senate Quad Caucus should send a clear signal about the growing importance of the United States, Australia, Japan, and India working closely together in the region. We are committed to finding tangible ways to bolster collaboration with our Quad partners,” said Senator Ricketts.
    “As the Indo-Pacific becomes increasingly important to global security and economic prosperity, it is essential that the United States continues to strengthen relationships with our Quad partners,” said Congressman Bera. “The launch of the Quad Caucus underscores our shared commitment to fostering peace, stability, and development in the region. By promoting collaboration on key issues like maritime security, infrastructure, and climate, we can ensure a safer and more prosperous future for all.”
    “Cooperation between the United States, Japan, India, and Australia is crucial for the future stability of the Indo-Pacific,” said Congressman Wittman. “The Quad’s support for the governance of emerging technologies, countering illegal fishing, and enhanced maritime domain awareness proves that we will build a better future for the region by working together. I am proud to join my colleagues to launch this bicameral, bipartisan Quad Caucus to foster stable collaboration for years to come.” 
    As a member of the Senate Foreign Relations Committee, Duckworth has been a leader in strengthening relationships with countries in the Indo-Pacific. In July, Duckworth led an official Senate visit to Laos and Vietnam to reinforce America’s commitment to our partners in ASEAN and strengthen U.S.-ASEAN economic ties. In May, Duckworth led a bipartisan delegation to Singapore to participate in this year’s International Institute for Strategic Studies’ Shangri-La Dialogue, where she and other Senators reaffirmed our nation’s strong bipartisan commitment to our partners and allies in the Indo-Pacific. Last year, Duckworth met with ASEAN leaders on an official Senate visit to Indonesia to reinforce U.S. partnership throughout the region and find opportunities to increase cooperation in areas of mutual interest, such as countering climate change, increasing energy security and ensuring regional stability and freedom of navigation.
    -30-

    MIL OSI USA News

  • MIL-Evening Report: In the rare event of a vaccine injury, Australians should be compensated

    Source: The Conversation (Au and NZ) – By Nicholas Wood, Professor, The Children’s Hospital at Westmead Clinical School, University of Sydney

    PeopleImages.com – Yuri A/Shutterstock

    Vaccination is one of the most effective methods to protect individuals and the broader public from disease. Vaccines are typically given to healthy people to prevent disease, so the bar for safety is set high.

    People benefit from vaccination at an individual level because they’re protected from disease. But for some vaccines, strong community uptake leads to “herd immunity”. This means people who are unable to be vaccinated can be protected by the “herd”.

    As with any prescribed medicine, vaccines can cause side effects. In the rare case that COVID vaccines did cause a specified serious injury (the scheme listed certain conditions that a person could claim for), Australians have been able to claim compensation. But this ends at the end of this month.

    From then, Australians won’t be able to access no-fault compensation for any vaccine injury – from COVID or any others.

    Why compensate people for vaccine injuries?

    Fortunately, serious vaccine injuries are rare. Most are not a result of error in vaccine design, manufacturing or delivery, but are a product of a small but inherent risk.

    As a result, people who suffer serious vaccine injuries cannot get compensation through legal mechanisms. This is because they can’t demonstrate the injury was caused through negligence.

    Vaccine injury compensation schemes compensate people who have a serious vaccine injury following administration of properly manufactured vaccines.

    The COVID vaccine claims scheme

    In 2021, in recognition of the rare risk of a serious vaccine injury, and in support of the roll out of the COVID vaccine program, the Australian government introduced a COVID vaccine claims scheme.

    The aim was to provide a simple, streamlined process to compensate people who suffered a moderate to severe vaccine injury, without the need for complex legal proceedings. It was limited to TGA-approved COVID vaccines, and to specific reactions.

    The Australian government has said the scheme will close this month and claims need to be lodged before September 30 2024.

    Following its closure, Australia will not have a vaccine injury compensation scheme.

    Australia is lagging internationally

    Australia lags behind 25 other countries including the United States, United Kingdom and New Zealand which have comprehensive no-fault vaccine injury compensation schemes. These cover both COVID and non-COVID vaccines.

    The schemes are based on the ethical principle of “reciprocal justice”. This acknowledges that people acting to benefit not just themselves but also the community (for the benefit of the “herd”) should be compensated by the same community if it has resulted in harm.

    The US, UK and New Zealand all have vaccine injury compensation schemes.
    Monkey Business Images/Shutterstock

    So what happens in Australia now?

    In Australia, people with non-COVID vaccine injuries or COVID vaccine injuries not covered by the current claims scheme must bear the costs associated with their injury by themselves or access publicly funded health care. They will not receive any compensation for their injury and suffering.

    Australia’s National Disability Insurance Scheme (NDIS) provides funding support to access therapies for people with a permanent and significant disability. However, it does not cover temporary vaccine-related injuries.

    Participants with vaccine injuries as a result of taking part in a clinical vaccine trial are compensated. This typically includes income-replacement, personal assistance expenses and reimbursement of expenses resulting from the incident, including medical expenses.

    In Australia, we also have strong compulsion for people to receive routine vaccines through legislative requirements such as No Jab No Pay (which requires children to be immunised to receive some government payments) and, in some states, No Jab No Play (which requires children be fully immunised to attend childcare).

    Countries such as ours that mandate vaccination without providing no-fault injury compensation schemes for rare vaccine injury could be abrogating the social contract by not protecting the individual and community.

    It’s time to set up an Australian scheme

    The Australian immunisation system is among the most comprehensive in the world. Our government-funded national immunisation program provides free vaccines for infants, children and adults for at least 15 diseases.

    We also have a whole-of-life immunisation register and comprehensive vaccine safety surveillance system.

    Australia’s immunisation program provides vaccines for at least 15 different diseases.
    sergey kolesnikov/Shutterstock

    A recent Senate committee recommended:

    the Australian government consider the design and compensation arrangements of a no-fault compensation scheme for Commonwealth-funded vaccines in response to a future pandemic event.

    Vaccines are designed to be very safe and effective. But the “insurance policy” of an injury compensation scheme, if designed and communicated appropriately, should build trust and give confidence to health workers and the general public to support our national vaccine program. This is particularly important given the reductions in uptake of routine vaccines.

    How should it work?

    A no-fault vaccine injury compensation scheme could be funded via a vaccine levy system, as is done in the US, where an excise tax is imposed on each dose of vaccine.

    An effective vaccine injury compensation scheme needs to be:

    • accessible, with low legal and financial barriers
    • transparent, with clear decision-making processes, compensation frameworks and funding responsibilities
    • timely, with short, clear timeframes for decision-making
    • fair, with people compensated adequately for the harm they’ve suffered.

    Legislation to introduce and allocate funds to support an Australian injury compensation scheme for all vaccines is overdue. The draft National Immunisation Strategy 2025–2030 hinted at the opportunity to explore the feasibility of a no fault compensation scheme for all vaccines the Australian government funds, without committing to such a program.

    An Australian vaccine injury scheme, covering all national immunisation program vaccines, not just pandemic use vaccines, should be seen as a crucial component of our public health system and a social responsibility commitment to all Australians.

    Nicholas Wood previously received funding from the NHMRC for a Career Development Fellowship and is a Churchill Fellow.

    Sophie Wen receives funding from Queensland Government for an Advancing Clinical Research Fellowship and is a Mary McConnel career boost program recipient from Children’s Hospital Foundation. Sophie Wen is an investigator for several industry-sponsored clinical vaccine trials but does not receive any direct funding.

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

    ref. In the rare event of a vaccine injury, Australians should be compensated – https://theconversation.com/in-the-rare-event-of-a-vaccine-injury-australians-should-be-compensated-232396

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI USA: Dingell, Moore, Murray Introduce SAFE for Survivors Act to Provide Economic Security for Domestic Violence Survivors

    Source: United States House of Representatives – Congresswoman Debbie Dingell (12th District of Michigan)

    Today, Representatives Debbie Dingell (MI-06) and Gwen Moore (WI-04), along with Senator Patty Murray (D-WA), introduced the Security and Financial Empowerment (SAFE) for Survivors Act to establish provisions that promote the safety and security of survivors of domestic violence, dating violence, sexual assault, gender-based violence, and stalking. 

    The 2024 SAFE for Survivors Act allows victims to take time off from work without fear of penalty, requires that employers provide reasonable accommodations to assist survivors dealing with the aftermath of violence, provides access to unemployment benefits for survivors, and establishes insurance protections to support survivors–ensuring that victims are not punished for their abusers’ crimes.

    “Financial abuse occurs in nearly every case of domestic violence. So many survivors are financially tied to their abuser, which ends up being one of the main reasons survivors stay with an abusive partner,” Dingell said. “Survivors have unique needs in their journey to economic independence, and the provisions in this bill will support their ability to provide for their families safely and independently, whether they choose to enter, remain, or take time off from the workplace.”

    “Domestic violence survivors shouldn’t face financial hardship as they work to pick up the pieces after experiencing abuse,” Moore said. “But too many endure a financial cost, which is why we must work to remove these barriers, so that survivors can access the resources they need. That’s why I am thankful to partner with my House and Senate colleagues in much-needed legislation to strengthen survivors’ access to health care, unemployment benefits, and paid leave.”

    “No survivor of domestic violence or sexual assault should be forced to choose between their safety and their paycheck, job, or ability to support their family,” Murray said. “Survivors who are dealing with the mental and physical impacts of assault and violence often can’t afford to miss a day of work or can’t provide for their families on their own if they choose to leave a dangerous situation. We must do everything we can to change this heartbreaking reality. The SAFE Act for Survivors Act would take a huge step toward ensuring no woman or person is stuck between worrying for their safety and making ends meet.”

    One in four women in the U.S. experience physical violence from an intimate partner in their lifetime and one in four women report an attempted or completed rape during their lifetime. Individuals who experience intimate partner violence, sexual assault, gender-based violence and stalking often find that abuse and threats follow them from home into the workplace. This type of violence has direct consequences for survivors’ economic security, which can affect their ability to recover, provide for their families, and remove themselves from dangerous situations. 

    According to the Domestic Violence Hotline,  44% of full-time employed adults in the US reported experiencing the effect of domestic violence in their workplace; 21% identified themselves as victims of intimate partner violence. Domestic violence issues lead to nearly 8 million lost days of paid work each year, the equivalent of over 32,000 full-time jobs.

    Highlights of the 2024 SAFE for Survivors Act include

    Increased Access to Leave

    1. The SAFE for Survivors Act allows victims to take time off from work—40 days of leave, ten of which must be paid—without penalty in order to contend with the consequences of gender-based violence, including attending court appearances, seeking legal assistance, and getting help with safety planning. For too many victims, access to these essential services can mean the difference between life and death.

    Enhanced Workplace Protections

    1. The SAFE for Survivors Act prohibits discriminatory employment practices in connection with survivors of domestic or sexual violence and requires employers to provide reasonable accommodations to assist survivor dealing with the aftermath of violence.

    Access to Unemployment Benefits

    1. The SAFE for Survivors Act allows victims in every state access to unemployment benefits if they are fired or forced to leave their job because of abuse.

    Insurance Protections for Survivors

    1. The SAFE for Survivors Act prohibits denial or restriction of insurance coverage based on the status of the applicant or insured regarding abuse or abuse related claims, ensuring that victims are not punished for their abusers’ crimes.

    A section by section of the SAFE for Survivors Act is available HERE.

    In the House, the SAFE for Survivors Act is cosponsored by: Ann Kuster (NH-02), Delia C. Ramirez (IL-03), Mark Pocan (WI-02), Raul Grijalva (AZ-07), Barbara Lee (CA-12)

    In the Senate, the SAFE for Survivors Act is cosponsored by: Baldwin, Blumenthal, Casey, Hirono, Klobuchar, Padilla, Sanders, Shaheen.

    The SAFE for Survivors Act is endorsed by: National Partnership for Women & Families, The National Domestic Violence Hotline, Ascend Justice, Just Solutions, Legal Momentum, The Women’s Legal Defense and Education Fund, Family Values @ Work, Center for American Progress, Futures Without Violence, A Better Balance, Legal Aid at Work, Asian Pacific Institute on Gender-Based Violence, MomsRising, Center for Law and Social Policy, Women’s Center & Shelter of Greater Pittsburgh, Women Employed, Project Safeguard, The Restaurant Opportunities Centers United (ROC UNITED), Family Forward, Caminar Latino-Latinos United for Peace and Equity, National Resource Center on Domestic Violence, National Network to End Domestic Violence, The Network Advocating Against Domestic Violence.

    “In Illinois, we are fortunate to have job-protected leave for survivors under the Victims’ Economic Security and Safety Act,” said Katherine Gaughan-Palombi, Senior Attorney of Economic Justice Project, Ascend Justice. “However, passage of the Federal SAFE Act would enhance employment protections and economic security for survivors in Illinois – such as including paid leave. It would also provide crucial safe leave and job protections for survivors across the nation.”

    “In our decades of work to enact workplace protections for survivors of gender-based violence and harassment, Legal Momentum has seen how essential these laws are to ensuring the safety of survivors. Yet, the slim patchwork of state and local laws leaves too many survivors at risk,” said Seher Khawaja, Director of Economic Justice, Legal Momentum, The Women’s Legal Defense and Education Fund. “We are grateful to Representative Dingell, Representative Moore, and Senator Murray for their leadership in introducing a comprehensive bill that would establish federal paid safe leave, anti-discrimination protections and reasonable accommodations in the workplace, and access to unemployment insurance for survivors. These protections are at the heart of safeguarding and empowering survivors, and we are proud to endorse the SAFE Act.”

    “At The Hotline, we hear time and time again that economic insecurity is the largest barrier preventing survivors from leaving abusive situations,” said Katie Ray-Jones, CEO of The National Domestic Violence Hotline. “The SAFE for Survivors Act, introduced by Senator Murray, and Representatives Dingell and Moore, answers this call by giving survivors the protections they need—whether it’s leave from work, unemployment benefits, or increased protections—they can better focus on their safety and recovery. We commend their efforts to prioritize survivors’ economic security,”

    “Family Values @ Work is proud to support Representatives Dingell and Moore’s and Senator Murray’s SAFE For Survivors Act of 2024,” said Family Values @ Work (FV@W) Deputy Director Erica Clemmons Dean. “We have long championed and advocated for the need for paid sick and safe time for all, and ensuring victims of domestic violence have access to paid sick and safe time is good policy. For 20 years, FV@W has worked to win paid time to care for all workers. We’ve been fortunate to have the support of the Congresswomen and Senator, and are proud to endorse the SAFE Act as well.”

    “Survivors deserve the opportunity to seek the care they need to leave their abusive partner without the looming fear that they will lose their job or income, and job-protected, paid safe leave provides that opportunity,” said Jocelyn Frye, president of the National Partnership for Women & Families. “We thank Senator Murray and Representative Dingell for their tremendous efforts to protect survivors and to support vulnerable workers and their families.”

    “Survivors of domestic and sexual violence deserve paid leave from work so they can be safe and seek justice and healing while still being able to keep their jobs,” said Esta Soler, President and Founder of Futures Without Violence. “Thank you Senator Murray and Representatives Dingell and Moore for introducing the SAFE for Survivors Act and always fighting for the economic security of all of survivors.”

    “For survivors of violence, safety and economic security go hand in hand,” said Molly Weston Williamson, Senior Fellow, Center for American Progress. “The SAFE for Survivors Act would give survivors the tools they need to pursue safety without compromising their economic independence, including paid, protected safe leave from work for needs like relocating to safety or accessing legal or support services.”

    “Through our free and confidential legal helpline, A Better Balance hears far too often from workers who are forced to choose between their jobs and their personal or family safety,” said Jared Make, Vice President of A Better Balance. “It is imperative to provide safe leave to workers across the United States, to ensure that survivors of domestic and sexual violence are able to stay connected to the workforce while also remaining safe.”

    Dingell has long been a leader in Congress in combating domestic violence. She has led the Strengthening Protections for Domestic Violence and Stalking Survivors Act to close the boyfriend loophole and keep guns out of the hands of abusive dating partners and stalkers. In 2018, she established the Bipartisan Working Group to End Domestic Violence to bring together a bipartisan group of members to identify ways to strengthen resources and protections for survivors and their children.

    She has been working to address funding shortfalls in the Victims of Crime Act’s (VOCA) Crime Victims Fund (CVF), the largest source of federal grant funding for victim services organizations, including organizations supporting survivors of domestic and sexual violence, child abuse, stalking, and other crimes. 

    In April, Dingell led a letter to Federal Communications Commission (FCC) Chairwoman Jessica Rosenworcel, urging the Commission to take proactive measures to address the threat of domestic abusers exploiting connectivity tools in vehicles to harass and intimidate their partners.

    This year she co-led the Justice in Sentencing for Survivors Act, which authorizes the court to impose a sentence that is below the mandatory minimum if the offender’s crime is connected to their survivor status, and the TAKE IT DOWN Act, which bans the publication of non-consensual intimate images (also known as deepfakes) prohibits their distribution and creates a criminal penalty for doing so, and requires websites to have a removal process.

    MIL OSI USA News

  • MIL-OSI Global: Climate change is a pollution problem, and countries know how to deal with pollution threats – think DDT and acid rain

    Source: The Conversation – USA – By Alexander E. Gates, Professor of Earth and Environmental Science, Rutgers University – Newark

    Adding scrubbers in coal-fired power plants helped reduce acid rain, but they continued to fuel climate change. Drums600 via Wikimedia, CC BY-SA

    Climate change can seem like an insurmountable challenge. However, if you look closely at its causes, you’ll realize that history is filled with similar health and environmental threats that humanity has overcome.

    The main cause of climate change – carbon dioxide from the burning of fossil fuels – is really just another pollutant. And countries know how to reduce harmful pollutants. They did it with the pesticide DDT, lead paint and the power plant emissions that were causing acid rain, among many others.

    In each of those cases, growing public outcry eventually led to policy changes, despite pushback from industry. Once pressured by laws and regulations, industries ramped up production of safer solutions.

    I am an earth and environmental scientist, and my latest book, “Reclaiming Our Planet,” explores history’s lessons in overcoming seemingly insurmountable hazards. Here are a few examples:

    Banning DDT despite industry pushback

    DDT was the first truly effective pesticide and considered to be miraculous. By killing mosquitoes and lice, it wiped out malaria and other diseases in many countries, and in agriculture, it saved tons of crops.

    After World War II, DDT was applied to farms, buildings and gardens throughout the United States. However, it also had drawbacks. It accumulated in mother’s milk to levels where it could deliver a toxic dose to infants. Women were advised against nursing their babies in the 1960s because of the danger.

    U.S. bald eagle populations were decimated by DDT. Once the chemical was banned, they began to rebound.
    U.S. Fish and Wildlife Service

    In addition, DDT bioaccumulated up the food chain to toxic levels in apex species like raptors. It weakened the eggshells to the point where brooding mothers crushed their eggs. Bald eagles were reduced to 417 breeding pairs across North America by 1967 and were placed on the endangered species list.

    Biologist Rachel Carson documented DDT’s damage in her 1962 book “Silent Spring” and, in doing so, catalyzed a public environmental movement. Despite disinformation campaigns and attacks from the chemical industry, tremendous public pressure on politicians led to congressional hearings, state and federal restrictions and eventually a U.S. ban on the general use of DDT in 1972.

    Rachel Carson, whose book ‘Silent Spring’ led to a study of pesticides, testifies before a Senate committee in Washington on June 4, 1963.
    AP Photo/Charles Gorry

    Bald eagles recovered to 320,000 in the United States by 2017, about equal to populations from before European settlement. The chemical industry, facing a DDT ban, quickly developed much safer pesticides.

    Building evidence of lead’s hazards

    Lead use skyrocketed in the 20th century, particularly in paints, plumbing and gasoline. It was so widespread that just about everyone was exposed to a metal that research now shows can harm the kidneys, liver, cardiovascular system and children’s brain development.

    Clair “Pat” Patterson, a geochemist at the California Institute of Technology, showed that Americans were continuously exposed to lead at near toxic levels. Human skeletons from the 1960s were found to have up to 1,200 times the lead of ancient skeletons. Today, health standards say there’s no safe level of lead in the blood.

    Lead paint was banned for residential use in the U.S. in 1978, but existing lead paint in older homes can still chip, creating a health risk for children today.
    EPA

    Despite threats both personally and professionally and a disinformation campaign from industry, Patterson and his supporters compiled years of evidence to warn the public and eventually pressured politicians to ban lead from many uses, including in gasoline and residential paints.

    Once regulations were in place, industry ramped up production of substitutes. As a result, lead levels in the blood of children decreased by 97% over the next several decades. While lead exposure is less common now, some people are still exposed to dangerous levels lingering in homes, pipes and soil, often in low-income neighborhoods.

    Stopping acid rain: An international problem

    Acid rain is primarily caused when sulfur dioxide, released into the air by the burning of coal, high-sulfur oil and smelting and refining of metals, interacts with rain or fog. The acidic rain that falls can destroy forests, kill lake ecosystems and dissolve statues and corrode infrastructure.

    Acid rain damage across Europe and North America in the 20th century also showed the world how air pollution, which doesn’t stop at borders, can become an international crisis requiring international solutions.

    The problem of acid rain began well over a century ago, but sulfur dioxide levels grew quickly after World War II. A thermal inversion in London in 1952 created such a concentration of sulfur dioxide and other air pollutants that it killed thousands of people. As damage to forests and lakes worsened across Europe, countries signed international agreements starting in the 1980s to cut their sulfur dioxide emissions.

    Trees killed by acid rain in the Czech Republic in 1998. Forests across many parts of Europe and North America suffered from acid rain damage.
    Seitz/ullstein bild via Getty Images

    In the U.S., emissions from Midwestern power plants killed fish and trees in the pristine Adirondacks. The damage, health concerns and multiple disasters outraged the public, and politicians responded.

    Sulfur dioxide was named as one of the six criteria air pollutants in the groundbreaking 1970 U.S. Clean Air Act, which required the federal government to set limits on its release. Power plants installed scrubbers to capture the pollutant, and over the next 40 years, sulfur dioxide concentrations in the U.S. decreased by about 95%.

    Parallels with climate change

    There are many parallels between these examples and climate change today.

    Mountains of scientific evidence show how carbon dixoide emissions from fossil fuel combustion in vehicles, factories and power plants are warming the planet. The fossil fuel industry began using its political power and misinformation campaigns decades ago to block regulations that were designed to slow climate change.

    And people around the world, facing worsening heat and weather disasters fueled by global warming, have been calling for action to stop climate change and invest in cleaner energy.

    The first Earth Day, in 1970, drew 20 million people. Rallies in recent years have shifted the focus to climate change and have drawn millions of people around the world.

    Public campaigns and huge rallies for action on climate change, like this one in New York City in 2023, help put public pressure on politicians.
    Erik McGregor/LightRocket via Getty Images

    The challenge has been getting politicians to act, but that is slowly changing in many countries.

    The United States has started investing in scaling up several tools to rein in climate change, including electric vehicles, wind turbines and solar panels. Federal and state policies, such as requirements for renewable energy production and limits on greenhouse gas emissions, are also crucial for getting industries to switch to less harmful alternatives.

    Climate change is a global problem that will require efforts worldwide. International agreements are also helping more countries take steps forward. One shift that has been discussed by countries for years could help boost those efforts: Ending the billions of dollars in taxpayer-funded fossil fuel subsidies and shifting that money to healthier solutions could help move the needle toward slowing climate change.

    Alexander E. Gates is affiliated with The Newark Green Team.

    ref. Climate change is a pollution problem, and countries know how to deal with pollution threats – think DDT and acid rain – https://theconversation.com/climate-change-is-a-pollution-problem-and-countries-know-how-to-deal-with-pollution-threats-think-ddt-and-acid-rain-236479

    MIL OSI – Global Reports

  • MIL-OSI USA: FACT SHEET: Partnership for Atlantic Cooperation  Ministerial

    US Senate News:

    Source: The White House
    Today, the members of the Partnership for Atlantic Cooperation, – or the Atlantic Partnership – came together and reaffirmed their commitment to a peaceful, stable, and prosperous Atlantic region and a healthy, sustainable, and resilient Atlantic Ocean that is a resource for future generations. Since its launch, the Atlantic Partnership has grown to forty-two members, representing more than 75 percent of the Atlantic coastline. Countries from Africa, Europe, North America, South America, and the Caribbean come together to address shared challenges, promote common solutions, and advance collective principles. In addition to the 32 original founding members, Belgium, Belize, Benin, Cameroon, Guinea-Bissau, Panama, Sao Tome and Principe, Sierra Leone, Suriname, and Trinidad and Tobago have joined the Atlantic Partnership over the past year.
    Members have endorsed a Declaration on Atlantic Cooperation promising engagement on the basis of international law, existing national and international legal frameworks, mutual collaboration, and respect for differences in capacity and political perspective, and acknowledging the special role and primary interest of Atlantic states in the Atlantic.  At today’s ministerial, the Partnership’s members reaffirmed their commitment to work together to uphold the guiding principles for Atlantic cooperation as outlined in the Declaration. These include:
    A commitment to uphold international law, including the UN Charter, to promote an open Atlantic in which Atlantic states are free from interference, coercion, or aggressive action;
    A commitment to uphold the principles of sovereign equality, territorial integrity, and political independence of states;
    Recognition of the special interest and primary role that Atlantic states have in the Atlantic.
    The Atlantic Partnership has focused on three lines of effort: 1)Sustainable Blue Economy, 2) Science Capacity Building and Exchange, and 3) Ocean-based Food Security.
    Sustainable Blue Economy
    The blue economy is the sustainable use of Atlantic Ocean resources for economic growth. The increase in the use of the ocean space, resources, and services, and their impact on marine biodiversity and ocean ecosystems, can put the ocean’s benefits at risk. The Declaration and its accompanying Plan of Action established the objective of advancing sustainable blue economic development as an overarching Atlantic Partnership goal. The United States is contributing to the Sustainable Blue Economy line of effort with the following programs and initiatives:   
    Marine Spatial Planning Technical Assistance – The Atlantic Partnership has established a working group on Marine Spatial Planning (MSP), which is co-chaired by Spain, Morocco, and Angola. MSP is a process that helps coordinate multiple ocean-related industries to use marine resources sustainably. MSP can provide an integrated, ecosystem-based framework to allow for sustainable use of the marine and coastal environment, maintain biodiversity, and ensure alignment of government policies, community needs, and economic drivers. The United States is sponsoring MSP capacity building via directed technical assistance, local case studies, and global best practices.         
    Blue Economy/Blue Tech Solutions Public Diplomacy:  The United States is sponsoring a series of Atlantic Partnership Blue Economy/Blue Tech Solutions events.  The events will bring the private sector, non-governmental organizations (NGOs), and technical government offices together with U.S. counterparts to develop and deploy solutions to environment- and ocean-related challenges with the United States as a model.      
    Partnering Across the Atlantic on the Blue Economy – The United States is sponsoring technical assistance and capacity building to strengthen Atlantic Partnership members’ efforts to grow the blue economy. The Atlantic Partnership is strengthening the blue economy via support for work on aquaculture, sustainable fisheries, coastal planning, coastal resilience, science-based decision making, technology and data management, and early career development for scientists.     
    Support for Ghost Gear Reduction in the Atlantic – Ghost gear is abandoned, lost, or discarded fishing gear that can wreak havoc on marine ecosystems. The United States is working with the Global Ghost Gear Initiative and technical experts and local partners in West Africa and Central America to identify factors contributing to ghost gear in the Atlantic Ocean and potential solutions. In April 2024, The United States and Canada convened Atlantic Partnership members to focus on the problem of abandoned, lost or discarded fishing gear (ALDFG) or “ghost gear,” a form of marine plastic debris.  Canada, Costa Rica, and Ghana shared response experiences, best practices, and challenges, creating a new network of pan-Atlantic practitioners addressing the issue.    
    Partnership for Atlantic Cooperation Marine and Blue Economy “4TheAtlantic” Incubator – To bolster cooperation among Atlantic Cooperation countries in the Gulf of Guinea to address emerging oceanic environmental issues, the United States is funding a three-day capacity building program designed to help entrepreneurs across Atlantic Partnership members to tackle emerging oceanic environmental issues such as food security, rising sea levels, deteriorating marine life, increased oceanic and surface temperatures, unregulated fishing, and marine pollution. 
    Ocean-related or “Blue” Technology – In August 2024, the Atlantic Partnership convened technology leaders to introduce new and innovative technology solutions to improve the blue economy, enhance environmental stewardship, and address challenges posed by climate change. These included technologies for ocean mapping, hydrography, GIS, ocean observation, robotics and telepresence, and vessel monitoring.
    Innovative Financing: In April 2024, the United States convened members and external partners to focus on innovative financing solutions for marine conservation. Co-hosted by Pew and the Nature Conservancy, the event highlighted opportunities and processes associated with debt-for-nature programming and the Belize and Gabon’s experiences of with innovative finance to protect their marine areas.    
    Science Capacity Building and Exchange    The Atlantic Ocean is at the heart of the Atlantic Partnership.  Under the leadership of Brazil, Portugal, and the United States, the Partnership has created a platform to advance Atlantic Ocean observation and understanding. The Platform creates a mechanism to bring in world-class science, connect with ongoing scientific endeavors, strengthen member participation, and deliver benefits to members. The United States is contributing to the Science Capacity Building and Exchange line of effort with the following programs and initiatives:   
    Building Ocean Observation and Modeling Capacity – The United States is sponsoring a targeted effort to support diverse, equitable, and inclusive all-Atlantic research collaborations with facilitated trainings and workshops that respond to Atlantic Partnership members’ needs, including building the technical capacity and increasing global access to Atlantic Ocean research data through increased access to and training on ocean observing equipment for under-resourced countries and communities, and will collaborate with All-Atlantic Ocean Research and Innovation Alliance (AAORIA) Partners. 
    Atlantic Partnership/AAORIA Ocean Observation and Modeling Workshop – The United States hosted a joint Atlantic Partnership/AAORIA workshop on ocean observation and modeling capacities in Washington, DC. Collaboration with AAORIA brings access to the broader Atlantic Ocean science community, strengthens the potential for internal interagency coordination in member governments, and further demonstrates the power of the Atlantic community.     
    Ocean-Based Food Security  
    Food security and food system resilience affect all countries, and some of the coastal Atlantic states face acute pressures. Over half the world’s population depends on ocean-derived foods as a vital food source, underscoring the immense importance of ocean-based food security. In addition to conflict and political challenges, Atlantic States face increasing pressures from changing precipitation patterns, shifting fisheries stocks, and warming oceans, all of which affect food and nutrition security in real terms. 
    The United States is contributing to the Food Security of effort with the following initiative:   
    Ocean-based Food Security Solutions Exchange: The Atlantic Partnership “solutions exchange” will focus on sustainable aquaculture as a food security solution, highlighting global food security as its signature issue for its December 2024 UN Security Council Presidency General Debate. Working with the Environmental Defense Fund, the United States will bring together government officials, private sector leaders, NGO and academic experts, philanthropies, and multilateral groups to focus on the nexus between food security and the Atlantic Ocean. This exchange will highlight the critical importance of the issue of food security, particularly the potential for the Atlantic Ocean to support sustainable responses.   
    Public Private PartnershipsThe United States is partnering with the Schmidt Ocean Institute and with additional philanthropies, academics, private sector, and NGOs to bring their significant resources and expertise to augment government efforts, with a particular focus on ocean research and observations and harness opportunities for early career scientists. 
    Partnership with Schmidt Ocean Institute:  The United States is partnering with Schmidt Ocean Institute to leverage its planned work in Atlantic Ocean scientific observation, research, and capacity building, through the 2025-2029 R/V Falkor (too) Atlantic Expeditions.
    Cabo Verde Partnership Opportunity Delegation:  The United States will bring a delegation of interested U.S.-based research, private sector, and conservation organizations to explore opportunities to collaborate with Cabo Verde at the nexus of science exchange and sustainable economic development.    
    Ongoing U.S. Atlantic ProgramsConsistent with our leadership of the Atlantic Partnership, the United States has implemented and continues to advance programs across the Atlantic on a range of shared challenges:
    The End Plastic Pollution International Collaborative (EPPIC) – The United States initiated EPPIC, a new international public-private partnership to incentivize investment and solutions to end plastic pollution, starting upstream. EPPIC engages partners beyond national level governments to take on ambitious commitments that reduce demand for plastic and maximize circularity.
    Save Our Seas Initiative – The United States addresses ocean plastic pollution in the northern coast of Dominican Republic through its global and bilateral programs. The global Clean Cities, Blue Ocean program focuses on supporting an improved solid waste management system and remediating opened dump sites in Samana Province and preventing waste, including plastic waste entering the Samana Bay. The Dominican Republic Solid Waste Reduction Program works to reduce waste in municipalities on Puerto Plata, Monte Cristi, and Dojabon provinces leading to cleaner oceans, enabling communities and economies to thrive and build resilience to climate and economic shocks.  
    Coastal Resilience, Carbon, and Conservation Finance – The United States Climate Finance for Development Accelerator launched the Coastal Resilience, Carbon, and Conservation Finance (C3F) program to encourage the flow of private capital into coastal resilience and blue carbon projects. These projects generate biodiversity conservation, climate mitigation, and adaptation outcomes while safeguarding local communities’ benefits.  The United States is partnering with the Ocean Risk and Resilience Alliance to identify and engage stakeholders in Senegal, Guatemala, Dominican Republic, Guyana, Suriname, and other countries to build capacity to develop bankable, climate-positive projects and address information asymmetries between communities and investors – leading to investments that safeguard local resources and livelihoods.
    Blue Carbon Inventory Project – Through the Blue Carbon Inventory Project, the United States will continue to provide partner countries with technical assistance on the integration of coastal wetlands in National Greenhouse Gas Inventories and maximizing the value of these ecosystems in terms of coastal resilience and blue economies. Through an integrated series of workshops, engagements and directed bilateral collaboration, the Blue Carbon Inventory Project has already collaborated to varying degrees with Costa Rica, Ghana, and Senegal and hopes to engage with other members of the Partnership for Atlantic Cooperation in the years to come.
    Atlantic Ocean Marine Microbiome Working Group – Marine microbes play pivotal roles in the environment and climate, the food value chain, biodiscovery, and a host of cross-cutting challenges, including the need to demonstrate the socio-economic value of marine microbiomes and environmental DNA (eDNA). The United States co-chairs and provides in-kind contributions to the Atlantic Ocean Marine Microbiome Working Group, which focuses on building a network of marine microbiome researchers and disseminating knowledge about the important role microbiomes play in the functioning of the ocean.
    Marine Biodiversity Observation Network (MBON) Pole to Pole of the Americas – The United States continues to provide support for MBON Pole to Pole, a knowledge sharing network dedicated to the collection, use, and sharing of marine biodiversity data in a coordinated, standardized manner, leveraging existing infrastructure and standards.
    U.S.-Caribbean Partnership to Address the Climate Crisis 2030 (PACC 2030) – The United States has provided over $100 million in new resources to increase access to climate finance, accelerate the transition to renewable energy, and build resilience to climate change and natural disasters under PACC 2030. PACC 2030 has established a network of Caribbean-based scientific experts to develop new climate mitigation and adaptation measures, identified new opportunities for clean energy infrastructure, and enhanced resilient food production systems to feed the region. 
    Caribbean Sustainable Ecosystems Activity – The United States Caribbean Sustainable Ecosystems Activity aims to reduce threats to coastal-marine biodiversity in the Caribbean while building coastal communities’ resilience to climate change. The Sustainable Ecosystems Activity harmonizes regional conservation approaches and engages the tourism sector to advocate and conserve marine protected areas
    Caribbean Biodiversity Program – Marine Protected Areas (MPAs) can help support biodiversity and climate resilience in the face of climate change. The Caribbean Biodiversity Program facilitates international and regional peer-to-peer exchange between MPAs in areas of enforcement, protected area financing, communication, outreach, public education, coral reef monitoring, and socio-economic monitoring.
    Sargassum Inundation Embassy Science Fellow – Sargassum inundation events occur when rafts of this algae are carried to shore by winds and currents. These events are a type of harmful algal bloom that can adversely impact coastal ecosystems, tourism, and public health. The United States embedded an environmental engineer at the University of the West Indies to focus on collaborative research to better detect and address Sargassum influxes in the Caribbean and to support developing a plan for identification and response strategies for Sargassum inundation events in the Eastern Caribbean. 
    National Marine Litter Action Plans – The United States assisted several Atlantic Partnership members (Costa Rica, Dominican Republic, and Guatemala) in the development of their National Marine Litter Action Plans which establish a roadmap for relevant authorities in each country to better manage marine litter issues.
    Ocean Conservation Skill Sharing – The United States is working to build relationships among regional institutions to share approaches and learning to improve conservation of mangroves, shellfish, seagrass, and coral reefs.
    Support for fisheries management efforts of the International Commission for the Conservation of Atlantic Tunas (ICCAT) – The United States provides extensive support for ICCAT, which oversees the conservation and management of Atlantic tunas, swordfish, marlin and sharks, and adopts measures to minimize bycatch of sea turtles, seabirds, and other protected species associated with these fisheries. This responsibility is shared among ICCAT’s 53 members, including a number of members of the Atlantic Partnership. 
    Support for the Atlantic Centre Course on “Illegal, Unreported, and Unregulated Fishing in the Atlantic” – The United States partners with the Atlantic Centre, a “Multilateral Centre of Excellence,” to promote defense capacity-building for the Atlantic, including the recent course on “Illegal, Unreported, and Unregulated Fishing in the Atlantic,” held in the Azores. 
    Joint Presentation of the Five-Day Illegal, Unreported, and Unregulated Fishing Seminar – The United States has deployed an exportable, internationally-focused seminar to assist partner nations (including Cote d’Ivoire, Nigeria, and Sierra Leone) to develop and strengthen their fisheries enforcement regimes to help prevent illegal, unreported, and unregulated fishing products from entering the global seafood market. 
    Maritime Advisor to Côte d’Ivoire – The United States supports a Maritime Advisor to Côte d’Ivoire, who assists in countering illegal, unreported, and unregulated fishing; and improving maritime governance, port security, and port state control in West Africa. A mobile training team completed a two-week Boarding Officer Course for 18 Ivorians from their Navy, Gendarmerie, Customs and Fisheries organizations.  
    Ghana Fisheries Recovery Activity – The United States funds the Feed the Future Ghana Fisheries Recovery Activity (GFRA) – a five-year, $17.8 million project that is mitigating the near collapse of Ghana’s small pelagic fisheries and establishing a foundation for their ecological recovery. The GFRA reduces overfishing and improves small pelagic fisheries management, which encourages ecological sustainability and marine biodiversity conservation and improves the socioeconomic well-being, food security, and resilience of fishers and coastal communities in Ghana. 
    Women Shellfishers and Food Security Activity – The United States works in field sites in The Gambia and Ghana to demonstrate effective shellfishing and natural resource management approaches to women-led, community-based shellfishing operations.
    Protecting Natural Ecosystems in Sierra Leone – The United States provided $10 million in political risk insurance to support West Africa Blue’s equity investment in a mangrove blue carbon project in the Bonthe and Moyamba regions of Sierra Leone. The project builds on a longstanding relationship with local communities and aims to develop long-term conservation, restoration, and income diversification activities funded sustainably through the issuance of high-quality, certified carbon credits. 

    MIL OSI USA News

  • MIL-OSI USA News: FACT SHEET: Partnership for Atlantic Cooperation  Ministerial

    Source: The White House

    Today, the members of the Partnership for Atlantic Cooperation, – or the Atlantic Partnership – came together and reaffirmed their commitment to a peaceful, stable, and prosperous Atlantic region and a healthy, sustainable, and resilient Atlantic Ocean that is a resource for future generations.
     
    Since its launch, the Atlantic Partnership has grown to forty-two members, representing more than 75 percent of the Atlantic coastline. Countries from Africa, Europe, North America, South America, and the Caribbean come together to address shared challenges, promote common solutions, and advance collective principles. In addition to the 32 original founding members, Belgium, Belize, Benin, Cameroon, Guinea-Bissau, Panama, Sao Tome and Principe, Sierra Leone, Suriname, and Trinidad and Tobago have joined the Atlantic Partnership over the past year.

    Members have endorsed a Declaration on Atlantic Cooperation promising engagement on the basis of international law, existing national and international legal frameworks, mutual collaboration, and respect for differences in capacity and political perspective, and acknowledging the special role and primary interest of Atlantic states in the Atlantic. 
     
    At today’s ministerial, the Partnership’s members reaffirmed their commitment to work together to uphold the guiding principles for Atlantic cooperation as outlined in the Declaration. These include:

    • A commitment to uphold international law, including the UN Charter, to promote an open Atlantic in which Atlantic states are free from interference, coercion, or aggressive action;
    • A commitment to uphold the principles of sovereign equality, territorial integrity, and political independence of states;
    • Recognition of the special interest and primary role that Atlantic states have in the Atlantic.

    The Atlantic Partnership has focused on three lines of effort: 1)Sustainable Blue Economy, 2) Science Capacity Building and Exchange, and 3) Ocean-based Food Security.

    Sustainable Blue Economy

    The blue economy is the sustainable use of Atlantic Ocean resources for economic growth. The increase in the use of the ocean space, resources, and services, and their impact on marine biodiversity and ocean ecosystems, can put the ocean’s benefits at risk. The Declaration and its accompanying Plan of Action established the objective of advancing sustainable blue economic development as an overarching Atlantic Partnership goal. The United States is contributing to the Sustainable Blue Economy line of effort with the following programs and initiatives:   

    • Marine Spatial Planning Technical Assistance – The Atlantic Partnership has established a working group on Marine Spatial Planning (MSP), which is co-chaired by Spain, Morocco, and Angola. MSP is a process that helps coordinate multiple ocean-related industries to use marine resources sustainably. MSP can provide an integrated, ecosystem-based framework to allow for sustainable use of the marine and coastal environment, maintain biodiversity, and ensure alignment of government policies, community needs, and economic drivers. The United States is sponsoring MSP capacity building via directed technical assistance, local case studies, and global best practices.         
    • Blue Economy/Blue Tech Solutions Public Diplomacy:  The United States is sponsoring a series of Atlantic Partnership Blue Economy/Blue Tech Solutions events.  The events will bring the private sector, non-governmental organizations (NGOs), and technical government offices together with U.S. counterparts to develop and deploy solutions to environment- and ocean-related challenges with the United States as a model.      
    • Partnering Across the Atlantic on the Blue Economy – The United States is sponsoring technical assistance and capacity building to strengthen Atlantic Partnership members’ efforts to grow the blue economy. The Atlantic Partnership is strengthening the blue economy via support for work on aquaculture, sustainable fisheries, coastal planning, coastal resilience, science-based decision making, technology and data management, and early career development for scientists.     
    • Support for Ghost Gear Reduction in the Atlantic – Ghost gear is abandoned, lost, or discarded fishing gear that can wreak havoc on marine ecosystems. The United States is working with the Global Ghost Gear Initiative and technical experts and local partners in West Africa and Central America to identify factors contributing to ghost gear in the Atlantic Ocean and potential solutions. In April 2024, The United States and Canada convened Atlantic Partnership members to focus on the problem of abandoned, lost or discarded fishing gear (ALDFG) or “ghost gear,” a form of marine plastic debris.  Canada, Costa Rica, and Ghana shared response experiences, best practices, and challenges, creating a new network of pan-Atlantic practitioners addressing the issue.    
    • Partnership for Atlantic Cooperation Marine and Blue Economy “4TheAtlantic” Incubator – To bolster cooperation among Atlantic Cooperation countries in the Gulf of Guinea to address emerging oceanic environmental issues, the United States is funding a three-day capacity building program designed to help entrepreneurs across Atlantic Partnership members to tackle emerging oceanic environmental issues such as food security, rising sea levels, deteriorating marine life, increased oceanic and surface temperatures, unregulated fishing, and marine pollution. 
    • Ocean-related or “Blue” Technology – In August 2024, the Atlantic Partnership convened technology leaders to introduce new and innovative technology solutions to improve the blue economy, enhance environmental stewardship, and address challenges posed by climate change. These included technologies for ocean mapping, hydrography, GIS, ocean observation, robotics and telepresence, and vessel monitoring.
    • Innovative Financing: In April 2024, the United States convened members and external partners to focus on innovative financing solutions for marine conservation. Co-hosted by Pew and the Nature Conservancy, the event highlighted opportunities and processes associated with debt-for-nature programming and the Belize and Gabon’s experiences of with innovative finance to protect their marine areas.    

    Science Capacity Building and Exchange  
      
    The Atlantic Ocean is at the heart of the Atlantic Partnership.  Under the leadership of Brazil, Portugal, and the United States, the Partnership has created a platform to advance Atlantic Ocean observation and understanding. The Platform creates a mechanism to bring in world-class science, connect with ongoing scientific endeavors, strengthen member participation, and deliver benefits to members. The United States is contributing to the Science Capacity Building and Exchange line of effort with the following programs and initiatives:   

    • Building Ocean Observation and Modeling Capacity – The United States is sponsoring a targeted effort to support diverse, equitable, and inclusive all-Atlantic research collaborations with facilitated trainings and workshops that respond to Atlantic Partnership members’ needs, including building the technical capacity and increasing global access to Atlantic Ocean research data through increased access to and training on ocean observing equipment for under-resourced countries and communities, and will collaborate with All-Atlantic Ocean Research and Innovation Alliance (AAORIA) Partners. 
    • Atlantic Partnership/AAORIA Ocean Observation and Modeling Workshop – The United States hosted a joint Atlantic Partnership/AAORIA workshop on ocean observation and modeling capacities in Washington, DC. Collaboration with AAORIA brings access to the broader Atlantic Ocean science community, strengthens the potential for internal interagency coordination in member governments, and further demonstrates the power of the Atlantic community.     

    Ocean-Based Food Security  

    Food security and food system resilience affect all countries, and some of the coastal Atlantic states face acute pressures. Over half the world’s population depends on ocean-derived foods as a vital food source, underscoring the immense importance of ocean-based food security. In addition to conflict and political challenges, Atlantic States face increasing pressures from changing precipitation patterns, shifting fisheries stocks, and warming oceans, all of which affect food and nutrition security in real terms. 

    The United States is contributing to the Food Security of effort with the following initiative:   

    • Ocean-based Food Security Solutions Exchange: The Atlantic Partnership “solutions exchange” will focus on sustainable aquaculture as a food security solution, highlighting global food security as its signature issue for its December 2024 UN Security Council Presidency General Debate. Working with the Environmental Defense Fund, the United States will bring together government officials, private sector leaders, NGO and academic experts, philanthropies, and multilateral groups to focus on the nexus between food security and the Atlantic Ocean. This exchange will highlight the critical importance of the issue of food security, particularly the potential for the Atlantic Ocean to support sustainable responses.   

    Public Private Partnerships
    The United States is partnering with the Schmidt Ocean Institute and with additional philanthropies, academics, private sector, and NGOs to bring their significant resources and expertise to augment government efforts, with a particular focus on ocean research and observations and harness opportunities for early career scientists. 

    • Partnership with Schmidt Ocean Institute:  The United States is partnering with Schmidt Ocean Institute to leverage its planned work in Atlantic Ocean scientific observation, research, and capacity building, through the 2025-2029 R/V Falkor (too) Atlantic Expeditions.
    • Cabo Verde Partnership Opportunity Delegation:  The United States will bring a delegation of interested U.S.-based research, private sector, and conservation organizations to explore opportunities to collaborate with Cabo Verde at the nexus of science exchange and sustainable economic development.    

    Ongoing U.S. Atlantic Programs
    Consistent with our leadership of the Atlantic Partnership, the United States has implemented and continues to advance programs across the Atlantic on a range of shared challenges:

    • The End Plastic Pollution International Collaborative (EPPIC) – The United States initiated EPPIC, a new international public-private partnership to incentivize investment and solutions to end plastic pollution, starting upstream. EPPIC engages partners beyond national level governments to take on ambitious commitments that reduce demand for plastic and maximize circularity.
    • Save Our Seas Initiative – The United States addresses ocean plastic pollution in the northern coast of Dominican Republic through its global and bilateral programs. The global Clean Cities, Blue Ocean program focuses on supporting an improved solid waste management system and remediating opened dump sites in Samana Province and preventing waste, including plastic waste entering the Samana Bay. The Dominican Republic Solid Waste Reduction Program works to reduce waste in municipalities on Puerto Plata, Monte Cristi, and Dojabon provinces leading to cleaner oceans, enabling communities and economies to thrive and build resilience to climate and economic shocks.  
    • Coastal Resilience, Carbon, and Conservation Finance – The United States Climate Finance for Development Accelerator launched the Coastal Resilience, Carbon, and Conservation Finance (C3F) program to encourage the flow of private capital into coastal resilience and blue carbon projects. These projects generate biodiversity conservation, climate mitigation, and adaptation outcomes while safeguarding local communities’ benefits.  The United States is partnering with the Ocean Risk and Resilience Alliance to identify and engage stakeholders in Senegal, Guatemala, Dominican Republic, Guyana, Suriname, and other countries to build capacity to develop bankable, climate-positive projects and address information asymmetries between communities and investors – leading to investments that safeguard local resources and livelihoods.
    • Blue Carbon Inventory Project – Through the Blue Carbon Inventory Project, the United States will continue to provide partner countries with technical assistance on the integration of coastal wetlands in National Greenhouse Gas Inventories and maximizing the value of these ecosystems in terms of coastal resilience and blue economies. Through an integrated series of workshops, engagements and directed bilateral collaboration, the Blue Carbon Inventory Project has already collaborated to varying degrees with Costa Rica, Ghana, and Senegal and hopes to engage with other members of the Partnership for Atlantic Cooperation in the years to come.
    • Atlantic Ocean Marine Microbiome Working Group – Marine microbes play pivotal roles in the environment and climate, the food value chain, biodiscovery, and a host of cross-cutting challenges, including the need to demonstrate the socio-economic value of marine microbiomes and environmental DNA (eDNA). The United States co-chairs and provides in-kind contributions to the Atlantic Ocean Marine Microbiome Working Group, which focuses on building a network of marine microbiome researchers and disseminating knowledge about the important role microbiomes play in the functioning of the ocean.
    • Marine Biodiversity Observation Network (MBON) Pole to Pole of the Americas – The United States continues to provide support for MBON Pole to Pole, a knowledge sharing network dedicated to the collection, use, and sharing of marine biodiversity data in a coordinated, standardized manner, leveraging existing infrastructure and standards.
    • U.S.-Caribbean Partnership to Address the Climate Crisis 2030 (PACC 2030) – The United States has provided over $100 million in new resources to increase access to climate finance, accelerate the transition to renewable energy, and build resilience to climate change and natural disasters under PACC 2030. PACC 2030 has established a network of Caribbean-based scientific experts to develop new climate mitigation and adaptation measures, identified new opportunities for clean energy infrastructure, and enhanced resilient food production systems to feed the region. 
    • Caribbean Sustainable Ecosystems Activity – The United States Caribbean Sustainable Ecosystems Activity aims to reduce threats to coastal-marine biodiversity in the Caribbean while building coastal communities’ resilience to climate change. The Sustainable Ecosystems Activity harmonizes regional conservation approaches and engages the tourism sector to advocate and conserve marine protected areas
    • Caribbean Biodiversity Program – Marine Protected Areas (MPAs) can help support biodiversity and climate resilience in the face of climate change. The Caribbean Biodiversity Program facilitates international and regional peer-to-peer exchange between MPAs in areas of enforcement, protected area financing, communication, outreach, public education, coral reef monitoring, and socio-economic monitoring.
    • Sargassum Inundation Embassy Science FellowSargassum inundation events occur when rafts of this algae are carried to shore by winds and currents. These events are a type of harmful algal bloom that can adversely impact coastal ecosystems, tourism, and public health. The United States embedded an environmental engineer at the University of the West Indies to focus on collaborative research to better detect and address Sargassum influxes in the Caribbean and to support developing a plan for identification and response strategies for Sargassum inundation events in the Eastern Caribbean. 
    • National Marine Litter Action Plans – The United States assisted several Atlantic Partnership members (Costa Rica, Dominican Republic, and Guatemala) in the development of their National Marine Litter Action Plans which establish a roadmap for relevant authorities in each country to better manage marine litter issues.
    • Ocean Conservation Skill Sharing – The United States is working to build relationships among regional institutions to share approaches and learning to improve conservation of mangroves, shellfish, seagrass, and coral reefs.
    • Support for fisheries management efforts of the International Commission for the Conservation of Atlantic Tunas (ICCAT) – The United States provides extensive support for ICCAT, which oversees the conservation and management of Atlantic tunas, swordfish, marlin and sharks, and adopts measures to minimize bycatch of sea turtles, seabirds, and other protected species associated with these fisheries. This responsibility is shared among ICCAT’s 53 members, including a number of members of the Atlantic Partnership. 
    • Support for the Atlantic Centre Course on “Illegal, Unreported, and Unregulated Fishing in the Atlantic” – The United States partners with the Atlantic Centre, a “Multilateral Centre of Excellence,” to promote defense capacity-building for the Atlantic, including the recent course on “Illegal, Unreported, and Unregulated Fishing in the Atlantic,” held in the Azores. 
    • Joint Presentation of the Five-Day Illegal, Unreported, and Unregulated Fishing Seminar – The United States has deployed an exportable, internationally-focused seminar to assist partner nations (including Cote d’Ivoire, Nigeria, and Sierra Leone) to develop and strengthen their fisheries enforcement regimes to help prevent illegal, unreported, and unregulated fishing products from entering the global seafood market. 
    • Maritime Advisor to Côte d’Ivoire – The United States supports a Maritime Advisor to Côte d’Ivoire, who assists in countering illegal, unreported, and unregulated fishing; and improving maritime governance, port security, and port state control in West Africa. A mobile training team completed a two-week Boarding Officer Course for 18 Ivorians from their Navy, Gendarmerie, Customs and Fisheries organizations.  
    • Ghana Fisheries Recovery Activity – The United States funds the Feed the Future Ghana Fisheries Recovery Activity (GFRA) – a five-year, $17.8 million project that is mitigating the near collapse of Ghana’s small pelagic fisheries and establishing a foundation for their ecological recovery. The GFRA reduces overfishing and improves small pelagic fisheries management, which encourages ecological sustainability and marine biodiversity conservation and improves the socioeconomic well-being, food security, and resilience of fishers and coastal communities in Ghana. 
    • Women Shellfishers and Food Security Activity – The United States works in field sites in The Gambia and Ghana to demonstrate effective shellfishing and natural resource management approaches to women-led, community-based shellfishing operations.
    • Protecting Natural Ecosystems in Sierra Leone – The United States provided $10 million in political risk insurance to support West Africa Blue’s equity investment in a mangrove blue carbon project in the Bonthe and Moyamba regions of Sierra Leone. The project builds on a longstanding relationship with local communities and aims to develop long-term conservation, restoration, and income diversification activities funded sustainably through the issuance of high-quality, certified carbon credits. 

    ###

    MIL OSI USA News

  • MIL-OSI USA: Bipartisan Support Grows for Pappas Bill to Protect Veterans’ Benefits from Predatory Claim Sharks

    Source: United States House of Representatives – Congressman Chris Pappas (D-NH)

    The Problem Solvers Caucus – a group evenly split between Republicans and Democrats – has endorsed Pappas’s GUARD VA Benefits Act.

    This week, the Problem Solvers Caucus – a group evenly split between Republicans and Democrats – endorsed Congressman Chris Pappas (NH-01)’s Governing Unaccredited Representatives Defrauding (GUARD) VA Benefits Act, which would reinstate criminal penalties for unaccredited claim representatives who charge unauthorized fees while assisting veterans with filing a claim for Department of Veterans Affairs (VA) disability compensation benefits. Pappas is a member of the Problem Solvers Caucus and has been rated among the most independent, bipartisan members of Congress.

    “Veterans seeking to access their benefits should not face another battle to do so. Unfortunately, unaccredited, for-profit companies are scamming veterans of their earned benefits under the guise of helping them, and they must be stopped and held accountable,” said Congressman Pappas, Ranking Member of the Disability Assistance and Memorial Affairs (DAMA) Subcommittee of the House Veterans’ Affairs Committee (HVAC). “As we continue to implement the PACT Act and expand veterans’ benefits, it’s vital we ensure veterans can access these benefits and receive help from representatives that are accredited, engage in transparent and ethical practices, and adhere to VA regulations. My bipartisan GUARD VA Benefits Act would protect veterans and their benefits from predatory claim sharks, and as it continues to gain bipartisan support, I’ll keep fighting to get this important legislation passed.”

    Unaccredited claims representatives, or claim sharks, are not subject to VA standards. They strategically advertise their services to avoid regulatory oversight and as a result, may engage in predatory and unethical practices that target veterans and rob them of their VA benefits. Federal laws and regulations prohibit anyone from assisting a veteran in the preparation, presentation, or prosecution of a VA benefit claim, or charging a fee for this assistance, without accreditation from VA’s Office of General Counsel. However, VA and other federal agencies are limited in their ability to enforce existing law because explicit criminal penalties were stripped from statute nearly two decades ago. This has contributed to the proliferation of unaccredited claims representatives in recent years. This legislation will discourage for-profit companies from operating outside the bounds of federal law and will give VA and other agencies an additional tool to protect veteran claimants from predatory practices.

    The GUARD VA Benefits Act has strong support within Congress and across the veterans community. The House legislation has 214 bipartisan cosponsors and companion legislation has been introduced by Senators Boozman, Blumenthal, Tester, and Graham. It has also been endorsed by Veterans of Foreign Wars (VFW), Disabled American Veterans (DAV), The American Legion, National Organization of Veterans’ Advocates (NOVA), Military Officers Association of America (MOAA), Iraq and Afghanistan Veterans of America (IAVA), Paralyzed Veterans of America (PVA), Vietnam Veterans of America (VVA), Wounded Warrior Project (WWP), AMVETS, National Association of Counties (NACo), Military-Veterans Advocacy, Blinded Veterans Association, National Association of County Veterans Service Officers, National Law School Veterans Clinic Consortium, and National Veterans Legal Services Program.

    Background:

    In February 2022, Pappas called for and received a briefing from VA on its strategy to raise awareness of and better protect veterans from these predatory practices. In April 2022, Pappas chaired a joint Subcommittee hearing on the Department of Veterans Affairs (VA) Accreditation Program for individuals who assist veterans with VA disability claims. Testimony given at the hearing highlighted the rise of unaccredited disability claims consultants who target veterans for financial exploitation and the importance of reinstating criminal penalties to deter bad actors.

    In August 2022, Pappas first introduced the Governing Unaccredited Representatives Defrauding (GUARD) VA Benefits Act to reinstate criminal penalties for unaccredited claim representatives who charge unauthorized fees while assisting veterans with filing a claim for VA disability compensation benefits. In February 2023, Pappas re-introduced this legislation in the 118th Congress.

    In September 2023, Pappas led a call for VA to enforce all existing protections for veterans filing initial claims for disability benefits and request additional tools they need to hold bad actors accountable for scamming veterans. In March 2024, Pappas joined a joint hearing held by the Senate and House Committees on Veterans’ Affairs to hear from Veterans Service Organizations (VSOs) about their priorities for the 118th Congress. During the hearing, the Veterans of Foreign Wars (VFW) applauded Pappas’s GUARD VA Benefits Act, noting it as one of their top priorities, and urged Congress to pass the legislation.

    MIL OSI USA News

  • MIL-OSI Canada: Canada and France reach agreement in Atlantic halibut negotiations

    Source: Government of Canada News

    Atlantic halibut is found in waters from east of Newfoundland to the northeastern United States. Most of the stock is found in Canadian fisheries waters, with a small percentage of the stock also found within the French Maritime Zone off the coast of St. Pierre and Miquelon

    September 23, 2024

    Ottawa, Ontario – Atlantic halibut is found in waters from east of Newfoundland to the northeastern United States. Most of the stock is found in Canadian fisheries waters, with a small percentage of the stock also found within the French Maritime Zone off the coast of St. Pierre and Miquelon. The Government of Canada recognizes the importance of this stock, both to Canadian and French fisheries.

    Today, Minister of Fisheries, Oceans and the Canadian Coast Guard, the Honourable Diane Lebouthillier, announced that following several months of recent negotiations, Canada has reached an agreement with France (in respect of St. Pierre and Miquelon) on a sharing arrangement for Atlantic halibut.

    The agreement, reached on September 20, 2024, will allow French harvesters from St. Pierre and Miquelon to catch 3 per cent of the total allowable catch set by Canada. This allocation will allow for measured growth of the St. Pierre and Miquelon Atlantic halibut fishery, while also providing benefits for Canadian coastal communities through French landings of Atlantic halibut in Canadian ports. This agreement supports the health and sustainability of the Atlantic halibut stock and recognizes the importance of this fishery to coastal communities in Atlantic Canada, as well as the significant investments made by Canada and its fishing industry in the development and management of the fishery.

    Since 2016, Canada has been working with France to reach an agreement on quota sharing for Atlantic halibut, with officials from Fisheries and Oceans Canada leading the negotiations.

    MIL OSI Canada News

  • MIL-OSI New Zealand: Speech to 2024 Aerospace Summit

    Source: New Zealand Government

    Good morning, and thank you to Aerospace New Zealand and the committee for inviting me to attend the third annual Aerospace Summit. 

    Thank you also for all the work undertaken by the Aerospace New Zealand committee and your team in the delivery of so many outreach and educational activities around New Zealand. 

    I would also like to acknowledge the many international experts joining us at this Summit. I welcome your participation and thank you for your interest.

    I am an enthusiastic supporter of our aerospace sector, and it is a pleasure to be talking to a room full of people who feel as positive about the future of aerospace as I do. 

    This enthusiasm is also shared by the Government, as evidenced by the fact that for the first time we have a Minister for Space.

    It’s a role I’m very proud of but which also brings a real responsibility for improving the public understanding of just what space involves. Most people relate it simply to rockets but as everyone here knows there’s so much more to it – be it satellites, be it drones or be it the  data these platforms generate. One aspect of this new position I do wish to make clear is that the scope of my portfolio covers not only space activity but also emerging aviation technologies.

    Novel and groundbreaking aviation technologies are set to revolutionise aviation, as well as driving advancements that will impact our daily lives through technologies in communications, mapping and monitoring of land, disaster response and how we transport goods.

    The Government is ambitious for the possibilities for advanced aviation in New Zealand and its potential to grow the economy and boost productivity. 

    To realise that ambition we need to have the right regulatory settings to help unlock the growth of this part of the economy.

    It is the Government’s goal that by the end of 2025, New Zealand will have a world-class regulatory environment that allows rapid iteration and testing of advanced aviation vehicles and technology, while maintaining high standards of safety.

    I am pleased to announce that to achieve this, the Government has agreed to a set of actions to support and grow advanced aviation and remove unnecessary red tape. 

    This light touch regulatory approach, which will also cover experimental or developmental aircraft and systems, will significantly free up innovators to test their tech and ideas. 

    Once innovators get ready to export their technologies, they will transition into the current regulatory regime to allow them to demonstrate the integrity and credibility of their products, as international regulators will demand this. 

    We will also be engaging with the sector to establish permanent restricted airspace areas – or sandboxes – for exclusive use by advanced aviation companies.

    We will be updating other Rules to enable more timely decision-making.

    I look forward to having more to say on this in the coming months. 

    In the meantime, I am looking forward to visiting the Tāwhaki Aerospace Centre this afternoon, which is already playing an important role in ensuring companies have access to the right infrastructure to support them with testing and trialling innovative technology. 

    These reforms are just some of the steps the Government is taking to support the growth and development of our wider aerospace sector. 

    I am pleased to release today the New Zealand Space and Advanced Aviation Strategy, which sets out the Government’s ambitions for the sector and actions to achieve this, supported by principles on our broader space interests. 

    It succinctly brings together previous policy and strategy documents into one cohesive Strategy.

    It also highlights to a global audience the benefits of New Zealand as a location for aerospace activities.

    The new Strategy is on the New Zealand Space Agency website, and I encourage you to take a look.

    Thinking of that global audience, I have been fortunate enough to be able to travel internationally in my time as Minister for Space to promote our space and advanced aviation sectors and share how excited I am at the future we have ahead of us.

    I have visited international space agency facilities across a number of countries and continents and attended events such as the Space Symposium in Colorado Springs, and most recently the Australian Space Forum to announce a joint open call for Earth observation proposals with our neighbours across the Tasman.

    Through this travel, I have strengthened New Zealand’s international aerospace relationships with both government and sector partners. 

    Prime Minister Christopher Luxon and my ministerial colleagues have done the same. These international connections are important not only to drive progress in science, innovation and technology but also to build commercial connections and opportunities for our sector. We have much to offer and we are open for business.

    In another step to support the Government’s work to develop the sector, we will be conducting an economic survey. 

    This will provide an understanding of the size and productivity of the space and advanced aviation sectors to better support opportunities and overcome challenges to future growth. 

    We would like to get as clear of a picture as possible by ensuring everyone is included.

    This survey will begin later in the year, and I encourage you to contribute when the time comes.

    Fostering talent in aerospace-related fields is also important for the ongoing success of the aerospace economy. 

    Earlier this year, the Prime Minister announced the Prime Minister’s Space Prizes to celebrate the innovative, talented people in our aerospace sector and inspire the next generation.

    There are two prizes – one for Professional Excellence, which carries a $100,000 prize, and one for Student Endeavour, which carries a $50,000 award.

    Applications close on September 30 – which is just six days away – and I encourage those of you who haven’t yet applied to consider doing so. 

    Applications are also open for the 2025 New Zealand Space Scholarships. So, if you know a high-flying graduate student interested in working on NASA projects in the US next year, please encourage them to apply. These interns bring home invaluable skills and experience from their time away. 

    Another example of Government fostering talent in industry is the Ārohia Trailblazer Grant, a Callaghan Innovation fund which supports innovative New Zealanders with big ideas to take to market their world-leading innovations.

    I am very pleased to announce that four of the seven recipients of the latest round of funding are from, or are involved with, the aerospace industry.

    Congratulations to Astrix Astronautics, Emrod, Fabrum Solutions Limited, and Zenno Astronautics who, alongside other recipients Basis NZ, Toku Eyes and Zincovery Process Technologies, will each receive a share of around $17.5 million in co-funding.

    We recognise the significant achievements and contributions you all make to the success of the sector, and these are just some of the ways we celebrate and further encourage these activities.

    Thank you for your time and attention this morning. I encourage you to make the most of the rest of the Summit and I look forward to doing the same.

    MIL OSI New Zealand News

  • MIL-OSI United Nations: Committee on Enforced Disappearances Opens Twenty-Seventh Session

    Source: United Nations – Geneva

    Hears that Enforced Disappearances Are on the Increase as a Result of National and International Conflicts and Growing Polarisation Within and Between Countries

    The Committee on Enforced Disappearances this morning opened its twenty-seventh session, during which it will examine the reports of Morocco, Norway and Ukraine on their implementation of the provisions of the International Convention on the Protection of All Persons from Enforced Disappearance.

    Opening the session, Mahamane Cisse-Gouro, Director, Human Rights Council and Treaty Mechanisms Division, Office of the United Nations High Commissioner for Human Rights, and Representative of the Secretary-General, said the Committee’s agenda deserved the world’s full attention at a time when enforced disappearances were on the increase as a result of national and international conflicts, and growing polarisation within and between countries.  In times like these, the vital role of human rights mechanisms to protect and promote human rights became even more obvious.

    Mr. Cisse-Gouro welcomed that, since the last session, Thailand, South Africa, Côte d’Ivoire and Bangladesh became parties to the Convention, which now had 76 States parties.  He expressed hope that the World Congress on Enforced Disappearances, which would be held in Geneva, Switzerland on 15 and 16 January 2025, would contribute to efforts to achieve universal ratification.

    He also said he was pleased that, since the beginning of the Committee’s urgent action procedure, 512 urgent actions had been closed following the location of the disappeared person, including 15 since the last session.  Out of the 512 located persons, it was particularly heartening that 408 were located alive.

    Olivier de Frouville, Committee Chairperson, in his opening statement, said the session was opening in a context that was worrying for the future.  Conflicts of all kinds were multiplying and claiming thousands of victims on all continents.  In this context, the practice of enforced disappearances, far from receding, was spreading throughout the world.

    Mr. de Frouville said there could be no human rights without an effective rights protection system, but the treaty bodies system was dramatically under-resourced.  The Committee was therefore pleased by the adoption yesterday of the Pact for the Future by the General Assembly.  The Pact instructed the Secretary-General “to assess the need to provide the human rights protection mechanisms of the United Nations system, including the Office of the High Commissioner, with adequate, predictable, increased and sustainable funding to enable them to carry out their mandates efficiently and effectively.”

    Mr. de Frouville concluded by expressing solidarity with the victims of enforced disappearances, including the disappeared, their families and loved ones, who, day after day, suffered the torture of not knowing what had become of the victims.

    During the meeting, Shui-Meng Ng, the wife of Sombath Somphone, a victim of enforced disappearance in Lao People’s Democratic Republic, recounted her husband’s disappearance and her subsequent efforts seeking truth, justice and reparation. 

    Committee Expert Barbara Lochbihler provided the Committee’s response to Ms. Ng’s statement, thanking her for sharing her story and presenting actions undertaken and planned by the Committee concerning Mr. Somphone’s case and the broader fight against enforced disappearances.

    Before closing the meeting, the Committee adopted its agenda for the session.

    All the documents relating to the Committee’s work, including reports submitted by States parties, can be found on the session’s webpage.  Webcasts of the meetings of the session can be found here, and meetings summaries can be found here.

    The Committee will next meet in public at 3 p.m. this afternoon, Monday, 23 September, to consider the initial report of Ukraine (CED/C/UKR/1). 

    Statements

    MAHAMANE CISSE-GOURO, Director, Human Rights Council and Treaty Mechanisms Division, Office of the United Nations High Commissioner for Human Rights, and Representative of the Secretary-General, said the Committee’s agenda was as busy as ever and deserved the world’s full attention at a time when, sadly, enforced disappearances were on the increase as a result of national and international conflicts, and growing polarisation within and between countries. 

    There were multiple crises affecting the globe today.  In times like these, the vital role of human rights mechanisms to protect and promote human rights became even more obvious.  They communicated to States their human rights records and recommended ways to rectify what had gone wrong, bring justice to victims, and adopt measures to protect human rights and prevent their violation.  Mr. Cisse-Gouro said human rights were regulators and correctors of power dynamics gone awry. International cooperation, grounded in human rights, was the channel all had to effect change and to address the massive challenges of the time. 

    The work of the treaty bodies, including this Committee, was key to make this a reality.  The guidance and recommendations they provided, and the ongoing interaction they had with States, victims, civil society organizations, and national human rights institutions through the different mandated procedures, helped to identify ways to prevent and address human rights violations.

    In times like these, the human rights mechanisms benefitted from increased synergy and mutual reinforcement. Mr. Cisse-Gouro noted with pleasure that reference was made to the Committee’s general comment on enforced disappearances in the context of migration in the report of the Human Rights Council’s intersessional panel discussion on the human rights of migrants. This was an excellent example of mutual reinforcement.

    The Committee had continued to promote mutual reinforcement in all its activities.  Since the last session in February, it had responded positively to more than 15 requests for training and consultations submitted by States and civil society actors around the world to promote the ratification and implementation of the Convention. 

    On 30 August, the International Day of the Victims of Enforced Disappearances, the Committee issued a joint statement with the Working Group on Enforced or Involuntary Disappearances, the Inter-American Commission on Human Rights, the African Commission on Human and Peoples’ Rights, the Council of Europe Commissioner for Human Rights, and the representatives of Indonesia and Thailand to the Intergovernmental Commission on Human Rights of the Association of Southeast Asian Nations. In this statement, the Committee urged all actors to immediately join forces to support victims of enforced disappearances and ensure that their rights and obligations, as codified in regional and international treaties, became a reality for all.  The Committee called on actors to take part in the World Congress on Enforced Disappearances, which would be held in Geneva, Switzerland on 15 and 16 January 2025. 

    On the same occasion, the High Commissioner for Human Rights said that there was no justification for enforced disappearances.  Yet, every day, this heinous crime continued to silence and destroy lives.  The World Congress in January 2025 was an opportunity to establish a strategy and network so that the world could finally end this tool of terror.  Bringing together experts, victims, States and other key actors in the context of this first World Congress on Enforced Disappearances to share their experiences and good practices, and to establish a common strategy to promote the ratification of the Convention and its implementation, was indeed a unique opportunity that needed to be fully seized.

    In times like these, it was particularly welcome that, since the last session, Thailand, South Africa, Côte d’Ivoire and Bangladesh became parties to the Convention, which now had 76 States parties.  The Office celebrated these ratifications, while continuing its efforts to achieve universal ratification.  It hoped that the World Congress would contribute to reaching this objective. 

    The Office of the High Commissioner continued to actively support efforts to strengthen the treaty body system, which was the key topic at the thirty-sixth annual meeting of the treaty body Chairpersons in New York in June 2024.  The Chairpersons met with the Secretary-General and other senior United Nations officials, civil society and Member States.  The Chairs made marked progress in terms of aligning working methods, and they advocated together for enlarged support for the implementation of the treaty body strengthening process.  At a well-attended meeting with Member States, the Chairs called for resources to implement the predictable review schedule and other key strengthening proposals.

    A heavy programme for the next two weeks was before the Committee.  It would examine three States parties under the Convention: Ukraine, Morocco and Norway. It would also adopt lists of issues and lists of themes for Belgium, Lesotho, Seychelles and Serbia and consider requesting ad hoc additional information. 

    Also before the Committee was the report on urgent actions.  As of today, the Committee had registered a total of 1,893 urgent actions.  Out of these, 1,101 were “living cases” on which the Committee needed to carry out comprehensive follow-up, either individually or in groups.  Mr. Cisse-Gouro said he was particularly pleased that since the beginning of the procedure, 512 urgent actions had been closed following the location of the disappeared person, including 15 since the last session.  Out of the 512 located persons since the beginning of the implementation of the procedure, it was particularly heartening that 408 of them were located alive.  The Committee would also examine one individual complaint, and further discuss projects related to short-term enforced disappearances and to women and enforced disappearances. 

    Mr. Cisse-Gouro recalled the United Nations’ zero tolerance policy on intimidation and reprisals.  The Secretary-General had asked all entities to be vigilant and committed in this area. Civil society and victims provided crucial information and testimony to the treaty bodies and provided contextual information essential to their work.  States needed to ensure adequate protection against any act of intimidation or reprisal against those who cooperated or had cooperated with the United Nations and its mechanisms. 

    Mr. Cisse-Gouro concluded by expressing his support to the Committee and wished it a fruitful and productive session.

    OLIVIER DE FROUVILLE, Chairperson of the Committee on Enforced Disappearances, said the session opened in a context that was worrying for the future. Conflicts of all kinds were multiplying and claiming thousands of victims on all continents.  Power politics seemed to be back in international relations more than ever and, within States, merchants of hatred were stirring up mistrust between communities and preparing for tomorrow’s conflicts.  The disastrous consequences of global warming were increasingly being felt, causing natural disasters that were additional factors of instability.

    In this context, the practice of enforced disappearances, far from receding, was spreading throughout the world. Even when enforced disappearance took different forms, the objective always remained the same: to deny the disappeared person any humanity both as a legal person and as a natural person, and to spread terror among those close to them, who suffered the torture of uncertainty, a terror that quickly spread throughout society.  But victims were resilient, as were societies. 

    Experience showed that every time criminals wanted to impose silence and obedience through enforced disappearance, victims’ families assembled in public squares and brandished their photos, asking the simple and fundamental question: “where are they?” Above all, it was women, mothers, sisters, wives who had the courage to call out armed men, because no amount of oppression or extreme violence could make them accept that their loved ones had evaporated into thin air.  Their determination eventually gave rise to a new norm of international law: the complete prohibition of enforced disappearance.  Their struggle had also led to the adoption of the Convention, in which States pledged to take all measures to make this prohibition effective and to eliminate the practice of enforced disappearance.

    It was with a view to fulfilling this promise that several actors joined forces to organise the first World Congress on Enforced Disappearances, which would be held in Geneva on 15 and 16 January 2025.  Mr. de Frouville thanked the High Commissioner Völker Turk for agreeing to be present at the opening session of the Congress, as well as his Office and States that were co-sponsoring the event.  The Congress’ programme and plan of action were the result of a consultation process carried out since March 2024 with States and all other stakeholders, including victims’ associations, civil society organizations. and national human rights institutions.  Mr. de Frouville invited all States, including parties and non-parties to the Convention, and all stakeholders who were willing to commit themselves to acting, even modestly, against enforced disappearance to come to the meetings of the Congress.

    The fight for respect for human rights needed to be based on robust institutions and procedures.  There could be no human rights without an effective rights protection system.  However, the treaty bodies system was dramatically under-resourced; its budget was ridiculous in view of the magnitude of its task.  In 2023, its budget was 459 million United States dollars, of which only 178 million was financed from the United Nations regular budget, forcing the Office of the High Commissioner to find 280 million in extra-budgetary resources.  This sum did not cover all the estimated needs, which would have required an additional 171 million.  This amount seemed ludicrous in view of the major role that the United Nations system played today in defending human rights and helping States and civil society to defend them in a world where they were threatened more than ever.

    The Committee was therefore pleased by the adoption yesterday in New York of the Pact for the Future by the General Assembly.  Among other interesting provisions, Measure 46 of the Pact instructed the Secretary-General “to assess the need to provide the human rights protection mechanisms of the United Nations system, including the Office of the High Commissioner, with adequate, predictable, increased and sustainable funding to enable them to carry out their mandates efficiently and effectively.” 

    This was in line with the call made by the Chairpersons of the treaty bodies at their thirty-sixth meeting held last July in New York.  The Chairs told the Secretary-General and Member States that the treaty bodies needed, before the end of the year, a decisive resolution that would enable them to quickly implement the predictable timetable for the consideration of States’ reports.  The immediate costs associated with this change would in fact represent a saving in the medium and long term, since the change would be accompanied by a longer reporting period of eight years, and economies of scale resulting from better coordination and complementarity between the 10 Committees and the rest of the system.  The Committee Chairs expressed their hope that States would seize this opportunity to strengthen the treaty system decisively.

    A year ago, a conference was held on a joint declaration on illegal intercountry adoptions drafted by the Committee on Enforced Disappearances, the Committee on the Rights of the Child, and several Special Procedures.  The conference was an opportunity to hear from victims from all parts of the world, including adoptees and biological parents searching for their missing children. A documentary about the victims’ story and their quest for the truth would be premiered in Geneva, in parallel with this session, on 1 October 2024 in Auditorium A2 of the Maison de la Paix. The screening would be followed by a debate featuring the victims, who would testify about their experiences.  A short excerpt from the documentary would also be shown at the closing of this session on 4 October.

    Mr. de Frouville concluded by expressing solidarity with the victims of enforced disappearances, including the disappeared, their families and loved ones, who, day after day, suffered the torture of not knowing what had become of the victims.

    SHUI-MENG NG, wife of Sombath Somphone, victim of enforced disappearance in Lao People’s Democratic Republic, said her husband was disappeared in December 2012 in front of a police post, where he was pushed into a white vehicle and taken away.  Everything that happened at the time of the disappearance was recorded by police traffic cameras.  He was a community worker who helped poor farmers to improve their livelihoods.  He also worked with young people to find solutions for themselves and become more resilient, and with local communities to help them prepare and respond to climate change.  Ms. Ng said she did not know why he had been disappeared, but said his work may have annoyed powerful people, who felt he was threatening their interests.

    Ms. Ng did not know if her husband was still alive.  This was the pain that victims of enforced disappearance suffered.  The pain remained with her every day, despite the passing of time.  The fear that he would not come back loomed larger and larger with each day, and the hope that he would return was fading.

    Enforced disappearance was the most criminal violation of human rights.  Ms. Ng called on the Committee and all States to appeal to the Government of Lao People’s Democratic Republic to reveal the truth regarding this enforced disappearance.  Ms. Ng had appealed to the authorities and received no information, with authorities simply stating that the investigation was ongoing.  The hope that she would receive truth and justice was becoming more remote, but she said that she would not give up.  She would continue to raise the case of her husband at every opportunity, seeking news about what happened to him, as well as truth, justice and reparation until her last breath.

    Ms. Ng urged the Committee to not forget the victims and their families.  There were more than 14,000 cases of enforced disappearance before the United Nations.  This was unacceptable in a world where governments claimed to protect their citizens from enforced disappearance.  The Lao People’s Democratic Republic was a signatory to the Convention but had not ratified it.  It nevertheless needed to uphold the spirit of the Convention.  In closing, Ms. Ng appealed for the safe return of her husband.

    BARBARA LOCHBIHLER, Committee Expert, thanked Ms. Ng for sharing the day that changed her life, the struggle that had defined her life ever since, and the pain that remained with her every day.  This case was particular in several respects.  Sombath Somphone was a well-known, dedicated and passionate community worker.  He was honoured with awards beyond his country.  His disappearance did not happen mysteriously in an unknown place but was recorded by police traffic cameras. 

    International non-governmental organizations like Amnesty International and Human Rights Watch had campaigned on his behalf, and international media had reported on the case.  The European Parliament had called for his release, as had parliamentarians from the region.  United Nations bodies, including the Human Rights Committee, had questioned the Lao Government on the issue.  Ms. Ng’s tireless efforts were based on her professional expertise, her profound knowledge of international structures, and her experience in international solidarity networking.  Despite these efforts, Sombath Somphone remained disappeared, his fate and whereabouts still unknown to his family and friends.

    Pain and suffering remained with the victims of enforced disappearance every day despite the passing of time, because with time hope faded.  Ms. Ng and Mr. Somphone’s supporters had been confronted with ignorance, disregard, inaction, negligence and outright lies from authorities.  This was what so many victims of enforced disappearance had to deal with, often exacerbated by reprisals and existential distress.  Mr. Somphone’s case clearly showed that an enforced disappearance had not only serious consequences for victims’ family and friends but also had a chilling effect on the civil society of the given community or country.  After Mr. Somphone’s disappearance, civil society organizations in Lao People’s Democratic Republic were in fear, becoming more careful in their work or even inactive.  This surely pleased those responsible for Mr. Somphone’s disappearance.

    Ms. Ng, as with victims in so many countries, rightly had high expectations of the Committee.  However, the Government of Lao People’s Democratic Republic had signed but not ratified the Convention, so the Committee had no formal means to review the situation in the State or ask for information on particular cases.  Unfortunately, this applied to many countries in Asia, where only a few States had ratified the Convention. 

    The Committee was sincerely committed to change this, intensifying its outreach to governments and the broader human rights movement.  Last year, it had a fruitful meeting with the Association of Southeast Asian Nations’ Intergovernmental Commission on Human Rights. In November, the regional office of the High Commissioner for Human Rights and the Committee would organise several workshops with State and civil society organization representatives in Bangkok, and in January, the World Congress on Enforced Disappearance would gather activists and diplomats, victims and United Nations representatives to discuss ways forward in the fight against enforced disappearances.

    Regrettably, the impact of a United Nations treaty body had its limitations.  Essential for things to change was serious political will by the Government to act.  The Committee would appeal to the Lao Government to demonstrate this political will and would never forget the victims.  Ms. Lochbihler thanked Ms. Ng wholeheartedly for addressing the Committee, congratulating her for her passion and energy, and for not being discouraged by years of ignorance and denial.  She expressed hope that the search for Ms. Ng’s husband would one day bring to light what really happened, as Ms. Ng had the right to know the truth.

     

    Produced by the United Nations Information Service in Geneva for use of the media; 
    not an official record. English and French versions of our releases are different as they are the product of two separate coverage teams that work independently.

     

     

     

    CED24.006E

    MIL OSI United Nations News

  • MIL-OSI Asia-Pac: Dance drama “Awakening Lion” to showcase charm of Lingnan culture in Hong Kong in October (with photos)

    Source: Hong Kong Government special administrative region

      The Leisure and Cultural Services Department (LCSD) has invited the Guangzhou Song and Dance Theatre to perform in October its grand Chinese dance drama “Awakening Lion”, a production that won the Lotus Award, China’s highest award for dance. Set against the backdrop of the Sanyuanli Anti-British Uprising in Guangzhou during the Opium War, the lion dancers of the day look back at their predecessors and retrace the history of a century ago, showcasing the inheritance of national spirit that has been passed down through generations, and allowing the audience to experience the charm of Lingnan culture. The programme is part of the 4th Guangdong-Hong Kong-Macao Greater Bay Area Culture and Arts Festival and the Guangzhou Culture Week.
     
      The “Awakening Lion” is the first dance drama on the Mainland featuring Guangdong lion dancing, a representative item of the national intangible cultural heritage. With “awakening” as its spirit and “lion” as its form, the production reflects the awakening of Chinese national identity. It depicts two teenage lion dancers who achieve self-awakening and growth while making various life decisions involving the emotional dynamics and the righteous cause of the nation. In terms of artistic style, the dance drama shows strong characteristics of South China and indigenous features of old Canton. By integrating innovative elements and multimedia technology, together with music and costumes rich in regional characteristics, the staging exudes both modern appeal and visual impact.
     
      In terms of choreography, “Awakening Lion” is a fusion of Chinese dance and traditional lion dance. It incorporates the stances of Nanquan (southern-style boxing) and the difficult movements of southern lion dance, such as falling forward, tumbling, leaping and “picking the greens”, into its dance vocabulary. It also blends various southern Guangdong intangible cultural heritages elements, such as Nanquan, Choy Li Fut-style martial arts, wooden fish songs, Yingge dance and big head buddha, to fully realise the creative transformation and innovative inheritance of outstanding traditional culture, and to demonstrate the culture of Lingnan and the spirit of the Bay Area. The production has won the 11th China Dance Lotus Award for Dance Drama and the 11th Five One Project Award. Since its premiere in 2018, it has toured the Mainland, giving over 250 performances, and has been well received by audiences. This time, principal dancers of the Theatre, Iliwan Umar, Pang Guanyu, Liang Qiqi, Li Ao and more, will participate in the Hong Kong performances.
     
      The story is about an impoverished boy, Xing, and a wealthy young man, Long, who are preparing for a lion dance competition in the Sanyuanli village of Guangzhou. One day, they have a fight in a teahouse. Xing wins by a narrow margin, and Long is not convinced. Long’s sister, Feng’er, is secretly in love with Xing, while Xing’s mother is against her son’s participation in the lion dance competition. On the day of the competition, the invaders attack the Guangzhou city. Putting aside their grudges, Xing and Long join together with the villagers to fight against the foreign enemies.
     
      The Guangzhou Song and Dance Theatre, formerly known as the Guangzhou Song and Dance Troupe, was founded in 1965. The Theatre upholds the development philosophy of “repertoire as basics, talent as drive, and market as booster”, and has created a number of masterpieces, including the dance drama “Awakening Lion”, “Loong”, “Yingge”, “Xinghai.Yellow River” and dance epic “Guangzhou in the Old Days”, etc. It has won numerous top awards, and has received attention and praise from all walks of life.
     
      Guangzhou Culture Week: Dance Drama “Awakening Lion” by Guangzhou Song and Dance Theatre will be held at 8pm on October 26 (Saturday) and at 3pm on October 27 (Sunday) at the Auditorium of Sha Tin Town Hall. Tickets priced at $200, $260, $340 and $420 are now available at URBTIX (www.urbtix.hk). For telephone bookings, please call 3166 1288. Discount schemes including a Guangzhou Culture Week package discount, group booking discount and concessionary tickets are available for the programmes under the Guangzhou Culture Week (including A New Cantonese Opera “Princess Wencheng” by Guangzhou Cantonese Opera Theatre Company on October 22 and 23). An additional early bird discount is available until September 26 for purchasing the above-mentioned programmes through any of the discount schemes. For programme enquiries and concessionary schemes, please call 2268 7323 or visit www.lcsd.gov.hk/CE/CulturalService/Programme/tc/dance/programs_1768.html.

      The programme will feature a dance workshop (conducted in Putonghua) in which participants will get a taste of the dance and martial arts elements of the performance by learning selected scenes guided by the theatre’s dancers. The workshop will be held at 7.30pm on October 25 (Friday) at the Podium Workshop of the Hong Kong Cultural Centre. Tickets priced at $200 are now available at URBTIX. For details, please refer to the above-mentioned website.
     
      A number of free extension activities will be organised for this programme. A pre-performance talk entitled “From lion dance to ‘Awakening Lion’ – A sharing on innovation and integration of intangible cultural heritage elements in the creation of dance drama” (in Putonghua) will be held at 7.30pm on October 24 (Thursday) at AC1, 4/F, Administration Building, Hong Kong Cultural Centre. The speakers include chief choreographers Qian Xin and Wang Sisi, as well as the main cast. In addition, a backstage tour (in Putonghua) will be held at 4.30pm on October 26 (Saturday) at the Auditorium of Sha Tin Town Hall, with free admission for ticket holders of the performance of “Awakening Lion”. Participants will be able to enjoy an exclusive pre-performance access to the backstage of “Awakening Lion” to take photos and explore the stage with sets and props with Lingnan characteristics. Online registration is required (www.lcsd.gov.hk/CE/CulturalService/Programme/tc/dance/programs_1768.html#tab_7_0) for both the pre-performance talk and backstage tour on a first-come, first-served basis.
     
      The LCSD will hold the “Guangzhou Culture Week” Programme Exhibition from October 8 to 27 at the Foyer of Sha Tin Town Hall. The exhibition will feature the costumes and props of the Cantonese opera “Princess Wencheng” and dance drama “Awakening Lion”. Admission is free. Members of the public are welcome to join on the spot. The Guangzhou Culture Week is jointly presented by the LCSD and the Guangzhou Municipal Culture, Radio, Television and Tourism Bureau.
     
      Hong Kong is the host city of the Guangdong-Hong Kong-Macao Greater Bay Area Culture and Arts Festival for the first time. It organises and co-ordinates over 260 performances and exchange activities to be held across the “9+2” cities of the Greater Bay Area. The festival aims to showcase the vibrant and diverse cultural richness of the region and foster cultural exchanges and co-operation among the cities. For detailed information about the festival, please visit www.gbacxlo.gov.hk.               

    MIL OSI Asia Pacific News

  • MIL-OSI United Nations: WFP Receives US$33 Million from USDA for School Meals in Nepal

    Source: World Food Programme

    KATHMANDU – The United Nations World Food Programme (WFP) welcomes US$33 million from the United States Department of Agriculture (USDA) to enhance the National Mid-day Meal Programme in Nepal for more than 120,000 children annually.

    The funds have been awarded to WFP’s Nepal office through a competitive process operated by USDA’s McGovern-Dole International Food for Education and Child Nutrition Program (McGovern-Dole), which has a long history of supporting Nepal’s efforts to promote food security and opportunities for education.

    This award will support a comprehensive five-year initiative (2023-2028) focused on improving education, nutrition and health for children across the country, jointly implemented by WFP in partnership with the Ministry of Education, Science and Technology, Embassy of United States of America in Nepal, cooperating partners World Education (a division of JSI), Integrated Development Society Nepal, and Mercy Corps.

    The award (in-kind and cash) will ensure that children receive nutritious meals every day at school, a vital social safety net promoting access to and equity in education, health and literacy, especially for children from food-insecure families. This essential support will annually benefit 122,000 pre-primary and primary school children from more than 1,000 schools across Bajhang, Bajura and Darchula Districts of Sudur Paschim Province. 

    For many families in far western Nepal, food scarcity is a serious challenge that makes it difficult for parents to feed their children,” said Robert Kasca, WFP Nepal’s Representative and Country Director. “Offering school meals serves as an incentive for these parents to send their children to school, especially girls, creating opportunities for breaking the cycle of hunger and poverty.”

    The school meals will be prepared with fortified rice and fortified vegetable oil, donated by the McGovern-Dole International Food for Education and Child Nutrition Program. The rest of the ingredients will be sourced from local markets and smallholder farmers in the vicinity of schools, scaling up a home-grown approach to the Mid-day Meal Programme. 

    “In Nepal, the McGovern-Dole International Food for Education and Child Nutrition Program works through its implementing partner, the World Food Programme. Through the McGovern-Dole Program, more than 700,000 children have received a daily school meal in the most remote areas of Nepal. Building on previous success here in Nepal, the project will continue to carry out complementary activities with a strong focus on building the government’s capacity to eventually and successfully handover the project to the government of Nepal,” says Erika Beltran, Senior International Program Specialist, for USDA’s McGovern-Dole Program.

    In addition to implementing the school meals programme, WFP will continue to support the Ministry of Education, Science and Technology in strengthening government capacity at federal, provincial and local levels to ensure a full transition of the programme to the government by 2028. Moreover, the Ministry will receive technical assistance and capacity strengthening support from WFP in the areas of logistics and supply chain, planning and implementing cost-efficient and nutritious school meal menus, procurement and supply of commodities, and consolidating the national policy framework.

    McGovern-Dole funds school meals and education and nutrition programs for women, infants, and children in countries with high food insecurity. By providing school meals, teacher training, and related education and nutrition support, McGovern-Dole projects help boost school enrollment, increase attendance, and improve reading outcomes and literacy results. The program provides for the donation of U.S. agricultural commodities, local and regional procurement of agricultural commodities, and financial and technical assistance to support school feeding and maternal and child nutrition projects. It started providing school feeding assistance in Nepal since 2005. For more information, visit https://www.fas.usda.gov/programs/mcgovern-dole-food-education-program

    #                    #                       # 

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

     

    Follow us on Twitter: @WFP_Nepal  

    MIL OSI United Nations News

  • MIL-OSI Africa: Maile to visit Cemetery View informal settlement

    Source: South Africa News Agency

    Monday, September 23, 2024

    Gauteng’s Acting MEC for Human Settlements Lebogang Maile is this morning expected to visit Cemetery View informal settlement following a fire that destroyed shacks in Pretoria East.

    “MEC Maile will use the visit to outline government’s interventions to assist those affected. More than 2000 shacks were engulfed by the fire. MEC Maile is undertaking this important visit to ensure the safety, security and comfort of those affected by this unfortunate situation,” said the Gauteng Provincial government on Monday.

    The MEC will be joined by the City of Tshwane MMC for Human Settlements, councillor Ofentse Madzebatela.
    This as the City of Tshwane Emergency Services Department responded to multiple shacks on fire in Woodlake Street in Pretorious Park on the morning of 21 September 2024.

    “The multiple-shack fire was reported to the City of Tshwane Emergency Call Centre at about 04:07 am. The centre immediately dispatched multiple firefighting resources from Silverton Fire Station, Hazelwood Fire Station, Central Fire Station, Mamelodi Fire Station, Centurion Fire Station and Heuweloord Fire Station to the scene. These included two fire trucks, an industrial pumper, a mobile command unit, two rapid intervention units, a water carrier and a district commander’s unit,” said the city’s Emergency Services Department in a statement.

    The City said that upon arrival firefighters reported that a large area in the informal settlement was on fire with multiple shacks well alight and many people standing outside.

    Firefighters then started with firefighting operations and initiated evacuation procedures and the fire was extinguished at 5am.
    About 814 shacks burned down and about 2600 people were affected by the fire.

    “One male patient was treated on-site and transported to Steve Biko Academic Hospital for critical burn injuries. Another female patient with a critical medical condition was also treated on-site and transported to Mamelodi Hospital. A third patient sadly suffered fatal burn injuries. Gauteng Provincial Government Emergency Medical Services are managing all emergencies pertaining to patients in this regard,” said the city.

    The cause of the fire had not been determined.

    “The cause of the fire has not yet been determined and the scene is a declared as a hot zone and a crime scene.” 

    The city urged residents to be cautious and to extinguish paraffin fires with sand or a fire extinguisher and to never overload electrical plugs, among others. –SAnews.gov.za 
     

    MIL OSI Africa

  • MIL-OSI Global: AfD: how Germany’s constitution was designed with the threat of extremism in mind

    Source: The Conversation – UK – By Simon Green, Professor of Politics, Aston University

    German chancellor Olaf Scholz’s SPD has narrowly held off the rightwing Alternative für Deutschland (AfD) in regional elections in Brandenburg, nudging them into second place.

    The close call follows two other recent elections in Germany’s eastern federal states (Länder). In Thuringia, the AfD won the highest share of the votes. In Saxony, the AfD narrowly came second to the centre-right CDU. Importantly, the regional AfD organisations in both Saxony and Thuringia, along with Saxony-Anhalt, have officially been designated as extreme right. This means that the party in these states is formally considered by Germany’s domestic security service to be a threat to the country’s democratic constitutional order.

    Although the country’s proportional electoral system means that the AfD cannot form a government in any of the three states by itself, this is the first time since 1945 that an officially extremist party has won an election in Germany.

    It’s not unreasonable for those outside Germany to questions whether these election results show that the country once more stands on the cusp of a slide into fascism, as it did in the 1930s. However, quite apart from the fact that 2024 is not the same as 1933, there is one important structural difference: Germany’s constitution (the Grundgesetz or Basic Law). This was explicitly designed to prevent a recurrence of a totalitarian regime such as national socialism.

    The Basic Law dates back to 1949 – a time when the country was in the process of splitting into west and east. Coming into force during this period of transition, the document was only a provisional constitution. Yet the Basic Law has outlasted any of the previous three state forms since Germany was first unified in 1871. Today, it enjoys widespread popular support: a recent survey showed 81% of the population view it positively.

    In its content, the Basic Law is a living testimony to Germany’s desire to prevent a return to National Socialism. In articles 1-19, it enshrines a comprehensive catalogue of fundamental rights, which cannot be removed from the constitution. These include the right to dignity, freedom, privacy, free assembly, freedom of the press and to political asylum.

    The Basic Law also established one of the most powerful independent constitutional courts in the world. The court even has the right to ban political parties, or to limit the fundamental rights of individuals who are found to be undermining the constitutional order, as had been in the case in Weimar Germany. For this reason, Germany is considered to be a militant democracy. While the outright banning of parties is fraught with political difficulties (and hence rare historically), there is a live debate over whether the AfD’s policies and rhetoric are ultimately compatible with Germany’s constitution.

    More subtly, Germany’s governance structures are designed to make it practically impossible for a hostile grouping to seize power democratically. The German chancellor has much less power than, say, the British prime minister. In particular, the structures of federalism and coalition government further constrain the room for manoeuvre of any individual politician or indeed any single political party.

    The Grundrechte is inscribed on a wall in Berlin for all to see.
    Jakob-Kaiser-Haus/Wikipedia, CC BY-SA

    Major functions of policy implementation are delegated to powerful societal actors, such as professional bodies. These are geographically distributed around the country, along with the media, key corporate headquarters and the unions. The ability of Germany’s central bank, the Bundesbank, to set monetary policy independent of political control, itself a response to the hyperinflation of the early 1920s, has made it a model for both the European Central Bank and the Bank of England today.

    In short, and in the words of the German-American political scientist Peter Katzenstein, the German state is only “semisovereign”.

    In consequence, the Basic Law is not just a document setting out the political “rules of the game”, but an expression of Germany’s values. Its longevity has benefited from the willingness of political elites down the years to adapt its provisions, where necessary, to changing circumstances. And in several respects, the past remains very much the present in German politics. For instance, the right to privacy, which was originally included to prevent the reoccurrence of Nazi Germany’s pervasive surveillance, is given new meaning in an age of global digital connectivity.

    Pressures ahead

    Certainly, Germany today faces multiple challenges. As society has evolved, Germany’s party system has fragmented, with more parties securing seats in the national parliament, the Bundestag. Of these, the AfD has been by far the most successful, and could potentially become the second largest party at the next parliamentary elections in 2025. This fragementation, which is not unique to Germany, has made the formation of coalition governments harder. Fortunately, this has so far not led to out-of-cycle national elections, of the kind which plagued the latter years of the Weimar Republic.

    And there are concerns beyond politics. From the “economic miracle” in the 1950s, Germany’s growth has slowed significantly, averaging just 1.2% per year between 2012-2022; in the last two years, the economy has barely grown at all. Compared to other advanced economies, it remains disproportionately reliant on exporting high added value manufactured goods.

    The reunification of Germany in 1990 also continues to cast a long shadow. In any number of economic and social indicators, including household incomes, religion and childcare patterns, eastern Germany remains structurally different to western Germany. Across the country, the population is ageing and, without substantial net migration over time, will decline over the next 30 years. Yet immigration also remains one of the biggest political issues of the day, and a key driver of the AfD’s electoral success.

    Nonetheless, given Germany’s difficult journey to statehood in the 19th and early 20th centuries, the Basic Law remains a strong guarantor of Germany’s democratic credentials. For this reason, former federal president Joachim Gauck was surely right to declare earlier this year that the Germany created by the Basic Law is “the best that ever existed”.

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

    ref. AfD: how Germany’s constitution was designed with the threat of extremism in mind – https://theconversation.com/afd-how-germanys-constitution-was-designed-with-the-threat-of-extremism-in-mind-230594

    MIL OSI – Global Reports

  • MIL-OSI USA: Salazar Condemns Biden Administration for Allowing Oil Companies to Finance Maduro Regime

    Source: United States House of Representatives – Congresswoman María Elvira Salazar’s (FL-27)

    WASHINGTON, D.C. – Today, Western Hemisphere Subcommittee Chairwoman María Elvira Salazar (R-FL) convened a hearing to condemn American and European oil companies for continuing to conduct business with the Maduro regime, even after its attempt to steal the 2024 presidential election.

    In Venezuela, a cruel contradiction has unfolded. Maduro has intensified his brutality through jail and death since July 28th,” said Chairwoman Salazar. In the meantime, unfortunately, American and European oil companies led by Chevron, Repsol, Eni, and Maurel et Prom have now increased their pumping and their profits—directly fueling the tyrannical machinery of oppression. Shame on them!

    Chairwoman Salazar began her hearing by describing the current human rights situation in Venezuela, where the dictator Nicolas Maduro has unleashed an unprecedented wave of repression against the opposition and regular civilians in the weeks following the 2024 Venezuelan presidential election. She identified a key weakness in the Biden-Harris Administration’s policy towards the Maduro regime: Allowing American oil companies to continue operating in Venezuela without complaint. Chevron, Repsol, Eni, and Maurel et Prom are the four companies with the largest licenses to operate within Venezuela.

    Salazar began her line of questioning by asking the top Biden-Harris State Department official on Venezuela Kevin Sullivan why his agency renewed Chevron’s license to operate in Venezuela 33 days after Maduro lost the election on July 28, 2024. Sullivan insisted that the decision comes down ultimately to the Treasury Department’s Office of Foreign Assets Control (OFAC). Salazar reminded Sullivan that OFAC only issues policy at the direction of the State Department, so any independence in their decision-making process is simply wrong. Chairwoman Salazar also indicated that by allowing these companies to continue operating in Venezuela, the Maduro regime will retain the financial support it needs to continue its repression against the Venezuelan people.

    Next, Chairwoman Salazar asked Mr. Sullivan about the 50 companies who applied for licenses to operate in Venezuela more broadly. After deflecting and referring the Congresswoman to OFAC again, Salazar made the case that by allowing these companies to operate in Venezuela without repercussions from the U.S. government, the United States is sending a weak and ambiguous message to the international community that what Maduro is doing is ultimately acceptable. Furthermore, Chairwoman Salazar asked about the possibility that the State Department will pause these licenses. Sullivan responded that the possibility is always there as a matter of policy, but again said it was still under review.

    Chairwoman Salazar continued her opening line of questioning by asking about the Biden-Harris Administration’s refusal to recognize Edmundo Gonzalez Urrutia as the legitimate president-elect of Venezuela. Sullivan responded that Gonzalez is definitely the victor in the Venezuelan elections, and that the U.S. government has called on Nicolas Maduro to release the results showing these results. Salazar reminded the State Department that anything short of recognition will be seen as a lack of support for the opposition in the eyes of the Maduro regime.

    Salazar closed her opening remarks by asking the leading officials on human rights and aid at the State Department and USAID, Mr. Enrique Roig and Mr. Greg Howell, respectively, about the impact this major policy weakness will have on migratory flows. 4 million Venezuelans said they would leave their country if the dictator Maduro refuses to hand over power. This will strain resources in neighboring South American countries like Colombia, Brazil, and Ecuador, and add to the growing national security crisis at the United States’ southern border. Salazar received no response other than that the U.S. government is working with those South American governments to strengthen their capacity to receive these migrants.

    Chairwoman Salazar ended the hearing by emphasizing the need for bipartisan support for the Venezuelan opposition at this crucial hour.

    To watch the full hearing, click here.

    ###

    MIL OSI USA News

  • MIL-OSI Asia-Pac: CSIR-NIScPR, CSIR-CFTRI, UBA, and VIBHA organised Two day “Technology Showcasing and Networking Meet”

    Source: Government of India

    Posted On: 23 SEP 2024 11:32AM by PIB Delhi

    CSIR-National Institute of Science Communication and Policy Research (NIScPR), in collaboration with CSIR-Central Food Technological Research Institute (CFTRI), Unnat Bharat Abhiyan (UBA), and Vijnana Bharati (VIBHA), jointly organized a two-day “Technology Showcasing and Networking Meet of CFTRI Food and Millet Technologies” at CSIR-CFTRI, Mysuru from 19-20 September 2024. This event showcased CSIR-CFTRI’s innovative food technologies aimed at enhancing rural livelihoods. As a pioneer in food science research, CSIR-CFTRI focuses on food processing, post-harvest technology, food safety, and nutraceuticals. Their technological advancements encompass a wide range of food products, including cereals, pulses, fruits, vegetables, dairy, meat, and fish.

    The primary objective of the event was to showcase and demonstrate the food technologies developed by CSIR-CFTRI for the benefit of stakeholders from rural areas of the country and how these technologies can be utilized to create livelihood opportunities in rural areas and promote sustainable development; to identify key challenges in food processing and agricultural productivity, and strategies to foster economic growth and food security in rural areas. The event also aimed to provide a platform where these innovations can be demonstrated to a wide range of stakeholders from all over the country, including industry professionals, entrepreneurs, researchers, policymakers, and members from rural communities to exchange ideas for application of CSIR-CFTRI Technologies in rural areas for achieving collaborations, encouraging technology adoption, technology transfer and commercialization that can benefit both the food industry and promote sustainable development. The inaugural session was graced by Dr. Sridevi Annapurna Singh, Director, CSIR-CFTRI; Prof. Ranjana Aggarwal, Director, CSIR-NIScPR; Shri Sam Cherian, Chairman and Managing Director, Schevaran Laboratories Pvt. Ltd., Mysuru; Prof. Virendra Kumar Vijay, National Coordinator, Unnat Bharat Abhiyan (UBA); Dr P. K Singh, Project Director UBA; Shri N.P Rajive, Executive Director Vibha Vaani; and Dr Yogesh Suman, Chief Scientist, CSIR-NIScPR.

    The event witnessed an overwhelming participation of more than 100 participants from all across the country. It commenced with the welcome address by Dr. Sridevi Annapurna Singh, Director, CSIR-CFTRI. In her address Dr. Singh highlighted that during its initial years, CSIR-CFTRI tried to address the challenge of malnutrition along with the hidden micro malnutrition in the country. She talked about the important CSIR-CFTRI technologies like infant food from buffalo milk, parboiling of rice technologies, spice and oil technologies, automation technologies for traditional food like dosa machine, idli machine, vada machine, chapatti machine, biodegradable leaf cup machine and highlighted the efforts on nutraceutical research and aiming to filling the gap of skilled manpower in the food industry through MSc course on Food technology being run in CSIR-CFTRI. She also underscored that the need of skilled manpower for wheat milling industry are being fulfilled by the CSIR-CFTRI’s International School of Milling Technology course being run by CSIR-CFTRI. CSIR-CFTRI is recognized as the nodal food laboratory for food testing in India and working with FSSAI (regulatory body in testing) and developed about 550 test to test foods.

    Prof. Ranjana Aggarwal, Director, CSIR-NIScPR discussed the background of CSIR- NIScPR’s on-going collaboration with UBA and VIBHA for creating livelihood and business opportunities in rural India using CSIR Technologies. She also highlighted to reverse the migration from rural to urban through creating opportunities in the rural areas itself for sustainable development. And how UBA and VIBHA networking is helping to identify the stakeholders in rural areas. She also highlighted various success stories taken place under this joint initiative.

    Prof. Virendra Kumar Vijay provided the overview of the Unnat Bharat Abhiyan and its collaboration with CSIR. He also highlighted the ongoing UBA initiative towards rural development.

    Project Director of UBA, NCI New Delhi Prof. P. K. Singh, in his address, mentioned about the Subject Expert Groups working in UBA and their contributions. He also highlighted the support given by UBA to implement ideas generated by stakeholders.

     Shri NP Rajive, Executive Director, Vibha Vani highlighted the event as a beginning point in identifying the technological needs of the people which can be solved through technologies available with CSIR. He also highlighted of how Vibha Vani can help in upscaling and speeding up the implementation of CSIR-CFTRI technologies at grass-root level. Dr. Yogesh Suman, Chief Scientist, CSIR-NIScPR discussed about the importance of the efforts being made jointly by these organizations to create livelihood opportunities in rural areas by using CSIR technologies. Shri Sam Cherian, Chairman and Managing Director, Schevaran Laboratories Pvt. Ltd., Mysuru highlighted the CSIR-CFTRI’s efforts and contributions for food industry, food security and foot sustainability in the country.

    In the Technical session, Dr. Ashutosh Inamdar highlighted the various research activities being carried out at CSIR-CFTRI and its translation for the benefit of stakeholders through promotion of innovation, entrepreneurship, start-up ecosystem development and collaboration & partnership.

    Day two of the event began with the networking session moderated by Sh. Aashish Inamdar, where participants interacted with technology developer scientists to identify specific opportunities for CSIR-CFTRI Technology deployment. The panellists involved from CSIR- CFTRI were Dr. Umesh Hebbar H, Dr. Pradeep Singh Negi, Dr Meera M S, Dr. Attar Singh Chauhan, Dr P V Suresh, Dr Pushpa S Murthy, and Dr Ashutosh Inamdar. They highlighted various technologies developed by CSIR-CFTRI in the areas of fruits and vegetable, grain, traditional food, meat processing, making value added products using pepper, turmeric, ginger spices etc. Dr Yogesh Suman, Chief Scientist, CSIR-NIScPR highlighted the CSIR efforts towards livelihood creation through S&T intervention in rural areas.

    An interactive session moderated by Dr. Raghvendra C K, was also organised with the representatives from banking sector Government agencies responsible for implementing various Government schemes in the area of agriculture. They discussed about the funding schemes available for technology adaptation, and establishing enterprises and start-ups in the area of agriculture. The panellist involved in the discussion included Shri Chandra Kumar from KAPPEC Karnataka, Shri Chandrashekhar from Medikere; Shri Saiyad Rizvi from Union Bank of India and Shri Krishnamurti from State Bank of India, Mysuru. They talked about funding schemes like PFME, Agriculture Infrastructure Fund (AIF), and Retail Asset Credit Centre (RACC) and other short term and long term funding schemes for establishing unit.

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    AG

    (Release ID: 2057733) Visitor Counter : 58

    MIL OSI Asia Pacific News

  • MIL-OSI Economics: How the Necro Trojan infiltrated Google Play, again

    Source: Securelist – Kaspersky

    Headline: How the Necro Trojan infiltrated Google Play, again

    Introduction

    We sometimes come across modified applications when analyzing suspicious files. These are created in response to user requests for more customization options within the app or for new features that the official versions don’t have. Unfortunately, it’s not uncommon for popular mods to contain malware. This often happens because they’re distributed on unofficial websites that don’t have any moderation. For example, last year we found popular WhatsApp mods infected with CanesSpy and distributed this way. Before that, we found ads for WhatsApp mods infected with the Triada Trojan dropper in the popular Snaptube application. However, even official app stores can be infiltrated by infected apps. In 2019, we discovered the Necro dropper hidden within CamScanner, a widely used document scanning and processing app available on Google Play. At the time of the malware discovery, this app had been downloaded to more than 100 million devices worldwide. Sadly, history has repeated itself, and this time the Trojan authors exploited both distribution vectors: the new version of the multi-stage Necro loader infected both apps in Google Play and modified versions of Spotify, Minecraft, and other popular applications in unofficial sources.

    Our conclusions in a nutshell:

    • The new version of the Necro Trojan has infected various popular applications, including game mods, with some of them being available on Google Play at the time of writing this report. The combined audience of the latter exceeds 11 million Android devices.
    • The new version of the Necro loader, like most payloads it loads, has begun to use obfuscation to evade detection.
    • The loader, embedded in some applications, used steganography techniques to hide payloads.
    • The downloaded payloads, among other things, could display ads in invisible windows and interact with them, download and execute arbitrary DEX files, install applications it downloaded, open arbitrary links in invisible WebView windows and execute any JavaScript code in those, run a tunnel through the victim’s device, and potentially subscribe to paid services.

    How Necro spreads

    Necro loader inside a Spotify mod

    In late August 2024, our attention was drawn to a Spotify mod called Spotify Plus, version 18.9.40.5. At the time of writing this, the mod could be downloaded from spotiplus[.]xyz and several related sites that linked to it. The original website claimed that the mod was certified, safe, and contained numerous additional features not found in the official app. We decided to verify the claims about the application’s safety by downloading the latest version from this website (acb7a06803e6de85986ac49e9c9f69f1) and analyzing it.

    Site containing the Spotify mod

    The mod implements a custom Application subclass that initializes an SDK named adsrun in its onCreate method. This SDK is intended for integrating several advertising modules into the application: among other things, it initializes a module named Coral SDK. Upon activation, Coral SDK transmits a POST request to a designated command-and-control server. This request contains encrypted JSON data, specifically detailing the compromised device and the application hosting the module. The encryption method employed is a substitution cipher, where the substitution values are generated using a standard Java pseudo-random number generator seeded with a predefined constant. See an example of data sent by the module below.

    The C2 server returns a JSON response with an error code, encrypted with the same method. A value of 0 indicates successful execution. In this case, the response from the C2 will also contain an array of one object with a link to download the image in PNG format and associated metadata: name, MD5, version, and so on. Intriguingly, the downloaded file is termed “shellP”, suggesting it might be a condensed form of “shellPlugin”.

    Next, the module verifies the integrity of the downloaded image by calculating its MD5 hash and comparing it to the value received from the server. A payload is hidden in this image using steganography, which the module must extract and execute in the next step.

    Coral SDK uses a very simple steganographic algorithm. If the MD5 check is successful, it extracts the contents of the PNG file — the pixel values in the ARGB channels — using standard Android tools. Then the getPixel method returns a value whose least significant byte contains the blue channel of the image, and processing begins in the code.

    Steganographic algorithm for payload extraction

    If we consider the blue channel of the image as a byte array of dimension 1, then the first four bytes of the image are the size of the encoded payload in Little Endian format (from the least significant byte to the most significant). Next, the payload of the specified size is recorded: this is a JAR file encoded with Base64, which is loaded after decoding via DexClassLoader. Coral SDK loads the sdk.fkgh.mvp.SdkEntry class in a JAR file using the native library libcoral.so. This library has been obfuscated using the OLLVM tool. The starting point, or entry point, for execution within the loaded class is the run method.

    Starting the payload

    Therefore, the security claims made about the application on the mod website can be considered false.

    Having searched for the loader in our telemetry, we found other apps infected with Necro, including those available in Google Play at the time of writing this report. Their combined audience numbered more than 11 million Android devices.

    Wuta Camera app in Google Play

    Our first find is the Wuta Camera app. Judging by its page in Google Play, it was downloaded at least 10 million times. According to our data, the Necro loader has been embedded in it starting from version 6.3.2.148. The latest version of the app at the time of collecting information, 6.3.6.148 (1cab7668817f6401eb094a6c8488a90c), which was available on Google Play, also had the Necro loader. We reported the presence of malicious code to Google Play, after which the loader was removed from the app in version 6.3.7.138.

    Malicious loader in Wuta Camera

    The second infected app we found was Max Browser.

    Max Browser app in Google Play

    This browser, according to Google Play, has been installed more than a million times and, starting with version 1.2.0, also contained the Necro loader. After we reported it, Google took down the infected app from their store.

    Necro Trojan within Max Browser

    WhatsApp mods with the Necro loader

    We also found WhatsApp mods containing the Necro loader (0898d1a6232699c7ee03dd5e58727ede) in unofficial sources. The infected application is distributed under the package name com.leapzip.animatedstickers.maker.android. Interestingly, there’s a legitimate app on Google Play with the exact same package name that isn’t a WhatsApp mod, but instead offers a collection of stickers for the messaging app.

    The loader contained within the ad module in these applications functions somewhat differently from the sample described above. For instance, the code isn’t obfuscated at all but is protected by the SecAPK code protector. Additionally, the application uses Google’s Firebase Remote Config cloud service as a C2, storing information about files that need to be downloaded and executed.

    Running the payload

    While examining this loader, we discovered an interesting quirk: the malicious code within it has an 84% or 90% chance of execution. Initially, a random number between 0 and 99 is generated. Subsequently, based on the application package name, a threshold for malware execution is selected: the generated number must exceed either 9 or 15 for the loader to launch. If the number meets this criterion, a corresponding flag inhibiting loader operation is set to false, and the malicious functionality is executed.

    The malicious functionality will be executed with a predetermined probability

    Intermediate payloads downloaded by this loader are not pre-encoded. The Trojan receives both the entry point information for the downloaded file and the download link from its C2 server. According to our data, one of the payloads (37404ff6ac229486a1de4b526dd9d9b6) bore resemblance to a loader found in a modified version of Spotify, albeit with minor variations.

    • The next-stage payload (shellPlugin) is loaded without the aid of native code.

      Loading shellPlugin

    • A different path is used for the POST request to the command-and-control server to retrieve shellPlugin information.
    • Instead of using the steganographic algorithm, shellPlugin is decoded with Base64.

    Other infected applications

    This is not an exhaustive list of our findings. In addition to Spotify and WhatsApp mods, as well as apps in Google Play, we found infected game mods, including the following:

    • Minecraft;
    • Stumble Guys;
    • Car Parking Multiplayer;
    • Melon Sandbox.

    Given that various apps from multiple sources, including official ones, were found to be infected, we believe that the developers used an untrusted solution for ad integration. This led to a malicious loader appearing in the apps. Our security solutions detect it with the following verdicts:

    • HEUR:Trojan-Downloader.AndroidOS.Necro.f;
    • HEUR:Trojan-Downloader.AndroidOS.Necro.h.

    The Necro lifecycle in the wild: how the payload works

    During our research, we managed to obtain several samples of payloads that the loader subsequently executes. This particular payload (fa217ca023cda4f063399107f20bd123) exhibits several interesting characteristics that allow us to classify it as belonging to the Necro family:

    • The loader obtains download information from the C2 domain bearsplay[.]com. According to our telemetry data, the domain has been contacted by Necro-family malware.
    • According to our data, the C2 domains that this file interacts with are also being used by the Necro and xHelper Trojans.
    • The functionality of this new payload is very similar to the previous version of Necro (402b91c6621b8093d44464fc006e706a). The code of the Trojans is also similar, but in this new payload, the attackers have used an obfuscator to make it harder for security solutions to detect and analyze.

      Code snippet from the payload

      Similar code snippet from an old version of Necro

    • The payload configuration structure is identical to that of older versions of Necro, including the one we previously discovered in the CamScanner app. The field names in the configuration match the corresponding fields in other Necro versions.

    Based on this, we assert that both the examined payload and the original loader belong to the Necro family, which is familiar to us.

    Payload structure

    Now let’s move on to analyzing the payload. The second stage of the launch process reads a JSON-formatted configuration embedded within the code. An example of the configuration is provided below.

    The rp switch might contain malicious services to be launched, but it was empty in the samples we analyzed.

    Code for launching the malicious service from the “rp” parameter

    The mp configuration switch holds parameters for the second-stage loader. It’s likely an abbreviation for “module parameters”.

    The malicious functionality of Necro is implemented in additional modules that are downloaded from the C2 server. The malware authors frequently refer to these as “plugins” in the code. The ps configuration field (likely an abbreviation for “plugin stop list”, meaning a list of prohibited plugins) is necessary to block these modules. The switches in this object are the names of plugins that are forbidden to load, and the values are alternative plugins that can be executed instead of the blocked ones if they were loaded. The download ban will be applied if the mp field has the PluginControl flag set to true. However, in the samples we were able to obtain, the restrictions did not apply. Additionally, the mp field may contain the PluginUpdateFeature flag, which controls plugin updates. If this flag is not present, plugins will be updated by default.

    The hs switch in the configuration stores a list of C2 addresses which the Trojan will talk to. Note that the malware logic does not require all addresses to match, although in the sample we examined, they were identical. The Trojan needs each address to perform the following tasks:

    • server is used to update the PluginServer server address. To do this, the Trojan first sends a POST request containing the ID of the malicious implant and the name of the application package it’s embedded into. After that, the server can send a new PluginServer address. If the address cannot be updated, the value from the configuration set in the code is used.

      Updating PluginServer

    • dataevent is used to store various events related to SDK activity.
    • default is not used at this stage.
    • PluginServer instructs the Trojan which plugins to download. Initially, a large amount of data is sent to this server. This includes information about the infected device (screen size, RAM, IMEI, IMSI, operating system version), information about the device’s environment (whether USB debugging mode and developer mode are enabled, if emulator artifacts are detected, etc.), details about the infected app, and so on.

      Sending collected data to PluginServer

    In response, the server sends a list of plugins to download. These are downloaded asynchronously. To do this, the malware registers a broadcast receiver, and a separate thread, which is started for the download, sends a broadcast message when a plugin is ready to be downloaded. The plugins are differentiated by their name, which is also provided by the server.

    Plugin encryption and loading

    The plugin loading code supports, among other things, the ability to decrypt plugins using various methods. Additionally, payloads can be extracted beforehand using the steganographic algorithm described above if a file with a .png extension was downloaded. The decryption method is specified in the file URL. The following options are available:

    • new/ enc: decryption with a substitution cipher similar to that used for C2 communication
    • ssd: plugin decryption using the DES algorithm
    • ori: unencrypted plugin

      Selecting a decryption procedure

    If no encryption method is specified, the plugin will be decrypted using a substitution cipher. The initial seed for this cipher will be the PMask parameter (short for plugin mask), which is defined in the mp object within the loader configuration. Once decoded, plugins can be loaded in various ways.

    Selecting a method to load the plugin

    • dex: this method loads the plugin using DexClassLoader. The loader provides it with the application and plugin context, and additional plugin information.

      Loading the plugin in dex mode

      Launching the plugin entry point

    • res: this method allows loading plugins with new resources. These resources can be used to download more plugins in the future.

      Loading new resources

    • apk: a method that allows sending information about a downloaded file to a service via the IPC Binder mechanism. The name of the service is specified in the bird_vm_msg_service property. While it’s not definitively known which services Necro used, we can speculate that this function is used to install arbitrary APK files on the victim’s device.

    Types of plugins

    To better understand the attackers’ goals, we decided to thoroughly examine the payloads downloaded by the Trojan and, after analyzing telemetry data, found several Necro modules.

    ed6c6924201bc779d45f35ccf2e463bb – Trojan.AndroidOS.Necro.g

    This is a Necro module named “NProxy”. Its purpose is to create a tunnel through the victim’s device. When launched, the module connects to a server defined in the code.

    Connecting to the server

    This server acts as a C2 server that the Trojan talks to via an unidentified protocol implemented over TCP sockets. The C2 sends commands, which the Trojan processes. After processing, the Trojan forwards traffic from one endpoint to another through the victim’s device.

    b3ba3749237793d2c06eaaf5263533f2 – Trojan.AndroidOS.Necro.i

    We named this plugin “island”. When launched, the plugin generates a pseudo-random number, which it uses as an interval (in milliseconds) between displays of intrusive ads.

    Trojan showing ads

    ccde06a19ef586e0124b120db9bf802e – Trojan.AndroidOS.Necro.d

    This plugin is named “web”, and it is one of the most popular Necro plugins, judging by our telemetry data. Its code contains a configuration similar in structure to the shellPlugin payload configuration in the previous stage. It’s interesting that the code for this plugin contains artifacts of older versions of Necro.

    nicro is one such artifact from older Necro versions found within the plugin’s configuration

    Depending on the value of the CheckAbnormal flag, the plugin checks for the presence of a debugger in the execution environment and if a phone is connected via USB using ADB. If either condition is met, the Trojan clears the Logcat log to hide traces of its activity. Additionally, the plugin verifies if it has the permission to display windows on top of other applications. After all these checks, it launches a malicious task that runs once every two hours. When the malware starts, it sends a POST request containing details about the infected device to the server server. This is done to get the address of another server, named main URL, which the Trojan will communicate with frequently. If there’s an error when getting this address, the malware will fall back to using a server named default.

    Data about the infected device sent to the C2

    The received main URL serves as the C2 server: it sends a list of pages to the Trojan, which the malware later opens in the background before processing the interactive elements contained on them. This functionality has a couple of interesting features. First, the Trojan code contains some artifacts that indicate it might be running with elevated privileges. However, Android processes with elevated privileges do not allow WebView by default. Privilege checks occur directly when creating an instance of the WebView factory: in privileged processes, it won’t be created. To circumvent this restriction, the Trojan creates an instance of the factory directly using reflection, thus bypassing all checks of the current process.

    Instantiating a WebView factory directly

    Secondly, the Trojan can download and run other executables, which are then used to replace links loaded with WebView. Combined with the functionality described above, this theoretically allows to do things like adding any additional information to the URL parameters of a replaced link, such as confirmation codes for paid subscriptions, as well as executing other arbitrary code when loading specific links.

    36ab434c54cce25d301f2a6f55241205 – Trojan-Downloader.AndroidOS.Necro.b

    This module is named “Happy SDK”. Its code partially combines the NProxy and web modules logic, as well as the functionality of the previous stage of the loader with a few minor differences:

    • The code lacks the Trojan configuration, and backup C2 servers are located by default in the corresponding methods.

      Server address for updating the module is specified in the method code by default

    • The code corresponding to the “web” plugin lacks the functionality to execute arbitrary code.
      Note that we have occasionally encountered this SDK under the name “Jar SDK”. Analysis has shown that Jar SDK is a new version of Happy SDK.

      Happy SDK artifacts in Jar SDK

    We believe this is a different variant of Necro where the developers have opted for a non-modular architecture in the malicious SDK. This suggests that Necro is highly adaptable and can download different iterations of itself, perhaps to introduce new features.

    874418d3d1a761875ebc0f60f9573746 – Trojan.AndroidOS.Necro.j

    We dubbed this plugin “Cube SDK”. It’s pretty simple and acts as a helper: its only job is to load other plugins to handle ads in the background.

    522d2e2adedc3eb11eb9c4b864ca0c7f – Trojan.AndroidOS.Necro.l

    This plugin, in addition to NProxy’s functionality, has an entry point for another plugin we’ve named “Tap”. Judging by its code, the latter is still under development: it contains a lot of unused functionality for interacting with ad pages. Tap downloads arbitrary JavaScript code and a WebView interface from the C2 server, which are responsible for viewing ads in the background. Among other things, the plugin includes com.leapzip.animatedstickers.maker.android as the package name of the infected app. This confirms that the WhatsApp mod loader described earlier, which uses Firebase Remote Config as a C2, also belongs to the Necro family.

    These are all the payloads we were able to find during our research. For simplicity, we’ve combined all the processes described above into a single diagram illustrating all stages of the Necro Trojan.

    Necro Trojan infection diagram

    It’s worth noting that the creators of Necro may regularly release new plugins and distribute them among infected devices, selectively or otherwise, for example, depending on the information about the infected application.

    Victims

    According to Google Play data, the infected applications could have been downloaded over 11 million times. However, the actual number of infected devices might be much higher, considering that the Trojan also infiltrated modified versions of popular apps distributed through unofficial sources.

    KSN data shows that our security solutions blocked over ten thousand Necro attacks worldwide between August 26th and September 15th. Russia, Brazil, and Vietnam experienced the highest number of attacks. The chart below illustrates the distribution of Necro attacks across countries and territories where users most frequently encountered the Trojan.

    Necro attacks by country and territory, August 26 through September 15, 2024 (download)

    Conclusion

    The Necro Trojan has once again managed to attack tens of thousands of devices worldwide. This new version is a multi-stage loader that used steganography to hide the second-stage payload, a very rare technique for mobile malware, as well as obfuscation to evade detection. The modular architecture gives the Trojan’s creators a wide range of options for both mass and targeted delivery of loader updates or new malicious modules depending on the infected application. To avoid being infected with this malware:

    • If you have any of the aforementioned Google Play apps installed and the versions are infected, update the app to a version where the malicious code has been removed, or delete it.
    • Download applications from official sources only. Applications installed from unofficial platforms may contain malicious functionality.
    • Use a reliable security solution to protect your device from attempts to install malware.

    Indicators of compromise

    Applications infected with the loader

    Loader C2 server
    oad1.bearsplay[.]com
    shellPlugin versions

    Second-stage payload
    37404ff6ac229486a1de4b526dd9d9b6

    Second-stage payload C2 server
    oad1.azhituo[.]com

    Plugins (third stage)

    Plugin C2 servers
    47.88.246[.]111
    174.129.61[.]221
    47.88.245[.]162
    47.88.190[.]200
    47.88.3[.]73
    hsa.govsred[.]buzz
    justbigso[.]com
    bear-ad.oss-us-west-1.aliyuncs[.]com

    MIL OSI Economics

  • MIL-OSI USA: Safety first when building roads and bridges in Yellowstone National Park

    Source: US Geological Survey

    The current bridge across the Yellowstone River near Tower Junction.  The bridge was constructed in the early 1960s and has structural problems that require it to be replaced.  The bridge will be removed once the new Yellowstone River Bridge is completed (scheduled for 2026).  Photo by Jacob Frank (Yellowstone National Park) on August 17, 2020.

    Yellowstone Caldera Chronicles is a weekly column written by scientists and collaborators of the Yellowstone Volcano Observatory. This week’s contribution is from Michael Loya, graduate student, and Ken Sims, Professor of Geology and Geophysics, both at the University of Wyoming.

    As you drive through Yellowstone National Park, have you ever wondered how roads are safely built through and near hydrothermal areas? While roads are usually not constructed through major thermal features, the hydrothermal activity is so pervasive throughout the park that building roads through and near hydrothermal areas is sometimes unavoidable—like the road that passes near Beryl Spring and proved to be a major engineering challenge, and the road that crosses thermal ground in Lower Geyser Basin and is the source of the “melting roads of Yellowstone” story.  Furthermore, the absence of hot springs and mud pots doesn’t mean that there is not thermal activity just below the surface. This is why bridges require special planning, as they usually involve drilling.  Such is the case with the bridge currently under construction across the Yellowstone River near Tower Junction.

    The Yellowstone River Bridge project involves replacing the existing 60-year-old bridge and rerouting part of the Northeast Entrance Road to the intersection of Grand Loop Road (https://highways.dot.gov/federal-lands/projects/wy/nps-yell-12-2). This new 1,285 foot long and 175-foot-high steel girder bridge is located within a hydrothermally active zone with multiple gas vents along the river’s edge. 

    Drilling for the new Yellowstone River Bridge near Tower Junction. A small, yellow, personal 4-gas safety monitor can be seen on the upper left breast pocket on the person in the far right of the picture.  Photo by Ken Sims (University of Wyoming), August 3, 2023.

    Because of its proximity to thermal activity, the large-drilled shafts (5–10 feet in diameter and 40–60 feet in depth) required sulfate-resistant cement and thermal monitoring of below-grade concrete curing to assure a stable bridge structure. The actual drilling of these large shafts also posed a significant safety risk for the drillers. 

    A particular concern related to the drilling was hydrogen sulfide gas (H₂S)—a toxic gas often associated with Yellowstone’s hydrothermal systems. H2S is first noticeable to humans at 0.01–1.5 parts per million (ppm), and it has a faint rotten egg smell. At higher concentrations, H₂S is odorless and extremely dangerous. Prolonged exposure, up to an hour or more, to concentrations between 10 and 50 ppm can cause nausea, headaches, fatigue, dizziness, and eye and respiratory tract irritation. Concentrations between 400 and 700 ppm can cause unconsciousness within five minutes and death if exposure is not reduced within 30–60 minutes, and concentrations above 1,000 ppm can cause death in minutes.

    The hazard is not inconsequential and is exemplified by an accident that occurred in this same location on June 26, 1939. While building an earlier bridge across the Yellowstone River, three Bureau of Public Roads employees were conducting a routine test pit excavation when H2S overwhelmed two of the workers in the pit. The two victims were eventually rescued, but unfortunately, one worker died the following day.

    To determine if the modern-day drilling was impinging on the adjacent local hydrothermal system, geologists from the University of Wyoming measured and recorded temperature and pH variations in groundwater and “drill-spoils” (the dirt and rock removed from the drill holes), as well as changes in groundwater electrical conductivity at specified time and depth intervals. They also monitored gas concentrations to help ensure a safe work environment. This monitoring involved equipping each worker with a personal H₂S gas sensor to continuously monitor H₂S levels around the drill site. In the event of an accidental and hazardous gas exposure, an oxygen supply and full protective gear were on site to ensure a fast and effective response.

    Trigger Action Response Plan (TARP) for the Yellowstone River Bridge replacement project.  The plan gives three levels of response for various conditions that might be encountered during drilling of bridge footings.  The level of severity is indicated by the colors, with green being least severe and red being most severe.

    To establish a decision tree in response to a hazardous event, a Trigger Action Response Plan (TARP) was implemented to address any geologic hazards or worker risks that may occur during drilling operations. If hazardous conditions were detected, the plan outlined three levels of response. At Trigger Level 1, which indicates elevated temperatures, more acidic conditions in the soil and water, and levels of H2S gas up 10 ppm, monitoring intervals would be shortened. At Trigger Level 2, which indicates that even higher temperatures, higher acidity, and higher levels of H2S (~15 ppm) were detected in the drill shafts, the TARP officer would be notified immediately, and monitoring would be conducted even more frequently.  The TARP officer would also notify project managers and Yellowstone National Park officials of a Trigger Level 2 event. Even higher temperatures, soil and water acidity, and H2S concentrations (greater than 20 ppm), would initiate a Trigger Level 3 causing a work stoppage and immediate evacuation of the area until conditions were deemed safe.  Lastly, each day’s activities were documented with detailed daily records of the drilling activities and a final drilling log for each of the twenty drilled shafts as part of the project. 

    The drilling phase of the Yellowstone River Bridge project was completed in September 2023 without incident. Potential hazards were mitigated through careful planning, monitoring of geologic conditions, and implementation of a Trigger Action Response Plan. Construction is above ground is ongoing, and the bridge is scheduled to be completed in the Fall of 2026.

    Drilling for the new Yellowstone River Bridge near Tower Junction. A small, yellow, personal 4-gas safety monitor can be seen on the upper left breast pocket on the person in the far right of the picture.  Photo by Ken Sims (University of Wyoming), August 3, 2023.

    MIL OSI USA News

  • MIL-OSI USA: Coconut Rhinoceros Beetle Found in Waikoloa Trap

    Source: US State of Hawaii

    Coconut Rhinoceros Beetle Found in Waikoloa Trap

    Posted on Sep 21, 2024 in Main

    September 21, 2024
    NR24-28

    HONOLULU – A single coconut rhinoceros beetle (CRB) has been found in a trap this week by the Hawai‘i Department of Agriculture (HDOA) during routine monitoring in Waikoloa on Hawai‘i Island. This is the first detection of CRB on the island since October 2023 when a Waikoloa resident reported finding a total of six grubs (larvae) in a decaying palm tree stump. The trap that the CRB was found in this week is located about 200 yards from the earlier detection.

    HDOA set 30 traps around Waikoloa and has been conducting routine monitoring with the assistance of volunteer area residents. The Big Island Invasive Species Committee has set additional traps, as has the University of Hawai‘i, whose traps have cameras that allow real-time monitoring.

    The pheromone traps are used for early detection of infestations. The traps do not attract all CRB in the area and are not effective as an eradication method. Surveillance for CRB has been ongoing on all islands, including traps at airports, harbors and other strategic locations.

    HDOA and CRB Response teams are now focusing on eradication efforts in the area where the beetle was found. Initial surveys in the immediate area did not detect obvious signs of CRB damage in palm trees.

    “CRB surveillance on Hawai‘i Island has been ongoing and early detection is key to prevent the establishment of breeding populations,” said Sharon Hurd, chairperson of the Hawai‘i Board of Agriculture. “We ask everyone to keep an eye out for CRB, especially in their compost and mulch piles which are major breeding grounds of the beetle.”

    Residents on all islands are asked to be vigilant when purchasing mulch, compost and soil products, and to inspect bags for evidence of entry holes. An adult beetle is about 2-inches long, all black and has a single horn on its head. CRB grubs live in decomposing plant and animal waste. Adult CRB prefer to feed on coconut and other larger palms and are a major threat to the health of these plants.

    Residents may go to the CRB Response website at:  https://www.crbhawaii.org/ to learn more about how to detect the signs of CRB damage and how to identify CRB life stages. Reports of possible CRB infestation may also be made to the state’s toll-free Pest Hotline at (808) 643-PEST (7378).

    The CRB is a large scarab beetle that was first detected on O‘ahu in 2013. The beetle has since been detected in many neighborhoods on O‘ahu and was detected on Kaua‘i in May 2023, where collaborative eradication efforts continue. CRB grubs were found in Kīhei, Maui, in November 2023, but have not been detected on the island since.

    CRB is a serious pest of palm trees, primarily coconut palms, as the adult beetles bore into the crowns of the palms to feed on the trees’ sap. New unopened fronds are damaged in this way and when fully opened, may break and fall unexpectedly. If CRB kill or damage the growing point of the palm, the tree may die. Secondary fungal or bacterial pathogens may also attack the wounds caused by CRB, thereby killing the tree as well. Tree mortality after CRB attack has been reported to be anywhere from 10 percent to 50 percent. Dead trees then become a safety hazard as they may fall unexpectedly after the trunk rots, potentially resulting in bodily injury or property damage.

    CRB is a major pest of palms in India, the Philippines, Palau, Fiji, Wallis and Futuna, Nukunono, American and Western Samoa and Guam. It is still not known exactly how the beetles arrived in Hawai‘i.

    ###

    MIL OSI USA News

  • MIL-OSI USA: RIDOH and DEM Recommend Avoiding Contact with Keech Pond in Glocester

    Source: US State of Rhode Island

    The Rhode Island Department of Health (RIDOH) and the Rhode Island Department of Environmental Management (DEM) are advising people to avoid contact with Keech Pond in Glocester due to a blue-green algae (or cyanobacteria) bloom in the pond. Blue-green algae can produce toxins that can harm humans and animals. Toxins and/or high cell counts have been detected by the RIDOH State Health Laboratory from water samples collected by the DEM.

    Use caution in all areas of Keech Pond. Cyanobacteria can sink or float to control their location in the water column. Other factors such as, wind, rain and wakes from recreational activities can affect the location of a bloom. All recreation, including swimming, fishing, boating and kayaking, should be avoided. People should not ingest water or eat fish from the ponds. Pets can also be affected by exposure to the algal toxins and thus owners should not allow pets to drink or swim in the water. The advisory will remain in effect until further notice.

    Skin contact with water containing blue-green algae commonly causes irritation of the skin, nose, eyes, and/or throat. Common health effects associated with ingesting water containing algal toxins include stomachache, diarrhea, vomiting, and nausea. Rarer health effects include dizziness, headache, fever, liver damage, and nervous system damage. Young children and pets are at a particular risk for health effects associated with algal toxins. People who have had contact with these ponds and experience those symptoms should contact their healthcare provider.

    If you come into contact with the water, rinse your skin with clean water as soon as possible and, when you get home, take a shower and wash your clothes. Similarly, if your pet comes into contact with the water, immediately wash your pet with clean water. Do not let the animal lick algae off its fur. Call a veterinarian if your animal shows any symptoms of blue-green algae poisoning, including loss of energy, loss of appetite, vomiting, diarrhea, or any unexplained sickness that occurs within a day or so after being in contact with water. People are cautioned that toxins may persist in the water after the blue-green algae bloom is no longer visible.

    It is possible that blue-green algae blooms may be affecting other waterbodies in Rhode Island. People are advised to avoid contact with waterbodies that exhibit bright green coloration in the water or at the water surface and/or dense floating algal mats that form on the water’s surface. The water may look like green paint, thick pea soup, or green cottage cheese.

    To report suspected blue-green algae blooms, contact DEM’s Office of Water Resources at 222-4700 or DEM.OWRCyano@dem.ri.gov and if possible, send a photograph of the reported algae bloom. ###

    MIL OSI USA News

  • MIL-OSI USA: Repackaging Seafood Waste as Plastic Alternatives

    Source: US State of Connecticut

    Seafood is a major industry in New England. It generates a lot of revenue for coastal communities, but with that productivity can come a lot of waste.

    Right now, that waste – things like crab and lobster shells – is just dumped into landfills where it decomposes slowly and releases greenhouse gases into the atmosphere.

    Researchers in New England have been looking at how that waste could be used to help rather than harm the environment.

    Mingyu Qiao, assistant professor of innovation and entrepreneurship in the Department of Nutritional Sciences, and Yangchao Luo, associate professor of nutritional sciences, are two researchers in the College of Agriculture, Health and Natural Resources investigating how seafood waste and algae can be used to produce plastic-free, biodegradable packaging.

    They recently published four articles on the topic, in Foods, Food Hydrocolloids, and two in International Journal of Biological Macromolecules 1 and 2.

    “That’s the motivation,” Qiao says. “We’re looking for ways we can better use that seafood waste to create a value-added product.”

    Plastic packaging is also a major source of waste in the world. Single-use plastics often make their ways into our waters where they pose a danger to sea life.

    Microplastics, pieces of plastic broken down to nearly undetectable sizes, affect humans too, as they have shown up in human brains and reproductive organs.

    Plastics are harmful to human health in another way – PFAS. PFAS (Per- and polyfluoroalkyl substances) also known as “forever chemicals” are found in plastics and plastic coatings on paper food wrappers. They leech into our food, and we then consume these harmful chemicals.

    Qiao and Luo are looking for a solution that tackles waste from both directions.

    “Each type of seafood waste has different (chemical) components, and they might have different properties, so it can be good for different applications,” Qiao says. “The challenge is how to identify those molecules, their properties, and the best use.”

    Natural polymers like the ones with which Qiao and Luo work are safer for human, animal, and environmental health, aligning this work with the College’s investment in One Health approaches.

    These polymers do not contain synthetic chemicals which are linked to a host of poor health outcomes, and they can be easily degraded in the ocean, given that is where they originated.

    “Nature already has a mechanism to biodegrade those polymers that is millions of years old,” Qiao says.

    Luo works on turning a compound found in crab and lobster shells into packaging using an extraction process that does not generate toxic waste.

    “Even though the polymer is green, the process is not,” Qiao says. “That’s why we’re developing what we call a green biorefinery method using microorganisms that produce enzymes to break down those tissues and then we can extract the polymers sustainably.”

    In partnership with UConn’s Technology Commercialization Services (TCS), Luo and Qiao have forged a strategic alliance with a leading lobster processing company in Massachusetts to implement this innovative green extraction method on seafood waste. Together, they are pursuing a Small Business Technology Transfer (STTR) grant to accelerate the development and commercialization of this groundbreaking technology.

    Amit Kumar, senior director of licensing at UConn, says “The seafood processing industry produces valuable waste that is rich in components like chitin and alginate, which have significant potential for diverse applications, from food and medical technologies to sustainable packaging alternatives. These projects aim to harness these materials to create high-impact, eco-friendly solutions across various industries by replacing petroleum-based materials.”

    Qiao works with alginate, a compound found in algae, as an edible coating on food. He is looking at how spraying produce, like strawberries, with an alginate coating can help increase their shelf-life without the need for plastic packaging.

    Alginate is an attractive option for this application because it is completely edible, calorie-free, and not a common allergen, which is a concern for seafood-derived polymers.

    The researchers are also working with local seaweed farmers, collaborating with them as they move toward commercializing this technology.

    A postdoctoral researcher working in Qiao’s lab, Anuj Purohit, has established a company called Atlantic Sea Solutions to develop and commercialize this technology. The company was selected to receive funding from the Connecticut Center for Entrepreneurship and Innovation, or CCEI over the summer. Atlantic Sea Solutions was selected as one of five teams to compete in the School of Business’ Wolff New Venture Competition in October.

    “This research is not staying on the paper,” Qiao says. “There is commercial interest right now.”

    Qiao and Luo have disclosed three inventions and filed two provisional patents in this area.

    “We extend our heartfelt thanks to the CAHNR leadership for their continued investment in applied research like ours. These projects were initially supported by the CAHNR Exploratory Research Grant and the Strategic Vision Implementation Committees (SVIC) Funding, and we’re now beginning to see the fruits of that investment.”

    This work relates to CAHNR’s Strategic Vision area focused on Ensuring a Vibrant and Sustainable Agricultural Industry and Food Supply, Advancing Adaptation and Resilience in a Changing Climate and Enhancing Health and Well-Being Locally, Nationally, and Globally.

    Follow UConn CAHNR on social media

    MIL OSI USA News

  • MIL-OSI United Kingdom: St Albans Feastival: thousands turn up for City Centre street party despite downpours

    Source: St Albans City and District

    Publication date:

    Thousands of people braved challenging weather to enjoy a six-hour-long street party that celebrated the District’s food and drink businesses.

    They refused to let occasional showers spoil the fun at the St Albans Feastival, a family-friendly event organised by St Albans City and District Council with the support of partners.

    St Peter’s Street was closed to traffic for the event on Sunday 22 September which was kicked off by the Mayor, Councillor Jamie Day, with the help of Deputy Mayor, Cllr Jenni Murray, and the Rev Mark Dearnley of St Peter’s Church

    Among the many attractions were around 100 market stalls offering an astonishing variety of food and drink products from local businesses.

    There was also a live cookery theatre, sponsored by SA Law, featuring displays of culinary skills by local chefs.

    Live music was provided on a stage, sponsored by St Albans City Centre BID. There were many free interactive activities including edible flower growing, traditional wooden games, crazy golf and a football shoot-out.

    To make the event accessible, British Sign Language interpreters were at the cookery stage and other locations to help communicate activities. There were accessible viewing zones, reserved seating for those less able to stand and accessible toilets. 

    Chris Traill, the Council’s Strategic Director for Community and Place Delivery, said:

    Congratulations to all those who were not put off by the weather and turned up in their thousands. I’m sure they will agree that it was worth it.

    The rain, which unfortunately was torrential at one point, didn’t dampen their spirits and the crowds created the Feastival’s usual thrilling atmosphere.

    Our events team anticipated the conditions and had arranged for many of the activities to be sheltered by gazebos.

    As a Council, we are committed to making events accessible to all and measures were taken to ensure that was very much the case.

    The District’s hospitality businesses are vital to the local economy and it was heartening to see so many people out there sampling many of their products.

    Vivien Cannon, BID Manager, said:

    Rain didn’t stop play. Well done to all the stall holders and event delivery team ensuring visitors were welcomed to yet another successful Feastival event.

    Marilyn Bell, Partner and Head of Family at SA Law, said:

    The St Albans Food and Drink Festival is a highlight for the SA Law team every year.

    Despite the unfortunate downpour yesterday, the event was well organised, well-attended, and a delight to be a part of. It was great to see a wide range of food being offered, activities for all ages, as well as a great turnout at the Cookery Theatre where local chefs gave live demonstrations of their excellent recipes. 

    We are proud to support the Council and the wonderful community events they put on.

    The event is part funded by the Government’s UK Prosperity Fund which awarded the District’s community events team £210,000 over three years.

    Photos: scenes from the 2024 St Albans Feastival by Stephanie Belton including, first below, Cllr Jamie Day, Mayor of St Albans City and District, centre, with Cllr Jenni Murray, Deputy Mayor, and the Rev Mark Dearnley.

    Media contact: John McJannet, Principal Communications Officer: 01727 819533, john.mcjannet@stalbans.gov.uk.

    Note to Editors: 

    The UK Shared Prosperity Fund provides £2.6 billion of funding for local investment by March 2025. The Fund aims to improve pride in place and increase life chances across the UK, investing in communities and place, supporting local business, and people and skills. For more information, visit https://www.gov.uk/government/publications/uk-shared-prosperity-fund-prospectus

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    MIL OSI United Kingdom

  • MIL-OSI Global: The Taliban suspends polio vaccine campaign in Afghanistan – here’s the likely impact

    Source: The Conversation – UK – By Lee Sherry, Postdoctoral Research Associate, School of Infection and Immunity, University of Glasgow

    The Taliban recently announced that they are suspending its polio vaccination campaign in Afghanistan. The announcement was made shortly before the campaign was due to start.

    The suspension is temporary, according to the Taliban, and is due to security fears and the fact that women are involved in administering the vaccine.

    Poliovirus is a highly infectious virus that mainly affects children under the age of five, but anyone who is unvaccinated can be infected. The virus spreads from person to person mainly through traces of contaminated faeces on people’s hands getting into their mouths or, less commonly, through contaminated food or water.

    It initially infects the intestines, leading to symptoms such as fever, fatigue, headache and vomiting in the early stages of the disease. But, as the infection progresses, the virus can invade the nervous system, often leading to paralysis. In the worst cases, affected children will die as the paralysis spreads to the muscles that control breathing.

    Polio was a major global childhood health concern in the 19th and 20th centuries. However, the development of polio vaccines has given us the ability to prevent polio-induced paralysis. There are two main types of polio vaccine: live-attenuated oral poliovirus vaccine (OPV), made from weakened poliovirus, and inactivated poliovirus vaccine (IPV).

    Following the introduction of the Global Polio Eradication Initiative in 1988, OPV and IPV have nearly eliminated the disease. Yet polio remains a global threat, as was seen recently with the emergence of polio in the Gaza Strip.

    Afghanistan is one of only two countries, alongside neighbouring Pakistan, where polio has continued to spread. So the news that the Taliban have suspended polio vaccination will probably have major consequences for the control of the disease in Afghanistan and the surrounding region.

    Earlier in 2024, Afghanistan had used a house-to-house vaccination strategy, recommended by the WHO, for the first time in five years. This tactic ensures that most children have access to the vaccine. However, in the southern Kandahar province, the Taliban used a mosque-to-mosque vaccination campaign, which has been proven to be less effective. So Kandahar is believed to have a large number of unvaccinated children who are now susceptible to infection.

    Locally, this setback in vaccination not only poses a risk to the children of Afghanistan, but also poses a risk to children in bordering Pakistan. This is due to the high levels of movement across the borders between the two countries.

    “Afghanistan is the only neighbour from where Afghan people in large numbers come to Pakistan and then go back,” Anwarul Haq, the coordinator at the National Emergency Operation Centre for Polio Eradication, told Associated Press.

    Much wider spread

    Afghanistan has already seen an increase in paralytic polio cases in 2024, rising from six in 2023 to 14 confirmed cases in 2024 so far. Paralysis occurs in about one in 200 infections, so this increase in paralytic polio suggests a much wider spread of infection in the region. This includes Pakistan, which has reported 13 cases so far this year.

    With the reduced number of vaccinations and an increasing number of children vulnerable to polio infection, we are likely to see an increased number of paralytic polio cases in the near future. This potential increase in viral spread coupled with the number of people travelling in and out of the region may lead to the spread of polio beyond Afghanistan and Pakistan and into areas such as India and Iran.

    Unfortunately, those who are not vaccinated will also be susceptible to vaccine-derived poliovirus. This is where the OPV vaccine, which contains a weakened version of the virus, has been able to spread in areas with low vaccination coverage, allowing the virus to return to virulence.

    This has seen new vaccine-derived outbreaks seeded across several countries in Africa, Asia and the Middle East, which now accounts for most paralytic polio cases worldwide.

    Lee Sherry has previously worked on a WHO-funded project to develop new vaccines for poliovirus.

    ref. The Taliban suspends polio vaccine campaign in Afghanistan – here’s the likely impact – https://theconversation.com/the-taliban-suspends-polio-vaccine-campaign-in-afghanistan-heres-the-likely-impact-239316

    MIL OSI – Global Reports

  • MIL-OSI Global: Sharks and rays leap out of the water for many reasons, including feeding, courtship and communication

    Source: The Conversation – USA – By A. Peter Klimley, Adjunct Associate Professor of Wildlife, Fish, & Conservation Biology, University of California, Davis

    Manta rays breaching in waters off Costa Rica. Peter Loring, iStock/Getty Images

    Many sharks and rays are known to breach, leaping fully or partly out of the water. In a recent study, colleagues and I reviewed research on breaching and ranked the most commonly hypothesized functions for it.

    We found that removal of external parasites was the most frequently proposed explanation, followed by predators chasing their prey; predators concentrating or stunning their prey; males chasing females during courtship; and animals fleeing predators, such as a ray escaping from a hammerhead shark in shallow water.

    We found that the highest percentage of breaches, measured by the number of studies that described it, occurred in manta rays and devil rays, followed by basking sharks and then by eagle rays and cownose rays. However, many other species of sharks, as well as sawfishes and stingrays, also perform this behavior.

    A breaching white shark surprises researchers off Cape Cod, Massachusetts.

    Why it matters

    It takes a lot of energy for a shark or ray to leap out of the water – especially a massive creature like a basking shark, which can grow up to 40 feet (12 meters) and weigh up to 5 tons (4.5 tonnes). Since the animal could use that energy for feeding or mating, breaching must serve some useful purpose.

    Sharks that have been observed breaching include fast-swimming predatory species such as blacktip sharks and blue sharks. White sharks have been seen breaching while capturing seals in waters off South Africa and around the Farallon Islands off central California.

    However, basking sharks – enormous, slow-swimming sharks that feed by filtering tiny plankton from seawater – also breach. So do many ray species, such as manta rays, which also are primarily filter feeders. This suggests that breaching likely serves different functions among different types of sharks and rays.

    The most commonly proposed explanation for breaching in planktivores, like basking sharks and most rays, is that it helps dislodge parasites attached to their bodies. Basking sharks are known to host parasites, including common remoras and sea lampreys. The presence of fresh wounds on basking sharks that match the shape and size of a lamprey’s mouth suggests that breaching has torn the lampreys off the sharks’ bodies.

    Basking sharks are filter feeders that live on plankton. They may breach to rid their bodies of parasites.

    Other species may breach to communicate. For example, white sharks propelling themselves out of the water near the Farallon Islands may do so to deter other sharks from feeding upon the carcass of a seal.

    Researchers have seen large groups of mantas and devil rays jumping together among dense schools of plankton – presumably to concentrate or stun the plankton so the rays can more easily scoop them up. Scientists have also suggested that planktivorous sharks and rays may breach to clear the prey-filtering structures in their gills.

    Understanding more clearly when and how different types of sharks and rays breach can provide insights into these animals’ life habits, and into their interactions with their own species and competitors.

    How we did our work

    I worked with marine scientists Tobey Curtis, Emmett Johnston, Alison Kock and Guy Stevens. Across our various projects, we have seen breaching in bull sharks in Florida, basking sharks in Ireland, white sharks in South Africa and central California, and manta rays in the Maldives. Each of us has proposed different explanations for why the animals did it.

    We reviewed scientific studies and video footage to see what species had been observed to breach, under what conditions, and the functions that other researchers had proposed for them doing so. This included information gathered from data logging tags attached to sharks and rays, digital photography, and imagery from underwater and aerial drones.

    Our review proposes further studies that could provide more information about breaching in different species. For example, attaching data loggers to individual animals would help scientists measure how quickly a shark or ray accelerates as it propels itself out of the water.

    Experiments in aquarium tanks could provide more insight into why the animals breach. For example, scientists could add remoras to a tank containing bull sharks, which can live in an aquarium environment, and observe how the sharks respond when remoras attach themselves to the sharks’ bodies.

    In the field, researchers could play audio recordings of splashes from breaches to elicit withdrawal or attraction responses from sharks tagged with ultrasonic transmitters. There remains much to learn about why these animals spend precious energy jumping out of the water.

    The Research Brief is a short take on interesting academic work.

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

    ref. Sharks and rays leap out of the water for many reasons, including feeding, courtship and communication – https://theconversation.com/sharks-and-rays-leap-out-of-the-water-for-many-reasons-including-feeding-courtship-and-communication-238487

    MIL OSI – Global Reports

  • MIL-OSI Global: Climate change is a pollution problem, and countries have stopped similar threats before – think DDT and acid rain

    Source: The Conversation – USA – By Alexander E. Gates, Professor of Earth and Environmental Science, Rutgers University – Newark

    Adding scrubbers in coal-fired power plants helped reduce acid rain, but they continued to fuel climate change. Drums600 via Wikimedia, CC BY-SA

    Climate change can seem like an insurmountable challenge. However, if you look closely at its causes, you’ll realize that history is filled with similar health and environmental threats that humanity has overcome.

    The main cause of climate change – carbon dioxide from the burning of fossil fuels – is really just another pollutant. And countries know how to reduce harmful pollutants. They did it with the pesticide DDT, lead paint and the power plant emissions that were causing acid rain, among many others.

    In each of those cases, growing public outcry eventually led to policy changes, despite pushback from industry. Once pressured by laws and regulations, industries ramped up production of safer solutions.

    I am an earth and environmental scientist, and my latest book, “Reclaiming Our Planet,” explores history’s lessons in overcoming seemingly insurmountable hazards. Here are a few examples:

    Banning DDT despite industry pushback

    DDT was the first truly effective pesticide and considered to be miraculous. By killing mosquitoes and lice, it wiped out malaria and other diseases in many countries, and in agriculture, it saved tons of crops.

    After World War II, DDT was applied to farms, buildings and gardens throughout the United States. However, it also had drawbacks. It accumulated in mother’s milk to levels where it could deliver a toxic dose to infants. Women were advised against nursing their babies in the 1960s because of the danger.

    U.S. bald eagle populations were decimated by DDT. Once the chemical was banned, they began to rebound.
    U.S. Fish and Wildlife Service

    In addition, DDT bioaccumulated up the food chain to toxic levels in apex species like raptors. It weakened the eggshells to the point where brooding mothers crushed their eggs. Bald eagles were reduced to 417 breeding pairs across North America by 1967 and were placed on the endangered species list.

    Biologist Rachel Carson documented DDT’s damage in her 1962 book “Silent Spring” and, in doing so, catalyzed a public environmental movement. Despite disinformation campaigns and attacks from the chemical industry, tremendous public pressure on politicians led to congressional hearings, state and federal restrictions and eventually a U.S. ban on the general use of DDT in 1972.

    Rachel Carson, whose book ‘Silent Spring’ led to a study of pesticides, testifies before a Senate committee in Washington on June 4, 1963.
    AP Photo/Charles Gorry

    Bald eagles recovered to 320,000 in the United States by 2017, about equal to populations from before European settlement. The chemical industry, facing a DDT ban, quickly developed much safer pesticides.

    Building evidence of lead’s hazards

    Lead use skyrocketed in the 20th century, particularly in paints, plumbing and gasoline. It was so widespread that just about everyone was exposed to a metal that research now shows can harm the kidneys, liver, cardiovascular system and children’s brain development.

    Clair “Pat” Patterson, a geochemist at the California Institute of Technology, showed that Americans were continuously exposed to lead at near toxic levels. Human skeletons from the 1960s were found to have up to 1,200 times the lead of ancient skeletons. Today, health standards say there’s no safe level of lead in the blood.

    Lead paint was banned for residential use in the U.S. in 1978, but existing lead paint in older homes can still chip, creating a health risk for children today.
    EPA

    Despite threats both personally and professionally and a disinformation campaign from industry, Patterson and his supporters compiled years of evidence to warn the public and eventually pressured politicians to ban lead from many uses, including in gasoline and residential paints.

    Once regulations were in place, industry ramped up production of substitutes. As a result, lead levels in the blood of children decreased by 97% over the next several decades. While lead exposure is less common now, some people are still exposed to dangerous levels lingering in homes, pipes and soil, often in low-income neighborhoods.

    Stopping acid rain: An international problem

    Acid rain is primarily caused when sulfur dioxide, released into the air by the burning of coal, high-sulfur oil and smelting and refining of metals, interacts with rain or fog. The acidic rain that falls can destroy forests, kill lake ecosystems and dissolve statues and corrode infrastructure.

    Acid rain damage across Europe and North America in the 20th century also showed the world how air pollution, which doesn’t stop at borders, can become an international crisis requiring international solutions.

    The problem of acid rain began well over a century ago, but sulfur dioxide levels grew quickly after World War II. A thermal inversion in London in 1952 created such a concentration of sulfur dioxide and other air pollutants that it killed thousands of people. As damage to forests and lakes worsened across Europe, countries signed international agreements starting in the 1980s to cut their sulfur dioxide emissions.

    Trees killed by acid rain in the Czech Republic in 1998. Forests across many parts of Europe and North America suffered from acid rain damage.
    Seitz/ullstein bild via Getty Images

    In the U.S., emissions from Midwestern power plants killed fish and trees in the pristine Adirondacks. The damage, health concerns and multiple disasters outraged the public, and politicians responded.

    Sulfur dioxide was named as one of the six criteria air pollutants in the groundbreaking 1970 U.S. Clean Air Act, which required the federal government to set limits on its release. Power plants installed scrubbers to capture the pollutant, and over the next 40 years, sulfur dioxide concentrations in the U.S. decreased by about 95%.

    Parallels with climate change

    There are many parallels between these examples and climate change today.

    Mountains of scientific evidence show how carbon dixoide emissions from fossil fuel combustion in vehicles, factories and power plants are warming the planet. The fossil fuel industry began using its political power and misinformation campaigns decades ago to block regulations that were designed to slow climate change.

    And people around the world, facing worsening heat and weather disasters fueled by global warming, have been calling for action to stop climate change and invest in cleaner energy.

    The first Earth Day, in 1970, drew 20 million people. Rallies in recent years have shifted the focus to climate change and have drawn millions of people around the world.

    Public campaigns and huge rallies for action on climate change, like this one in New York City in 2023, help put public pressure on politicians.
    Erik McGregor/LightRocket via Getty Images

    The challenge has been getting politicians to act, but that is slowly changing in many countries.

    The United States has started investing in scaling up several tools to rein in climate change, including electric vehicles, wind turbines and solar panels. Federal and state policies, such as requirements for renewable energy production and limits on greenhouse gas emissions, are also crucial for getting industries to switch to less harmful alternatives.

    Climate change is a global problem that will require efforts worldwide. International agreements are also helping more countries take steps forward. One shift that has been discussed by countries for years could help boost those efforts: Ending the billions of dollars in taxpayer-funded fossil fuel subsidies and shifting that money to healthier solutions could help move the needle toward slowing climate change.

    Alexander E. Gates is affiliated with The Newark Green Team.

    ref. Climate change is a pollution problem, and countries have stopped similar threats before – think DDT and acid rain – https://theconversation.com/climate-change-is-a-pollution-problem-and-countries-have-stopped-similar-threats-before-think-ddt-and-acid-rain-236479

    MIL OSI – Global Reports