Category: Reportage

  • MIL-OSI Global: The timeless appeal of We’ll Meet Again underscores people’s need for sentimentality

    Source: The Conversation – UK – By Clare V. Church, Fellow of the Institute of Historical Research, School of Advanced Study, University of London

    It begins with just a few gentle flourishes from the orchestra before the honey-voiced singer launches into the chorus. Her words are instantly familiar to listeners, who sing along without having to search for the lyrics on their smartphones or strain their voices to remain in key. The song’s simplicity is its boon and its enduring message of softness and sentimentality its raison d’être.

    More than 85 years after its release, We’ll Meet Again – made famous by singer Vera Lynn – continues to resonate with listeners, whether they experienced the second world war or not. In fact, as we head into the 80th anniversary of the war’s end, it is one song that is sure to be at the top of all British commemorative playlists.

    While embarking on this next year of remembrance, it is important to question why this song echoes so resoundingly across time and space. Why is it that, after all these years, we continue to meet We’ll Meet Again again, and again and again?


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    Written by Ross Parker and Hughie Charles, We’ll Meet Again was first recoded by Lynn in 1939. Its chorus is as follows:

    We’ll meet again, don’t know where, don’t know when, but I’ll know we’ll meet again some sunny day.

    Keep smiling through, just like you, always do, ‘til the blue skies chase those dark clouds far away.

    In the early war, Lynn performed the song – as well as other wistful tunes – at palladiums across the country and over the radio. She gained a reputation as a “sweet singer of sweet songs” and was soon after bestowed the moniker “the Forces’ sweetheart”.

    By 1941, Lynn hosted her own BBC radio show named Sincerely Yours, described by Radio Times as a “letter in words and music” to fighting men. After reading messages from munitions girls to their husbands and congratulations to new fathers in the military, Lynn signed off the show crooning We’ll Meet Again, authenticating the song as her signature.

    Throughout the remainder of the war, she performed the song over the radio and in film (including in the fittingly titled We’ll Meet Again in 1943) as well as in concerts as far afield as Myanmar.

    Vera Lynn performing We’ll Meet Again in 1943.

    However, the song was not met with universal acceptance. Some, including parliamentarian Earl Winterton, believed that Lynn’s song harmed soldier morale, arguing that its emotional message deflated appetite for the war. Diarists for Mass Observation – a social research project launched in 1937 that collected journal entries from volunteer citizens – repeated this idea. One diarist claimed that Lynn’s songs were “too intimate for broadcasting” and another called her catalogue “carefully written sob stuff”.

    But just as some criticised, others came to her defence. Gunner A. E. Buckeridge, for example, scorned Winterton in Union Jack magazine for taking it “upon himself to decide what the men should like”. Frank Owen of the South East Asia Command similarly wrote that Lynn’s crooning “really hits the heart” and thanked her for ameliorating “the abiding home sickness” of soldiers.

    The debate did not centre on whether We’ll Meet Again was sentimental. Rather, it questioned if such sentimentality helped or hindered fighting men.

    By 1945, many listeners sat in the former camp, contending that We’ll Meet Again eased war’s hardships by reminding listeners of their home and humanity. In fact, it would be the song’s ability to do this that would propel its popularity to new heights in the following decades.

    Post-war resonance

    Following the end of hostilities, the ballad proliferated across media, genres and audiences. It was referenced in a wide range of films and television series, including Dr Strangelove (1964), Muppets Go to the Movies (1981) and even Stranger Things (2016).

    Other musicians covered the song too, including Frank Sinatra and Johnny Cash. Pink Floyd’s song Vera (1979) even contained the lyrics: “Does anybody here remember Vera Lynn? / Remember how she said that we would meet again some sunny day?”

    The song was also used in war-related commemorative events and political addresses. This includes Queen Elizabeth II’s April 2020 broadcast that discussed the burgeoning COVID crisis and asserted: “We will be with our friends again; we will be with our families again; we will meet again.”

    So, what is it about this song that has maintained such longevity in the national consciousness?

    In many post-war recollections, veterans especially praised the song’s emotionality. In a 1996 oral history interview, for instance, veteran George William Ledger remembered how grown men were brought to tears after listening to Lynn. He recalled that “when Vera Lynn got up and sang on that stage … it was quiet, you could hear a pin drop”. He added that her songs were especially powerful because they “dwelt on the emotions of people”.

    In select accounts within the BBC’s WW2 People’s War Project, this theme was reiterated. One contributor wrote that Lynn was so popular because she “entertained us … with her very emotional songs”. Another writer claimed that We’ll Meet Again raised the morale of the troops “who knew how near was a terrifying death”.

    Even comments made on the song’s YouTube page reference its emotional resonance, with one user writing: “Played this song for my dad over skype (81) years old with Alzheimer’s. He knew word for word with tears streaming. Bless him.”

    These recollections serve as a poignant reminder of the power of sentimentality and giving people the permission to emote during times of struggle. The song – both during the war and after – provided safely contained moments to embrace softness.

    Typically, when you think of a “war song”, you might be tempted to think of a military march, full of brazen boasts of strength and stoicism – both of which are characteristics commonly tied to narratives of war and heroism.

    But the enduring resonance of We’ll Meet Again underlines the timeless testament of another set of heroic virtues: softness and sentimentality. The song demonstrates that in times of incredible hardship and trauma, all people require spaces to ache, mourn and feel.

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

    ref. The timeless appeal of We’ll Meet Again underscores people’s need for sentimentality – https://theconversation.com/the-timeless-appeal-of-well-meet-again-underscores-peoples-need-for-sentimentality-253505

    MIL OSI – Global Reports

  • MIL-OSI Global: How a community-focused vision for net zero can revive local economies

    Source: The Conversation – UK – By Max Lacey-Barnacle, Senior Research Fellow, Science Policy Research Unit, University of Sussex

    Kampan/Shutterstock

    Across the world, the transition to a green economy is under threat. Growing antipathy towards the costs of tackling climate change, stoked especially by right-wing populists, undermines ambitions to reach net zero emissions by 2050.

    In the UK, leader of the opposition Kemi Badenoch recently described achieving net zero by 2050 as “impossible”, stating that it would bankrupt the country. Reform, a major rival to the right of Badenoch’s Conservative party want to scrap the UK’s net zero targets altogether.

    A new vision of net zero is urgently needed. To help fund the UK’s transition to a green economy, the UK government seeks to attract private investment from international corporations that are not based in the UK.

    The Indian company Tata Group is investing £4 billion in eletric vehicles (EVs) and battery production in the UK. Danish company Orsted has invested £15 billion in UK offshore windfarms in the last decade. French company EDF Energy has invested £4.5 billion in net zero technologies and infrastructure in the UK.

    This approach comes with considerable risks. Profits can be extracted out of local economies, which benefits the shareholders of international corporations, not UK businesses.

    Ownership can also change between private entities and move even further afield. Last year, Orsted sold stakes in four UK offshore wind farms to a Canadian investment company.

    UCL climate scientist Mark Maslin explains net zero.

    But there’s an alternative that directly strengthens the resilience of the UK’s economy. Community wealth building is a model of economic development that ensures any profits generated from new green industries is recirculated within the local economy.

    To make this happen, communities need support from so-called “anchor institutions”. These are large organisations that are “anchored” to their local economy and cannot relocate, because their ownership structure is tied to a particular location. Think universities, hospitals or local government institutions.

    Within this approach, anchor institutions procure goods and services from nearby suppliers, so they circulate money locally and strengthen regional supply chains.

    This concept originated over a decade ago in the US. It’s since been applied in Canada, Australia, Ireland and the Netherlands.

    For the past four years, I’ve been exploring how community wealth building is becoming embedded in the UK’s fast-growing green economy.

    UK anchors and the green economy

    In north-west England, Preston city council retained the procurement spend of anchor institutions located in Preston city to the tune of £112.3 million in 2020 – £74 million more than in 2012/13.

    In Oldham in northern England, the council supported the development of community-led energy plans in two neighbourhoods, Sholver and Westwood. The plans outlined what a decarbonised heat, electricity and transport system would look like for each area. The council launched a website to share energy efficiency advice. The council also helped to set up two local community energy projects.

    Oldham Community Power installed solar panels on five primary schools and a community building to reduce their energy bills. Saddleworth Community Hydro have used excess profits from the sale of renewable electricity in 2023 to fund £58,000 worth of local sustainability projects.

    Some local councils in the UK are adopting a community wealth building approach.
    witsarut sakorn/Shutterstock

    The council in Lewes in southern England have committed to using community wealth building to transition towards net zero. Hundreds of houses have been retrofitted to increase their energy efficiency, with retrofit contracts arranged with local companies. EVs are being used to collect food waste. New sustainable housing is being built by local tradespeople using locally sourced materials wherever possible.

    The Lewes Climate Hub hosts community events and green business workshops in a council-owned property. Procurement spend by local anchor institutions has also doubled from £5m in 2020 to £10m in 2024.

    In North Ayrshire, Scotland, two municipally owned solar PV farms on council-owned land have generated a £13 million budget surplus. This has been redirected towards addressing fuel poverty by making low-income homes more energy efficient. The council’s new green jobs fund has supported over £1.14 million of investment into 65 businesses to enable a range of sustainability related measures.

    Encouragingly, more plans to bring together community wealth building and net zero continue to emerge. In London, partnerships between anchor institutions and community energy organisations could be integral to developing 1,000 community energy projects across the capital by 2030.

    Successful scale-up of community wealth building will require strong leadership, political commitments and supporting strategies that align with the green economy. Already, some initiatives are beginning to generate wealth through the green economy and keeping it in local communities, rather than ownership and profits going to distant corporations.

    To counter a rising opposition to net zero in the UK, prioritising community-focused visions that revive local economies will be vital.


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    Max Lacey-Barnacle receives funding from The British Academy.

    ref. How a community-focused vision for net zero can revive local economies – https://theconversation.com/how-a-community-focused-vision-for-net-zero-can-revive-local-economies-252955

    MIL OSI – Global Reports

  • MIL-OSI Global: Russia and Turkey are wielding religion as soft power – but one patriarch is standing in their way

    Source: The Conversation – UK – By Katie Kelaidis, Research Fellow Institute of Orthodox Christian Studies, University of Cambridge

    Turkish nationalists are calling on the government of President Recep Tayyip Erdoğan to revoke the passport of Archbishop Elpidophoros of America, the highest ranking Greek Orthodox cleric in the US.

    As a Turkish citizen, the archbishop is one of the few clerics eligible to become the next Patriarch of Constantinople. The holder of this position is often called the “spiritual leader” of Eastern Orthodox Christians, though this status is contested.

    Critics of Elpidophoros believe he should be stripped of his Turkish citizenship for repeatedly referring to the Patriarch of Constantinople as “ecumenical”. This, which means the position represents a number of different Christian Churches, is a nod to the potential global authority of the office. Turkey does not recognise the patriarch’s ecumenical status.

    They also criticise Elpidophoros for using the name Constantinople instead of Istanbul (most recently during a Greek Independence Day celebration at the White House). This was the name of the city when it was the capital of the Ottoman empire.

    The situation might seem somewhere between petty and parochial – the concerns of a small and relatively unimportant corner of the world, or a momentary flare-up in the Greek-Turkish conflict. But this could not be further from the truth.

    The Patriarchate of Constantinople is a critical player in two volatile regions: the Middle East and eastern Europe. Both Turkey and Russia, regional powers in these unstable areas, have made religion a central component of their propaganda.

    They have each sought to present themselves as the guardian of their respective religious tradition, despite having spent much of the 20th century in various forms of state-sponsored hostility to religion. For Russia and Turkey, the Patriarchate of Constantinople stands as an obstacle to their preferred narratives.

    Religious politics

    Russia under Vladimir Putin and Turkey under Erdoğan have become deeply invested in promoting themselves as the guardians of traditional Christianity and Islam, respectively. By leveraging this position, they have garnered sympathy and support among people who were once indifferent or even hostile to them.

    Influential conservative commentators in the US such as Tucker Carlson and Rod Dreher have praised Putin’s “anti-woke” rhetoric. And some ultraconservative American men are reportedly converting to Russian Orthodoxy.

    Turkey, for its part, began establishing mosques and training imams abroad, including in western Europe, as early as the 1970s. But in the past 23 years, under the rule of the Justice and Development party (AKP), it has significantly expanded these efforts.

    The enemies Russia and Turkey claim to combat are both internal and external. Putin, Erdoğan and their aligned clerics, have been vocal in their denunciation of western “decadence”. This is usually represented by the liberal sexual and gender politics of western nations.

    Yet they have been just as adamant in opposing those within their own traditions. In Russia’s case, this has meant perceived liberalisers largely situated in the Hellenic world – not just the Patriarchate of Constantinople, but also the Patriarchate of Alexandria, as well as the Churches of Greece and Cyprus.

    For Turkey, this internal enemy has primarily taken the form of Saudi-backed Wahhabism, a strict, ultraconservative form of Sunni Islam.

    The international religious influence of Russia and Turkey depends on a specific national narrative. Russia must be not only a historically Orthodox nation, but the leading Orthodox nation – the rightful inheritor of the eastern Roman world.

    Likewise, Turkey must present itself as an explicitly and entirely Muslim nation, the heir to an Ottoman empire reimagined as far more homogeneous than it ever truly was.

    This requires both countries reject much of their 20th-century history. Neither Soviet communism nor the strict secularity of Turkey’s founder, Mustafa Kemal Atatürk, fits the current plot. It also demands the rewriting of medieval and early modern histories.

    And for both, the Patriarch of Constantinople poses a significant problem. This is especially true if he is seen as anything more than a local ethnic leader, hence the objection to the use of “ecumenical” in his title.

    If the Patriarch of Constantinople is a global religious leader, then Moscow is not the undisputed head of the Orthodox world, nor is Turkey a homogeneously Muslim nation with a homogeneously Muslim past.

    Why the next patriarch matters

    Patriarch Bartholomew, the current Patriarch of Constantinople, ascended to the throne in 1991. He has been a moderate and modernising force in the Orthodox world and beyond. Bartholomew has championed issues such as environmentalism, inter-religious dialogue and human rights, while also opposing Russian aggression in Ukraine.

    Now Bartholomew is 85 years old, the conversation has turned to the question of his successor. The options are limited, as the next patriarch must be a Turkish citizen.

    If the patriarchate is to continue serving as a kind of opposition to Russian and Turkish expansionism, the next leader must also be a moderate. Should a more reactionary figure take the office, there is a real danger this counterbalance will be lost.

    For those who hope to resist Russian and Turkish aggression and to promote values such as human rights in the Orthodox world and Middle East, there is simply no better choice than Archbishop Elpidophoros.

    He has challenged Russian expansionism in Ukraine, defended democracy and pluralism and has taken a pastoral approach to the inclusion of LGBTQ+ people and women in the Church.

    Though the patriarch is a relatively obscure position in global terms, it is precisely because of the current global situation that there may be no more important religious leader than one who can exert influence across eastern Europe and the Middle East.

    The fact that allies of Putin and Erdoğan have joined in attacking Elpidophoros suggests not only that they do not want him to become the next Patriarch of Constantinople. It also suggests that western democracies should take a deep interest in who does.

    The patriarchate is a rejection of the historical lies upon which both Russian and Turkish soft power rest. Thus, the man who occupies the office must be up to the task.

    Katie Kelaidis 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. Russia and Turkey are wielding religion as soft power – but one patriarch is standing in their way – https://theconversation.com/russia-and-turkey-are-wielding-religion-as-soft-power-but-one-patriarch-is-standing-in-their-way-254247

    MIL OSI – Global Reports

  • MIL-OSI Global: Trump likes to know where his suits come from. His tariffs could now upend the world’s fashion supply chains

    Source: The Conversation – UK – By Arooj Rashid, Senior Lecturer in Marketing, Nottingham Trent University

    Rawpixel.com/Shutterstock

    US president Donald Trump has a particular look. Sharp navy suits, overly long ties and crisp white shirts, always structured to command attention. It’s a power uniform rooted in a very traditional idea of masculine elegance. Trump wants it to look expensive, meticulously crafted, consistent, and entirely his own.

    Behind the populist slogans and “Buy American” rhetoric, this president has long embraced symbols of global luxury. While he’s worn American tailoring from Brooklyn’s Martin Greenfield – a craftsman who has dressed everyone from Barack Obama to Colin Powell – he has also been a longstanding customer of Brioni, an exclusive Italian brand of tailored clothing.

    So, while campaigning for American-made goods Trump has for years enjoyed the prestige of the “Made in Italy” tag, and the luxurious connotations it brings to menswear.

    But his trade policies have done the opposite for the global fashion industry. By threatening massive trade tariffs on countries like China, Vietnam, Bangladesh, India and Pakistan, he has potentially created chaos for both the industry and consumers.

    Traditionally, what’s known as “country of origin” has been represented by the “made in” label, a key branding tool that can shape consumer perceptions of product quality and other attributes. However, as globalisation has led to the outsourcing of design, materials and production, the definition has become increasingly complex.

    “Designed in” and “country of brand origin” have come to define prestigious product qualities, while country image is used to reflect perceptions of a nation and its products. For example, “designed in Italy” often evokes craftsmanship and luxury in fashion goods. Similarly, Germany has a historical reputation for excellence in producing cars. And “Japanese brand origin” is associated with cutting-edge technology and reliability, particularly in electronics and vehicles.

    Two decades ago, as production costs in the US and Europe mounted, clothing production moved to Asia. While China has remained an important supplier, trade tensions saw production move to countries including Vietnam, India and Bangladesh in the early mid-2010s. But with the threat of new tariffs on these countries, brands are scrambling again.

    This time they have far fewer alternatives. And for companies that rely on the storytelling behind where a garment is made, this isn’t just a supply chain headache. It’s an identity crisis.

    ‘Made in Italy’ – like Trump’s Brioni suits – conveys more than just the country of manufacture.
    Northfoto/Shutterstock

    In fashion, a garment’s origin is not merely a logistical detail – it’s part of its identity. Labels like “made in Italy”, “made in India” or “made in Bangladesh” carry different connotations. These could be luxury and craftsmanship – embroidery skills, for example – or affordability at scale.

    Over time, brands have cultivated these country associations as part of their marketing strategies, shaping consumer perception and trust. The result is a strategic decision for fashion companies, which must now consider cost and efficiency and how changing suppliers might affect their brand’s perceived values and identity.

    For example, brands like H&M and Levi Strauss & Co. have promoted their ethical sourcing in India or partnerships in Pakistan due to their expertise. But now they risk being taxed extensively. So what is the solution?

    The impact on consumers

    The growing risk of new trade rules and tariffs is making it harder for countries that supply fashion goods to stay competitive.

    First, brands must re-assess globalisation of the fashion industry and develop alternative supply chains. While a quick shift may be possible for simpler fashion products, relocating production for more complex or premium goods is usually a long-term investment. As a result, brands will be investigating country images that are perceived to be trusted and trustworthy as trading partners.

    But one unexpected outcome of these policies may be the return of European production and the emergence of “safe” sourcing locations in countries less exposed to trading restrictions. This could be Portugal and Romania for mid-market clothing, and Italy for high-end fashion goods. These would be more predictable and offer a globally recognised brand image.

    Heritage clothing brand Barbour still manufactures some of its lines in the UK.
    Robert Way/Shutterstock

    For some companies, shifting production to Italy will allow them to maintain product prestige while avoiding some of the eye-watering tariffs threatened for some Asian countries. Meanwhile others may look to move back to the UK because of its association with younger, niche markets.

    This won’t necessarily make clothing cheaper for consumers. It does though offer a level of reassurance, especially for higher-end or mid-market labels looking to preserve their image amid instability.

    Trump’s own affinity for Brioni reflects this implicit value. Though his public rhetoric prioritised American manufacturing, his choice of a luxury Italian tailor speaks to a broader truth: country image matters. And in fashion, it can be everything.

    The consequences of these trade policies are now visible across the fashion ecosystem. For example, American brands like Everlane and Pact are built around affordability and transparency. They rely on production in south or south-east Asia, and now face the challenge of rising costs.

    Larger companies will be rethinking pricing strategies, renegotiating contracts or halting expansion in regions hardest hit by tariffs.

    For consumers, this could mean higher prices and reduced variety. The label inside a garment now tells a more complex story – not only of where it was made but also of the political and economic forces shaping global trade.

    Even if these tariffs are eventually reduced or reversed, the disruption they have caused has already left a mark. They have redefined the meaning and importance of country-of-origin labels, exposed the fragility of global supply chains, and placed new pressure on brands to balance ethics, economics and image in a volatile environment. In fashion, where identity is crafted through fabric and narrative, the story behind the label has never mattered more.

    The authors do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. Trump likes to know where his suits come from. His tariffs could now upend the world’s fashion supply chains – https://theconversation.com/trump-likes-to-know-where-his-suits-come-from-his-tariffs-could-now-upend-the-worlds-fashion-supply-chains-255337

    MIL OSI – Global Reports

  • MIL-OSI Global: Intermittent fasting: is it the calories or carbs that count?

    Source: The Conversation – UK – By Adam Collins, Associate Professor of Nutrition, University of Surrey

    Eating low-carb twice a week could have similar benefits as intermittent fasting. Kmpzzz/ Shutterstock

    Intermittent fasting is not only a useful tool for weight loss, it’s also shown to have many benefits for metabolic health – independent of weight loss. Yet many people may find intermittent fasting to be a challenge, especially if following the 5:2 version of the diet where calories are severely restricted two days a week.

    But my latest study shows that you don’t need to severely restrict your calories to get the metabolic benefits of intermittent fasting. Even just restricting the number of carbs you eat twice a week may be enough to improve your metabolic health.

    Intermittent fasting appears to be so beneficial for health because of the way it alters our metabolism.

    After a meal, our body enters the postprandial state. While in this state, our metabolism pushes our cells to use carbohydrates for immediate energy, while storing some of these carbs as well as fat for later use. But after several hours without food, in the postabsorptive “fasted” state, our metabolism switches to using some of our fat stores for energy.

    In this regard, intermittent fasting ensures a better balance between the sources it uses for energy. This leads to improved metabolic flexibility, which is linked with better cardiometabolic health. In other words, this means lower risk of cardiovascular disease, insulin resistance and type 2 diabetes.

    My colleagues and I previously ran a study to demonstrate the effects of a fast on the body. We observed that following a day of both total fasting or severe calorie restriction (eating around only 25% of each person’s daily calorie requirements), the body was better at clearing and burning the fat of a full English breakfast the next day. Fasting shifted the body from using carbs to using fat. This effect carried on both during the fast and the next day.

    Our research has also compared the effects of intermittent fasting to a calorie-matched or?, calorie-restricted diet. Both groups followed the diet until they lost 5% of their body weight.

    Despite both groups losing the same 5% of body weight, and at the same rate, the intermittent fasting group had greater improvements in their metabolic handling, similar to what we saw in the previous trial.

    Other researchers who have compared the effects of the 5:2 variant of the intermittent fasting diet to a calorie-matched, calorie-restricted diet have also found fasting is beneficial for metabolic health.

    Metabolic health benefits

    But why exactly is intermittent fasting so beneficial for metabolic health? This is a question I sought to answer in my latest study.

    In our study, restricting carbs had the same favourable metabolic effects as fasting.
    Dulin/ Shutterstock

    For people who follow the 5:2 intermittent fasting diet, typical fasting days are, by their nature, very low in calories – equating to only a few hundred calories per day. Because people are consuming so few calories on fasting days, it also means they’re consuming very few carbohydrates. Given the postprandial state is governed by carbohydrate availability, this begged the question as to whether it’s the calorie restriction or the carbohydrate restriction that’s creating the metabolic effect when intermittent fasting.

    We recruited 12 overweight and obese participants. Participants were first given a very low-carb diet one day. Another day, they were given a severely calorie-restricted diet (around 75% fewer calories than they’d normally eat). After each fasting day, we gave them a high-fat, high-sugar meal (similar to an English breakfast) to see how easily their bodies burned fat.

    What we found was that the shift to fat burning and improved fat handling of the high-calorie meal were near identical following both the traditional calorie-restricted “fast” day and the low-carb day. In other words, restricting carbs can elicit the same favourable metabolic effects as fasting.

    It will be important now for more studies to be conducted using a larger cohort of participants to confirm these findings.

    Such findings may help us address some of the practical problems we face with intermittent fasting and traditional low-carb diets.

    For intermittent fasting diets, severe calorie restriction on fasting days can increase the risk of nutritional deficiencies if not careful. It can similarly be a trigger for disordered eating.

    Strict carb restriction can also be challenging to adhere to long-term, and may lead to an unhealthy fear of carbs.

    The other limitation of both intermittent fasting and continuous carb restriction is that weight loss is a likely outcome. Hence these approaches are not universally beneficial for those who need to improve their health without losing weight or those looking to maintain their weight.

    We are now testing the feasibility of an intermittent carb restriction diet, or a low-carb 5:2. So instead of restricting calories two days a week, you would restrict the number of carbs you consume twice a week. If this is proven to be beneficial, it would offer the benefits of fasting without restricting calories on “fast” days.

    Adam Collins receives funding from BBSRC Food Biosystems Doctoral Training Programme. He also serves as Head of Nutrition for Form NutritionTM.

    ref. Intermittent fasting: is it the calories or carbs that count? – https://theconversation.com/intermittent-fasting-is-it-the-calories-or-carbs-that-count-254752

    MIL OSI – Global Reports

  • MIL-OSI Global: The growing threat to U.S. democracy will literally cost lives

    Source: The Conversation – Canada – By Andrew C. Patterson, Assistant Professor of Sociology, MacEwan University

    According to a recent survey, most political scientists agree that President Donald Trump is turning the United States government into an autocracy, all too quickly.

    As political scholars Steven Levitsky and Lucan Way explain, a competitive-authoritarian country is one where elections are held and election results carry, but incumbents alter the game so as to tilt the odds of winning heavily in their favour. This effectively makes it an autocratic regime, with one person holding the lion’s share of power.

    Politicians tilt these odds by doing exactly the sorts of things Trump is doing. He is replacing civil servants with loyalists, and then repurposing the long-standing institutions they serve. This is so he can use those institutions for political gain — to punish dissenters and reward allies. All to support his staying in power.

    As just one recent example, Levistky and Way predicted in February that the Internal Revenue Service would become one of the many departments that Trump would weaponize. On April 15, Trump called for the IRS to revoke Harvard University’s tax-exempt status in response to the university’s refusal to acquiesce. Trump had previously withheld billions of dollars in grant funding.




    Read more:
    Harvard is suing the White House: here’s what Trump hopes to achieve by targeting universities


    Is there any case in which Trump has still acted in the service of the American public? Arguably, no, not by a long shot. Even the Jeff Bezos-owned Washington Post describes his first 100 days as a remarkable failure across multiple fronts.

    The headlines have been blistering, calling those first 100 days “horrifying” and “inept.” Nor is the American public impressed: most give his performance a grade of D or F, according to a recent poll.

    The biggest threat of all may be permanent damage to government institutions.

    Democracy and population health

    As research shows, these trends cannot possibly be good for the lives and livelihoods of American citizens. We have known for over a decade that the recruitment of civil servants based on their political affiliations or loyalties, rather than credentials, is a recipe for political corruption. Corruption, in turn, harms population health.

    My own recent study affirms these findings. It also concludes that the impact of civil service hiring on population health is surprisingly direct. All of this suggests more corruption and worse health as Trump tightens his control over the civil service.

    Democracy, too, matters for population health. In another study, we found that democracies have as much as 11 years of added life expectancy, and 75 per cent lower rates of infant mortality, compared to autocratic countries. For someone focused on cross-national differences in health, these were huge differences.

    Economic impacts

    Trump’s actions will soon affect American wallets as well if they haven’t already, as research on both civil service hiring and democratization would suggest.

    It’s not difficult to demonstrate the threat, which continues to evolve in real time. Tourism in the U.S. has taken a serious hit in recent weeks, with airline bookings from Canada down 70 per cent.




    Read more:
    Does cancelling a trip to the U.S. really send a political message, or is it just hurting local tourism?


    People from other countries first started boycotting American goods and services in response to Trump’s tariff campaign. In the meantime, Congress has done little to curtail the detainment of migrants without just cause, or their deportation to a Salvadorean mega-prison without due process. And now tourists are afraid to travel to the U.S.

    It is fair to say that both economic prosperity and population health require investment in the same government infrastructures that the Trump administration is now downsizing.

    Yet the damage does not stop at the border. Trump’s decisions will have ripple effects on global health. Programs focused on containing infectious disease in the developing world are bearing the brunt of huge cuts to USAID.

    Speed and volume

    Trump’s approach is not informed by any kind of economic expertise. He is shooting the American economy in both feet by waging a tariff war against other countries as he simultaneously decimates tourism and upends a low-cost workforce with his immigration policy.

    Americans who voted for him will not get the price control they were hoping for, with supply-chain disruptions coming quickly down the pipeline.

    Nor can Americans count on the court system to preserve democracy. This is for two reasons.

    First, Trump’s executive actions are happening far too quickly. He has had a record number of executive orders since taking office only three months ago. It may take months if not years for challenges to these decisions to work their way through courts.

    Second, courts will not necessarily rule on the side of democracy, as in the Supreme Court’s decision to assure legal immunity for Trump.

    None of this bodes well. According to one watchdog based in Sweden, the U.S. could lose its status as a democratic nation in just a few months — well before the midterm elections.

    CNN reports on President Trump’s statement that he doesn’t know if he needs to uphold the U.S. Constitution.

    Starting a movement

    All of this has one common denominator: Trump’s unhinged executive power. A decidedly meek U.S. Congress needs to wake from its stupor and constrain that power.

    But at the time of this writing, the House judiciary committee plans to slip provisions into a budget megabill that will grant Trump ever more sweeping power over regulations.

    One solution may be what we sociologists refer to as a social movement. This is where as many people as possible choose to act. Small interactions — like sharing an article with friends and family — can make a big difference, according to one prominent perspective in sociology.

    Other means are more direct, like joining a protest or writing to members of Congress. And then there are decisions about what not to do. Universities and law firms are encouraged not to participate in the fraying of American democracy by making a “deal” with the Trump administration.

    The take-home message is that the threat to American democracy is real and it is imminent. The impact on human health and well-being will be global. If the collapse of American democracy affects all of us, inside and outside of U.S. borders, then we can all agree to do something about it.

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

    ref. The growing threat to U.S. democracy will literally cost lives – https://theconversation.com/the-growing-threat-to-u-s-democracy-will-literally-cost-lives-254170

    MIL OSI – Global Reports

  • MIL-OSI Global: Even a capped, time-limited youth visa scheme would be of value to young people in the UK and EU

    Source: The Conversation – UK – By Johanna L. Waters, Professor of Human Geography, UCL

    EF Stock/Shutterstock

    More than 60 Labour MPs have signed a letter calling on the government to support a youth mobility agreement with the EU.

    The letter called for a visa scheme that would be time limited and capped. This would be in line with other youth mobility agreements that the UK has with a number of countries and territories, including Australia and South Korea.

    Mobility would be for a defined period (such as three years), and the number of visas issued would be limited. The scheme would be aimed at young people in the UK and EU under 30 years old. This follows Prime Minister Keir Starmer’s promise to “reset” relations with the EU following his election in July 2024.

    At the upcoming EU-UK summit to be held in London on May 19 2025, opportunities for young people to travel between the UK and the EU will be a key part of negotiations between politicians.

    The European Commission have made no secret of their desire for such a scheme. They initially proposed a version of this in April 2024. Some EU countries, such as Germany, have spoken out in favour. Brexit has limited the ability of young people to spend time in the UK, with all the cultural, linguistic and other benefits potentially gained from this.

    The UK government’s enthusiasm has, in contrast, been more muted. They have a number of concerns, including immigration. Returning to any sort of free movement with the EU has been roundly rejected by politicians.

    Concerns over immigration

    Consecutive UK governments have been concerned with reducing net immigration, and international student visas contribute to these figures. Consequently, reducing numbers of incoming international students has been seen as a way of controlling immigration – to the dismay of bodies representing the UK’s higher education sector.

    But other countries, such as the US, exclude international students from immigration figures. Debates concerning removing international students from immigration numbers in the UK are ongoing. A poll commissioned by Universities UK found that only around a third of the British public viewed international students as migrants.

    As it stands, however, there are no plans to change the way international students are counted. Any new youth mobility agreement would presumably affect migration figures, but the direction is as yet unknown. And existing youth mobility schemes have had a relatively small impact on immigration numbers.

    Opportunities for young people

    As discussed in my forthcoming book (co-authored with Rachel Brooks) on student mobility after Brexit, young people in Britain have been particularly affected by changes in UK-EU relations.

    These have included their ability to study in Europe, as a consequence of the UK’s withdrawal from the Erasmus+ Programme – the EU’s initiative to support learning, work, sport and training in another EU country. The Republic of Ireland has allocated funding to allow students at universities in Northern Ireland to remain part of Erasmus+.

    At the moment, young Britons are treated no differently from any other potential immigrants to Europe, requiring a visa to study there for more than three months.

    UK citizens travelling to the EU now need a visa for stays of more than 90 days.
    Prostock-studio/Shutterstock

    The new Turing scheme has replaced Erasmus+ to fund study abroad for UK students. But it is far from a like-for-like replacement, is not reciprocal, and students and university staff have reported problems with securing visas in time.

    An agreement with the EU, enabling relatively stress-free travel for young people – albeit for a limited period of time – would be a significant benefit given the current situation.

    Young people from the EU now face similar regulations and restrictions when coming to the UK. A visa and “health surcharge” are now required for any stay over six months. International tuition fees must also be paid by EU citizens on UK degree courses. In addition, postgraduate students are no longer able to bring dependents.

    Consequently, fewer young people from Europe now choose the UK as a study destination. Recent figures show a significant drop in EU students coming to the UK – from 147,950 in 2019-20 to 75,490 in 2023-24. A resurgence in the number of EU students would probably be beneficial to UK universities, and the UK would, at the very least, appear more welcoming to young people from the EU.

    The re-election of Donald Trump as president of the US has ushered in new geopolitical realities. Relations between the US, UK and EU are shifting and uncertain, making a UK-EU deal in areas such as trade, security and education more important. The mobility of young people, as both learners and workers, is an important component of any negotiations on such a deal.

    Johanna L. Waters 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. Even a capped, time-limited youth visa scheme would be of value to young people in the UK and EU – https://theconversation.com/even-a-capped-time-limited-youth-visa-scheme-would-be-of-value-to-young-people-in-the-uk-and-eu-255267

    MIL OSI – Global Reports

  • MIL-OSI Global: How did sport become so popular? The ancient history of a modern obsession

    Source: The Conversation – Global Perspectives – By Konstantine Panegyres, Lecturer in Classics and Ancient History, The University of Western Australia

    Roman mosaics discovered in Sicily show women playing different sports. David Pineda Svenske/Shutterstock

    It’s almost impossible to go a day without seeing or hearing about sport.

    Walk around any city or town and you will almost always catch a glimpse of people playing sports in teams or participating solo.

    Turn on the TV or radio and you’ll be able to find some kind of sport being played at international or national level.

    Why do people love sport so much?

    To answer this question, it’s worth a dive back into ancient history.

    An ancient person’s perspective

    One of the most famous figures from the ancient world, Saint Augustine of Hippo (354-430 AD), once wrote that when he was a boy he was obsessed with playing sports:

    I liked to play ball as a boy and my playing slowed my progress in learning to read and write.

    The earliest portrait of Saint Augustine in a 6th century fresco, Lateran, Rome.
    Wikimedia Commons, CC BY

    In fact, Saint Augustine was so preoccupied with playing ball that his teacher was said to sometimes beat him for it. His teacher said it was bad to waste one’s youth on such things – it’s better to study hard.

    Why was Saint Augustine obsessed with ball games? He loved to win:

    I loved to play games […] in these games I was overmastered by my vain desire to excel, so I used to strive to win, even by cheating.

    Plenty of people today probably share Saint Augustine’s view that winning is one of the things that make sport enjoyable.

    Of course, there are many other reasons why people might like to play sport.

    What sports did they play?

    If you walked down a city street in ancient Greek and Roman times, it’s likely you’d come across children or even adults playing a ball game.

    Handball games played in ancient Greece.
    Gardiner, E. Norman/Wikimedia Commons, CC BY

    The Roman playwright Plautus (3rd/2nd century BC) even has one of his characters complain about people “who play ball in the street”.

    Ball games were probably the most popular sporting activity in the ancient world and could be played in many different ways.

    In one ball game, called episkyros, two teams competed against each other. If one team got the ball over the line behind the other team, they scored. Feet and hands could be used and tackles were permitted.

    Sounds familiar, doesn’t it?

    Of course, many other sports were also popular: athletics, swimming, wrestling, lifting weights and boxing were all favourites.

    Ancient ideas about the origins of sports

    For the ancient Greeks, the earliest mention of a ball game appears in the Odyssey, an epic poem composed by the poet Homer in probably the eighth or seventh century BC.

    In the Odyssey, Nausicaa, daughter of the King of the Phaeacians, plays a ball game with some other girls on the beach. While they throw the ball, they sing songs:

    Then when they had had their joy of food, she and her handmaids, they threw off their headgear and fell to playing at ball, and white-armed Nausicaa was leader in the song.

    During the game, Nausicaa throws the ball too far. Her maid can’t catch it and the ball flies into the sea. All the girls shout out when it goes flying.

    Already in the 3rd century BC, Nausicaa was sometimes regarded as the inventor of ball games. However, other people attributed the invention of ball games to different regions of Greece, saying the games were invented by the Sicyonians or Spartans.

    But it is unlikely any Greeks were the original inventors of ball games.

    In Egypt, thousands of years before Homer’s epics, there are already artistic depictions of ball games.

    For example, in the tomb of the Nomarch of the 11th Dynasty (c. 2150-2000 BC), Baqet III, there is artwork showing women playing ball games and men wrestling each other.

    Ancient ball games.
    J. Murray/Picryl, CC BY

    Baqet III, whose tomb contained these artistic depictions of various sports, was likely a true sports lover.

    Why did people like sports?

    People liked ball games for many different reasons.

    One was for the sheer fun and excitement. Another was because they were considered a healthy type of exercise.

    Ancient Greek and Roman doctors even told their patients to play ball games to become healthier.

    For example, the famous ancient Greek physician Galen (129-216 AD) wrote an essay titled On Exercise with a Small Ball.

    He argued “exercises with a small ball are superior to other kinds of exercises”.

    He claimed ball games were especially healthy because they moved all of the muscles and because teamwork was good for the soul.

    People in the ancient world also thought just watching sport could be something worth doing.

    The writer Lucian of Samosata (born 120 AD), for instance, said watching athletes competing for glory could help to encourage men to achieve similar feats: “many of the spectators go away in love with manfulness and hard work”, wrote Lucian.

    So it seems there’s nothing new about our modern love of playing and watching sports, and this obsession will probably continue for thousands of years into the future.

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

    ref. How did sport become so popular? The ancient history of a modern obsession – https://theconversation.com/how-did-sport-become-so-popular-the-ancient-history-of-a-modern-obsession-254057

    MIL OSI – Global Reports

  • MIL-OSI Global: As Warren Buffett prepares to retire, does his investing philosophy have a future?

    Source: The Conversation – Global Perspectives – By Angel Zhong, Professor of Finance, RMIT University

    Warren Buffett, the 94-year-old investing legend and chief executive of Berkshire Hathaway, has announced plans to step down at the end of this year.

    His departure will mark the end of an era for value investing, an investment approach built on buying quality companies at reasonable prices and holding them for the long term.

    Buffett’s approach transformed Berkshire Hathaway from a small textile business in the 1960s into a giant conglomerate now worth more than US$1.1 trillion (A$1.7 trillion).

    He built his fortune backing US industry in energy and insurance and American brands, including big stakes in household names such as Coca-Cola, American Express and Apple.

    At Berkshire’s annual meeting at the weekend, held in an arena with thousands of devoted investors, Buffett named Greg Abel as his successor.

    Abel, 62, is currently chairman and chief executive of Berkshire Hathaway Energy, as well as vice chairman of Berkshire Hathaway’s vast non-insurance operations.

    He’s known for his disciplined, no-nonsense management style. The company’s board has now voted unanimously to approve the move.

    This changing of the guard comes at a pivotal moment. Donald Trump’s return to the US presidency has already delivered significant economic policy shifts.

    Meanwhile, questions about US economic dominance grow louder against China’s continued rise.

    The ‘Oracle of Omaha’

    Few names command as much respect in the world of finance as Warren Buffett. Born in Omaha, Nebraska, in 1930, Buffett displayed an early genius for numbers and investing. He bought his first stock at age 11.

    His investment philosophy – buying undervalued companies with strong fundamentals – would later earn him the nickname the “Oracle of Omaha” for his uncanny ability to predict market trends and identify winning investments years before others did.

    Value investing

    Buffett drew his investment approach from the value investment principles of British-born US economist Benjamin Graham.

    He preferred businesses with lasting advantages and a clear value proposition. Some of his key investments included insurance company GEICO, railroad company BNSF, and more recently Chinese electric vehicle maker BYD.

    He avoided speculative bubbles (such as the dotcom bubble of the late 1990s and, more recently, cryptocurrencies) and preached long-term patience to investors. As he famously wrote in a 1988 letter to shareholders:

    In fact, when we own portions of outstanding businesses with outstanding managements, our favorite holding period is forever.

    Buffett’s guidance helped Berkshire navigate many economic booms and recessions. Over his six decades at the helm, the company delivered impressive compounded annual returns of almost 20% – virtually double those of the S&P 500 index.

    Beyond financial success, Buffett championed ethical business practices and pledged to donate more than 99% of his wealth through the Giving Pledge, which he cofounded with Bill Gates and Melinda French Gates.




    Read more:
    How Warren Buffett’s enormous charitable gifts reflect the ‘inner scorecard’ that has guided him up to the billionaire’s planned retirement


    Challenges to Buffett’s strategy in today’s world

    In an op-ed for the New York Times in 2008, Buffett famously shared the maxim that guides his investment decisions:

    Be fearful when others are greedy, and be greedy when others are fearful.

    But his strategy thrived in an era of increasing globalisation, free trade, and US economic supremacy. The world has shifted since Buffett’s heyday.

    There are concerns about the recent underperformance of value investing. Technology companies now dominate older industries.

    This raises questions about whether those who succeed Buffett can spot the next major industry disruptors.

    America first?

    Trump’s return as US president heralds major changes in economic policy. Trade restrictions might hurt some of Berkshire’s international investments. However, these same policies might benefit Buffett’s US-focused investments.

    The idea of US economic superiority also faces new questions. China may overtake the US economy in the 2030s. The US share of global economic output has fallen from about 22% in 1980 to about 15% today.

    Buffett’s “never bet against America” mantra faces new scrutiny.

    Warren Buffett discusses trade deficits and protectionism on May 3.

    The challenges for Buffett’s successor

    Abel inherits a company with about US$348 billion (A$539 billion) in cash. That’s a serious amount of capital to deploy wisely amid global economic uncertainty and Trump’s trade war.

    Abel will likely maintain Berkshire’s core values while updating its approach. His challenges include:

    1. Maintaining the “Buffett premium”: Abel lacks Buffett’s cult-like following among investors, which may gradually erode the additional value the market assigns to Berkshire due to Buffett’s leadership.

      Without Buffett’s reputation, Abel may face increased pressure to effectively deploy Berkshire’s massive cash pile in a still-expensive stock market, where valuations are high and finding bargains is harder than ever.

    2. Technological adaptation: while Berkshire has increased its technology investments over the years (including positions in Apple and Amazon), balancing its legacy holdings (such as Coca-Cola and railroads) with growth sectors (AI, renewables) remains challenging.

    3. Environmental concerns: Berkshire Hathaway’s heavy reliance on coal and gas-fired utilities has drawn growing criticism as investors and regulators demand cleaner energy solutions.

    4. Replicating the “golden touch”: Buffett’s genius wasn’t just in picking stocks. It was also in capital allocation, deal-making, and crisis management (for example, buying into Goldman Sachs during the global financial crisis). Can Abel replicate that?

    After Buffett

    Buffett’s principles – patience, intrinsic value and betting on America – are timeless. But the world has moved on. His successor must navigate geopolitical risks, technological disruption, and the rise of passive investing while preserving Berkshire’s unique culture.

    The post-Buffett era represents more than just a leadership change. It’s a test of whether Buffett’s principles can survive in an increasingly short-term, technology-dominated, and geopolitically complex world.

    Abel’s leadership will reveal the enduring power – or limitations – of Buffett’s philosophy.

    Angel Zhong 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. As Warren Buffett prepares to retire, does his investing philosophy have a future? – https://theconversation.com/as-warren-buffett-prepares-to-retire-does-his-investing-philosophy-have-a-future-255867

    MIL OSI – Global Reports

  • MIL-OSI Global: Valentin-Yves Mudimbe: the philosopher who reshaped how the world thinks about Africa

    Source: The Conversation – Africa – By Christophe Premat, Associate Professor in French Studies (cultural studies), head of the Centre for Canadian Studies, Stockholm University

    Valentin-Yves Mudimbe. Wikimedia Commons, CC BY-SA

    Congolese thinker, philosopher and linguist Valentin-Yves Mudimbe died on 21 April 2025 at the age of 83. He was in the US, where he had lived for many years.

    A towering figure in African critical thought, Mudimbe’s work – translated and studied worldwide – has profoundly shaped postcolonial studies. He leaves a groundbreaking intellectual legacy on the colonisation of knowledge and the condition of Africans.

    At a time when debates on decolonising knowledge are gaining ground, Mudimbe’s passing invites us to revisit the work of a thinker who, since the 1980s, paved the way for a radical critique of imposed “categories”. He wanted to help rebuild intellectual frameworks which imagined and defined Africa on its own terms, not through the labels or categories imposed by colonial powers.

    As a specialist in postmodern and postcolonial theories, I think he had considerable influence on the field of postcolonial studies.

    He was one of the most influential African thinkers of the 20th century. His impact did not come from activism, but from careful, sustained intellectual work. With his seminal work The Invention of Africa (1988) he profoundly disrupted African and postcolonial studies. His work went far beyond the usual east-west divide.

    A journey between Africa and exile

    Valentin-Yves Mudimbe was born in 1941 in Jadotville (now Likasi), in the Democratic Republic of Congo. His early education took place in a Benedictine monastery. Later, he pursued further studies at Louvain in Belgium.

    His religious education left a lasting mark on his thinking. It shaped his critical approach to knowledge. His work often explored the connections between language, power, and how ideas become institutionalised.

    In 1970, Mudimbe returned to the newly independent Congo. He began teaching at the National University of Zaïre. The country was then caught between postcolonial hope and growing disillusionment.

    Under Mobutu Sese Seko’s regime, the political atmosphere grew stifling for independent thinkers. The state had adopted the rhetoric of “authenticity”, turning it into a tool of control. Faced with this ideological stranglehold, Mudimbe chose exile in 1979.

    He relocated to the US, where he taught at Stanford and later Duke University. There, he continued his work of critical deconstruction. Yet, despite his physical distance, he remained deeply committed to Africa’s future.

    Deconstructing the ‘colonial library’

    First published in English in 1988 as the The Invention of Africa, the book was translated into French in 2021 under the title L’Invention de l’Afrique, (Présence africaine).

    Mudimbe offers much more than a critique of colonial representations. He examined the “colonial library”. It refers to the vast collection of religious, anthropological and administrative texts that, for centuries, framed Africa as an object to be studied, dominated and “saved”. Mudimbe was always careful not to accept ideas just because they were passed down. Instead, he was always looking for new ways to think freely and independently.

    Unlike Edward Said, the Palestinian-American literary theorist and critic who exposed how the west constructed a mythologised “Orient”, Mudimbe revealed something more insidious. He showed that Africa was often imagined as a void to be filled. It was cast as a cultural blank slate, which helped justify the colonial mission.

    This radical deconstruction raised a crucial question: how can we produce knowledge that does not, even through critique, reproduce the very colonial frameworks it seeks to challenge?

    The book’s impact was profound, resonating across Africa, Europe and North America. It created an intellectual foundation for thinkers like Achille Mbembe, Souleymane Bachir Diagne and Felwine Sarr, who, in turn, continued to explore what truly decolonised African thought might look like.

    Building something new

    Mudimbe was never satisfied with existing structures. He aimed to build something new from the ground up. For him, liberating Africa required a rebuilding of knowledge systems. He rejected the assumption that western intellectual frameworks alone could define Africa. He also warned against essentialist temptations – the trap of creating new conceptual prisons in the name of authenticity.

    His thinking followed a rigorous method: analysing discourse, questioning inherited categories, and dismantling false assumptions.

    This demanding work aimed to empower Africa to think for itself without cutting itself off from the rest of the world.

    His fiction – Between Tides (in French, Entre les eaux. Dieu, un prêtre, la révolution), Before the Birth of the Moon (Le Bel Immonde in French), Shaba Deux : les carnets de mère Marie Gertrude – embodies the same refusal to be stereotyped.

    His characters navigate colonial legacies, state nationalism and rigid identity politics through stories of displacement and fragmented memory.

    Language itself becomes a battleground for creativity in his novels. Sharply crafted, his prose captures the diversity of contemporary African experience. Through both his literary and philosophical works, Mudimbe consistently insisted that identity is never a given. It is always a construct to be questioned.

    A living legacy

    As Africa navigates complex geopolitical transformations and redefines its cultural identities, Mudimbe’s intellectual legacy proves more vital than ever. His work challenges us to recognise that true liberation extends beyond political sovereignty or cultural revival. It requires the radical work of reinventing how knowledge itself is produced and validated.

    Mudimbe’s lasting legacy urges us to remain intellectually vigilant in a world where knowledge is constantly shifting. He challenges us to reject rigid categories, embrace complexity with care, and make room for uncertainty instead of rushing to resolve it.

    For Mudimbe, to decolonise knowledge means relentless critique paired with creative reconstruction. It means building pluralistic and open frameworks that honour Africa’s diverse experiences without nostalgia or complacency.

    Christophe Premat is a lecturer and researcher in Francophone cultural studies at the Department of Romance and Classical Studies at Stockholm University. In 2018, he published the book For a Critical Genealogy of the Francophonie, released by Stockholm University Press. He states that he worked at the French Institute of Sweden / French Embassy in Stockholm from 2008 to 2013, dealing, among other things, with issues related to the Francophonie. He is currently a member of CISE (Confédération Internationale Solidaire Écologiste), an association of French citizens abroad founded in 2018 (https://cise-francaisdeletranger.net/). He is the head of the Centre for Canadian Studies at Stockholm University.

    ref. Valentin-Yves Mudimbe: the philosopher who reshaped how the world thinks about Africa – https://theconversation.com/valentin-yves-mudimbe-the-philosopher-who-reshaped-how-the-world-thinks-about-africa-255902

    MIL OSI – Global Reports

  • MIL-OSI Global: Why Zelensky – not Trump – may have ‘won’ the US-Ukraine minerals deal

    Source: The Conversation – Global Perspectives – By Eve Warburton, Research Fellow, Department of Political and Social Change, and Director, Indonesia Institute, Australian National University

    Last week, the Trump administration signed a deal with Ukraine that gives it privileged access to Ukraine’s natural resources.

    Some news outlets described the deal as Ukrainian President Volodymyr Zelensky “caving” to US President Donald Trump’s demands.

    But we see the agreement as the result of clever bargaining on the part of Ukraine’s war-time president.

    So, what does the deal mean for Ukraine? And will this be help strengthen America’s mineral supply chains?

    Ukraine’s natural resource wealth

    Ukraine is home to 5% of the world’s critical mineral wealth, including 22 of the 34 minerals identified by the European Union as vital for defence, construction and high-tech manufacturing.

    However, there’s a big difference between resources (what’s in the ground) and reserves (what can be commercially exploited). Ukraine’s proven mineral reserves are limited.

    Further, Ukraine has an estimated mineral wealth of around US$14.8 trillion (A$23 trillion), but more than half of this is in territories currently occupied by Russia.

    What does the new deal mean for Ukraine?

    American support for overseas conflict is usually about securing US economic interests — often in the form of resource exploitation. From the Middle East to Asia, US interventions abroad have enabled access for American firms to other countries’ oil, gas and minerals.

    But the first iteration of the Ukraine mineral deal, which Zelensky rejected in February, had been an especially brazen resource grab by Trump’s government. It required Ukraine to cede sovereignty over its land and resources to one country (the US), in order to defend itself from attacks by another (Russia).

    These terms were highly exploitative of a country fighting against a years-long military occupation. In addition, they violated Ukraine’s constitution, which puts the ownership of Ukraine’s natural resources in the hands of the Ukrainian people. Were Zelensky to accept this, he would have faced a tremendous backlash from the public.

    In comparison, the new deal sounds like a strategic and (potentially) commercial win for Ukraine.

    First, this agreement is more just, and it’s aligned with Ukraine’s short- and medium-term interests. Zelenksy describes it as an “equal partnership” that will modernise Ukraine.

    Under the terms, Ukraine will set up a United States–Ukraine Reconstruction Investment Fund for foreign investments into the country’s economy, which will be jointly governed by both countries.

    Ukraine will contribute 50% of the income from royalties and licenses to develop critical minerals, oil and gas reserves, while the US can make its contributions in-kind, such as through military assistance or technology transfers.

    Ukraine maintains ownership over its natural resources and state enterprises. And the licensing agreements will not require substantial changes to the country’s laws, or disrupt its future integration with Europe.

    Importantly, there is no mention of retroactive debts for the US military assistance already received by Ukraine. This would have created a dangerous precedent, allowing other nations to seek to claim similar debts from Ukraine.

    Finally, the deal also signals the Trump administration’s commitment to “a free, sovereign and prosperous Ukraine” – albeit, still without any security guarantees.

    Profits may be a long time coming

    Unsurprisingly, the Trump administration and conservative media in the US are framing the deal as a win.

    For too long, Trump argues, Ukraine has enjoyed US taxpayer-funded military assistance, and such assistance now has a price tag. The administration has described the deal to Americans as a profit-making endeavour that can recoup monies spent defending Ukrainian interests.

    But in reality, profits are a long way off.

    The terms of the agreement clearly state the fund’s investment will be directed at new resource projects. Existing operations and state-owned projects will fall outside the terms of the agreement.

    Mining projects typically work within long time frames. The move from exploration to production is a slow, high-risk and enormously expensive process. It can often take over a decade.

    Add to this complexity the fact that some experts are sceptical Ukraine even has enormously valuable reserves. And to bring any promising deposits to market will require major investments.

    What’s perhaps more important

    It’s possible, however, that profits are a secondary calculation for the US. Boxing out China is likely to be as – if not more – important.

    Like other Western nations, the US is desperate to diversify its critical mineral supply chains.

    China controls not just a large proportion of the world’s known rare earths deposits, it also has a monopoly on the processing of most critical minerals used in green energy and defence technologies.

    The US fears China will weaponise its market dominance against strategic rivals. This is why Western governments increasingly make mineral supply chain resilience central to their foreign policy and defence strategies.

    Given Beijing’s closeness to Moscow and their deepening cooperation on natural resources, the US-Ukraine deal may prevent Russia — and, by extension, China — from accessing Ukrainian minerals. The terms of the agreement are explicit: “states and persons who have acted adversely towards Ukraine must not benefit from its reconstruction”.

    Finally, the performance of “the deal” matters just as much to Trump. Getting Zelensky to sign on the dotted line is progress in itself, plays well to Trump’s base at home, and puts pressure on Russian President Vladimir Putin to come to the table.

    So, the deal is a win for Zelensky because it gives the US a stake in an independent Ukraine. But even if Ukraine’s critical mineral reserves turn out to be less valuable than expected, it may not matter to Trump.

    Eve Warburton receives funding from the Australian Research Council and the Westpac Scholars Trust.

    Olga Boichak is a director of the Foundation of Ukrainian Studies in Australia. She receives funding from the Australian Research Council and the Westpac Scholars Trust.

    ref. Why Zelensky – not Trump – may have ‘won’ the US-Ukraine minerals deal – https://theconversation.com/why-zelensky-not-trump-may-have-won-the-us-ukraine-minerals-deal-255875

    MIL OSI – Global Reports

  • MIL-OSI Global: In Yemen, Trump risks falling into an ‘airpower trap’ that has drawn past US presidents into costly wars

    Source: The Conversation – Global Perspectives – By Charles Walldorf, Professor of Politics and International Affairs, Wake Forest University

    A Yemeni soldier inspects the damage reportedly caused by U.S. airstrikes in Sanaa, Yemen, on April 27, 2025. AP Photo/Osamah Abdulrahman

    In the first 100 days of his second term, U.S. President Donald Trump has shown a willingness to lean on airpower when his administration decides that military force is necessary abroad.

    So far, the second Trump administration has launched limited airstrikes in Somalia and carried out a weekslong air campaign against the Iranian-aligned Houthis who rule most of Yemen. The president has also threatened direct strikes against Iran itself should talks on a new nuclear deal collapse.

    This turn to airpower for Trump makes sense to me. Airpower is cheap when compared with ground wars, and it usually comes with fewer casualties for those conducting the strikes. This helps explain why U.S. leaders, including Trump as a self-proclaimed “anti-war president,” typically find it attractive.

    But if the Trump administration is not careful, it could fall into what military strategists informally call the “airpower trap.” This happens when the stated objectives of military force are too big for airpower alone to achieve, potentially leading to a face-saving escalation of conflict that could – if history is a guide – draw in ground forces from the U.S. or their local allies.

    U.S. presidents such as Lyndon Johnson, Bill Clinton and Barack Obama all fell into this trap. In Vietnam, the Balkans and Syria, respectively, all ended up with far bigger wars than they bargained for, with consequences for civilian casualties, international peace and damage to America’s reputation abroad.

    As an expert on U.S. national security policy and the Middle East region, I believe the Trump administration is in danger of falling into the airpower trap in Yemen and could potentially do the same in Iran should it elect to use direct force against Tehran. Recognizing this military and historical risk, and opting for some kind of off ramp from continued airstrikes, might be the best hope the U.S. government has to avoid a further escalation into full-scale war.

    The limits of air bombardment

    Research shows airpower is most effective when it’s used for limited objectives – things like taking out leaders of terrorist groups or degrading rival capabilities – or in support of ground operations for more ambitious ends, like bolstering or overturning governments.

    Given the sophistication of U.S. airpower, a common fallacy among American strategists in particular is to think big strategic gains can be achieved solely by dropping bombs from above.

    But when airpower alone fails, leaders can feel the pressure to expand the scope of conflict and end up with bigger military commitments than expected.

    Johnson’s initial airpower-only strategy for attempting to stop communism in South Vietnam failed miserably, leading to his decision to commit half a million U.S. troops into war. That expanded conflict presaged years of war, with massive humanitarian and political consequences for people in Southeast Asia and America, as well as lasting reputational damage to the U.S.

    Yemenis carry the coffins of civilians killed in U.S. airstrikes while participating in their funeral procession on May 1, 2025, in Sanaa, Yemen.
    Mohammed Hamoud/Getty Images

    Worried about U.S. and NATO credibility, Clinton escalated airstrikes – nearly to the point of introducing ground troops – for the ambitious end of stopping genocide in the Balkans during the early 1990s. Likewise, Obama’s initial airpower-only strategy to “degrade and destroy” the Islamic State group quickly faltered, leading Obama, under intense pressure at home and abroad, to introduce thousands of ground troops to combat the group’s territorial gains across Syria and Iraq.

    In each case, relying on airpower alone ultimately failed to meet their objectives.

    The airpower trap in Yemen

    There are reasons to believe that conditions in Yemen mean that Trump, too, could be falling into a similar trap.

    Trump has adopted an airpower-only strategy to “completely annihilate” the Houthis, a powerful rebel movement that all but won the recent Yemeni civil war. The proximate cause of the air campaign, a policy inaugurated by the Biden administration and expanded dramatically by Trump, is to restore the free flow of shipping in the Red Sea that the Houthis have disrupted by force to protest Israel’s ongoing war in Gaza.

    The early signs are that this air campaign isn’t going well.

    Despite the U.S. burning through finite munitions supplies at a cost of US$1 billion to bomb at least 800 sites since March 15, the Houthis are undeterred and the volume of Red Sea shipping remains as depressed as ever. Houthi attacks on U.S. ships and Israel continue. A Houthi missile narrowly missed Israel’s Ben-Gurion airport on May 4.

    In fact, the direct attacks on the Houthis and the rapidly growing casualty count among Yemeni civilians from the Trump administration’s bombing campaign appear to be strengthening the Houthis’ political position in Yemen. In a particularly shocking case, U.S. bombs reportedly hit an African migrant camp, killing and injuring dozens of people.

    The humanitarian crisis from the brutal bombing campaign by the Saudi-led coalition against the Houthis in the late 2010s had a similar effect.

    Airpower played a big part then, too. The Saudi coalition, supported by the U.S., engaged in some 25,000 air raids against the Houthis, killing or maiming approximately 19,000 civilians. Yet despite such overwhelming force, the Houthis kept seizing territory and eventually won the civil war, according to experts.

    They have been the country’s de facto rulers ever since.

    Now, Trump is exploring options to further escalate to defeat the Houthis. Reports indicate his administration is considering arming, training and enabling anti-Houthi resistance fighters who are loosely affiliated with Yemen’s government in exile to launch ground operations.

    Between diplomacy and quagmire

    Proxies are a common tool U.S. leaders turn to when caught in the airpower trap. Sometimes those proxies fulfill American policy objectives, such as the Kurdish People’s Protection Units, or YPG, which helped the U.S. defeat the Islamic state caliphate in 2019.

    A U.S. Air Force F-5 Skoshi Tiger drops three general purpose bombs on Vietnam on Feb. 28, 1966.
    Photo by Underwood Archives/Getty Images

    Often, U.S. proxies fail on both strategic and humanitarian terms, leading to further escalation, strategic quagmires for the U.S., and loss of life and political sovereignty for the people under attack. South Vietnam was an instructive example.

    Riven by corruption, poor governance, weakness and political infighting, the South Vietnamese army and government proved so ineffective at fighting the North Vietnamese that Johnson decided to launch a ground war once U.S. airpower failed.

    Today, the anti-Houthi resistance in Yemen looks a lot more like the South Vietnamese government than the Kurdish YPG. According to a 2025 report from the Soufan Center, a security think tank, the anti-Houthi forces are poorly trained and considered incapable of pulling off victories over the Houthis without major U.S. support.

    Meanwhile, the anti-Houthi resistance consists of an estimated 85,000 fighters, compared with some 350,000 for the Houthis.

    Absent continuing the air war or escalating it into a more all-encompassing conflict, U.S. officials can still pursue diplomacy in order to try to find a political solution to the Yemen conflict.

    Despite the Trump’s administration public threats, the U.S. is already negotiating with the Houthis’ main sponsor, Iran.

    For their part, the Houthis continue to insist that they will stop attacking ships in the Red Sea if the U.S.-backed Israeli war in Gaza halts, something that happened during the recent Gaza ceasefire.

    The Trump administration might consider seeking alternatives, such as direct or indirect talks, if it wants to avoid getting stuck in a widening conflict in Yemen. History is full of examples of what happens when airpower takes on a logic of its own.

    Charles Walldorf is a Senior Fellow at the think tank Defense Priorities.

    ref. In Yemen, Trump risks falling into an ‘airpower trap’ that has drawn past US presidents into costly wars – https://theconversation.com/in-yemen-trump-risks-falling-into-an-airpower-trap-that-has-drawn-past-us-presidents-into-costly-wars-255651

    MIL OSI – Global Reports

  • MIL-OSI Global: Mark Carney heads to Washington: His visit with Trump kicks off high-wire politics in Canada

    Source: The Conversation – Canada – By Thomas Klassen, Professor, School of Public Policy and Administration, York University, Canada

    Prime Minister Mark Carney is headed to Washington, D.C., for a high-stakes meeting with Donald Trump as the American president continues his trade war and annexation threats against Canada.

    “We are meeting as heads of our government,” Carney said at a news conference late last week. “I am not pretending those discussions will be easy.”

    The White House visit comes just a week after Carney led the Liberals to their fourth consecutive election victory.

    It was a result that, at first blush, allowed each party to claim that it won, or at least that it did not totally lose. That sets up a Parliamentary session that will feature several interesting dynamics.

    The Conservatives under Pierre Poilievre won several more seats than in 2021 and their highest share of the national vote in decades, though Poilievre himself lost his seat.




    Read more:
    Canada’s Conservatives, with an assist from Donald Trump, are down — but they’re far from out


    The NDP under an outgoing Jagmeet Singh managed to hold onto the balance of power in the upcoming minority Parliament for a third consecutive time. Elizabeth May continues to represent the Green Party in the House of Commons. Yves-François Blanchet kept the Bloc Québécois relevant for voters in Québec.

    Even Justin Trudeau, no longer in politics, won — his legacy is not in the gutter due to a predicted Conservative majority win that never materialized once Carney replaced him.

    But in the coming weeks and months, the leaders and their parties face difficult circumstances that could turn them into losers — most importantly, how Carney manages the relationship with Trump.

    The role of Trump

    Carney and the Liberals capitalized on exceptional
    circumstances
    driven by Donald Trump’s trade war and threats to make Canada the 51st state. Winning four consecutive elections is a rare feat for any political party in Canada.
    But Carney cannot count on fortune continuing to smile upon him. He must now manage a party within which he has little history and few favours to call in — a party that he has dragged from centre-left under Trudeau to centre-right.

    The new prime minister will have to rely on aides and advisers to a much greater extent than all former office-holders who had years or decades of experience in the political area, including the House of Commons. At the same time, he will have to demonstrate to Canadians that he is in charge and makes the final decisions.

    Invariably, there will be Liberal missteps in the weeks ahead: ethical lapses for some MPs, ministerial appointments that go awry and disappointment among those not appointed to cabinet. Because Carney has been prime minister for less than two months, the upcoming Speech from the Throne on May 27 — to be delivered by King Charles — that sets the government’s goals is shrouded in mystery.

    Beyond Ottawa, premiers from several different political parties — each with their own agenda — await Carney. South of the border, the unpredictable Trump, with his infuriating rhetoric and disruptive actions, is in office for another three-and-half-years.

    As a newcomer to politics elected on his first attempt to the country’s highest political office, Carney could have at least have one topic of conversation in common with Trump when they meet on Tuesday. Trump too was a political outsider who catapulted into office on his first attempt. The two may find some bond in their shared experience.

    The greatest danger for Carney is not from Trump’s rhetoric but from broader economic conditions. He ran for office on the promise of being able to manage economic turmoil. But politicians of any stripe have little control in a global economic slump or an all-out tariff war. If unemployment, inflation or the cost-of-living tick upward, Carney will quickly lose his lustre among many Canadians.

    The new Parliament

    For the Conservatives, Poilievre’s leadership will continue to weigh on the party in the weeks and months ahead. Losing his Ottawa seat weakens his claim to stay on as leader. He now needs to win a byelection in Alberta triggered by the resignation of Conservative MP Damien Kurek.

    The worst outcome for the party is years of infighting between those who support giving Poilievre one more chance and those who believe that 2025 is the best the party can do under his leadership.

    The best outcome is for Poilievre to become a bridge-builder within the party and to Conservatives across Canada, and to rebrand himself to be more palatable to Canadian voters. This will not be easy and he hasn’t shown much inclination to do so.

    The NDP’s Singh has already announced his resignation and accepted responsibility for the party electing only seven MPs. A period of soul-searching leading to a leadership contest has already started. The loss of seats, and returning to Ottawa with an interim leader, lessens the voice of the party in political discourse. If a new leader is elected who is not an MP, the party will be further hampered.

    The Greens remain in the House of Commons, but as a party of one. The jury continues is out on whether the party can exist without its leader, Elizabeth May, who has said she wouldn’t rule out joining Carney’s cabinet.

    Blanchet returns to Ottawa with fewer Bloc MPs and a murky mission. He had hoped that the Bloc would hold the balance of power once the votes were counted, but was foiled by the NDP. He has already faced criticism from his own supporters when he promised to collaborate with other parties in Ottawa to secure Canada’s economic future.

    Beginning with Carney’s handling of Trump this week, how skilfully each party, and leader, performs its distinct high-wire act in the next months will determine the ultimate winners and losers. The show is about to start.

    Thomas Klassen 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. Mark Carney heads to Washington: His visit with Trump kicks off high-wire politics in Canada – https://theconversation.com/mark-carney-heads-to-washington-his-visit-with-trump-kicks-off-high-wire-politics-in-canada-255675

    MIL OSI – Global Reports

  • MIL-OSI Global: To the brink and back: How near-death experiences can change how people work

    Source: The Conversation – Canada – By Akierah Binns, PhD Management Candidate, University of Guelph

    New research on near-death experiences challenges conventional ideas about success, motivation and workplace culture. (Shutterstock)

    What happens when someone comes close to death and then returns to everyday life, including work? For some, the experience can be transformative.

    Near-death experiences (NDEs) are deeply personal experiences that some people report after a close brush with death. These experiences can include sensations such as floating above one’s body, reviewing moments from one’s life, encountering spiritual beings and feeling a profound sense of unity and love.

    Although NDEs have been studied since the 1970s, we know relatively little about how they affect people after the event. Research suggests people who have near-death experiences may feel increased empathy, spiritual growth, a sense of purpose and even change how they approach their jobs.

    Our recent study explored how near-death experiences impact people’s return to work. We interviewed 14 working adults who had a near-death experience as a result of medical crises such as a heart attack or accidents such as a car crash. What we found challenges conventional ideas about success, motivation and workplace culture.

    Doing meaningful work

    One of the most common changes expressed by the participants in our study was a desire to do work that felt meaningful and aligned with their newfound purpose in life.

    After their near-death experiences, many wanted to spend time doing work that mattered to them and made a positive difference.

    “I was not interested in doing nonsense … I just was not gonna waste my time on nonsense,” one participant told us. Her perspective shifted dramatically after her heart began beating abnormally for 20 minutes and she lost consciousness.

    Others described similar shifts. Many participants changed their careers by focusing on different work priorities, switching jobs or even starting their own companies. One participant described quitting a high-earning job after being headhunted. She started her own business, which allowed her to use her own NDE to support individuals through the end-of-life process.

    As one participant put it:

    “I like to say that when I woke up in that hospital bed, I had a knowing that the character I was playing was no longer working for me and I had to change characters, and changing that character meant changing that job.”

    Rethinking motivation

    Another significant shift reported by participants was a reprioritization of their values, which, in turn, shifted their attitudes towards work and their careers.

    After experiencing a near-death experience, many lost interest in external measures of success such as salary, fancy titles and prestige. Across the study’s participants, all reported no longer being motivated by extrinsic factors, such as money or receiving recognition for work.

    Instead, they focused on internal alignment and authenticity. Rather than being driven by external rewards, participants were motivated by personal growth and making a positive difference.

    In some workplaces, employee motivation is driven by extrinsic incentives such as bonuses, promotions or external recognition. However, after their NDEs, participants reported being driven by their own internal benchmarks or purpose.

    As one of our interviewees said:

    “The motivation that was there came from this very strange, deep place that I wanted to all of a sudden make a huge impact, you know, in every part of my life … It’s hard to come out of this experience and not feel there’s a reason why you’re here, and you hate to say it, but you feel you have this special gift now. And it’s like why and how am I going to apply this? So, with work, I approach it that way as well.”

    Relational transformations

    We also found that near-death experiences transformed how people interacted with and related to others at work. This is consistent with previous research that shows distinct personality and attitude changes reported by survivors of NDES. Specifically, NDEs shift individual outlooks on life and can serve as catalysts for transformation, influencing how people relate to others.

    Before their near-death experience, many participants viewed workplace relationships as task-oriented and transactional. But afterward, those same relationships became more meaningful to them.

    Colleagues, clients and customers were no longer viewed as just business contacts. Instead, several participants spoke of their service and sales interactions as small acts of relationship-building rather than simply being economic exchanges.

    One participant said:

    “My relationships across the board are deeper, are more connected with people, a hundred per cent … I was a decent salesman before but this is, like, bringing spirituality into a quote-unquote sales position, which blows my mind.”

    One of the most common changes described by participants was a desire to do work that felt meaningful and aligned with a newfound sense of purpose.
    (Shutterstock)

    Lessons for the rest of us

    What does this mean for those of us who haven’t had a near-death experience?

    The participants in our study said their near-death experiences reoriented them to what really matters in life. The after-effects challenge traditional organizational values that celebrate hyper-productivity at the expense of meaning and high-quality relationships. As previous studies suggest, workers engaged in meaningful work eventually manifest greater productivity and accomplishment as opposed to burnout as a result of overwork.

    As interest in workplace well-being continues to rise — particularly in the wake of COVID-19 and the “great resignation” — NDE survivors may be ahead of the curve.

    The after-effects of a near-death experience align with what workers tend to want from their jobs. Workers generally want to satisfy three fundamental needs: economic security, meaningful work and high-quality relationships. Our results suggest that NDE after-effects result in reductions in the importance of satisfying the drive for economic security and elevate the significance of meaningful work and authentic relationships.

    The stories of near-death experience survivors offer a kind of blueprint for reimagining how we work. For employees, that might mean re-evaluating what success looks like or exploring roles that align more closely with personal values. For employers, it might involve fostering workplace cultures that prioritize connection, purpose and well-being.

    One participant offers a lasting reminder for all of us seeking more meaning in our life and jobs: “It’s about relationships, not achievements.”

    The authors do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. To the brink and back: How near-death experiences can change how people work – https://theconversation.com/to-the-brink-and-back-how-near-death-experiences-can-change-how-people-work-254443

    MIL OSI – Global Reports

  • MIL-OSI Global: How industrial diversity affects local employment growth in France

    Source: The Conversation – France – By Nadine Levratto, Directrice de Recherche au CNRS, Université Paris Nanterre – Université Paris Lumières

    In an interconnected global economy, regions face recurring economic shocks and intense competition. For policymakers and researchers, understanding the drivers of local employment growth has become critical. Recent theoretical advances highlight the importance of different relational proximities that influence the benefits of the geographic clustering of economic activities.

    Our research focusing on France’s labour market areas – “geographical areas within which most of the labour force lives and works” – from 2004 to 2015 offers new insights into how industrial diversity affects local employment. The study finds that having a variety of industries – especially those related to one another – can be a significant driver of employment growth. This finding has crucial implications for regional development strategies.


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    Related vs. unrelated diversity

    Economic geography literature distinguishes between two types of diversity: related variety and unrelated variety. Here, variety refers to industrial diversity or, more precisely, the different kinds of industrial sectors or technologies. The prevailing argument is that knowledge spillovers within a region, which are known to boost employment, occur primarily among related industries and to a limited extent between unrelated industries.

    Related variety describes a situation in which industries share common elements, as do pharmaceuticals and biotechnology. Such elements allow for synergies, collaboration and innovation by the leveraging of similarities in knowledge bases, technologies and skills. By contrast, unrelated variety describes a situation in which industries have little in common, as do agriculture and software development. Unrelated industries operate in entirely different domains, leading to weaker direct synergies, but potentially fostering innovation through difference.

    Impacts on employment

    While unrelated variety offers protection against industry-specific downturns, it does not have the same direct impact on employment growth as related variety. Our research approach distinguishes between these two varieties at the local level (i.e. within a labour market area) and at the neighbourhood one (i.e. between adjacent labour market areas).

    Our analysis finds that regions with industries with high related variety experienced higher employment growth from 2004 to 2015, especially during periods of economic expansion. This effect was particularly pronounced in sectors like machinery, chemicals and IT, which demonstrated strong positive impacts on local employment. We found that when industries share similarities in knowledge bases, technologies or supply chains, they create conditions for interactive learning and innovation. This process fosters intersectoral knowledge flows, enhancing regions’ capacity to adapt and grow. It can help provide balance between regional specialization, which risks stagnation due to industries’ excessive cognitive proximity – a condition economists call “lock-in” – and regional diversity, which may face challenges from too much cognitive distance.

    Unrelated variety showed a more complex relationship with employment. While local unrelated variety cushioned regions from economic shocks (since sectors are less vulnerable to industry-specific downturns), it did not directly drive employment growth as related variety did. We also found that unrelated variety in neighbouring regions exerted a negative influence on local employment dynamics.

    Employment and the 2008 financial crisis

    During the 2008 global financial crisis, knowledge spillovers from neighbouring regions helped mitigate the impact of the economic shock. The neighbourhood effects of related industries acted as a buffer, stabilizing local employment and protecting regions from greater losses.

    Drivers of local employment growth in France from 2004 to 2015

    Source: INSEE, CLAP 2004-2015. Authors’ calculation. NS: not significant.
    Fourni par l’auteur

    Urban-rural dynamics

    The difference between rural and urban areas is another important dimension. Our research found that related variety of diversity had a more pronounced positive effect in urban areas, where high concentrations of industries enable faster innovation and employment growth. Rural areas benefitted less from these knowledge spillovers, likely due to a less dense industrial ecosystem. This urban-rural divide highlights the need for tailored economic policies to support diverse regional needs.

    Policy implications

    For policymakers, fostering sectoral diversity, particularly the related variety, should be a priority. They could encourage collaboration between related sectors within regions to enhance resilience and growth. This would consist of supporting the development of innovation clusters where businesses in related sectors are geographically concentrated, or platforms for cross-sector collaboration where businesses, universities, research institutions and government agencies can share knowledge and explore partnerships. Promoting interregional cooperation could also help spread the benefits of related variety across neighbouring regions, especially during periods of economic crisis.

    Policymakers should also consider the role of the unrelated variety of diversity. While unrelated sectors may not directly contribute to employment growth, they provide stability when economic uncertainty dominates by diversifying the regional economy. Encouraging a balance between related and unrelated sectors could offer the best of both worlds – innovation-driven growth and economic resilience.

    Sectoral diversity – especially when it comes to related industries – is a key driver of local employment growth in France. However, for regions to thrive, policymakers must not only support the growth of local industries but also foster cross-regional cooperation. The lessons from France’s labour market areas provide insights for regions worldwide seeking to navigate the complexities of economic development.

    Les auteurs ne travaillent pas, ne conseillent pas, ne possèdent pas de parts, ne reçoivent pas de fonds d’une organisation qui pourrait tirer profit de cet article, et n’ont déclaré aucune autre affiliation que leur organisme de recherche.

    ref. How industrial diversity affects local employment growth in France – https://theconversation.com/how-industrial-diversity-affects-local-employment-growth-in-france-251729

    MIL OSI – Global Reports

  • MIL-OSI Global: Investing in agriculture reduces poverty and inequality: economic model finds the best funding mix for 10 African countries

    Source: The Conversation – Africa – By Margaret Chitiga-Mabugu, Dean of the Faculty of Economic and Management Sciences, University of Pretoria

    Africa faces challenges in reducing extreme poverty and inequality. In 2024, 8.5% of the global population was living in extreme poverty (that is, on less than US$2.15 a day). Nearly 67% of these people were living in sub-Saharan Africa.

    To tackle these significant issues of poverty and inequality, it is essential to identify the locations of the most impoverished individuals. This enables investments to focus on generating growth and productivity that are both inclusive of poor people and sustainable.

    About 70% of the poor in sub-Saharan Africa live in rural areas. Most (65% to 70%) are employed in agriculture. Agriculture also contributes 30%-40% to the gross domestic product (GDP).

    Despite its importance, agriculture is underfunded. African countries don’t have enough of their own resources to finance agriculture, and external funding is becoming more scarce.

    The region thus desperately needs an innovative plan to finance agriculture for economic development.

    In a recent study we analysed
    how different ways of funding agricultural investment would affect inclusive growth and the wider economy in 10 African countries. Raising taxes, cutting budgets and external support were the different funding options we explored.

    We created economic models that would help countries with tight budgets understand the trade-offs and choose the best options.

    Our study found that investing more in agriculture – especially with external financing – was best at raising incomes and reducing poverty, particularly in rural areas. External funding avoids the higher costs of domestic financing. But a mix of both is also effective.

    Regardless of the country, all financing options resulted in increased rural incomes, reducing poverty and hunger. This shows that investment in agriculture has a positive impact both nationally and in rural contexts.

    The model

    Our paper uses an economic simulation model which looks at the big picture and also at more detail. It works out how changes in agricultural spending affect people’s lives (in terms of their income and expenditure) as well as the overall economy.

    The countries studied were Angola, Mozambique, Namibia, Botswana, Rwanda, Gabon, Malawi, eSwatini, Lesotho and Zimbabwe. We chose them based on the availability and accessibility of the data required.

    The model worked out the results of different financing strategies:

    • Increase in taxes (direct ones like household income and property tax or indirect ones like VAT or sales tax). The idea is that spending more on agriculture would be compensated for by higher tax revenues. These would come from households’ growing income and property taxes.

    • Reduction in non-agricultural investment spending. Here, the proportion of government investment dedicated to agriculture remains fixed. So there has to be less investment elsewhere.

    • Increase in government external borrowing or development assistance.

    Key findings

    We found that external financing boosted both national and rural incomes the most. But variations in the exchange rate may trigger an increase in domestic prices and a subsequent decline in export volumes. That could make a country less competitive economically.

    Despite this, the associated costs are generally lower than those of internal financing, aside from Mozambique’s rural income results.

    Between the two internal financing mechanisms tested, the option of reducing non-agricultural investment raised both national income and rural income in all countries except eSwatini.

    So that option should play a key role along with external financing.

    This finding is encouraging for fiscally constrained countries as the modelling showed that domestic financing improved the countries’ agency in sustainable growth.

    In a final modelling phase, the models explored how the policy interventions could transform poverty and inequality outcomes. They did this by following the intricate interplay of income and price dynamics. After a surge in agricultural investments following the policy scenarios, the findings showed a more pronounced reduction in poverty and inequality rates across all nations. There was one notable outlier — Angola. In Angola, investments channelled into the services sector have sparked the most substantial decreases in poverty and inequality, driven by the deep interconnectivity between services and its expansive oil industry.

    Even a small increase in public investment led to a clear drop in poverty, with agriculture investments having the biggest impact, followed by industry and services. Malawi showed the most substantial reduction in poverty. There were also noticeable effects in Rwanda, Botswana, eSwatini and Angola.

    Other countries showed mild impacts, maintaining low poverty levels.

    What can be done

    Scenario modelling can offer valuable insights for policy making because it is forward-looking. It also highlights the implications of strategic priorities.

    The study’s findings show that to achieve inclusive economic growth, countries should aggressively invest in agriculture, using a mix of external and domestic fiscal sources.

    On the back of the findings we made the following proposals.

    African governments are dependent on development aid because of limited domestic finances and weak growth prospects. This gets in the way of their ability to raise funds in the markets. However, if concessional financing is attainable and exchange rate impacts are controllable, external financing should remain a preferable option for financing agriculture investments.

    In the medium term, governments must focus on:

    • cutting unproductive non-agricultural spending

    • eliminating waste

    • ensuring cost-effectiveness.

    Savings should be redirected to agriculture.

    Over the medium term, there should be a focus on reforming tax policies. Direct and indirect taxes should be increased to fund agricultural investment. But maintaining transparency in using tax revenues is crucial. This encourages public support and local ownership of tax reforms by demonstrating their benefits.

    In the long term, governments should synchronise national development plans with ambitious agricultural growth initiatives.

    The authors do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. Investing in agriculture reduces poverty and inequality: economic model finds the best funding mix for 10 African countries – https://theconversation.com/investing-in-agriculture-reduces-poverty-and-inequality-economic-model-finds-the-best-funding-mix-for-10-african-countries-252820

    MIL OSI – Global Reports

  • MIL-OSI Global: 30 years of free basic education in Ghana: a report card

    Source: The Conversation – Africa – By Pearl S. Kyei, Senior lecturer, University of Ghana

    Ghana, like many sub-Saharan Africa countries, began investing substantially in free education three decades ago. This led to an increase in the number of children that attend primary school. But what has the impact been on learning outcomes?

    The Conversation Africa spoke to demographer Pearl Kyei, who, with economists Fred Dzanku and Samuel Annim, has researched population literacy and numeracy in Ghana after three decades of free education.

    How long has Ghana offered free basic education?

    Ghana introduced what it calls the Free Compulsory Universal Basic Education (FCUBE) programme in 1994. This meant that families could send children to public schools without paying school fees. In 2005, it introduced the Capitation Grant Scheme to further reduce financial barriers to education and increase access. The grant was to discourage schools from charging unapproved fees and levies to make up for the lost tuition fees.

    Basic education in Ghana currently covers the pre-primary, primary and lower secondary levels. Pre-primary involves two years of kindergarten (for ages 4 and 5 years), primary is six years (for ages 6 to 11 years), and lower secondary is three years of junior high school (for ages 12 to 14 years). After junior high school, students have the option to continue to senior high, technical or vocational school (for ages 15 to 17 years).

    Several other countries on the continent, such as Kenya, Malawi, Tanzania, Uganda and Zambia, have put in place free basic education policies too. This is due to the adoption of the Continental Education Strategy for Africa (2016 – 2025) which references the post-2015 commitment of African governments to provide a basic education of 10 to 12 years and to provide at least one year of free pre-primary education.

    How is the policy implemented?

    Ghana’s 1992 constitution states that “basic education shall be free, compulsory and available to all”. From 1994, primary and junior high schools had to provide fee-free tuition. Financial support from government was later introduced (capitation grants) to compensate public schools for the loss of fees.

    The Capitation Grant Scheme provides money to schools each term to help cover costs. The government gives a set amount of money per student to public schools every year. This money is distributed to public schools based on the number of enrolled students, and each student receives a specific amount of money under the grant. This amount is in addition to the main education budget. The 2024 Mid-Year Budget Review reported that the capitation grant was GH₵ 15 per child (approximately US$1) per term in 2024.

    Is it working?

    Since the introduction of the 1994 free schooling programme, Ghana has recorded substantial increases in enrolment rates at the basic education level.

    Research shows there are several problems, however. These include:

    All these are likely to affect the quality of education and learning outcomes of students.

    What has the impact been on outcomes?

    We conducted research to understand whether people’s basic reading and math skills in Ghana had improved over time after many years of expanding education. The study compared groups with similar levels of schooling using two national surveys taken 10 years apart to find out if there had been a meaningful change in basic reading and math skills.

    We used data from two nationwide Ghana Living Standards Surveys, conducted in 2006 and 2017. During the data collection, interviewers used flashcards to measure the basic reading and math skills of survey respondents. Persons aged 11 or older were shown flashcards. To answer “yes” to questions about whether they could read or solve written calculations, they had to read a sentence fully and answer a simple math problem correctly.

    In the study we defined “basically literate” as being able to read a short English sentence, and “basically numerate” meant being able to solve a simple written math problem. The sample for our study comprised 25,424 and 42,376 persons in 2006 and in 2017 respectively.

    We found that the percentage of persons 11 years and older in the sample who have never attended school declined from 28% in 2006 to 16% in 2017. But there was a decline in literacy and numeracy for persons with basic education.

    The observed decline was larger for math than for literacy. For instance, those with upper primary education (class 4 to 6) were 14% less likely to be able to correctly read a short sentence in 2017 compared to 2006. For math, the likelihood of persons with upper primary education correctly solving the math problem was 25% lower in 2017.

    The study additionally found that basic literacy and numeracy declined more in urban areas than in rural areas at the lower and upper primary levels. Trends for males and females were largely similar.

    How can it be improved?

    Our findings suggest that without focusing on investments that maintain quality as enrolment increases – like hiring well-trained teachers, providing enough funding, and supplying schools with adequate materials – free education programmes could lead to long-term declines in learning outcomes.

    Such declines in basic literacy and numeracy would likely have a negative effect on job productivity, the economy, and social inclusion in the long run.

    So there is a need to invest more in quality education to go along with increased access. These investments would help students acquire the foundational skills they need and ensure that free education leads to lasting improvements in skills that are crucial for national growth.

    The authors do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. 30 years of free basic education in Ghana: a report card – https://theconversation.com/30-years-of-free-basic-education-in-ghana-a-report-card-253993

    MIL OSI – Global Reports

  • MIL-OSI Global: City police in South Africa’s capital have a bad image – how to fix it

    Source: The Conversation – Africa – By Azwihangwisi Judith Mphidi, Post Doctoral Research Fellow, Tshwane University of Technology

    Corruption in South Africa’s public institutions has been a pressing issue for the past two decades. From national government offices to local municipalities, stories of officials enriching themselves at the expense of the public have become all too familiar.

    The Tshwane Metropolitan Police Department – responsible for traffic policing, crime prevention, and by-law enforcement in South Africa’s capital city – has not escaped this crisis.

    With over four million residents spread across 6,298 square kilometres, Tshwane plays a vital role in the country’s political and economic landscape. Yet its municipal police department, one of the largest in South Africa, with an average of 4,000 operational staff, is increasingly associated with allegations of bribery, abuse of power and unethical behaviour.

    I am a postdoctoral researcher with a focus on criminal justice, and an active social justice advocate. In a recent research paper, I explored how corruption in the Tshwane Metropolitan Police Department is damaging public trust and compromising law enforcement and crime prevention.

    I was able to observe the culture and environment of the Tshwane Metropolitan Police Department as a motorist and as an employee under the city’s Community and Social Development Department.

    My research drew on texts and context rather than analysis of numbers, since the study was written after I left the City of Tshwane. I relied on my first hand experience, and already published and documented evidence. I did not need special permissions to do this but cited sources consulted.

    The study found that motorists view the Tshwane Metropolitan Police Department as predators rather than protectors. Corruption in the traffic police is more than a betrayal of public trust. When officers take bribes instead of enforcing traffic laws, road safety suffers.

    Inside the Tshwane Metropolitan Police Department

    In recent years, the Tshwane Metropolitan Police Department has been accused of recruiting members with criminal records and cases of corruption.

    My key findings were about:

    Hiring practices: Individuals with criminal records have been recruited into the department. Vetting is conducted, but the reports come later when they are already employed, then they are expelled.

    Bribery: Motorists frequently report officers soliciting bribes during routine traffic stops or other bribery related incidences. Some of these reports are made to the mayoral committee member for community safety.

    Lack of accountability: Officers implicated in corruption are not always dismissed, or may face minimal consequences.

    Public complaints: Over 200 officers have been under investigation for various misconduct allegations in recent years.

    Political interference and leadership instability

    In the course of the research, I found that another key factor undermining the effectiveness of the Tshwane Metropolitan Police Department is political interference in operational matters and leadership appointments as a result of the structure of the municipalities across the country. All mayoral committee executives and council members are politicians.

    Frequent reshuffling of senior leaders based on politics rather than merit weakens strategic direction and fosters corruption. Politically connected individuals often secure positions without proper vetting, either due to delays in completing reports or human resources not waiting for the report before proceeding with appointments.

    The combination of weak vetting processes, inadequate oversight, and political interference has created an environment where corruption is not only possible but, in some cases, normalised.

    Damage to the capital city’s global reputation and tourism

    The corruption within the Tshwane Metropolitan Police Department not only affects local residents but also tarnishes Pretoria’s reputation as South Africa’s administrative capital, home to embassies from around the world.

    As the city hosts more than 130 foreign diplomatic missions — the second-largest concentration of embassies in the world after Washington DC — the behaviour of municipal police officers directly influences the capital city’s global image.

    When officers solicit bribes or abuse their power during routine traffic stops, they might not distinguish between local residents, foreign diplomats or tourists. This indiscriminate targeting is likely to create an unsafe environment for international visitors and damage the trust of foreign nations engaging with South Africa.

    What needs to be done

    Addressing corruption in the Tshwane Metropolitan Police Department will require urgent reforms. Based on the research, I argue that the following actions are essential:

    Stricter recruitment processes: Background checks should be mandatory for all officers. Individuals found to have criminal records should be disqualified from serving.

    Body cameras and digital monitoring: Equipping officers with body cameras would provide an objective record of interactions with the public.

    Independent oversight: An external body should be established to investigate complaints and ensure accountability. Currently, municipal policing is governed by the South African Police Service Act 68 of 1995, and the Independent Police Investigative Directorate investigates some complaints. But it appears to have limited resources.

    Ethics training: All officers should get regular training to reinforce the importance of integrity and professionalism. They are currently trained at the Police Academy and get support from academic institutions, including the University of Pretoria.

    Community engagement: Building partnerships between the Tshwane Metropolitan Police Department and the communities it serves can help restore trust and improve transparency.

    Municipal policing law

    Restoring public confidence requires more than piecemeal reforms — it demands a new legal framework.

    A South African Municipal Policing Act could create a unified standard for municipal policing across the country, addressing many of the root causes of corruption. This legislation could introduce:

    National municipal police officers register: A centralised database that records applications, criminal background checks, disciplinary history, and performance assessments of all municipal officers.

    Uniform ethical standards: Clear ethical guidelines that apply to all municipal police officers, regardless of location.

    Independent oversight: An investigative body focused solely on municipal policing.

    Mandatory pre-vetting process: All applicants would undergo fingerprint-based criminal record checks.

    Cross-municipal blacklisting: Officers dismissed or suspended from one municipality would be automatically barred from working in another.

    Digital recording systems: All municipal police vehicles and personnel would be equipped with body cameras and GPS tracking systems to improve accountability.

    A framework like this would close loopholes that allow corrupt officers to move between municipalities undetected. It would also prevent the recycling of officers with criminal records.

    Azwihangwisi Judith Mphidi 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. City police in South Africa’s capital have a bad image – how to fix it – https://theconversation.com/city-police-in-south-africas-capital-have-a-bad-image-how-to-fix-it-251505

    MIL OSI – Global Reports

  • MIL-OSI Global: Marine fossil found in South Africa is one of a kind, thanks to unusual preservation

    Source: The Conversation – Africa – By Sarah Gabbott, Professor of Palaeontology, University of Leicester

    A fossilised creature found in a South African roadside quarry 25 years ago has finally got an official name. The small, segmented, crustacean-like creature, dated to 444 million years ago, can now be introduced as Keurbos susanae. It belongs to the arthropod group of animals, which accounts for about 84% of all known species that exist today, including insects, spiders and crabs.

    Palaeontologist Sarah Gabbott explains what’s so unusual about her discovery, which she named as part of the process of describing it scientifically.

    What can you tell us about this creature and the environment it lived in?

    The fossil is about 50cm long and has 46 almost identical segments. Projecting from each is a delicate, gill-like structure. It would probably have looked like a bit like a horseshoe crab and the gills would have been for absorbing oxygen from the water it lived in. Its insides are exquisitely well-preserved, which is very unusual for fossils – normally only the hard, more decay-resistant external features would be preserved. You can see bundles of muscle fibres that would have powered the limbs, tendons and an internal scaffold structure that gave the animal rigidity.

    We think it would have spent most of its life living on, or more likely just above, the seafloor, probably walking and swimming in an undulatory (waving) motion.

    It lived in the immediate aftermath of the end Ordovician extinction event more than 440 million years ago, caused by glaciations (the spread of icy conditions) across vast swaths of the planet. This extinction wiped out about 85% of Earth’s species. The marine basin that Keurbos susanae inhabited was probably very cold and at times covered with sea ice.

    It was a relatively hostile environment in other ways too. Our analyses of the chemistry of the shales – the sediments on the sea bed where this animal and others lived, now turned to rock – shows that they were deposited under anoxic conditions (that is, there was no oxygen circulating freely in the water). And at times free hydrogen sulfide occurred in the sediment porewaters (the water in tiny spaces between grains of sediment) and even above the seafloor. Not much could live in these conditions and this was critical to this fossil’s amazing preservation.

    It meant the carcass was not scavenged by other animals after it died. Also, the chemistry was important in the process whereby the soft tissues, which should usually rot away rapidly, became mineralised quickly after death. This turned the animal’s anatomy to mineral which survived for hundreds of millions of years until it was discovered.

    It is preserved “inside out”.

    Keurbos susanae is a new genus and species which we are still trying to place among other early arthropods. The fact that its insides are better preserved than its outside makes it difficult to compare with other fossils that are preserved the “other way round”.

    How did you find the fossil and what else has been found in that area?

    The site is in the Cedarberg mountains, north of Cape Town. To collect fossils in this area you need a permit granted by the Council for Geoscience. Fossil-bearing rocks are protected by law because of their heritage and scientific value.

    Fossil hunting in these rocks takes a lot of hard work and patience, splitting open the shales with a hammer and chisel. These shale rocks are what’s left of layers of silt that were once on the sea floor. The fossils here are super rare: you can dig and split shale for days and not find a single fossil! But we know there are some in there because of discoveries made previously.

    I found two specimens. The first one is complete but the second one only has the middle part of the body preserved.

    In the same rocks we have found some of the earliest vertebrate fossils with mineralised teeth, called conodonts. They were eel shaped and predatory. Also eurypterids (sea scorpions), arthropods with powerful swimming appendages, which would have cruised through the frigid waters. There are also orthocones – a type of chambered cephalopod – like the mollusc fossils called ammonites, which have been found in large numbers, but with a straight shell instead of coiled.

    Why has it taken 25 years to describe Keurbos susanae scientifically?

    Two reasons really.

    First, because of the nature of preservation, where all the insides are perfectly preserved but the outside (the carapace or body covering) is absent, it is just difficult to interpret and compare to other fossils. And secondly because the specimen’s head and legs are missing and these are key characteristics that palaeontologists would use to help them to understand the evolutionary relationships of such fossils.

    If more specimens were to be found, with their heads and legs, we could be more certain about where this fossil fitted in the scheme of life. But the site where I found it has been covered in a lot of rock from quarrying activity. So we decided to describe what we had in the meantime, and not wait for more examples.

    The fossil’s name, Keurbos susanae, refers to the place where I found it and to my mother, Sue, who encouraged me to follow a career that made me happy, whatever that might be.

    Sarah Gabbott receives funding from Natural Environmental Research Council; National Geographic. She is affiliated with Green Circle Nature Regeneration CIC a not for profit Environmental Community Interest Company in the UK

    ref. Marine fossil found in South Africa is one of a kind, thanks to unusual preservation – https://theconversation.com/marine-fossil-found-in-south-africa-is-one-of-a-kind-thanks-to-unusual-preservation-255256

    MIL OSI – Global Reports

  • MIL-OSI Global: Menopause symptoms may be critical to understanding Alzheimer’s disease risk in women

    Source: The Conversation – Canada – By Jasper Crockford, Medical Science Master’s Student, University of Calgary

    Hot flashes, night sweats, vaginal dryness, urinary tract infections, irregular periods, low libido, trouble sleeping, brain fog, mood swings — and in rare cases, even a burning tongue sensation. What might all these symptoms have in common? They can all be signs of menopause.

    But could these symptoms hint at a greater story? New research suggests that menopause symptoms are not just immediate hurdles to overcome; they might also hold clues about a person’s future health, including their risk for conditions like dementia. However, to understand this connection, we must first understand what menopause is and how it affects the brain and body.

    Symptoms may emerge during the hormonal changes of menopause.
    (FreePik)

    What is menopause?

    Menopause marks the natural end of a woman’s menstrual periods, typically occurring in their late 40s or early 50s. Officially, menopause describes the specific day when someone has gone a full year without a period.

    However, menopause doesn’t happen overnight. It often starts years earlier with a phase called perimenopause. During this time, the body prepares for menopause, and hormone levels — especially estrogen — fluctuate. This transition can last several years, often bringing symptoms like irregular periods, hot flashes, mood swings and more.

    Once periods stop completely, a woman enters postmenopause. Unfortunately, symptoms don’t always end here; some may persist for years, and new symptoms may appear.

    These stages — perimenopause, menopause and postmenopause — are all part of the same journey, though each person’s experience is unique.

    An all too similar patient’s journey

    While menopause is a natural process, its symptoms can feel anything but. Some people may experience mild or no symptoms, while others struggle with numerous and severe symptoms that disrupt daily life.

    Symptoms like anxiety can make socializing difficult, sleep problems can lead to exhaustion and brain fog can make even simple tasks feel daunting. Together, these challenges can affect thoughts, feelings and social lives — key aspects to overall health.

    Symptoms like anxiety can make socializing difficult, sleep problems can lead to exhaustion and brain fog can make even simple tasks feel daunting.
    (FreePik)

    Why menopause matters beyond the present

    Understanding menopause and its symptoms is just the beginning. Beyond being a transitional phase, the challenges of menopause may offer a unique window into future brain health.

    Take Alzheimer’s disease, the most common cause of dementia, marked by progressive memory loss, emotional and personality changes, and eventually, a loss of independence. Women are twice as likely as men to develop Alzheimer’s disease. In the past, research thought this difference was because women live longer than men, but new research suggests that menopause-related hormone changes may also play a critical role.

    Estrogen helps protect memory, strengthen neural connections, regulate mood and remove harmful proteins from the brain. When estrogen levels fall, these health benefits may weaken.
    (FreePik)

    The role of hormones in brain health

    During menopause, the ovaries stop producing eggs, triggering significant hormonal changes. One major change is the drop in estrogen, a hormone not only essential for reproduction, but also brain health.

    Estrogen helps protect memory, strengthen neural connections, regulate mood and remove harmful proteins from the brain. When estrogen levels fall, these health benefits may weaken, possibly leaving the brain and body more vulnerable to harmful changes.

    During these hormonal changes, menopause symptoms may also emerge. While symptoms were once thought to be temporary, albeit uncomfortable, side-effects of menopause, these symptoms may also signal underlying brain changes linked to dementia risk.

    Future cognitive and behavioural health

    While past research has examined how individual menopausal symptoms may relate to dementia risk, our research team (led by Dr. Zahinoor Ismail, a physician-scientist) asked: could the number of symptoms experienced also indicate early warning signs of dementia?

    We explored this by analyzing changes in:

    1. Cognition (for example, memory, thinking, and problem-solving) and

    2. Behaviour (for example, emotions, personality, and social interactions).

    While cognitive changes are often top of mind when thinking about dementia, behavioural changes are equally important but frequently overlooked, and might also be early warning signs.

    We examined data from 896 postmenopausal participants in the CAN-PROTECT study, an online Canadian project on aging and brain health. Participants recalled the type and number of symptoms they experienced during perimenopause and completed tests assessing their current cognition and behaviour.

    Among the participants, 74.3 per cent experienced perimenopausal symptoms — an average four symptoms per person — with hot flashes (88 per cent) and night sweats (70 per cent) being most common.

    Menopause symptoms may signal underlying brain changes linked to dementia risk.
    (Shutterstock)

    Our findings revealed that experiencing more symptoms during perimenopause was associated with greater cognitive and behavioural changes later in life, suggesting the burden of perimenopausal symptoms not only affected immediate well-being, but could also signal long-term brain health risks.

    While the underlying mechanisms remain unclear, these findings highlight the importance of recognizing menopausal symptoms as potential early indicators of future brain health.

    Interestingly, participants who used estrogen-based hormone therapies for perimenopausal symptoms showed fewer behavioural changes than non-users, suggesting a possible role for estrogen in dementia risk reduction. However, further research is critical to clarify the timing and long-term effects of hormone therapy.

    It’s important to understand that these findings show a relationship between symptom burden and later brain health, but do not prove that one causes the other. We still need more research to understand why a connection exists and how it works.

    Menopause is more than a life transition; it may offer critical insights into long-term brain health.
    (FreePik)

    Why this research matters

    Our research highlights a crucial link: experiencing multiple perimenopausal symptoms may be related to cognitive and behavioural changes, which are early risk markers of dementia. Recognizing these symptoms as potential warning signs could help health care providers identify risks sooner and explore ways to protect brain health over time.

    Menopause is more than a life transition; it may offer critical insights into long-term brain health. Supporting research like CAN-PROTECT, which is still recruiting participants, can help us uncover how menopause experiences shape dementia risk, paving the way for earlier interventions and better outcomes.

    Zahinoor Ismail receives funding from Canadian Institutes of Health Research.

    Jasper Crockford and Maryam Ghahremani do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. Menopause symptoms may be critical to understanding Alzheimer’s disease risk in women – https://theconversation.com/menopause-symptoms-may-be-critical-to-understanding-alzheimers-disease-risk-in-women-253216

    MIL OSI – Global Reports

  • MIL-OSI Global: Lessons from the fashion industry: Why some DEI efforts fail to resonate with consumers

    Source: The Conversation – Canada – By Jordan Foster, Postdoctoral Research Fellow, Sociology, McMaster University

    United States President Donald Trump and his administration have set their sights on the “tyranny of so-called diversity, equity and inclusion policies,” firing federal staff and purging public institutions like the Smithsonian of their commitments to racial history.

    Although many of Trump’s executive orders have focused on the federal government, some firms and private businesses have followed suit, rolling back their own commitments to DEI. For example, META and Amazon cut back their DEI efforts while some major retailers have severed ties with Black-owned businesses.

    Figures located within the fashion and beauty industry have also floundered in their commitments to DEI, investing in brief and uneven surges in racial representation on the runway and the inclusion of older models, trans models and models with disabilities.

    Industry leaders like Teen Vogue positioned models with disabilities on its cover, while brands like Aerie and Victoria Secret invested in more varied representations of beauty in their advertisements. Others however, took steps forward, then back.

    In 2021, we wrote about Victoria’s Secret’s efforts, arguing that the brand had learned that diversity sells. At the time, we noted how brands were encouraging one another to join the “inclusion revolution” — a movement Victoria’s Secret abandoned soon after.

    Had we got it wrong? We weren’t the only ones with questions.

    Backtracking on DEI?

    In 2023, British columnist Barbara Ellen noted: “For some gloaters, this is confirmation of ‘go woke, go broke,’ but the truth could be more complicated.” She went on to ask: “Is it really wokery that has scuppered Victoria’s Secret’s empowerment reboot, or is this more a corporate cautionary tale about the perils of ‘faking it?’”

    That same year, Vogue reported on the myriad ways “fashion backtracked on diversity,” drawing attention to “growing fatigue” surrounding DEI initiatives and what many perceived as insincere and performative gestures made in the name of diversity and inclusion.

    Since then, some within the fashion and beauty landscape have held firm to their commitments, while others have reneged on their promise to reflect on and represent consumer diversity. Why?

    In our ongoing work examining the rise (and fall?) of DEI in fashion and beauty, we’ve collected survey data from those who work inside the industry as well as everyday consumers.

    In looking at our data, we’ve found that certainly, some consumers do not support DEI efforts. These tend to be people who generally express attitudes aligned with those of the current U.S government.

    But we also found many more individuals who broadly like the idea of increased diversity in fashion and beauty. Sure, they expressed their fair share of skepticism toward brands that are overly “performative” in their demonstrations, but most want to see diverse figures and faces who look like them.

    Some brands may abandon DEI efforts, but we venture to guess that more brands will either continue on and stay quiet about their efforts for now, or reimagine their campaigns in the months and years to come.

    What could these campaigns look like? And what can brands do to insulate their efforts from attack?

    Capturing diversity and inclusion

    In our recently published study, we discuss the challenges that accompany DEI within the beauty industry, particularly focusing on how DEI efforts are evolving amid longstanding barriers.

    We focused on the beauty brands Benefit Cosmetics, Sephora and Dove, which have all made strides by featuring models with disabilities, racialized models and fuller-figured models in their online campaigns.

    While these advertising campaigns had their merits, we also noticed a significant under-representation of some forms of diversity in advertisements and campaign images. For example, models above the age of 55 and models with a visible disability were almost completely absent from representations of beauty online.

    Additionally, images were often altered to remove visible differences around race and disability or they were featured in ways that minimized markers of difference. This editing tends to hide what makes these individuals unique — the aspects of their appearance that may challenge society’s standard views of beauty.




    Read more:
    Fake models for fast fashion? What AI clones mean for our jobs — and our identities


    Savvy consumers are well-attuned to and perceptive of what they view in both traditional and online media, often questioning whether a brand’s DEI efforts are meaningful or purely profit-driven. They ask, for example, whether brands are simply capitalizing on current societal trends and critique companies they feel do not go far enough in promoting real inclusivity.

    The brands that do invest in what appear to be sincere and authentic strives toward diversity and inclusivity see returns, outperforming their market competitors while courting new consumers. Those who divest from DEI efforts, or act uncritically, risk losing their market share.

    What next?

    What can fashion and beauty brands do in response? For one, they can invest in sustained and consistent efforts to showcase diversity and inclusion. They can recruit models who embody differences across a range of markers and characteristics, and they can spend less time editing and “perfecting” the figures and faces they select from.

    Yet, diversity and inclusion needs to move beyond representation and toward more varied product formulations, shade ranges and accessible beauty tools.

    While there may be folks who continue to be critical of DEI campaigns because they think brands bought into being “woke” (and now are paying a price for it), many more are eager for greater and better representation.

    Consumers remain critical of insincere or superficial efforts, asking for real engagement with matters of diversity and inclusion. This includes representations that break the mould and push the boundaries surrounding who is (and isn’t) considered beautiful.

    This also means that if we want to know about why diversity and inclusion “fails,” we can’t just focus on those who are “anti-woke” nor should we focus solely on Trump’s politics.

    To safeguard against retrenchment, we need to understand why diversity and inclusion campaigns cease to resonate with those consumers who support DEI. Without their support, inclusion and diversity efforts lose legitimacy making them more susceptible to reversal.

    The authors do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. Lessons from the fashion industry: Why some DEI efforts fail to resonate with consumers – https://theconversation.com/lessons-from-the-fashion-industry-why-some-dei-efforts-fail-to-resonate-with-consumers-255091

    MIL OSI – Global Reports

  • MIL-OSI Global: Mark Carney wants to make Canada an energy superpower — but what will be sacrificed for that goal?

    Source: The Conversation – Canada – By Leah Levac, Associate Professor of Community Engagement and Political Science, University of Guelph

    Canada’s recent federal election was regularly dubbed one of the most consequential of the last 50 years. Economic and sovereignty threats from United States President Donald Trump were key issues in the campaign. In response, pledges about energy infrastructure and resource development played an important role in party platforms.

    We have been studying impact assessments, the uneven consequences of resource development and sustainable energy transitions for over 15 years. We’re concerned about what and who may be overlooked as the government moves to become “an energy superpower,” in part by getting projects “done faster and better.”

    We’re also interested in how the newly elected Liberal government can support more just energy transitions — that is, moving toward low carbon energy and economies that prioritize equity for workers and communities.




    Read more:
    How to ensure Alberta’s oil and gas workers have jobs during the energy transition


    Challenges with Liberal promises

    The Liberal Party platform includes renewed attention to an east-west energy corridor. It also promises to speed up and streamline the review of major resource projects and “get big projects built quickly” by “shifting the focus of project review from ‘why’ to ‘how.’”

    The platform also promises more support for Indigenous participation in major projects and commits to using Gender-Based Analysis Plus — or GBA Plus — in policies and programs. GBA Plus is a method for assessing how diverse groups of people experience policies, programs and initiatives.

    Through our research, we have advocated strongly for applying GBA Plus in the resource sector, including by centring community knowledge in impact assessments and proposing strategies for improving how Indigenous women’s experiences and knowledge are considered in impact assessments.

    Over the last year, we also produced — along with our colleague Deborah Stienstra — two major research reports for the Impact Assessment Agency of Canada. Both were on the application of GBA Plus in regional assessments for offshore wind in Nova Scotia and Newfoundland and Labrador.

    Regional assessments are a planning tool used before specific projects are proposed. They help identify important issues to consider if specific project assessments — for instance, for critical mineral mines, offshore wind projects or other resource developments — are conducted. If done well, regional assessments can help with more equitable and efficient project planning and development in the long run.

    What do the findings from our work in this area suggest in terms of how the Liberal government should proceed with its energy vision?

    Duty to consult

    The 2019 Impact Assessment Act requires meaningful execution of the duty to consult with Indigenous people affected by a major economic development.

    The Liberal Party made important promises to advance Indigenous participation in major projects and to double capacity support so more Indigenous communities can take an active role in project decisions at various stages.

    But what the Liberal platform overlooks is Indigenous Peoples’ right to resist and refuse developments in their territories, or how specifically to ensure that Indigenous women and gender-diverse people are meaningfully engaged.

    Moving forward, the Liberals must meet their constitutional duty to consult with Indigenous Peoples, while being guided by the United Nations’ principle of free, prior and informed consent per legislation that confirms Canada’s commitment to the UN’s Declaration on the Rights of Indigenous Peoples.

    GBA Plus

    During the campaign, the Liberal Party reiterated its support for GBA Plus by listing it as one of six key themes in its Make Canada Strong vision.

    The Liberals seemingly recognize that GBA Plus is an important tool for advancing equity for women, gender-diverse people, people with disabilities and racialized people by:

    “Identifying direct and indirect benefits of programs (e.g. job opportunities, access to programs and services) … and considering how these benefits will be distributed across diverse groups.”

    The Liberal platform does not explicitly raise GBA Plus in relation to becoming an “energy superpower.” But GBA Plus has been gaining attention in the resource sector — particularly in relation to the development of specific projects — since the requirement to consider “the intersection of sex and gender with other identity factors” was included in the 2019 Impact Assessment Act.

    GBA Plus needs to be applied in project-specific assessments (for specific developments, such as mines and hydroelectric dams) and in planning assessments (like regional assessments).

    In our work on the regional assessments for offshore wind in Nova Scotia and Newfoundland and Labrador, we demonstrate the value of applying GBA Plus throughout all impact assessment processes.

    Doing so helps strengthen community engagement efforts, identify potential effects early, determine the data sources required for monitoring those effects, fill data gaps and highlight barriers that prevent diverse groups of people from benefiting from energy projects.

    For example, without adequate child-care options, many women cannot access the high-paying jobs that sometimes accompany resource projects. The Liberal government’s support for GBA Plus must therefore be explicitly incorporated into its energy proposals.

    What and who is lost with fast tracking

    A just energy transition is one concerned not only with planetary survival, but also with the effects of the transition on people who will be most affected.

    The Liberal party’s vision for becoming an energy superpower includes “conventional energy resources” (like oil) as well as clean and renewable energy (like solar and hydro) and critical minerals needed to support decarbonization and energy transitions.

    We disagree with the Liberal Party’s commitment to “shifting the focus of project review from ‘why’ to ‘how.’”

    We need to ask how — and even whether — an energy project contributes to a just transition. Answering questions about whether projects will meet climate commitments and help advance equity for workers and communities is critical. These questions are best asked early, during planning phases and as part of regional assessments, before specific projects are proposed.

    The duty to consult, GBA Plus and just energy transitions are interconnected and necessary commitments for sustainable energy production.

    Together, they can contribute to a relationship with Indigenous Peoples that recognizes their sovereignty and to a more equitable and sustainable future. But these commitments cannot be meaningfully realized when fast-tracking development, because they require time and relationship-building.

    Prioritizing fast-tracking — thereby falling short on these priorities and legal commitments — will backfire. It will lead to delays rather than more efficient processes, and will worsen existing inequities.

    Leah Levac receives funding from the Social Sciences and Humanities Research Council. She does research on behalf of the Canadian Research Institute for the Advancement of Women, which receives funding from the the Impact Assessment Agency of Canada, other federal departments (e.g., WAGE) and non-government organizations for work related to advancing GBA Plus practice in impact assessments and elsewhere.

    Jane Stinson is affiliated with the Canadian Research Institute for the Advancement of Women, which receives funding from the Impact Assessment Agency of Canada, other federal departments (eg. WAGE) and non-government organizations for work related to advancing GBA Plus practice in impact assessments and elsewhere.

    Leah M. Fusco receives funding from the Social Sciences and Humanities Research Council. She does research on behalf of the Canadian Research Institute for the Advancement of Women, which receives funding from the the Impact Assessment Agency of Canada, other federal departments (e.g., WAGE), and non-government organizations for work related to advancing GBA Plus practice in impact assessments and elsewhere.

    ref. Mark Carney wants to make Canada an energy superpower — but what will be sacrificed for that goal? – https://theconversation.com/mark-carney-wants-to-make-canada-an-energy-superpower-but-what-will-be-sacrificed-for-that-goal-255079

    MIL OSI – Global Reports

  • MIL-OSI Global: A pope of the Americas: What Francis meant to 2 continents

    Source: The Conversation – USA – By Neomi De Anda, Associate Professor of Religious Studies, University of Dayton

    A portrait of Pope Francis is projected onto a water fountain in Lima, Peru, on April 21, 2025. AP Photo/Martin Mejia

    Most stories about Pope Francis mention that he made history as the first pontiff from Latin America. In fact, Francis was the first pope in centuries to be born outside Europe. But what impact did that actually have on the Catholic Church? The Conversation U.S. asked Neomi De Anda, a theologian at the University of Dayton, to explain the significance of having a pope from the Southern Hemisphere.

    Where do you see the influence of Pope Francis’ Latin American background?

    In reality, Francis is not only the first Latin American pope; he’s the first American pope. Francis is Argentine, the child and grandchild of Italian immigrants, and the first to be born in “América.” Though geography divides it into two continents, North and South, it is one land – one many Indigenous communities call “Turtle Island” or “Abya Yala.”

    In the pope’s 2024 video message to the Academy of Catholic Hispanic Theologians of the United States, he called upon them “to be bridge-builders between the Americas” and to be a church that “welcomes, accompanies, and integrates” migrants. Speaking in Spanish, he invited the academy “to do theology with your head, your hearts, and your hands” and to integrate “the richness of both cultures, North and South, at the service of a dignified life.”

    Pope Francis arrives for a massive open-air Mass in a park just a few yards from the U.S. border in Ciudad Juarez, Mexico, on Feb. 17, 2016.
    AP Photo/Dario Lopez-Mills

    This message emphasizes Francis’ view of “synodality” – meaning a church that walks together – and his understanding of the connection among all people in the Americas and the Caribbean. It also shows a recurring theme of his papacy: the connections between pastoral care and theology.

    The greeting also highlights his desire for all to have a life of well-being, or “buen vivir,” through God’s love. As Jesus says in the Gospel of John, “I came so that they may have life and have it more abundantly.” This is also a key theme in a 2007 document produced after a meeting of Latin American bishops, known as Aparecida. Francis, then a cardinal, was a primary drafter.

    Aparecida points out Latin America’s abundance of aquifers and forest lands, which are “humanity’s lungs.” It laments economic factors leading to environmental destruction and climate change – themes that would prove important to Francis’ papacy. The document stresses God’s care for people whose lands are being pillaged and who are forced to migrate. It claims “nothing and no one” can take away the strength, joy and peace God gives to the world’s most vulnerable.

    Francis repeatedly acknowledged the Catholic Church’s role in crimes against Indigenous people, and he apologized. How did ideas about colonialism shape his papacy?

    Francis spent much time and attention learning more about the experiences of Native communities: from his visit to Chiapas, Mexico, in 2016; to the Amazon Synod, a meeting of Catholic bishops from the Pan-Amazon Region, Indigenous leaders from this region, theologians and other subject matter experts in 2019; to his tour across Canada in 2022.

    After the synod, Francis released a letter titled Querida Amazonia, which includes a call for Catholic leaders to learn more about the lives of Native peoples from across the nine countries of the Amazon.

    During the papal Mass Francis celebrated in Chiapas, Mexico, in 2016, you can see the deep intermixing of local cultures and customs with the liturgy. For example, women spread incense across the altar using clay vessels, alongside deacons using a thurible, the metal burner typically used in services. Animal images at the front of the platform represented the integration of all of creation.

    Pope Francis delivers his message during Mass in San Cristobal de las Casas, Chiapas, Mexico, on Feb. 15, 2016.
    AP Photo/Gregorio Borgia

    Throughout his trip to Canada in 2022 – whose purpose, in part, was to apologize for the Catholic Church’s role in the Indigenous boarding school system – Francis presented a disposition of listening and care. He spent more time meeting with people and hearing about their experiences than giving prepared speeches on the perspective of the church.

    For First Nations peoples, the pope’s visit was an opportunity for reconciliation – but for some, it also reopened old wounds. One of their requests was that the church reject the Doctrine of Discovery: ideas about conversion to Christianity that colonial powers used to justify abuses.

    Talking to reporters on the plane returning to Rome, Francis named what had been done to Indigenous children in boarding schools as “genocide.” The following year, the Vatican released a repudiation of the Doctrine of Discovery and documents associated with those ideas.

    Are there other ways that the pope did – or didn’t – make the church feel more inclusive?

    Francis’ papacy did less to change teachings on another topic shaped by colonialism: gender, sexuality and women. The Catholic Church maintains that there are two genders – male and female – which complement each other, a binary system that replaced more flexible ways of thinking about gender in some cultures.

    Members of a delegation of Indigenous peoples in Quebec await a meeting with Pope Francis on July 29, 2022.
    Ciro Fusco/Pool ANSA via AP

    The question of whether to ordain women as deacons arose from the Amazon Synod and continued at the church’s global Synod on Synodality, but without resolution.

    An emphasis on women’s role as child-bearers is embedded in the theological understanding of Mary as mother of Christ and the mother of the church. Whether intentionally or not, however, I would argue Francis laid groundwork for teaching about women and gender to expand.

    Appointments of women to high Vatican positions point to small shifts in practice. The presence of trans people among the last people who paid respects to Francis at his funeral marks a sign of possibilities that hopefully will continue.

    Although of “the church” might make us think of clergy, all who are baptized are the church. Around the world, Catholic communities have developed in many ways, with multiple forms of leadership – especially women lay leaders. The Vatican needs to continue to affirm that reality.

    The Catholic Church understands diversity as a gift of the Holy Spirit. My hope is for someone to continue in Francis’ vein of appreciating that pluralism.

    Neomi De Anda consults for the Louisville Institute, funded by Lily Endowment Inc. She receives funding from the Wabash Center for Teaching and Learning in Religion and Theology. She is a past president of the Academy of Catholic Hispanic Theologians of the United States and is affiliated with the Marianist Social Justice Collaborative.

    ref. A pope of the Americas: What Francis meant to 2 continents – https://theconversation.com/a-pope-of-the-americas-what-francis-meant-to-2-continents-255093

    MIL OSI – Global Reports

  • MIL-OSI Global: Pope Francis encouraged Christian-Muslim dialogue and helped break down stereotypes

    Source: The Conversation – USA – By Craig Considine, Senior Lecturer in Sociology, Rice University

    Tributes being paid to Pope Francis at the Sacred Heart Cathedral Church in Lahore, Pakistan, on April 22, 2025. AP Photo/K.M. Chaudary

    Pope Francis’ pontificate marked a distinct shift in the Catholic Church’s engagement with the Muslim world. While his predecessors fostered dialogue and tolerance, Francis sought more active engagement with Muslims, particularly in the Middle East.

    Francis framed his efforts around the “culture of encounter,” which he explained in a 2016 morning meditation. Drawing inspiration from the Gospel of Luke, Chapter 7, he noted that this approach was about “active engagement” rather than passive observation. He urged individuals to embody Jesus by “not just seeing, but looking; not just hearing, but listening; not just passing people by, but stopping with them.”

    In my 2025 book “Beyond Dialogue – Building Bonds Between Christians and Muslims,” I stress the importance of moving beyond mere tolerance to collaboration as a way to engage with religious diversity − something that Francis demonstrated in his interfaith dialogue efforts with Muslim countries.

    Francis in Iraq after IS destruction

    In 2021, Francis visited regions in Iraq once held by the Islamic State, or IS. This was the first papal visit to the country. He held masses in Irbil, the capital of the Kurdistan region of Iraq, and he addressed a gathering in the courtyard of the Al-Tahera church, the hub of the Syriac Catholic population in Mosul. The historic 18th-century church was partially destroyed by IS during its occupation of the city from 2014 to 2017. An estimated 5,000 Christians were killed and some 125,000 displaced in Iraq during that time.

    Iraqis put up a poster with Pope Francis and Grand Ayatollah Ali al-Sistani, the leader of Iraqi Shiite Muslims, in Najaf, Iraq, on March 4, 2021.
    AP Photo/Anmar Khalil

    At Church Square in Mosul, where there are four churches, Francis prayed for the victims of the conflict and called for harmonious coexistence between Christians and Muslims. He also invited displaced Christians to return to their homes and praised the young Iraqi volunteers – both Christians and Muslims – working side by side to rebuild the churches and mosques destroyed by IS.

    In addition, he convened an interreligious gathering in Ur, the birthplace of Abraham, a prophet revered by Jews, Christians and Muslims.

    His actions not only brought together Christians and Muslims but also helped break down stereotypes.

    The year of tolerance

    In 2019 he visited the United Arab Emirates, marking the first papal visit to the Arabian Peninsula, the birthplace of Islam. The visit coincided with the Emirati government proclaiming 2019 the Year of Tolerance, promoting coexistence, diversity and respect.

    During his visit in Abu Dhabi in 2019, Francis celebrated a historic Catholic Mass in Zayed Sports City, drawing 180,000 attendees from over 100 countries, for which the UAE government declared a special holiday.

    This unprecedented event challenged negative Western stereotypes about the Arabian Peninsula’s religious intolerance. The UAE Constitution, for example, guarantees religious freedom to all people, albeit with restrictions on proselytization among non-Islamic communities. It also offered a counternarrative of unity between Christians and Muslims in a region often viewed through a lens of religious strife and war.

    Francis’ visit to the UAE also culminated in some crucial interfaith initiatives. In Abu Dhabi, Francis and the Grand Imam of Al-Azhar University, Ahmed El-Tayeb, cosigned the document on Human Fraternity for World Peace and Living Together. The document stresses the need to work together to promote a “culture of reciprocal respect.” While the Emirati president, Sheikh Mohammed bin Zayed Al Nahyan, did not directly sign the document, he supported the interfaith initiatives that followed Francis’ trip.

    This document led to the setting up of the Higher Committee of Human Fraternity, a collaborative project of a diverse groups of academic, cultural and religious leaders and entities from around the world. The committee created the Human Fraternity Education and Leadership for Peace program, a global youth movement. It also worked with the United Nations General Assembly to designate Feb. 4 as the International Day of Human Fraternity.

    The Higher Committee of Human Fraternity also guided the construction of the Abrahamic Family House in Abu Dhabi, a shared space for a church, mosque and synagogue that opened in 2023.

    I had the opportunity to attend the opening ceremony of the Abrahamic Family House in 2023. It was a memorable experience. A Christian girl, a Muslim boy and Jewish boy each brought a cube representing each house of worship to the center platform of the forum and placed them side by side on the ground. The simple act mirrored the architectural design of the Abrahamic Family House by bringing the abstract concept of interfaith harmony to life in a concrete and relatable way. The Emirati youth provided a glimpse into what a tolerant future could look like.

    History of Catholic-Muslim relations

    The closest historical comparison to the Document on Human Fraternity is the Nostra Aetate, a declaration from the Second Vatican Council of 1965, when major reforms were initiated in the Catholic Church.

    Nostra Aetate marked a turning point in the Catholic Church’s relations with Islam and all non-Christian traditions. After a history of conflict, limited positive engagement and mutual suspicion, it emphasized harmony, dialogue and respect with Islam.

    However, the Document on Human Fraternity went further. For starters, it was a joint declaration with prominent Muslim leaders, signifying a deeper commitment to Christian-Muslim partnership, whereas Nostra Aetate was an internal Catholic document. The document called for grassroot activities, pointing to a more action-oriented approach to Christian and Muslim relations. Given that it was signed by the pope, it held influence within the Vatican leadership and among liberal cardinals. Its core principles are being integrated into pastoral initiatives and interreligious dialogue at the national and international levels.

    Francis’ approach to Christian-Muslim dialogue differed notably from his predecessors. While Pope John Paul II focused on intellectual exchange and theological dialogue, Francis emphasized that they were insufficient on their own. In turn, he prioritized direct action and personal engagement with others as a means to a deeper understanding of the other.

    Pope Benedict XVI, despite his commitment to dialogue, faced challenges due to remarks that outraged Muslims worldwide. During his Regensburg address in 2006, he mentioned a medieval dialogue attributed to Manuel II Palaiologus, the Byzantine emperor who reigned from 1391 to 1425, a period of growing power of the Ottoman Empire. Manuel II had criticized the concept of jihad in Islam and referred to Muhammad, the prophet of Islam, as “evil” and “inhuman.” While Benedict repeatedly emphasized that he was quoting Manuel II’s views on the relationship between faith and reason and not personally endorsing the emperor’s assessment of Islam, the pope’s comments were perceived as disrespectful toward the Islamic faith and its prophet.

    Upon Francis’ death, the president of the UAE – Sheikh Mohammed bin Zayed Al Nahyan – described him as “a symbol of human fraternity, cultural coexistence and interfaith dialogue,” adding that he inspired “future generations in upholding the values of tolerance and mutual understanding.”

    Francis’ gestures of solidarity, personal relationships and frequent visits to Muslim countries, I believe, laid a tangible foundation to move beyond dialogue and toward human fraternity.

    Craig Considine 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. Pope Francis encouraged Christian-Muslim dialogue and helped break down stereotypes – https://theconversation.com/pope-francis-encouraged-christian-muslim-dialogue-and-helped-break-down-stereotypes-255193

    MIL OSI – Global Reports

  • MIL-OSI Global: National security advisers manage decision-making as advocates or honest brokers

    Source: The Conversation – USA – By Gregory F. Treverton, Professor of Practice in International Relations, USC Dornsife College of Letters, Arts and Sciences

    Mike Waltz speaks with reporters in the press room at the White House on Feb. 20, 2025. AP Photo/Alex Brandon

    The removal of Mike Waltz as President Donald Trump’s national security adviser – formally the assistant to the president for national security affairs – raises the question of just what that position entails and also what it means that Marco Rubio will now act as secretary of state and national security adviser.

    The National Security Act of 1947 created the National Security Council to advise the president on matters of national security. It’s also tasked with integrating domestic, foreign and military policies.

    But the national security adviser position is neither enshrined in law nor accountable to Congress.

    I’m an economist and international relations scholar who has worked with three national security advisers − Zbigniew Brzezinski, Samuel “Sandy” Berger and Susan Rice.

    I’ve seen the job up close. The core of the national security adviser’s role is managing the national security decision-making process, as decisions on issues from Ukraine to Gaza to nuclear proliferation are made. It’s a coordinating role.

    Honest broker

    National security advisers set the timing and flow of policy analysis and recommendations to the National Security Council committees − first, the principals committee, which brings together the Cabinet secretaries with national security responsibilities from the State Department, Department of Defense, the CIA and others.

    While the principals committee typically rarely meets and virtually never with the president in the chair, not so the deputies committee. That committee brings together the Nos. 2 and 3 in the same departments.

    In my most recent stint in Washington as chair of the National Intelligence Council in the Obama administration, the deputies committee met almost every day, sometimes more than once. Its formal role is to tee up issues for decision by the principals and the president.

    National security advisers have the advantage of proximity to the president, with an office footsteps from the Oval, as it is known in Washington lingo. They also manage a relatively lean staff.

    In my time on the National Security Council staff in the Carter administration, it was perhaps 150 all told, including the watch officers in the White House Situation Room. In the Biden administration it was on the order of 350 staff.

    For us National Security Council staffers, if we disagreed with our counterparts at the State Department or the Defense Department, we could let the principals decide. We knew that we could get to Brzezinski faster, for example, than they could get to their Cabinet secretaries.

    National security adviser Susan Rice walks with Fang Changlong, vice chairman of the Central Military Commission, in Beijing, in September 2014.
    AP Photo/Wang Zhao

    In Washington, proximity is opportunity. And, not surprisingly, national security advisers since McGeorge Bundy in the John F. Kennedy and Lyndon B. Johnson administrations have become central figures in the foreign policy arena. The have had to manage the balance between seeking to influence the president and remaining an honest broker.

    As Berger put it, “You have to be perceived by your colleagues as an honest representative of their viewpoint, or the system breaks down.”

    Managing the tension

    National security advisers have managed the tension in their roles in different ways. And two models of those roles have emerged.

    Henry Kissinger, who served Presidents Richard Nixon and Gerald Ford, was a powerful strategist driving presidential policy, often bypassing traditional channels. He, like Secretary of State Marco Rubio will do, served a dual role from 1973 to 1975 as national security adviser and secretary of state. Condoleezza Rice, the national security adviser who served George W. Bush, also later became secretary of state.

    Brent Scowcroft, who served both Ford and President George H. W. Bush, is the exemplar of the other model − an “honest broker” ensuring a fair, collegial policy process. He was the consummate insider: low-key, meticulous about process and influencing through quiet proximity. The Bush administration he served was also, as described by a friend, as collegial as the men’s locker room of an upscale country club. Still, while I never had the chance to work with him, he is my standard for the role of national security adviser.

    Waltz served too briefly to evaluate his record. It’s ironic that what seems to have done him in was the Signalgate scandal, in which Waltz added a journalist to a Signal group chat in which government officials discussed details about a planned U.S. military strike in Yemen.

    That was an example of Waltz’s coordinating role, bringing most of the relevant policy officials together to discuss an important issue. The purpose was right, but the means was extremely unwise.

    Henry Kissinger shakes hands with Chinese Premier Chou En-lai in Peking, China, in July 1971.
    AP Photo/White House

    Learning from the past

    Historically, the worst crisis of the National Security Council system ensued when it sought to conduct operations, not just organize them. That was the case in the Iran-Contra affair of the Reagan administration.

    Robert McFarlane took over as national security adviser in October 1983. A former Marine officer and deputy national security adviser, he was conscientious to a fault: In one meeting while he was consulting during the transition from President George H. W. Bush to President Bill Clinton, we asked him about work hours. He replied: “They’re not bad. I’m out of here by eight most nights, earlier on Sunday.”

    He was done in by Iran-Contra, a clandestine effort run by the National Security Council to trade arms to Iran − then under a U.S. arms embargo − in hopes of freeing American hostages, with proceeds diverted to fund the Nicaraguan Contras, despite a congressional ban on funding them. He pleaded guilty in 1988 to withholding information from Congress.

    It’s a telling lesson for Rubio and other Waltz successors as the national security adviser of the dangers of moving from honest broker and quiet advocate to operator − especially if the operation is contrary to public U.S. policy and perhaps against the law.

    This story is part of a series of profiles of Cabinet and high-level administration positions.

    Gregory F. Treverton 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. National security advisers manage decision-making as advocates or honest brokers – https://theconversation.com/national-security-advisers-manage-decision-making-as-advocates-or-honest-brokers-255760

    MIL OSI – Global Reports

  • MIL-OSI Global: Worsening allergies aren’t your imagination − windy days create the perfect pollen storm

    Source: The Conversation – USA – By Christine Cairns Fortuin, Assistant Professor of Forestry, Mississippi State University

    Windy days can mean more pollen and more sneezing. mladenbalinovac/E+ via Getty Images

    Evolution has fostered many reproductive strategies across the spectrum of life. From dandelions to giraffes, nature finds a way.

    One of those ways creates quite a bit of suffering for humans: pollen, the infamous male gametophyte of the plant kingdom.

    In the Southeastern U.S., where I live, you know it’s spring when your car has turned yellow and pollen blankets your patio furniture and anything else left outside. Suddenly there are long lines at every car wash in town.

    On heavy pollen days, cars can end up covered in yellow grains.
    Scott Akerman/Flickr, CC BY

    Even people who aren’t allergic to pollen – clearly an advantage for a pollination ecologist like me – can experience sneezing and watery eyes during the release of tree pollen each spring. Enough particulate matter in the air will irritate just about anyone, even if your immune system does not launch an all-out attack.

    So, why is there so much pollen? And why does it seem to be getting worse?

    2 ways trees spread their pollen

    Trees don’t have an easy time in the reproductive game. As a tree, you have two options to disperse your pollen.

    Option 1: Employ an agent, such as a butterfly or bee, that can carry your pollen to another plant of the same species.

    The downside of this option is that you must invest in a showy flower display and a sweet scent to advertise yourself, and sugary nectar to pay your agent for its services.

    A bee enjoys pollen from a cherry blossom. Pollen is a primary source of protein for bees.
    Ivan Radic/Flickr, CC BY

    Option 2, the budget option, is much less precise: Get a free ride on the wind.

    Wind was the original pollinator, evolving long before animal-mediated pollination. Wind doesn’t require a showy flower nor a nectar reward. What it does require for pollination to succeed is ample amounts of lightweight, small-diameter pollen.

    Why wind-blown pollen makes allergies worse

    Wind is not an efficient pollinator, however. The probability of one pollen grain landing in the right location – the stigma or ovule of another plant of the same species – is infinitesimally small.

    Therefore, wind-pollinated trees must compensate for this inefficiency by producing copious amounts of pollen, and it must be light enough to be carried.

    For allergy sufferers, that can mean air filled with microscopic pollen grains that can get into your eyes, throat and lungs, sneak in through window screens and convince your immune system that you’ve inhaled a dangerous intruder.

    When wind blows the tiny pollen grains of live oaks, allergy sufferers feel it.
    Charles Willgren/Flickr, CC BY

    Plants relying on animal-mediated pollination, by contrast, can produce heavier and stickier pollen to adhere to the body of an insect. So don’t blame the bees for your allergies – it’s really the wind.

    Climate change has a role here, too

    Plants initiate pollen release based on a few factors, including temperature and light cues. Many of our temperate tree species respond to cues that signal the beginning of spring, including warmer temperatures.

    Studies have found that pollen seasons have intensified in the past three decades as the climate has warmed. One study that examined 60 location across North America found pollen seasons expanded by an average of 20 days from 1990 to 2018 and pollen concentrations increased by 21%.

    That’s not all. Increasing carbon dioxide levels may also be driving increases in the quantity of tree pollen produced.

    Why the Southeast gets socked

    What could make this pollen boost even worse?

    For the Southeastern U.S. in particular, strong windstorms are becoming more common and more intense − and not just hurricanes.

    Anyone who has lived in the Southeast for the past couple of decades has likely noticed this. The region has more tornado warnings, more severe thunderstorms, more power outages. This is especially true in the mid-South, from Mississippi to Alabama.

    Severity of wind and storm events mapped from NOAA data, 2012-2019, shows high activity over Mississippi and Alabama. Red areas have the most severe events.
    Christine Cairns Fortuin

    Since wind is the vector of airborne pollen, windier conditions can also make allergies worse. Pollen remains airborne for longer on windy days, and it travels farther.

    To make matters worse, increasing storm activity may be doing more than just transporting pollen. Storms can also break apart pollen grains, creating smaller particles that can penetrate deeper into the lungs.

    Many allergy sufferers may notice worsening allergies during storms.

    The peak of spring wind and storm season tends to correspond to the timing of the release of tree pollen that blankets our world in yellow. The effects of climate change, including longer pollen seasons and more pollen released, and corresponding shifts in windy days and storm severity are helping to create the perfect pollen storm.

    Christine Cairns Fortuin receives funding from U.S. Forest Service, Southern Research Station.

    ref. Worsening allergies aren’t your imagination − windy days create the perfect pollen storm – https://theconversation.com/worsening-allergies-arent-your-imagination-windy-days-create-the-perfect-pollen-storm-254645

    MIL OSI – Global Reports

  • MIL-OSI Global: Philly’s forgotten history as a hub of anarchism with a thriving radical Yiddish press

    Source: The Conversation – USA – By Geoffrey Baym, Professor of Media Studies and Production, Temple University

    The first edition of Bread and Freedom came out on Nov. 11, 1906. From the collection of the National Library of Israel, courtesy of Broyt un Frayheyt (Bread and Freedom)

    On a late summer day in 1906, a small group of newly arrived Jewish immigrants in Philadelphia took a streetcar across town to Fairmount Park. Several miles from the cramped row houses and oppressive sweatshops of the immigrant quarter of South Philly, the neighborhood now known as Queen Village, they enjoyed a sunny picnic.

    They weren’t there to make small talk, though.

    Instead, they wanted to write “revolutionary articles” that would spark the “struggle against all that degrades and oppresses humanity,” as one of the leaders of the group, Joseph Cohen, later wrote in his 1945 memoir.

    More specifically, the picnicgoers wanted to start a newspaper. It would be titled Broyt un Frayheyt – Yiddish for Bread and Freedom – the anarchist reminder that to live the good life, one needs both.

    I’m a professor of media and politics at Temple University in Philadelphia. For the past year I’ve been tracking the life and times of my great-grandfather Max, a radical Yiddish journalist in the early years of the 20th century.

    To my surprise, I found he had lived here in Philadelphia, and his story is part of a largely forgotten moment in U.S. history: when Philly was an epicenter of the national anarchist movement, heartily supported by the city’s burgeoning Jewish immigrant community.

    Beyond the Russian pale

    By 1906, thousands of people like Max had made their way to Philadelphia from the Russian “pale” – the only part of the Russian Empire where they could legally reside. They fled economic isolation and state-sanctioned persecution in search of a more stable life.

    South Philly was better than where they had come from, but immigrant life then, as now, was by no means easy. They had escaped a legal regime of oppression and the perpetual threat of antisemitic mob violence. But in turn they found a world of dark alleys and dead ends. Their labor was exploited, their living conditions meager.

    For some, the American promise of freedom and prosperity seemed to ring hollow.

    They did, however, find one freedom they had not experienced before. They were able to speak, write and publish their ideas no matter how outlandish or against the grain.

    And they could do so in Yiddish, the vernacular of daily life but a language of exile – one that in the old world had often been outlawed in print.

    The Yiddish press in the United States was experiencing extraordinary growth at the time. In New York, Philadelphia and other cities, newspapers quickly emerged – and often disappeared – month over month.

    Jewish anarchists in America

    Max moved to Philadelphia in 1906 to work with another immigrant named Joseph Cohen. Cohen had arrived in Philadelphia three years earlier. He earned a scant living making cigars, but his real work was advocating anarchism.

    At the dawn of the 20th century, anarchism was not the nihilistic chaos the term may bring to mind today. It was a heartfelt dream of a free and egalitarian society.

    The anarchists believed that man-made hierarchies – political, economic and religious – were illegitimate and limited the full expression of humanity. They rejected the authority of the state. That particularly appealed to many Jewish immigrants, for whom laws in the old country had long served as vehicles of oppression.

    Cohen had studied this philosophy of local autonomy and communal life with the Philadelphia activist Voltairine de Cleyre.

    History may remember Emma Goldman, a Lithuanian-born New Yorker and perhaps the leading voice of American anarchism from that era. But de Cleyre was the heart and soul of Philadelphia’s anarchist scene.

    Goldman once described de Cleyre as a “poet-rebel,” a “liberty-loving artist” and “the greatest woman anarchist of America.”

    Voltairine de Cleyre in Philadelphia circa 1901.
    Wikimedia Commons

    A tireless critic of the inequities of the industrial age, de Cleyre had taught herself Yiddish to better serve as “the apostle of anarchism” in the Jewish ghetto.

    While de Cleyre could often be found speaking in front of city hall, Max, Cohen and their colleagues were more likely to gather at the corner of Fifth and South streets, the hub of Philadelphia’s Yiddish press and its culture of rambunctious street debate.

    By 1906, Cohen had co-founded the anarchist Radical Library in the upstairs rooms at 229 Pine St. This provided the Philadelphia anarchists a meeting space and reading room.

    But “the Jewish newspaper men, the radicals and the tireless talkers,” as the Philadelphia historian Harry Boonin wrote, still congregated in the ramshackle cafes lining the 600 block of South Fifth, where they would argue over anarchism and atheism deep into the night.

    Competition with NYC comrades

    Cohen’s goal was to publish a nationally influential anarchist paper that would give voice to the “comrades from Philadelphia.”

    That meant direct competition with the New York Yiddish press and the influential weekly newspaper Freie Arbeiter Stimme, or The Free Voice of Labor. Edited by Saul Yanovksy on Manhattan’s Lower East Side, FAS was the center of the Jewish anarchist movement and of the Yiddish intelligentsia more broadly.

    “To be able to say ‘I have written for Yanovsky,’” wrote the sociologist Robert Park in 1922, “is a literary passport for a Yiddish writer.”

    Freie Arbeiter Stimme (The Free Voice of Labor) was the intellectual center of the Jewish anarchist movement at the turn of the 20th century.
    From the collection of the National Library of Israel, courtesy of Freie Arbeiter Stimme (The Free Voice of Labor)

    Although the FAS masthead said the paper was located in New York and Philadelphia, Yanovksy controlled the operation from New York, much to Cohen’s dismay.

    The Philadelphia anarchists were also routinely disappointed in Yanovsky’s politics. He was too moderate for their tastes. Yanovsky favored organizing labor and voting in elections, while the Bread and Freedom group, according to Cohen, wanted to cultivate “the militancy and fighting spirit which our young comrades brought with them from cold Russia.” They advocated for more aggressive measures to counter “the submissive indifference of the bourgeoisie and the slavish patience of the workers.”

    Cohen had partnered with Yanovsky earlier in 1906 to publish a daily anarchist newspaper. He maintained a small office in the back of Finkler’s cigar store at Fifth and Bainbridge streets. But the paper was printed in New York and delivered back to Philadelphia each morning by courier train.

    Cohen wrote in his memoir that he suspected Yanovsky intentionally sabotaged the effort by insisting that he personally write the daily editorial, but then turning in his copy too late for the paper to make the train. After two months the partnership, and the paper, fell apart.

    For Cohen, the lesson was that to be the genuine voice of the anarchist movement, he had to print the paper locally in Philadelphia.

    A digest of anarchist argument

    Editions of the Bread and Freedom anarchist weekly list the Radical Library at 229 Pine St. as its headquarters.
    From the collection of the National Library of Israel, courtesy of Bread and Freedom

    Bread and Freedom published its first issue on Nov. 11, 1906. The date was symbolic. It was the anniversary of the execution of the “Chicago martyrs” – the four men wrongly sentenced to death for the 1886 bombing at a labor rally at Chicago’s Haymarket Square. The Haymarket affair galvanized the anarchist movement among immigrants, even as it accelerated the wider fear of foreign-born radicalism.

    Over the next three months, the newspaper offered a weekly digest of anarchist arguments. It translated into Yiddish Voltairine de Cleyre’s critique of capitalism and what she called its “moral bankruptcy” – its hunger for wealth, power and material possessions. It attacked what de Cleyre called the “dominant idea” of the times – “the shameless, merciless” exploitation of the worker, “only to produce heaps and heaps of things – things ugly, things harmful, things useless, and at the best largely unnecessary.”

    In the strongest of terms – “bombastic,” in the words of one local historian – the paper echoed de Cleyre’s call for the “restless, active, rebel souls” of immigrant Philadelphia to rise up to oppose the “great and lamentable error” of industrial capitalism.

    Almost as soon as it began, however, Bread and Freedom ran out of money. Its rhetoric was exciting but ineffective. The paper offered no real solutions beyond an impossible demand to dismantle the capitalist state.

    Although two members of the group were briefly detained by the police in Baltimore for selling a radical newspaper, their fiery propaganda lit no revolutionary spark.

    Instead, it disappeared quietly, folding in January 1907.

    Shifting tactics

    Even then, a different kind of immigrant was arriving in the U.S. from Russia. Their radical politics were coupled with organizational acumen.

    Many of the older anarchists would join forces with these newcomers, and the effort morphed into something more pragmatic. They helped build the foundations of the 20th-century labor movement, which successfully fought for once-radical ideals such as the eight-hour workday and paid sick leave.

    Cohen moved to New York and took over as editor of FAS in 1923. That was a tense period for the Jewish left, following the Russian revolution of 1917 and the Communist rise to power. In response, the U.S. government suppressed domestic radicalism, arresting and at times deporting foreign-born leftists, and anarchism fell out of favor.

    A few years earlier, though, the streets of South Philly had been home to a vibrant space of free speech and boundless political imagination. It would not last long, but it is a moment I believe is worth remembering.

    Geoffrey Baym 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. Philly’s forgotten history as a hub of anarchism with a thriving radical Yiddish press – https://theconversation.com/phillys-forgotten-history-as-a-hub-of-anarchism-with-a-thriving-radical-yiddish-press-252869

    MIL OSI – Global Reports

  • MIL-OSI Global: Teachers and librarians are among those least likely to die by suicide − public health researchers offer insights on what this means for other professions

    Source: The Conversation – USA – By Jordan Batchelor, Research Analyst at the Center for Violence Prevention and Community Safety, Arizona State University

    One reason teachers have a low suicide rate may be that they find meaning in their jobs. Digital Vision/Getty Images

    Where you work affects your risk of dying by suicide. For example, loggers, musicians and workers in the oil and gas industries have much higher rates of suicide than the rest of the population.

    But on the flip side, some professions have very low rates of suicide. One of them is education. National and state data shows that educators in the U.S., including teachers, professors and librarians, are among the least likely to die by suicide.

    We’re a team of researchers at the Center for Violence Prevention and Community Safety at Arizona State University. We manage Arizona’s Violent Death Reporting System, part of a surveillance system sponsored by the Centers for Disease Control and Prevention with counterparts in all 50 U.S. states, Washington D.C., and Puerto Rico. We collect data on violent deaths, including suicide, thanks to agreements with local medical examiners and law enforcement.

    When public health researchers like us look at suicide data, we often focus on high-risk populations to learn where intervention and prevention are most needed. But we can learn from low-risk populations such as educators too.

    Why some professions have higher suicide rates

    Over the past 25 years, the suicide rate in the U.S. has increased significantly.

    The age-adjusted rate in 2022 was 14.2 suicides per 100,000 people, up from 10.9 a little over two decades earlier, according to the National Center for Health Statistics. Epidemiologists often adjust data for age to allow for a fairer comparison of incidence rates across populations with different age distributions.

    But not all populations are affected equally. For example, military veterans die by suicide at higher rates than civilians, as do men, older adults and American Indian and Alaska Natives, to name a few demographics. In 2022 the suicide rate for men, for instance, was 23 suicides per 100,000, versus 5.9 for women.

    The rate of suicide among the working-age population is also growing. Over the past two decades it has increased by 33%, reaching a rate of 32 suicides per 100,000 for men and eight for women in 2021. And workers in certain occupations are at higher risk of dying by suicide than others.

    The reasons why are complex and diverse. Workers in construction, an industry with some of the highest suicide rates, may face greater stigma getting help for mental health issues, while people in other fields such as law enforcement may be more exposed to traumatic experiences, which can harm their mental health.

    In short, some explanations are directly tied to one’s work, such as having low job security, little autonomy or agency, and an imbalance of work efforts and rewards. Other factors are more indirect, such as an occupation’s demographic makeup or the type of personality that chooses a profession. Together, factors like these help explain the rate of suicide across occupations.

    Teachers, professors and librarians

    Educators, on the other hand, have relatively little suicide risk.

    By educators, we mean workers classified by the Bureau of Labor Statistics as “educational instruction and library,” which includes teachers, tutors, professors, librarians and similar occupations.

    Nationally, about 11 in 100,000 male educators died by suicide in 2021, with the figure for women being about half that, according to the Centers for Disease Control and Prevention. By contrast, the rate for male workers in arts, design, entertainment, sports and media was 44.5 suicides per 100,000, and the rate for male workers in construction and extraction was 65.6.

    Data from our state of Arizona follows the same pattern. From 2016 through 2023, a total of 117 educators died by suicide, mostly primary and secondary school teachers. This works out to be an incidence rate of 7.3 suicides per 100,000 educators − one-third the rate for all Arizona workers and the lowest among all occupations in the state.

    Why educators have a low suicide rate

    So why are educators at such a low risk of suicide? After all, educational professions certainly present their own challenges. For example, many teachers experience high amounts of burnout, which can cause physical and mental health problems such as headaches, fatigue, anxiety and depression.

    A good place to begin is the profession’s demographic composition. A disproportionately high share of educators are women or are marriedtraits associated with lower suicide rates. Educators also tend to have high educational attainment, which may indirectly protect against suicide by increasing socioeconomic status and employability.

    Another factor is workplace environment. Workplaces that offer increased access to lethal means such as firearms and medications are associated with higher suicide rates. This helps explain why workers in law enforcement, medical professions and the military tend to show high rates. The comparatively low availability of lethal means in schools may help keep educators’ rates low.

    In addition, educators’ workplaces, typically schools and campuses, offer rich opportunities to form strong social relationships, which improve one’s overall health and help workers cope with job stress. The unique, meaningful bonds many educators form with their students, administrators and fellow educators may offer support that enhances their mental health.

    Finally, based on more contextual information in our Arizona database, we found that a lower proportion of educators who died by suicide had an alcohol or drug abuse problem. Alcohol or substance abuse problems can increase suicidal ideation and other work-related risk factors such as job insecurity and work-related injury. In short, educators may live a healthier lifestyle compared with some other workers.

    Improving worker health

    So, what can workers and employers in other professions learn from this, and how can we improve worker health?

    One lesson is to develop skills to cope with job stress. All professions are capable of producing stress, which can negatively affect a person’s mental and physical health. Identifying the root cause of job stress and applying coping skills, such as positive thinking, meditation and goal-setting, can have beneficial effects.

    Developing a social network at the workplace is also key. High-quality social relationships can improve health to a degree on par with quitting smoking. Social relationships provide tangible and intangible support and help establish one’s sense of purpose and identity. This applies outside the workplace, too. So promoting work-life balance is one way organizations can help their employees.

    Organizations can also strive to foster a positive workplace culture. One aspect of such a culture is establishing a sense of meaning or purpose in the work. For educators, this feature may help offset some of the profession’s challenges. Other aspects include appreciating employees for their hard work, identifying and magnifying employee strengths, and not creating a toxic workplace.

    It is worth noting that continued research on occupational health is important. In the context of educators, more research is needed to understand how risk differs between and within specific groups. Despite their overall low risk, no person or demographic is immune to suicide, and every suicide is preventable.

    If you or someone you know is experiencing signs of crisis, the free and confidential 988 Suicide and Crisis Lifeline is available to call, text or chat.

    This research was made possible by the Centers for Disease Control and Prevention’s (CDC) Division of Violence Prevention, who sponsor the Arizona Violent Death Reporting System data. The findings and conclusions of this research are those of the authors alone and do not necessarily represent the views of the CDC.

    Charles Max Katz is affiliated with Arizona State University.This research was made possible by the Centers for Disease Control and Prevention’s (CDC) Division of Violence Prevention, who sponsor the Arizona Violent Death Reporting System data. The findings and conclusions of this research are those of the authors alone and do not necessarily represent the views of the CDC.

    ref. Teachers and librarians are among those least likely to die by suicide − public health researchers offer insights on what this means for other professions – https://theconversation.com/teachers-and-librarians-are-among-those-least-likely-to-die-by-suicide-public-health-researchers-offer-insights-on-what-this-means-for-other-professions-252795

    MIL OSI – Global Reports

  • MIL-OSI Global: Hurricane forecasts are more accurate than ever – NOAA funding cuts could change that, with a busy storm season coming

    Source: The Conversation – USA – By Chris Vagasky, Meteorologist and Research Program Manager, University of Wisconsin-Madison

    Radar shows a NOAA Hurricane Hunter flying through the eye of Tropical Storm Idalia during a mission in 2023. Nick Underwood/NOAA

    The National Hurricane Center’s forecasts in 2024 were its most accurate on record, from its one-day forecasts, as tropical cyclones neared the coast, to its forecasts five days into the future, when storms were only beginning to come together.

    Thanks to federally funded research, forecasts of tropical cyclone tracks today are up to 75% more accurate than they were in 1990. A National Hurricane Center forecast three days out today is about as accurate as a one-day forecast in 2002, giving people in the storm’s path more time to prepare and reducing the size of evacuations.

    Accuracy will be crucial again in 2025, as meteorologists predict another active Atlantic hurricane season, which runs from June 1 to Nov. 30.

    Yet, cuts in staffing and threats to funding at the National Oceanic and Atmospheric Administration – which includes the National Hurricane Center and National Weather Service – are diminishing operations that forecasters rely on.

    I am a meteorologist who studies lightning in hurricanes and helps train other meteorologists to monitor and forecast tropical cyclones. Here are three of the essential components of weather forecasting that have been targeted for cuts to funding and staff at NOAA.

    Tracking the wind

    To understand how a hurricane is likely to behave, forecasters need to know what’s going on in the atmosphere far from the Atlantic and Gulf coasts.

    Hurricanes are steered by the winds around them. Wind patterns detected today over the Rocky Mountains and Great Plains – places like Colorado, Wyoming, Nebraska and South Dakota – give forecasters clues to the winds that will be likely along the Gulf and Atlantic coasts in the days ahead.

    Satellites can’t take direct measurements, so to measure these winds, scientists rely on weather balloons. That data is essential both for forecasts and to calibrate the complicated formulas forecasters use to make estimates from satellite data.

    A meteorologist prepares to launch a weather balloon at Mammoth Hot Springs, Wyo. Data collected by the balloon’s radiosonde will help predict local weather that can influence fire behavior.
    Neal Herbert/National Park Service

    However, in early 2025, the Trump administration terminated or suspended weather balloon launches at more than a dozen locations.

    That move and other cuts and threatened cuts at NOAA have raised red flags for forecasters across the country and around the world.

    Forecasters everywhere, from TV to private companies, rely on NOAA’s data to do their jobs. Much of that data would be extremely expensive if not impossible to replicate.

    Under normal circumstances, weather balloons are released from around 900 locations around the world at 8 a.m. and 8 p.m. Eastern time every day. While the loss of just 12 of these profiles may not seem significant, small amounts of missing data can lead to big forecast errors. This is an example of chaos theory, more popularly known as the butterfly effect.

    The balloons carry a small instrument called a radiosonde, which records data as it rises from the surface of the Earth to around 120,000 feet above ground. The radiosonde acts like an all-in-one weather station, beaming back details of the temperature, relative humidity, wind speed and direction, and air pressure every 15 feet through its flight.

    Together, all these measurements help meteorologists interpret the atmosphere overhead and feed into computer models used to help forecast weather around the country, including hurricanes.

    Hurricane Hunters

    For more than 80 years, scientists have been flying planes into hurricanes to measure each storm’s strength and help forecast its path and potential for damage.

    Known as “Hurricane Hunters,” these crews from the U.S. Air Force Reserve and NOAA routinely conduct reconnaissance missions throughout hurricane season using a variety of instruments. Similar to weather balloons, these flights are making measurements that satellites can’t.

    Hurricane Hunters use Doppler radar to gauge how the wind is blowing and LiDAR to measure temperature and humidity changes. They drop probes to measure the ocean temperature down several hundred feet to tell how much warm water might be there to fuel the storm.

    They also release 20 to 30 dropsondes, measuring devices with parachutes. As the dropsondes fall through the storm, they transmit data about the temperature, humidity, wind speed and direction and air pressure every 15 feet or so from the plane to the ocean.

    Dropsondes from Hurricane Hunter flights are the only way to directly measure what is occurring inside the storm. Although satellites and radars can see inside hurricanes, these are indirect measurements that do not have the fine-scale resolution of dropsonde data.

    That data tells National Hurricane Center forecasters how intense the storm is and whether the atmosphere around the storm is favorable for strengthening. Dropsonde data also helps computer models forecast the track and intensity of storms days into the future.

    Two NOAA Hurricane Hunter flight directors were laid off in February 2025, leaving only six when 10 are preferred. Directors are the flight meteorologists aboard each flight who oversee operations and ensure the planes stay away from the most dangerous conditions.

    Having fewer directors limits the number of flights that can be sent out during busy times when Hurricane Hunters are monitoring multiple storms. And that would limit the accurate data the National Hurricane Center would have for forecasting storms.

    Eyes in the sky

    Weather satellites that monitor tropical storms from space provide continuous views of each storm’s track and intensity changes. The equipment on these satellites and software used to analyze it make increasingly accurate hurricane forecasts possible. Much of that equipment is developed by federally funded researchers.

    For example, the Cooperative Institutes in Wisconsin and Colorado have developed software and methods that help meteorologists better understand the current state of tropical cyclones and forecast future intensity when aircraft reconnaissance isn’t immediately available.

    Forecasting rapid intensification is one of the great challenges for hurricane scientists. It’s the dangerous shift when a tropical cyclone’s wind speeds jump by at least 35 mph (56 kilometers per hour) in 24 hours.

    For example, in 2018, Hurricane Michael’s rapid intensification caught the Florida Panhandle by surprise. The Category 5 storm caused billions of dollars in damage across the region, including at Tyndall Air Force Base, where several F-22 Stealth Fighters were still in hangars.

    NOAA’s GOES-16 satellite shows Hurricanes Irma, left, and Jose in the Atlantic Ocean on Sept. 7, 2017.
    NOAA National Environmental Satellite, Data, and Information Service (NESDIS), CC BY

    Under the federal budget proposal details released so far, including a draft of agencies’ budget plans marked up by Trump’s Office of Management and Budget, known as the passback, there is no funding for Cooperative Institutes. There is also no funding for aircraft recapitalization. A 2022 NOAA plan sought to purchase up to six new aircraft that would be used by Hurricane Hunters.

    The passback budget also cut funding for some technology from future satellites, including lightning mappers that are used in hurricane intensity forecasting and to warn airplanes of risks.

    It only takes one

    Tropical storms and hurricanes can have devastating effects, as Hurricanes Helene and Milton reminded the country in 2024. These storms, while well forecast, resulted in billions of dollars of damage and hundreds of fatalities.

    The U.S. has been facing more intense storms, and the coastal population and value of property in harm’s way are growing. As five former directors of the National Weather Service wrote in an open letter, cutting funding and staff from NOAA’s work that is improving forecasting and warnings ultimately threatens to leave more lives at risk.

    Chris Vagasky is a member of the American Meteorological Society and National Weather Association.

    ref. Hurricane forecasts are more accurate than ever – NOAA funding cuts could change that, with a busy storm season coming – https://theconversation.com/hurricane-forecasts-are-more-accurate-than-ever-noaa-funding-cuts-could-change-that-with-a-busy-storm-season-coming-255369

    MIL OSI – Global Reports

  • MIL-OSI Global: How was the Earth built?

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

    The Earth formed in a ring of debris around the Sun, like the one around Vega, a bright star, in this artist’s conception. NASA/JPL-Caltech

    Curious Kids is a series for children of all ages. If you have a question you’d like an expert to answer, send it to CuriousKidsUS@theconversation.com.


    How was the Earth built? – Noah, age 5, Florida


    It isn’t easy to figure out how the Earth was built, because it happened 4½ billion years ago, and no one was there to watch. So scientists have had to look at what the Earth looks like now and at all of the other planets, moons and debris in the solar system.

    They’ve concluded that the Earth was built in the same way that you would build a big snowball to make a snowman. The mass that would become our home rolled through planetary debris – rocks floating in space – for more than 100 million years, adding more and more material, until it grew into a full-size planet.

    How do scientists like me know this is what happened? First, studies of the size, composition and location of asteroids and comets, many of which are as old as the Earth, indicate that 4½ billion years ago the solar system looked the way Saturn looks today, with rings of space rocks orbiting around the Sun. There’s still one such ring around the Sun – it’s called the asteroid belt and lies between Mars and Jupiter, with the Sun’s gravity holding the rocks in orbit.

    The solar system that includes Earth formed from a spinning disk of dust and gases.

    All of the other bodies that we know as planets today began as similar rings of space debris. An eddy, or area of rolling, developed in each of these rings and caused the debris to clump up in a snowball effect. But these pieces of debris were asteroids that smashed violently into the growing planets.

    We can see those impacts on planets and moons whose surfaces haven’t weathered or reformed. If you look at the Moon or the planet Mercury, you can see that they are covered with craters from asteroid impacts.

    When asteroids or comets struck these building planets, they crashed into their surfaces at speeds as high as 40,000 to 50,000 miles per hour (65,000 to 80,000 kilometers per hour). The impacts caused huge explosions that emitted massive amounts of dust and broken or melted rock.

    In fact, scientists believe that the Moon was once part of the Earth, until a large asteroid crashed into the Earth so hard that the Moon broke away and shot into space. There, it began orbiting the Earth as it does now.

    Still under construction

    Most big asteroids and comets collided with the Earth when it was young, about 4½ billion years ago. The number of such collisions has steadily decreased ever since. However, at least 100 tons of dust-size space rock rains down on the Earth every day, increasing the size of our planet bit by bit.

    The Earth also collides with space rocks, called meteors, that show up as shooting stars in the night sky. Some of these meteors come from an impact that struck Mars at some point, breaking away rock from the planet surface and shooting it into outer space. These rocks have been falling to Earth ever since.

    What’s the difference between an asteroid and a comet? Asteroids are large space rocks, while comets are large, dirty ice balls. Meteors are smaller − typically the size of pebbles or even dust.

    About 65 million years ago, a huge asteroid struck the Earth in the Gulf of Mexico. The enormous Chicxulub explosion drove large tsunamis throughout the ocean and raised so much dust into the air that it made the dinosaurs go extinct.

    Another large asteroid impact, about 35 million years ago, made a huge crater in the area that is now the Chesapeake Bay, near Washington, D.C. More recently, in 1908, an asteroid likely exploded over Tunguska, Russia, flattening 830 square miles (2,150 square kilometers) of trees. Fortunately, no one lived in the area, so there were no known casualties.

    Barringer Crater in Arizona was caused by a meteor strike about 50,000 years ago. It measures about 0.75 miles (1.2 kilometers) across.
    D. Roddy, USGS/Wikipedia

    Once a mass of space debris was assembled into the Earth, many processes continued to shape the planet’s surface. Wind, water, heat and cold cause rocks to weather and break down and soil to erode. Mountains are created as pieces of Earth’s crust collide and crack. Rivers and glaciers wear down the planet’s surface to make it smoother.

    The Earth is a dynamic planet that is constantly being built, and these processes will continue for billions of years into the future.


    Hello, curious kids! Do you have a question you’d like an expert to answer? Ask an adult to send your question to CuriousKidsUS@theconversation.com. Please tell us your name, age and the city where you live.

    And since curiosity has no age limit – adults, let us know what you’re wondering, too. We won’t be able to answer every question, but we will do our best.

    Alexander E. Gates 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. How was the Earth built? – https://theconversation.com/how-was-the-earth-built-254257

    MIL OSI – Global Reports