Category: Science

  • MIL-OSI USA: SEC Names Erik Hotmire as Chief External Affairs Officer and Director of the Office of Public Affairs

    Source: Securities and Exchange Commission

    The Securities and Exchange Commission today announced that Erik Hotmire will return to the SEC as Chief External Affairs Officer and Director of the Office of Public Affairs, effective June 16, 2025. 

    “I am delighted that Erik is coming back to the SEC to provide his talents and experience to continue our meaningful outreach to those interested in our activities,” said SEC Chairman Paul S. Atkins. “His leadership will be essential for helping market participants and investors clearly understand our priorities and actions, guided by the SEC’s core mission: investor protection; fair, orderly, and efficient markets; and capital formation.”

    Throughout his career, Mr. Hotmire has served in numerous positions in the federal government. He is former Senior Advisor and spokesman to then-SEC Chairman Christopher Cox, and Senior Advisor to the SEC’s Division of Enforcement. He also served as Special Assistant to the President and a White House domestic policy spokesman for President George W. Bush. Earlier, Mr. Hotmire served as spokesman for two U.S. Senators.

    More recently, Mr. Hotmire held senior roles at corporate affairs advisory firms including as partner and co-founder of Watermark Strategies, partner at Brunswick Group where he was global co-lead of the firm’s financial institutions group, senior managing director at Teneo, and partner at FGS Global. Mr. Hotmire began his career in radio and television journalism. He earned a B.A. in political science from Taylor University.

    “I am honored Chairman Atkins asked me to join him and valued SEC colleagues to advance the Commission’s vital work for investors and the capital markets,” said Mr. Hotmire. “I look forward to engaging market participants and the investing public, especially given the nation’s rapidly changing and vibrant financial system.”

    MIL OSI USA News

  • MIL-OSI USA: ICYMI: OPINION | How GOP Governors are Leading the Charge Against Antisemitism — and for Civil Rights

    Source: US State of Arkansas

    ICYMI: OPINION | How GOP Governors are Leading the Charge Against Antisemitism — and for Civil Rights

    The New York Post published “How GOP Governors are Leading the Charge Against Antisemitism — and for Civil Rights,” an op-ed by Governor Sarah Huckabee Sanders, Tennessee Governor Bill Lee, Oklahoma Governor Kevin Stitt, and Virginia Governor Glenn Youngkin on what conservative states are doing to combat hate and antisemitism:

    The heartless execution of a young couple outside Washington’s Capital Jewish Museum. The terrorist who used a makeshift flamethrower and Molotov cocktails to injure elderly pro-Israel rally-goers in Boulder, Colo. The arson attack on the home of Pennsylvania’s Jewish governor.

    These headlines, and many others in recent weeks, brought home a growing threat we governors have been tracking with great alarm: A new generation of Americans has been conditioned to hate Jews with an intense bigotry experienced by no other minority group.

    It’s time for leaders of conscience to draw a bright line, translating rhetoric into robust action to protect all members of the Jewish community from the scourge of antisemitism.

    How did we arrive at today’s disturbing reality — where our nation’s small Jewish population endures 68% of all religion-based hate crimes?

    Jews have long been a convenient scapegoat for extremists of all stripes, but today antisemitism has become an elite phenomenon, erupting with particular vehemence on college and university campuses.

    Antisemitic incidents across the United States spiked by over 600% since September 2023, a recent Combat Antisemitism Movement study found, with most of the increase coming on college campuses.

    Students are not born bigoted. Someone is teaching them to hate.

    Indeed, some teachers have exploited their privileged positions at the front of the classroom to propagandize and manipulate the impressionable young minds in their care.

    Meanwhile, many school administrators have lacked the intellectual and moral clarity to forcefully counter the antisemitism spilling out into the quad and amplified on social media.

    College officials who set aside “safe spaces” and promoted narrow campus speech codes to prevent “micro-aggressions” and “triggers” hypocritically dropped those standards when Jewish students found themselves blocked from classrooms and libraries (or, as at Cooper Union College, trapped within one as a mob raged outside).

    Bigotry that would have been instantly and rightly crushed had it targeted other minorities was instead condoned — and even sometimes celebrated.

    Let us be clear: No student should face threats in the classroom or on campus, nor feel targeted because of their religion or heritage.

    All bigotry, religious, ethnic, racial or otherwise, is wrong, absolutely un-American, and cannot be tolerated.

    As governors, we are responsible for the safety of our constituents, especially students in our schools.

    To fight the rising tide of hatred, we have all signed executive orders and legislation in recent months to combat antisemitism.

    Our directives require public schools to tackle antisemitism in the same manner as any other form of discrimination prohibited by state or federal law.

    To help confused school officials, we require student codes of conduct to clearly define antisemitism via the International Holocaust Remembrance Alliance standard, and mandate protections guaranteed under Title VI of the 1965 Civil Rights Act.

    Tennessee, Arkansas and Oklahoma now designate a Title VI coordinator to monitor, review and investigate antisemitic complaints and incidents of discrimination in public K–12 and post-secondary schools.

    Similarly, Virginia established a cross-government and stakeholder work group to carry out these same responsibilities. The group submits an annual report clearly documenting any antisemitic incidents in the state, ensuring that those affected can pursue the justice they deserve.

    Currently, we are each creating or strengthening statewide oversight mechanisms to ensure all reported antisemitic incidents are investigated and remedied. Accountability reassures victims that their complaints will be met with a vigorous response.

    We are also incorporating and deepening education on antisemitism and Jewish-American history into our K-12 and higher ed classes — desperately needed, as surveys indicate declining knowledge about the Holocaust among American students.

    We have come to see the struggle against antisemitism as a pillar of American civil rights. 

    Just as racial reactionaries once disingenuously invoked “states’ rights” and “majority rule” to impede progress, leftists today cynically and disingenuously invoke “free speech” to justify the deliberate intimidation of Jewish students — a disturbing echo of attempts to drive black students from campuses even after the law compelled desegregation.

    We believe in free speech, but the First Amendment does not protect acts of violence or threats of physical harm.

    Yet standing up to bigotry takes courage. Too many school leaders — and state leaders, too — have become paralyzed by the politicization of antisemitism across our society.

    We, however, are proud to champion this fight, the civil rights movement of our time, and we call upon governors and state legislators across the country to join us.

    Taking firm action against antisemitism can unite all citizens of good will in a righteous effort to restore the American promise for a new generation.

    ###

    MIL OSI USA News

  • MIL-OSI Global: Why Israel’s air strikes signal a shifting relationship with the US and a weakening Iran

    Source: The Conversation – Global Perspectives – By Natasha Lindstaedt, Professor in the Department of Government, University of Essex

    The Middle East is undergoing a realignment of power. With Israel’s attack on Iranian nuclear sites and the assassination of at least two of Iran’s senior security officials, Benjamin Netanyahu is showing his willingness to go it alone and ignore pressure from the Trump administration.

    Though Donald Trump sought diplomatic solutions to the growing tensions between Israel and Iran, it appears that the US president, despite his previously strong relationship with the Israeli leader, was unable to restrain Netanyahu.

    The timing of the strikes is important. The Trump administration probably knew that they could not prevent Israel from striking Iran, but they did think they could pressure Israel to hold off launching an attack until after the US had solidified a new nuclear deal with Iran, talks for which were scheduled for June 15.

    Just hours before the air strikes, Trump said: “As long as I think there will be an agreement [with Iran], I don’t want them going in.”


    Get your news from actual experts, straight to your inbox. Sign up to our daily newsletter to receive all The Conversation UK’s latest coverage of news and research, from politics and business to the arts and sciences.


    Experts had been divided in the past, over how much leverage the US held over Israel.

    Trump, following months of groundwork laid by the Joe Biden administration, managed to secure a ceasefire deal with Israel in January. But as part of the negotiation, Netanyahu succeeded in reversing sanctions on settlers in the West Bank, giving him free rein to act there. Additionally, the US also lifted its freeze on the transfer of 2,000-pound bombs to Israel, another concession that benefited Israel.

    The US also proved unwilling or incapable of stopping the humanitarian crisis that has unfolded in Gaza. Washington also appeared powerless to stop Israel’s pounding of Lebanon and its efforts to eradicate the Iran-backed militia Hezbollah.

    The US has become more of a spectator than a powerful regional actor. And sources suggest that Washington was not informed in advance of Israel’s airstrike that killed Hezbollah leader Hassan Nasrallah in October 2024, a sign of Israel’s growing willingness to act without US approval.




    Read more:
    Lethal humanitarianism: why violence at Gaza aid centres should not come as a surprise


    Indeed, the expansion of the war in Gaza to Lebanon was a pivotal moment in the region. With significant Israeli public support to stop Hezbollah (which had been launching rockets towards northern Israel), Israel pounded southern Beirut with airstrikes, killing several high-ranking Hezbollah officials.

    In the aftermath, Hezbollah was unable to replenish itself with younger recruits (it had relied on its charismatic leadership to recruit in the past), and the losses caused Hezbollah’s organisation to implode. By November 2024, Hezbollah agreed to a ceasefire brokered by the US.

    Israel announces strikes on Iran.

    Iran’s weaker role

    Hezbollah’s near military and organisational collapse has been a big blow for Iran’s regional power. Hezbollah was at one point the most heavily armed violent non-state actor in the world. It had an army of around 50,000 men and experts speculated that it had as many as 200,000 rockets and missiles of various ranges in its arsenal.

    With the assassination of so many high-level officials in Hezbollah and Hamas, both of which Iran has bankrolled and used in its proxy conflicts with Israel, Iran has been severely weakened. As Iran is in the middle of an economic crisis, it no longer has the financial means to revive these traditional allies.




    Read more:
    Trump’s Middle East pivot aims to counter China’s rising influence


    For decades Iran had tried to gain strategic depth in the Middle East, with the US estimating that Iran spent more than US$16 billion to prop up Bashar al-Assad in Syria from 2012 to 2020. Additionally, with the fall of Assad, Syria can no longer serve as a transit corridor or logistical hub for shipments of arms from Iran to Hezbollah.

    With Turkey’s support for the various armed militias that ousted the Assad regime, it is Ankara, and not Tehran, that sees itself as the big winner in the aftermath of the Syrian civil war.

    US plans for Middle East threatened

    The US, meanwhile, is seeing its influence in the Middle East waning. And Trump’s plan for extending trade in the region, particularly in the Gulf, may also be undermined by the rising regional tension.

    The US had been due to send Middle East envoy Steve Witkoff to this weekend’s talks in Oman, with the aim of getting Tehran to agree to stop enriching uranium (which is crucial for creating nuclear weapons) in exchange for lifting economic sanctions. Trump had said that he did not want Israel to go ahead with its attack on Iran, and yet these calls went unheeded.

    Some US officials were optimistic that the escalating tensions taking place between Iran and Israel were mere tactics of negotiation amid the important nuclear talks. But, though the US was clearly warned about the attack, Washington was not able to deter Israel.

    Though the US still supplies Israel with US$3.8 billion (£2.8 billion) worth of arms per year, it has had little success in exercising much leverage recently. It remains to be seen if domestic political pressure could halt this US funding.

    International relations experts should not be surprised that Israel went on the offensive in Iran. Israel’s attacks on Hezbollah in 2024 were just a precursor to the bigger prize of bringing Iran to its knees.

    For Netanyahu, this is a once-in-a-generation opportunity to reshape the Middle East and shift the regional power dynamics, and he appears to care little about what the US, or the rest of the world, thinks of how he does it.

    Natasha Lindstaedt 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. Why Israel’s air strikes signal a shifting relationship with the US and a weakening Iran – https://theconversation.com/why-israels-air-strikes-signal-a-shifting-relationship-with-the-us-and-a-weakening-iran-258926

    MIL OSI – Global Reports

  • MIL-OSI Global: Marine fungi could help feed the world and fight disease

    Source: The Conversation – UK – By Michael Cunliffe, Professor of Marine Microbiology, School of Biological and Marine Sciences, University of Plymouth

    Fungi are nature’s recyclers and chemists, turning waste into useful products and creating an array of enzymes and compounds. By harnessing this potential through fungal biotechnology (using fungi to develop products and technologies for various applications), we can create sustainable materials, food and processes that help solve global challenges like food shortages, pollution and climate change.

    Fungal biotechnology supports a “circular economy”, where resources are reused instead of wasted. Fungi can help make our food supply more stable and eco-friendly, while cutting greenhouse gas emissions. But to fully unlock what is possible, we need to better understand different fungi and develop new tools to work with them to find solutions.

    The marine environment is home to a rich diversity of fungi. However, marine fungi were once overlooked and not widely considered for their biotechnological potential.



    Local science, global stories.

    This article is part of a series, Secrets of the Sea, exploring how marine scientists are developing climate solutions.

    In collaboration with the BBC, The Conversation’s senior environment editor, Anna Turns, travels around the West Country coastline to meet ocean experts making exciting discoveries beneath the waves.


    Now, my team of scientists at the Marine Biological Association, a research institution based in Plymouth on the south-west coast of England, has changed that. By gathering over 500 fungal strains from seawater, sediments and seaweeds, we have created a comprehensive marine fungi culture collection.

    These fungi are stored at -80°C and studied at temperatures similar to the local shoreline they are from. This unique collection is already helping us learn more about marine fungi, including how they grow and adapt to different environments.

    My colleagues and I are now exploring how these marine fungi, especially those from seaweed, can be used in biotechnology to create more useful, sustainable products in the future.

    The European seaweed industry is growing fast and could be worth up to €9.3 billion (£7.8 billion) by 2030. Seaweed farming doesn’t need land, fresh water or fertiliser, and it can support ocean health.

    Marine fungi, especially those originally isolated from seaweed, could recycle seaweed into valuable products.

    At the Marine Biological Association, we are testing many combinations of different seaweeds and fungi to discover new uses. This approach could help make the seaweed industry stronger, more efficient and better for the environment.

    The future is fungal

    Feeding the world’s growing population is a major challenge, especially with nearly a billion people unable to afford nutritious food and the environmental consequences of high meat consumption. One promising alternative protein source involves using seaweed and fermenting it with marine fungi to create a nutritious protein source called mycoprotein – similar to what’s found in some current commercial products.

    Antimicrobial resistance – the development of superbugs that become resistant to antibiotics as a result of their overuse – is a global health threat. This makes it harder to treat infections. Fungi naturally produce chemicals to protect themselves from other microbes, and several antibiotics come from fungi, including penicillin. Marine fungi could be a valuable new source of antibiotics and drug treatments to fight resistant infections and protect public health.

    Pests and the diseases they spread cause major crop losses worldwide, threatening food security. Traditional chemical pesticides are becoming less effective and can harm helpful species like pollinators, while also leading to pest resistance.

    Scientists are now exploring ways to target pests by using microbes without damaging the environment. One promising but unexplored source is marine fungi. Marine fungi and the arsenal of chemical compounds they produce may hold the key to developing new, eco-friendly pest control methods that protect crops while supporting wildlife and sustainable farming practices.

    Our marine fungi culture collection is helping unlock the potential for finding new solutions to many of the world’s biggest challenges.

    Listen to episode four of Secrets of the Sea here on BBC Sounds, presented by Anna Turns for The Conversation.


    Don’t have time to read about climate change as much as you’d like?

    Get a weekly roundup in your inbox instead. Every Wednesday, The Conversation’s environment editor writes Imagine, a short email that goes a little deeper into just one climate issue. Join the 45,000+ readers who’ve subscribed so far.


    Michael Cunliffe received funding from the European Research Council (ERC) for the project MYCO-CARB and currently receives funding from the UKRI Horizon Europe Guarantee scheme for the projects MARCO-BOLO and BIOcean5D. PhD students in the Cunliffe Group are supported by the UKRI BBSRC/NERC SWBio, ARIES and INSPIRE Doctoral Training Partnerships and the Marine Biological Association.

    ref. Marine fungi could help feed the world and fight disease – https://theconversation.com/marine-fungi-could-help-feed-the-world-and-fight-disease-251194

    MIL OSI – Global Reports

  • MIL-OSI Global: Your next summer read and our award-winning podcasts – what you should read, watch, see and listen to this week

    Source: The Conversation – UK – By Naomi Joseph, Arts + Culture Editor

    The Women’s prize was founded in 1991 in bold riposte to the year’s all-male Booker prize shortlist. It’s funny to think how male-dominated the industry once was when you look at it now. There has been a real renaissance in literary fiction by women since then. Take last year’s Booker prize shortlist where the only male writer nominated was Percival Everett for his brilliant book James.

    That women dominate the literary landscape has not diminished the need for the Women’s prize, however. In fact, I would say it has grown in boldness and depth, now taking on non-fiction, a world still dominated by men. The prize has also launched their first outstanding contribution award, which this year was won by the inimitable Bernadine Evaristo.

    This year’s shortlisted books are a testament to the depth and variety of fiction being written by women. From a multi-generational tale of one Iranaian family to a daring and laugh-out-loud comedy about the rehabilitation of Isis brides by a researcher who worked for the UN doing just that. It serves as a perfect summer reading list. I have read four of the books so far and have loved every single one for very different reasons.

    This year’s winner, The Safekeep by Yael van der Woeden, is a queer romance exploring the lesser-documented consequences of the second world war in the 1980s Netherlands. It’s a book I have gifted several times already and might be my favourite book of 2024. I would also recommend reading last year’s winner, Brotherless Night by V.V. Ganeshananthan, which has made its way slowly around The Conversation newsroom.




    Read more:
    Women’s prize for fiction 2025: six experts review the shortlisted novels


    Scotland on screen

    Set in Edinburgh, Netflix’s Dept. Q follows arrogant maverick detective Carl Mork (Matthew Goode) whose hubris got him shot through the neck, his partner paralysed and a rookie officer killed. Back at work after this horrifying ordeal, he’s wracked with survivor’s guilt and more than a touch of post traumatic stress disorder. He’s been banished to the basement to lead a new cold case unit.

    Surprisingly, instead of being the fool’s errand his commander thinks Dept. Q will be, Mork and his rag tag team find themselves suited to this sort of work. Rather than throw him completely off his game, his new obsessive qualities and hyper-awareness of negative stimuli actually make him better at his job. Our reviewer, an expert in psychological vulnerabilities, analytical thinking patterns and cognitive processing styles, thoroughly enjoyed the show and found it really chimed with his research into how trauma can change the brain.




    Read more:
    Netflix’s Dept Q. suggests that psychological trauma might help a detective investigate – neuroscience backs this up


    From a Scottish detective crime thriller series to a Scottish samurai-western film. Yes, you read that right. Tornado is a revenge tale about a young samurai performer on the run from a gang of bandits in 18th-century Scotland. It might seem like an odd splicing of genres, but in his review film studies scholar Jonathan Wroot argues that the two have a long-shared history. Both westerns and samurai films envision a world full of lone warriors, greedy gangs, wild landscapes, epic struggles and, of course, violence.




    Read more:
    Tornado is a Scottish samurai-western film – genres with a long-shared history


    Tornado is in cinemas now

    Big birthdays and news

    This year marks the 250th birthday of Jane Austen and JMW Turner. Though the pair never met, both were great documenters of Regency England. A new exhibition at Leeds’s Harewood House explores the common threads in their work in relation to the cultural and societal significance of British country houses and their landscapes.

    At Austen and Turner: A Country House Encounter, visitors will be able to look upon rarely seen paintings and manuscripts, including the unfinished manuscript of Austen’s last work, Sanditon. Our reviewer, an expert in literature, found it wonderfully brought to life the reality of the landed aristocracy of the time. It’s sure to move anyone who has an interest in art and history.




    Read more:
    Austen and Turner: A Country House Encounter captures the spirit of two great geniuses, born 250 years ago


    Our final recommendation is our own podcast. This week a series of Conversation products were nominated at the Publisher podcast and newsletter awards, including Something Good. While we didn’t win, The Conversation did take home the big podcast prize, being named podcast publisher of the year.

    The Conversation Weekly talks to academics about their discoveries and explores the big questions they are still trying to answer.

    This week we take you to Indonesia where conservation scientist Hollie Booth trialled a programme paying fishermen to release any sharks and rays accidentally caught in their nets in the hope it would help to keep more alive. Listen to Booth and her colleague M. Said Ramdlan discuss the unintended consequences of the incentive programme.

    We also can’t recommend the limited series podcast Scam Factories enough, which took home best investigative podcast. The three-part series takes you inside the world of scammers, many of whom are often victims too.




    Read more:
    Cash for sharks: the unintended consequences of paying fishermen to release sharks caught in their nets – podcast





    Read more:
    Scam Factories: the inside story of Southeast Asia’s brutal fraud compounds


    ref. Your next summer read and our award-winning podcasts – what you should read, watch, see and listen to this week – https://theconversation.com/your-next-summer-read-and-our-award-winning-podcasts-what-you-should-read-watch-see-and-listen-to-this-week-257747

    MIL OSI – Global Reports

  • MIL-OSI China: Whoever emboldens “Taiwan Independence” separatist forces to seek secession will get burnt for playing with fire: Defense Spokesperson 2025-06-13 19:07:43 “Any act that emboldens the ‘Taiwan independence’ separatist forces to seek secession will undermine cross-Strait peace and stability, and lead to bitter results or self-inflicted wounds,” said Senior Colonel Jiang Bin, spokesperson for China’s Ministry of National Defense, at a press briefing on Friday.

    Source: People’s Republic of China – Ministry of National Defense

      BEIJING, June 13 — “Any act that emboldens the ‘Taiwan independence’ separatist forces to seek secession will undermine cross-Strait peace and stability, and lead to bitter results or self-inflicted wounds,” said Senior Colonel Jiang Bin, spokesperson for China’s Ministry of National Defense, at a press briefing on Friday.

      According to reports, the Taipei School of Economics and Political Science Foundation recently held a civil chief-of-staff level war-gaming under the scenario of “Taiwan Strait crisis” for the first time, involving the former “Chief of the General Staff” of the Taiwan region, the former Chairman of the US Joint Chiefs of Staff, and the former Chief of Staff of the Japan Self-Defense Forces. In addition, the US and Taiwan held the so-called Defense Industry Forum in Taipei, advocating closer weapon and equipment cooperation.

      When commenting on the above reports, Senior Colonel Jiang Bin slammed that the Taiwan question is purely China’s internal affair, which brooks no external interference. Any act that emboldens the “Taiwan independence” separatist forces to seek secession will undermine cross-Strait peace and stability, and lead to bitter results or self-inflicted wounds.

      “We urge the relevant countries to truly abide by the one-China principle, stop sending any wrong signal to the ‘Taiwan independence’ separatist forces,” he continued, adding that in the face of the prevailing trend that China will and must be reunified, any scheme to solicit foreign support for independence and contain China with Taiwan is doomed to fail.

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    MIL OSI China News

  • MIL-OSI United Kingdom: Nuclear safeguards and the NPT: AUKUS Side Event, May 2025

    Source: United Kingdom – Executive Government & Departments

    Speech

    Nuclear safeguards and the NPT: AUKUS Side Event, May 2025

    Combined statements of the UK, Australia, and the US from the NPT PrepCom AUKUS Side Event on 1 May 2025

    Australian statement as delivered by Vanessa Wood, Ambassador for Arms Control and Counter-Proliferation

    Thank you all for joining us today. And thanks to my colleague Ambassador Larsen for his introduction.

    As many of you may recall, and as Ambassador Larsen noted in his introductory remarks, the AUKUS partners held a side event on naval nuclear propulsion at the 2023 and 2024 NPT PrepCom meetings. Following on from the updates provided at last year’s side event, I would like to further update you on progress with Australia’s naval nuclear propulsion (NNP) programme.

    First, an overview of the Optimal Pathway.

    What we call the ‘Optimal Pathway’ is a phased approach for Australia to acquire conventionally armed, nuclear-powered submarines.

    Phase 1 of the Optimal Pathway is currently underway, focused on building capacity and familiarity for Australia to safely operate and steward nuclear-powered submarines. This phase is supported by increased port visits to Australia by UK and US nuclear-powered submarines – which are already occurring.

    Under Phase 2, from the early 2030s Australia plans to acquire three Virginia-class submarines from the US – with an option to seek approval for a further two boats, if needed. Our objective is to ensure there is no capability gap during the retirement of Australia’s existing fleet of diesel-electric submarines.

    We will simultaneously progress Phase 3 to develop next generation submarines known as SSN-AUKUS, a UK design incorporating technology from all three AUKUS partners. The United Kingdom will deliver its first British-built SSN-AUKUS in the late 2030s, and the first Australian-built SSN-AUKUS will be completed in the early 2040s.

    It is important to highlight two points. First, this is a replacement capability for our existing submarines. Australia is transitioning from six diesel-electric submarines to eight conventionally armed, nuclear-powered submarines. It is a sovereign decision Australia has taken in response to more challenging strategic circumstances in our region.

    Second, this is about acquiring a naval nuclear propulsion capability. The submarines will be conventionally armed. The only nuclear element is the propulsion system.

    Now to briefly address naval nuclear propulsion in the context of Australia’s obligations under the Treaty on the Non-Proliferation of Nuclear Weapons (NPT). 

    Australia’s NNP programme is fully consistent with its nuclear non-proliferation obligations and commitments, including under the NPT, the South Pacific Nuclear Free Zone Treaty (Treaty of Rarotonga) and our safeguards agreements with the International Atomic Energy Agency (IAEA).

    NNP was foreseen by the drafters of the NPT. Indeed, a mechanism was provided for this in Article 14 of the IAEA’s model Comprehensive Safeguards Agreement (CSA). As IAEA Director General Grossi has stated, Article 14 was developed with the specific intent to address the use of nuclear material for NNP – whether produced domestically or imported.

    The model CSA – which contains this Article – was approved by the IAEA Board of Governors in 1971. This is the basis for CSAs agreed with Member States over more than 50 years, including Australia’s CSA.

    The NPT, the IAEA Statute, the CSA and, in Australia’s case also the Additional Protocol (AP), provide a firm legal basis and obligation for the IAEA Director General and Secretariat to engage directly with Member States – and confidentially to protect sensitive information – in the development and implementation of safeguards.

    Australia’s non-proliferation approach for NNP is being developed on this basis and it will operate within the framework of Australia’s CSA and AP.

    As part of developing a non-proliferation approach for Australia’s NNP programme, we commenced formal technical consultations with the IAEA Secretariat in May 2023. These consultations are ongoing. Topics being discussed in the consultations include:

    Legal and technical aspects of an Article 14 arrangement for Australia, including the arrangement’s structure and content;

    Provisions for advance notification, reporting and verification prior to the entry of nuclear material into an Article 14 arrangement;

    The circumstances under which the Article 14 arrangement applies, its duration and the point at which safeguards under Australia’s CSA and AP re-apply;

    Ways to facilitate verification and monitoring activities, as well as additional voluntary transparency measures;

    And discussions regarding the structure of material balance areas, facilities and sites at relevant locations in Australia, within the framework of Australia’s CSA and AP.

    Our consultations follow the longstanding practice of the IAEA engaging bilaterally with Member States on their own safeguards and verification arrangements, in accordance with the Agency’s statutory mandate and authority, which I touched upon earlier. All IAEA Member States share a strong interest in protecting their fundamental right to engage bilaterally, and in-confidence, with the IAEA on the establishment and implementation of their safeguards and verification arrangements.

    Turning to Australia’s approach to non-proliferation.

    We are working to make sure Australia’s Article 14 arrangement sets the highest non-proliferation standard. But to be clear, this does not mean we intend to create or impose a model arrangement on others.

    The objective is to develop a robust approach that ensures that the IAEA continues to meet its technical safeguards verification objectives for Australia throughout the submarines’ lifecycle. That is, for the IAEA to have confidence that there has been no diversion of declared nuclear material; no misuse of nuclear facilities; and no undeclared nuclear material or activities.

    This is what we see as fundamental to our non-proliferation approach.

    In developing an Article 14 arrangement, the IAEA will need to account for factors that are specific to Australia’s NNP program. In Australia’s case, a number of these program-specific factors also offer important non-proliferation advantages. For example: 

    Australia will not undertake enrichment, reprocessing or fuel fabrication for NNP;

    Australia will receive the nuclear fuel for propulsion in complete, welded power units: and;

    The nuclear fuel Australia will receive cannot be used in nuclear weapons without further chemical processing – requiring facilities that Australia does not have and will not seek.

    Our commitment to the non-proliferation regime is reflected in the trilateral AUKUS Agreement for Cooperation Related to Naval Nuclear Propulsion (ANNPA), which entered into force on 17 January this year. ANNPA stipulates the transfer of nuclear material and equipment from the UK and the US to Australia can occur only after Australia has an Article 14 arrangement in place with the IAEA.  My American colleague, Paul, will address this topic in more detail.

    We support the IAEA Director General’s commitment that, once Australia’s Article 14 arrangement is developed, it will be transmitted to the IAEA Board for appropriate action, guided by the Director General’s technical assessment of the arrangement’s non-proliferation provisions.

    In November last year, IAEA Director General Grossi issued his third report on Australia’s NNP programme (the previous reports were issued in 2022 and 2023). At our request, this report, and the previous two reports, have been published on the IAEA website. I commend the reports to all who are interested in how the IAEA and Australia have been working together to support the non-proliferation element of Australia’s NNP program. 

    The Director General’s report confirms we have kept the Secretariat informed of all relevant developments and have continued to fulfil all reporting requirements under Australia’s CSA, AP and subsidiary arrangements, in keeping with our impeccable non-proliferation record. The report outlines relevant developments since 2023 including:

    That the Agency has continued to conduct its independent verification activities in relation to Australia’s NNP programme within the framework of Australia’s safeguards agreements, and

    How Australia has been supporting this work, including by facilitating the IAEA’s collection of environmental samples, and enabling a transparency visit to a naval base that will be used for the maintenance of nuclear-powered submarines.

    To recap other key developments since our last side event at the 2024 PrepCom:

    In October 2024, we announced a plan to establish a naval shipbuilding and sustainment precinct at Henderson in Western Australia. In due course, this will be the home of depot-level maintenance and contingency docking of Australia’s future conventionally armed, nuclear-powered submarines.

    In late August-early September 2024, a maintenance activity was conducted on a US Virginia class nuclear-powered submarine at HMAS Stirling naval base in Western Australia. Australian personnel participated in planned maintenance and repairs on the non-nuclear components of the submarine. This marked a significant step forward in supporting Australia’s development of necessary workforce skills. Australia engaged with the IAEA to ensure transparency ahead of this activity.

    In conclusion, I want to express my thanks for your attendance at this event, and your interest in this matter. This is the third side event we have convened in the context of the NPT PrepCom process, as part of our continued commitment to engage regularly and transparently on Australia’s NNP program. 

    AUKUS partners will keep providing updates on relevant developments at the IAEA Board of Governors and General Conference – as we have done consistently since AUKUS was announced in September 2021.

    We fully support the Director General’s commitment to continue to report to the IAEA Board of Governors on Australia’s NNP program, as he judges appropriate. We welcome constructive discussions in the Board based on his reports.

    An important recent development is the entry into force of the ANNPA, which my American colleague Paul will discuss next.

    Thank you.

    US statement as delivered by Paul Watzlavick, Senior Bureau Official, Bureau of International Security and Non-Proliferation

    Thank you, Ambassador Wood.

    As you just heard from my Australian colleague, the entry into force of the AUKUS Naval Nuclear Propulsion Agreement (ANNPA) in January was an important step toward Australia’s acquisition of a conventionally armed, nuclear-powered, submarine capability. Specifically, ANNPA permits the continued communication and exchange of information related to naval nuclear propulsion, as well as the transfer of naval nuclear propulsion plants, related equipment, and material to Australia for a conventionally armed, nuclear-powered submarine capability. ANNPA cements AUKUS partners’ non-proliferation commitments in accordance with the NPT by making them legally binding on Australia, the United Kingdom, and United States. As we have prioritised since the start of the AUKUS partnership in 2021, this is yet another way that we are demonstrating our commitment to setting the highest standard of non-proliferation in an open and transparent manner.

    Significantly, ANNPA reaffirms partners’ respective commitments under the NPT: those of the US and UK as Nuclear Weapon States, and those of Australia as a Non-Nuclear Weapon State. ANNPA allows the US and UK to provide information, material, and equipment to Australia solely for a conventionally armed, nuclear-powered submarine capability, not for nuclear weapons. Additionally, ANNPA reaffirms Australia’s commitment as a Non-Nuclear Weapon State to not receive the transfer of nuclear weapons or other nuclear explosive devices or control of nuclear weapons. Under the Agreement, Australia is prohibited from enriching uranium, producing nuclear fuel, or reprocessing spent nuclear fuel for naval nuclear propulsion. ANNPA also makes clear that the United Kingdom and United States will only provide Australia with nuclear fuel in complete, welded power units. Ambassador Kitsell will go into further detail on this point later.

    I would now like to cover some of the major provisions of ANNPA, which provides a legal framework to enable the parties to continue sharing naval nuclear propulsion information and for the United States and United Kingdom to transfer nuclear material and equipment to Australia. Most importantly, ANNPA requires that a satisfactory arrangement meeting the highest non-proliferation standard under Article 14 of Australia’s Comprehensive Safeguards Agreement be in place between Australia and the IAEA before any transfer of nuclear material under the Agreement. The safeguards arrangement must not only be satisfactory to Australia and the IAEA in this regard, but the AUKUS partners must have a shared view that safeguards arrangement meets the highest non-proliferation standard. The AUKUS partners have affirmed that they understand that this means that the Article 14 arrangement must allow the IAEA to fulfil its core technical objectives at all stages of the lifecycle of Australia’s conventionally armed, nuclear-powered submarine programme.

    Despite the AUKUS partners’ continued dedication to non-proliferation, ANNPA has been the subject of deliberate disinformation. To be clear:

    First, ANNPA requires Australia and the IAEA to reach an agreement on safeguards. ANNPA authorizes the transfer of nuclear material only when a satisfactory safeguards and verification arrangement is in place between Australia and the IAEA.

    Second, neither ANNPA – nor any provisions within it – constitute a substitute or alternative for IAEA safeguards. Indeed, claims that the Agreement allows the Parties applying our own verification mechanisms instead are incorrect. The Article (VII.E) in question is commonly contained in agreements for civil nuclear cooperation – including in most from the US, UK, and Australia – and provides a mechanism to ensure that safeguards measures, obligations, principles, procedures and assurances will continue to be applied in all circumstances. We believe that not having such a mechanism would be irresponsible.

    Third, ANNPA’s requirements are consistent with Australia’s Comprehensive Safeguards Agreement with the IAEA. ANNPA obligates the partners to protect naval nuclear propulsion information and related classified information from disclosure, including disclosure to the IAEA, but the partners are committed to developing a safeguards and verification arrangement that protects such information from disclosure while allowing the IAEA to complete its technical objectives. As noted, this is consistent with Article 14 of Australia’s Comprehensive Safeguards Agreement, which specifically provides that such arrangements with the IAEA “shall not involve any approval or classified knowledge of the military activity or relate to the use of the nuclear material therein.” Importantly, the ANNPA specifically obliges the UK and US to ensure that Australia provides the IAEA with other information and access necessary to fulfil Australia’s safeguards obligations to the IAEA.

    We value sessions such as this one to openly offer clarity on how we are developing our approach consistent with our respective international obligations. I have spoken to you about an important step in our partnership, the ANNPA, and will now turn to Ambassador Kitsell to cover wider areas of misinformation that have unfortunately persisted about the AUKUS partnership.

    UK statement as delivered by Corinne Kitsell, Ambassador and UK Permanent Representative to IAEA and CTBTO

    Thank you, Paul.

    It is excellent to see so many delegates in the room for this discussion, and a pleasure to join my US and Australian colleagues on this panel.  You’ve already heard from Ambassador Wood and Mr Watzlavick about the AUKUS programme, our non-proliferation approach, and how the entry into force of the ANNPA bolsters our non-proliferation commitments. 

    My aim today is to address some common misconceptions about the AUKUS endeavour. I hope to offer clarity and reassurance on some of the issues we are asked most frequently. 

    AUKUS is still a relatively new partnership, and it is natural and expected that there are questions about the work we are undertaking. That is why, since AUKUS began in September 2021, all three partners have engaged openly and transparently with the international community.

    My aim today is to ensure you are equipped with the facts about the work we are undertaking in relation to nuclear non-proliferation and to ensure our dialogue, at this meeting and others, remains grounded in truth. This includes underlining four important points, that: 

    First, AUKUS is fully in line with our respective international obligations;

    Second, the transfer of Highly Enriched Uranium (HEU) between Nuclear Weapon States (NWS) and Non-Nuclear Weapon States (NNWS) does not contravene the NPT;

    Third, Australia’s Article 14 arrangement will not remove nuclear material from IAEA oversight, and;

    Fourth, why attempts to legitimise a parallel intergovernmental discussion on AUKUS should be rejected.

    First, AUKUS is fully in line with all three partners’ respective international obligations. Including the NPT and Australia’s obligations under the Treaty of Rarotonga. Some have made claims to the contrary, often based on conjecture or disregard for our commitment to our international obligations. Accordingly, it is worth reiterating again that our cooperation under AUKUS has nothing to do with nuclear weapons. 

    Australia’s nuclear-powered submarines will use nuclear material solely as a power source for propulsion. All three AUKUS partners take our obligations under the NPT extremely seriously. As per Article 2 of the Treaty, Australia does not have and will not seek to acquire nuclear weapons. Consistent with their obligations under Article 1, neither the UK nor the US will provide any assistance, encouragement or inducement for Australia to do so. 

    Relatedly, we recognise that there is interest in the safety of nuclear-powered vessels. Some have also inquired about the management of spent fuel from Australia’s submarine programme. I can reassure you that nuclear safety and stewardship are fundamental to our cooperation under AUKUS. For over 60 years, the UK and the US have operated more than 500 naval nuclear reactors. Collectively, they have travelled over 240 million kilometres without a reactor accident or release of radioactive material that adversely affected human health or the environment. Our approach to AUKUS is underpinned by this unmatched safety record, as well as Australia’s experience operating nuclear research reactors and conducting nuclear science activities. 

    Claims that AUKUS will undermine the South Pacific Nuclear Free Zone – either in terms of the presence of nuclear weapons or the dumping of radioactive waste at sea – are incorrect. Naval nuclear propulsion is not prohibited by the Treaty of Rarotonga, and Australia’s acquisition of a conventionally-armed, nuclear-powered submarine capability is entirely consistent with the Treaty. As a responsible nuclear steward, Australia will be responsible for the management, disposition, storage, and disposal of any spent nuclear fuel and radioactive waste from their programme. The Australian Naval Nuclear Power Safety Act 2024 also reaffirms that Australia will not manage, store, or dispose of spent nuclear fuel or reactors from decommissioned UK or US submarines. 

    Second, Australia’s submarine fuel will be subject to a robust package of safeguards and verification measures. We know that much has been made of the fact that Australia’s submarines will be powered by Highly Enriched Uranium. Let me be clear – the HEU fuel that will power Australia’s submarines will be subject to a robust package of safeguards and verification measures developed in consultation with the IAEA. The fuel for Australia’s nuclear-powered submarines will be provided to Australia by the UK and US in complete, welded power units that will not require refuelling in their lifetime. This has several advantages, including:

    Eliminating the need for Australia to enrich uranium;

    Reducing the production of spent fuel, and;

    Avoiding the need to maintain a stockpile of fresh nuclear fuel.

    Removing nuclear material from these sealed units is a complex and highly visible process. This would also render the power unit, and hence the submarine, inoperable. There is no incentive for Australia to pursue such a course of action.

    Additionally, the nuclear fuel Australia will receive cannot be used in nuclear weapons without further chemical processing. This would require facilities that Australia does not have and will not seek. The IAEA will be able to verify the absence of these facilities, including by use of Australia’s Additional Protocol.

    Separately, you may have heard that the transfer of HEU from a NWS to a NNWS is unprecedented or contravenes the NPT. Both claims are incorrect. The transfer of nuclear material at any enrichment level among States Parties is not prohibited by the NPT, provided the transfer is carried out in accordance with relevant safeguards obligations. Such transfers can and do take place between Nuclear Weapon States and Non-Nuclear Weapon States. Like many Member States here, AUKUS partners remain fully committed to HEU minimisation for civilian nuclear applications.

    Third, naval nuclear propulsion was foreseen by the drafters of the NPT and will not remove nuclear material from IAEA oversight. As Ambassador Wood has already made clear, naval nuclear propulsion was foreseen by the drafters of the NPT and discussed during the negotiations to develop the model CSA. This has been repeatedly confirmed by the IAEA Secretariat, including by Director General Grossi in September 2022 and March 2023.  Article 14 is the specific provision included in the IAEA’s model CSA to provide a mechanism for activities including naval nuclear propulsion.

    The development and use of this technology, and the application of Article 14, is therefore not a ‘loophole’ – and calling it such is often a deliberate attempt to mislead. As DG Grossi noted in May 2023, and I quote, “the Agency’s role in this process is foreseen in the existing legal framework and falls strictly within its statutory competences”.

    And let me be clear, Australia’s Article 14 arrangement will not remove nuclear material from IAEA oversight. The Agency will be enabled to continue meeting its technical objectives throughout the lifecycle of Australia’s submarines. Verifying that there has been no diversion of nuclear material; no misuse of nuclear facilities; and no undeclared nuclear material or activities in Australia. 

    Fourth, the IAEA has the authority to negotiate directly and in-confidence with Member States. The IAEA has the clear authority under its Statute, and extensive precedent, to negotiate directly and in-confidence with individual Member States on the establishment and application of safeguards and verification arrangements.

    You may encounter attempts to legitimise a so-called intergovernmental discussion on AUKUS. If you do, we urge you to remember the following: Australia’s current engagement with the IAEA is not a new phenomenon. As DG Grossi has stated, the IAEA already conducted bilateral discussions with another Member State on an Article 14 arrangement in the past. Many will be aware that the IAEA is also engaging with Brazil on an arrangement for the use of nuclear material under safeguards in naval nuclear propulsion under Article 13 of the Quadripartite Safeguards Agreement. 

    The international safeguards system relies on the IAEA’s ability to carry out its verification mission independently and impartially – free from political deliberations. Interference would politicise the IAEA’s independence, mandate, and technical authority, and establish a deeply harmful precedent.

    Any suggestion that the IAEA Board of Governors, or the opportunity for proper deliberation, will somehow be bypassed in the case of AUKUS is also false. DG Grossi has committed to report, as appropriate, on naval nuclear propulsion programmes to the Board, as he last did last in November 2024. AUKUS partners welcome discussion of such programmes at the Board, under apolitical agenda items put forward by the DG and informed by his reporting. Once Australia and the IAEA Secretariat have agreed an Article 14 arrangement, it will be transmitted to the Board for appropriate action. AUKUS partners fully support this. 

    To summarise, Australia, the UK, and US strongly support the NPT as the cornerstone of the global non-proliferation regime. We remain committed to setting the highest non-proliferation standard for naval nuclear propulsion under an Article 14 arrangement. I hope you will leave here today clear in the knowledge that AUKUS is fully in line with our international obligations, including those in the NPT, and confident in the principles and legitimacy of our approach and our engagement with the IAEA. We will continue to engage openly and transparently with the international community on good faith queries. In that spirit, I will pass back to Ambassador Larsen for any questions from the audience.

    Updates to this page

    Published 13 June 2025

    MIL OSI United Kingdom

  • MIL-OSI USA: NIH researchers identify brain circuits responsible for visual acuity

    Source: US Department of Health and Human Services – 2

    Wednesday, June 4, 2025

    Studies demonstrate the effect of retinal injury on visual processing pathways, providing insights for the development of vision restoration therapies.

    Visual processing involves interactions between neurons in the eye and brain allowing us to see the world around us. These pathways originate in the retina, which converts light energy into electrical signals that are transmitted to the brain’s visual processing centers. Axons from retinal ganglion cells form the optic nerve, which connects to the lateral geniculate nucleus of the thalamus, a relay center in the brain that transmits signals to the visual cortex – a part of the brain that processes those signals into images.

    Researchers at the National Institutes of Health (NIH) have identified which brain circuits are vital for visual acuity and how they are affected by damaged retinal cells. While vision restoration therapies, such as stem-cell and gene therapies, aim to replace or repair damaged cells in the eye, it is critical to understand how brain circuits involved in vision are affected by retinal cell loss. Study results suggest that targeting these circuits may be necessary to achieve optimal recovery of visual function, and have significant implications for the development of future vision restoration therapies that address visual pathways beyond the retina. The study published today in The Journal of Neuroscience.
    “A huge amount of progress has been made in repairing the eye, however little attention has been paid to the functional consequences beyond the eye,” said the study’s lead investigator, Farran Briggs, Ph.D., senior investigator at NIH’s National Eye Institute (NEI). “Brain circuits downstream of damaged or dying retinal cells in the eye may also undergo some loss of function following changes to their retinal inputs.”
    Visual processing involves interactions between neurons in the eye and brain allowing us to see the world around us. These pathways originate in photoreceptor cells in the retina that convert light energy into electrical signals, which are then transmitted to the brain’s visual processing centers. When retinal cells become damaged due to injury or disease, vision is often impaired. In a process known as neuroplasticity, the brain undergoes functional changes to adapt to a retinal injury or disease/degeneration. A person who experiences vision loss, for example, may have a resulting “blind spot” in a portion of their field of view.
    Current therapies target retinal cells, however, retinal cells represent just the initial stage in a multi-step pathway that converts light into the complex images we perceive.
    Scientists aimed to understand how neurons downstream of the retina are affected by damage to retinal ganglion cells (RGCs), which receive signals from other retinal cells and transfer to the brain. RGCs connect to neurons in a relay center in the brain, known as the lateral geniculate nucleus (LGN), that transmits signals to the visual cortex, where those signals are processed into images. The study examined two types of LGN cells that respond to different types of visual information and form parallel processing pathways: X-LGN neurons, which contribute to visual acuity, and Y-LGN neurons, which contribute to motion perception.
    Investigators examined the effects of retinal cell loss on the X and Y visual processing pathways by using an animal model in ferrets. Following injury to the RGCs in the retina, recordings of LGN neuronal responses were conducted to evaluate the impact on X and Y pathways. They found that X-LGN neurons didn’t respond properly to visual stimuli, whereas Y-LGN neuron responses remained largely intact. These findings suggest that retinal cell loss affects downstream visual pathways differently, with the X pathway being notably impacted while the Y pathway remains relatively unaffected, suggesting higher sensitivity of visual acuity pathways to degeneration of the retina.
    “Vision restoration therapies may need to target circuits that are responsible for visual acuity in addition to the retina. Such therapies could include training therapies, such as video games, that provide interactive feedback or other vision behavioral therapies,” Briggs said.
    Future studies could use the model of RGC loss to investigate retinal degeneration and visual deficits in neuropsychiatric illnesses like schizophrenia. The research group aims to understand the marked changes in visual perception that occur during this disease.
    This work was supported by the in-house research program at NIH/NEI.
    About the National Institutes of Health (NIH): NIH, the nation’s medical research agency, includes 27 Institutes and Centers and is a component of the U.S. Department of Health and Human Services. NIH is the primary federal agency conducting and supporting basic, clinical, and translational medical research, and is investigating the causes, treatments, and cures for both common and rare diseases. For more information about NIH and its programs, visit www.nih.gov.
    NIH…Turning Discovery Into Health®
    Reference
    Yang, J., et al. (2025). “Differential impact of retinal lesions on visual responses of LGN X and Y cells.” The Journal of Neuroscience: DOI: 10.1523/JNEUROSCI.0436-25. 2025.

    Institute/Center

    National Institutes of Health (NIH)

    Contact

    NIH Office of Communications
    301-496-5787

    MIL OSI USA News

  • MIL-OSI USA: NIH researchers conclude that taurine is unlikely to be a good aging biomarker

    Source: US Department of Health and Human Services – 2

    Thursday, June 5, 2025

    Findings show this amino acid did not longitudinally decline with age
    Scientists at the National Institutes of Health (NIH) have found that levels of circulating taurine, a conditionally essential amino acid involved in multiple important biological functions, is unlikely to serve as a good biomarker for the aging process. In blood samples from humans, monkeys, and mice, scientists found that circulating taurine levels often increased or remained constant with age. Analysis of longitudinal data showed that within individual differences in taurine levels often exceeded age-related changes. Researchers also found that taurine levels were inconsistently associated with health outcomes across age, species, and cohorts, suggesting that declining taurine is not a universal marker of aging. Instead, its impact may depend on individual physiological contexts shaped by genetic, nutritional, and environmental factors. Results are published in Science.
    Taurine recently gained popularity as dietary supplement due to recent research that found supplementation with taurine improved multiple age-related traits and extended lifespan in model organisms (worms and mice). However, there is no solid clinical data that shows its supplementation benefits humans.
    “A recent research article on taurine led us to evaluate this molecule as a potential biomarker of aging in multiple species,” said Rafael de Cabo, Ph.D., study co-author and chief of the Translational Gerontology Branch at NIH’s National Institute on Aging (NIA).
    Researchers measured taurine concentration in longitudinally collected blood from participants in the Baltimore Longitudinal Study of Aging (aged 26-100), rhesus monkeys (aged 3-32 years) and mice (aged 9-27 months). Taurine concentrations increased with age in all groups, except in male mice in which taurine remained unchanged. Similar age-related changes in taurine concentrations were observed in two cross-sectional studies of geographically distinct human populations, the Balearic Islands Study of Aging (aged 20-85) from the Balearic region of Mallorca, and the Predictive Medicine Research cohort (aged 20-68) from Atlanta, Georgia, as well as in the cross-sectional arm of the Study of Longitudinal Aging in Mice.
    “We used longitudinal, cross-species data across the lifespan under normal conditions aimed to clarify how taurine levels change with age as a biomarker for aging, a key advance for aging research,” added Maria Emilia Fernandez, Ph.D., study co-author and postdoctoral fellow of the Translational Gerontology Branch at NIA.
    Researchers also found that the relation between taurine and muscle strength or body weight was inconsistent. For example, analyses of gross motor function highlight the limitations of considering solely circulating taurine changes as indicative of biological aging, as comparatively low motor function performance can be associated either with high or low concentrations of taurine, whereas in other cases, no relation at all is found between these variables.
    “Identifying reliable biomarkers to predict the onset and progression of aging and functional decline would be a major breakthrough, enabling more effective, personalized strategies to maintain health and independence into old age,” emphasized Luigi Ferrucci, M.D., Ph.D. study co-author and scientific director at NIA.
    This study was funded by the in-house research program at NIH/NIA.
    About the National Institutes of Health (NIH): NIH, the nation’s medical research agency, includes 27 Institutes and Centers and is a component of the U.S. Department of Health and Human Services. NIH is the primary federal agency conducting and supporting basic, clinical, and translational medical research, and is investigating the causes, treatments, and cures for both common and rare diseases. For more information about NIH and its programs, visit www.nih.gov.
    NIH…Turning Discovery Into Health®
    References
    R. de Cabo, M. E. Fernandez, et al. Is taurine an aging biomarker? Science. 2025. DOI: 10.1126/science.adl2116.

    Institute/Center

    National Institute on Aging

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    NIH Office of Communications and Public Liaison
    301.496.5787

    MIL OSI USA News

  • MIL-OSI United Kingdom: Plymouth to be national centre for marine autonomy

    Source: City of Plymouth

    Plymouth is to be the national centre for marine autonomy, the Defence Minister has announced in a keynote address at a major networking event in the city today.

    The city is already making waves in this area of marine technology, but the announcement made by the Right Honourable Maria Eagle, Minister of State (Defence Procurement and Industry) will catapult the city and its expertise into the spotlight.

    The timing of the news could not have been better – it came as the Plymouth City Council in partnership with the South West Regional Defence and Security Cluster, hosted an event in Devonport involving key figures from the world of marine and defence connecting with local companies to explore opportunities for future projects and investment.

    Council Leader Tudor Evans OBE said: “This is superb news. We knew Plymouth was creating something special in the blue/green skills sector, but it is always great to see others endorse what you believe.

    “We have some extraordinary businesses and organisations here in Plymouth who are at the cutting edge of this incredibly exciting sector. The world is waking up to all the possibilities marine autonomy offers and we are very keen indeed to help connect Plymouth businesses to the right people and the right organisations.

    “Investing in Plymouth’s businesses for testing and developing marine autonomy will enable UK PLC to build sovereign capabilities and secure a significant share in this growing market, particularly in the fields of defence, renewables, and oil and gas.”

    MP for Plymouth Sutton and Devonport Luke Pollard told the delegates that the nature of defence is changing. He said: “We have a strategic defence review that sets out that we will have fighting structure which includes marine autonomy.

    “Defence is an engine for growth. This an opportunity to develop, scale up and test marine autonomy. This sector is incredible, innovative and the work we are doing in the city is cutting edge.

    “There is a place for investment and that’s Plymouth.”

    Professor Richard Davies, Vice-Chancellor of the University of Plymouth, said: “This acknowledges the key role Plymouth is already playing in the development and delivery of marine autonomy.

    “But being recognised as the national centre of excellence represents a once in a lifetime opportunity that will open new doors for the University and our partners.

    “Working across existing and new collaborations, we can now push forward with ambitious plans to grow a sector that is critical to our nation’s defence and security, and has the potential to benefit the environment, business, health and much more besides. Together, we have the skills and expertise to deliver on those ambitions, fostering new opportunities that benefit the city, region and country in the long-term.”

    Plymouth and its surrounding area has a rich ecosystem of private sector businesses and world-renowned research capabilities across marine autonomy.

    It is a global centre of excellence for marine science and technology, with one of the largest clusters of expertise in the world and over 7,100 skilled people in marine manufacturing. Blue tech/marine sector accounts for 21 per cent of the national employment in this field and 11.3 per cent of the city’s total employment.

    Global research partners include Plymouth Marine Laboratory, Marine Biological Association, the University of Plymouth and marine autonomy companies already based in Plymouth include Thales, M Subs, Oshen, Zero USV, Sonardyne and Fugro.

    In 2020 M Subs successfully sailed the first autonomous vessel across the Atlantic.

    The Mayflower Autonomous Ship (MAS400) was the world’s first full-sized, fully autonomous, unmanned ship to cross the ocean. The revolutionary vessel set sail from Plymouth and arrived at Plymouth, Massachusetts via a pit stop in Halifax in Nova Scotia.

    The industry predicts a global marine autonomy market worth £103 billion by 2030, with the UK adopting a 10 per cent market share.

    Key speakers at the event included Sir Chris Gardner KBE Chief Executive Officer of the Submarine Delivery Agency and the Royal Navy’s Vice Admiral Andrew Burns.

    There were also representatives from Thales, Atlas Electronics as well as a themed discussion on advanced marine technology and how Plymouth will drive innovation in dual-use technology for UK Security by representatives from the University of Plymouth and PML.

    Over 170 people attended the event today Friday 13 June at the Market Hall in Devonport, UK.

    MIL OSI United Kingdom

  • MIL-OSI Analysis: Southern Baptists’ call for the US Supreme Court to overturn its same-sex marriage decision is part of a long history of opposing women’s and LGBTQ+ people’s rights

    Source: The Conversation – USA – By Susan M. Shaw, Professor of Women, Gender, and Sexuality Studies, Oregon State University

    A worship session at the 2025 Southern Baptist Convention annual meeting on June 10, 2025, in Dallas. AP Photo/Richard W. Rodriguez

    The Southern Baptist Convention has lost 3.6 million members over the past two decades and faces an ongoing sexual abuse crisis. At its June 2025 annual meeting, however, neither of those issues took up as much time as controversial social issues, including the denomination’s stance on same-sex marriage.

    The group called for the overturning of Obergefell v. Hodges – the Supreme Court decision that legalized same-sex marriage – and the creation of laws that “affirm marriage between one man and one woman.”

    Messengers – Southern Baptists’ word for delegates from local churches – also asked for laws that would “reflect the moral order revealed in Scripture and nature.”

    They also decried declining fertility rates, commercial surrogacy, Planned Parenthood, “willful childlessness,” the normalization of “transgender ideology,” and gender-affirming medical care.

    This detailed list targeting women’s and LGBTQ+ rights was justified by an appeal to a God-ordained created order, as defined by Southern Baptists’ interpretation of the Bible.

    In this created order, sex and gender are synonymous and are irrevocably defined by biology. The heterosexual nuclear family is the foundational institution of this order, with the father dominant over his wife and children – and children are a necessity if husbands and wives are to be faithful to God’s design for the family.

    The resolution, On Restoring Moral Clarity through God’s Design for Gender, Marriage, and the Family, passed easily in a denomination that was taken over from more moderate Southern Baptists by fundamentalists in the early 1990s, largely in response to women’s progress in society and in the denomination.

    Southern Baptists were always conservative on issues of gender and sexuality. As I was entering a Southern Baptist seminary in the early 1980s, the denomination seemed poised to embrace social progress. I watched the takeover firsthand as a student and then as a professor of women and gender studies who studies Southern Baptists. This new resolution is the latest in a long history of Southern Baptist opposition to the progress of women and LGBTQ+ people.

    Opposing LGBTQ+ rights

    Throughout the late 1960s and early 1970s, many Southern Baptists began to embrace the women’s movement. Women started to attend Southern Baptist seminaries in record numbers, many claiming a call to serve as pastors. While Southern Baptist acceptance of LGBTQ+ people lagged far behind its nascent embrace of women’s rights, progress did seem possible.

    Then in 1979, a group of Southern Baptist fundamentalists organized to wrest control of the denomination from the moderates who had led it for decades.

    Any hope for progress on changes regarding LGBTQ+ rights in the denomination quickly died. Across the next two decades, advances made by women, such as being ordained and serving as senior pastors, eroded and disappeared.

    The SBC had passed anti-gay resolutions in the 1970s defining homosexuality as “deviant” and a “sin.” But under the new fundamentalist rule, the SBC became even more vehemently anti-gay and anti-trans.

    In 1988, the SBC called homosexuality a “perversion of divine standards,” “a violation of nature and natural affections,” “not a normal lifestyle,” and “an abomination in the eyes of God.”

    In 1991, they decried government funding for the National Lesbian and Gay Health Conference as a violation of “the proper role and responsibility of government” because of its encouragement of “sexual immorality.”

    Predictably, across the years, the convention spoke out against every effort to advance LGBTQ+ rights. This included supporting the Boy Scouts’ ban of gay scouts, opposing military service by LGBTQ+ people, boycotting Disney for its support of LGBTQ+ people, calling on businesses to deny LGBTQ+ people domestic partner benefits and employment nondiscrimination to protect LGBTQ+ people, and supporting the Defense of Marriage Act that limited marriage to a woman and a man.

    Targeting same-sex marriage

    The gender and sexuality topic, however, that has received the most attention from the convention has been marriage equality. Since 1980, the SBC has passed 22 resolutions that touch on same-sex marriage.

    The SBC passed its first resolution against same-sex marriage in 1996 after the Hawaii Supreme Court indicated the possibility it could rule in favor of same-sex marriage. The court never decided the issue because Hawaii’s Legislature passed a bill defining marriage as between a man and a woman.

    In 1998, the convention amended its faith statement, the Baptist Faith and Message, to define marriage as “the uniting of one man and one woman in covenant commitment.”

    The denomination passed its next resolution in 2003 in response to the Vermont General Assembly’s establishment of civil unions. The resolution opposed any efforts to validate same-sex marriages or partnerships, whether legislative, judicial or religious.

    In 2004, after the Massachusetts Supreme Court allowed same-sex marriages in that state, the convention called for a constitutional amendment to define marriage as between a man and a woman. It reiterated this call in 2006.

    When the California Supreme Court struck down the state’s ban on same-sex marriage, the SBC passed another resolution in 2008 warning of the dire consequences of allowing lesbians and gay men to marry, as people from other states would marry in California and return home to challenge their states’ marriage bans.

    In 2011, the convention offered its support for the Defense of Marriage Act, followed in 2012 by a denunciation of the use of civil rights language to argue for marriage equality.

    Delegates at a Southern Baptist Convention meeting in 2012 in New Orleans.
    AP Photo/Gerald Herbert

    The resolution argues that homosexuality “does not qualify as a class meriting special protections, like race and gender.”

    When Obergefell was before the Supreme Court, the SBC called on the court to deny marriage equality. After Obergefell was decided in favor of same-sex marriage, the convention asked for Congress to pass the First Amendment Defense Act, which would have prohibited the federal government from discriminating against people based on their opposition to same-sex marriage. That same resolution also offers its support to state attorneys general challenging transgender rights.

    Opposing transgender people

    Messengers of the Southern Baptist Convention listen to remarks by its president, Clint Pressley, during the 2025 SBC annual meeting in Dallas.
    AP Photo/Richard W. Rodriguez

    This was not the first time the SBC had spoken about transgender issues. As early as 2007, the denomination expressed its opposition to allowing transgender people to constitute a protected class in hate crimes legislation.

    In 2014, the convention stated its belief that gender is fixed and binary and subsequently that trans people should not be allowed gender-affirming care and that government officials should not validate transgender identity.

    In 2016, the denomination opposed access for transgender people to bathrooms matching their gender identities. In 2021, the convention invoked women’s rights – in a denomination famous for its resistance to women’s equality – as a reason to undermine trans rights.

    In its resolution opposing the proposed Equality Act, which would have added sexual orientation and gender identity as protected classifications, the SBC argued, “The Equality Act would undermine decades of hard-fought civil rights protections for women and girls by threatening competition in sports and disregarding the privacy concerns women rightly have about sharing sleeping quarters and intimate facilities with members of the opposite sex.”

    This most recent resolution from June 2025 returns to the themes of fixed and binary gender, a divinely sanctioned hierarchical ordering of gender, and marriage as an institution limited to one woman and one man. While claiming these beliefs are “universal truths,” the resolution argues that Obergefell is a “legal fiction” because it denies the biological reality of male and female.

    Going further, this resolution claims that U.S. law on gender and sexuality should be based on the Bible. The duty of lawmakers, it states, is to “pass laws that reflect the truth of creation and natural law – about marriage, sex, human life, and family – and to oppose any law that denies or undermines what God has made plain through nature and Scripture.”

    By taking no action on sexual abuse while focusing its efforts on issues of gender and sexuality, the convention affirmed its decades-long conservative trajectory. It also underlined its willingness to encourage lawmakers to impose these standards on the rest of the nation.

    Susan M. Shaw 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. Southern Baptists’ call for the US Supreme Court to overturn its same-sex marriage decision is part of a long history of opposing women’s and LGBTQ+ people’s rights – https://theconversation.com/southern-baptists-call-for-the-us-supreme-court-to-overturn-its-same-sex-marriage-decision-is-part-of-a-long-history-of-opposing-womens-and-lgbtq-peoples-rights-258883

    MIL OSI Analysis

  • MIL-OSI Analysis: Protecting the vulnerable, or automating harm? AI’s double-edged role in spotting abuse

    Source: The Conversation – USA – By Aislinn Conrad, Associate Professor of Social Work, University of Iowa

    AI can help maximize resources in strapped systems trying to protect vulnerable people – but it can also risk replicating harm or privacy violations. Courtney Hale/E+ via Getty Images

    Artificial intelligence is rapidly being adopted to help prevent abuse and protect vulnerable people – including children in foster care, adults in nursing homes and students in schools. These tools promise to detect danger in real time and alert authorities before serious harm occurs.

    Developers are using natural language processing, for example — a form of AI that interprets written or spoken language – to try to detect patterns of threats, manipulation and control in text messages. This information could help detect domestic abuse and potentially assist courts or law enforcement in early intervention. Some child welfare agencies use predictive modeling, another common AI technique, to calculate which families or individuals are most “at risk” for abuse.

    When thoughtfully implemented, AI tools have the potential to enhance safety and efficiency. For instance, predictive models have assisted social workers to prioritize high-risk cases and intervene earlier.

    But as a social worker with 15 years of experience researching family violence – and five years on the front lines as a foster-care case manager, child abuse investigator and early childhood coordinator – I’ve seen how well-intentioned systems often fail the very people they are meant to protect.

    Now, I am helping to develop iCare, an AI-powered surveillance camera that analyzes limb movements – not faces or voices – to detect physical violence. I’m grappling with a critical question: Can AI truly help safeguard vulnerable people, or is it just automating the same systems that have long caused them harm?

    New tech, old injustice

    Many AI tools are trained to “learn” by analyzing historical data. But history is full of inequality, bias and flawed assumptions. So are people, who design, test and fund AI.

    That means AI algorithms can wind up replicating systemic forms of discrimination, like racism or classism. A 2022 study in Allegheny County, Pennsylvania, found that a predictive risk model to score families’ risk levels – scores given to hotline staff to help them screen calls – would have flagged Black children for investigation 20% more often than white children, if used without human oversight. When social workers were included in decision-making, that disparity dropped to 9%.

    Language-based AI can also reinforce bias. For instance, one study showed that natural language processing systems misclassified African American Vernacular English as “aggressive” at a significantly higher rate than Standard American English — up to 62% more often, in certain contexts.

    Meanwhile, a 2023 study found that AI models often struggle with context clues, meaning sarcastic or joking messages can be misclassified as serious threats or signs of distress.

    Language-processing AI isn’t always great at judging what counts as a threat or concern.
    NickyLloyd/E+ via Getty Images

    These flaws can replicate larger problems in protective systems. People of color have long been over-surveilled in child welfare systems — sometimes due to cultural misunderstandings, sometimes due to prejudice. Studies have shown that Black and Indigenous families face disproportionately higher rates of reporting, investigation and family separation compared with white families, even after accounting for income and other socioeconomic factors.

    Many of these disparities stem from structural racism embedded in decades of discriminatory policy decisions, as well as implicit biases and discretionary decision-making by overburdened caseworkers.

    Surveillance over support

    Even when AI systems do reduce harm toward vulnerable groups, they often do so at a disturbing cost.

    In hospitals and elder-care facilities, for example, AI-enabled cameras have been used to detect physical aggression between staff, visitors and residents. While commercial vendors promote these tools as safety innovations, their use raises serious ethical concerns about the balance between protection and privacy.

    In a 2022 pilot program in Australia, AI camera systems deployed in two care homes generated more than 12,000 false alerts over 12 months – overwhelming staff and missing at least one real incident. The program’s accuracy did “not achieve a level that would be considered acceptable to staff and management,” according to the independent report.

    Surveillance cameras in care homes can help detect abuse, but they raise serious questions about privacy.
    kazuma seki/iStock via Getty Images Plus

    Children are affected, too. In U.S. schools, AI surveillance like Gaggle, GoGuardian and Securly are marketed as tools to keep students safe. Such programs can be installed on students’ devices to monitor online activity and flag anything concerning.

    But they’ve also been shown to flag harmless behaviors – like writing short stories with mild violence, or researching topics related to mental health. As an Associated Press investigation revealed, these systems have also outed LGBTQ+ students to parents or school administrators by monitoring searches or conversations about gender and sexuality.

    Other systems use classroom cameras and microphones to detect “aggression.” But they frequently misidentify normal behavior like laughing, coughing or roughhousing — sometimes prompting intervention or discipline.

    These are not isolated technical glitches; they reflect deep flaws in how AI is trained and deployed. AI systems learn from past data that has been selected and labeled by humans — data that often reflects social inequalities and biases. As sociologist Virginia Eubanks wrote in “Automating Inequality,” AI systems risk scaling up these long-standing harms.

    Care, not punishment

    I believe AI can still be a force for good, but only if its developers prioritize the dignity of the people these tools are meant to protect. I’ve developed a framework of four key principles for what I call “trauma-responsive AI.”

    1. Survivor control: People should have a say in how, when and if they’re monitored. Providing users with greater control over their data can enhance trust in AI systems and increase their engagement with support services, such as creating personalized plans to stay safe or access help.

    2. Human oversight: Studies show that combining social workers’ expertise with AI support improves fairness and reduces child maltreatment – as in Allegheny County, where caseworkers used algorithmic risk scores as one factor, alongside their professional judgment, to decide which child abuse reports to investigate.

    3. Bias auditing: Governments and developers are increasingly encouraged to test AI systems for racial and economic bias. Open-source tools like IBM’s AI Fairness 360, Google’s What-If Tool, and Fairlearn assist in detecting and reducing such biases in machine learning models.

    4. Privacy by design: Technology should be built to protect people’s dignity. Open-source tools like Amnesia, Google’s differential privacy library and Microsoft’s SmartNoise help anonymize sensitive data by removing or obscuring identifiable information. Additionally, AI-powered techniques, such as facial blurring, can anonymize people’s identities in video or photo data.

    Honoring these principles means building systems that respond with care, not punishment.

    Some promising models are already emerging. The Coalition Against Stalkerware and its partners advocate to include survivors in all stages of tech development – from needs assessments to user testing and ethical oversight.

    Legislation is important, too. On May 5, 2025, for example, Montana’s governor signed a law restricting state and local government from using AI to make automated decisions about individuals without meaningful human oversight. It requires transparency about how AI is used in government systems and prohibits discriminatory profiling.

    As I tell my students, innovative interventions should disrupt cycles of harm, not perpetuate them. AI will never replace the human capacity for context and compassion. But with the right values at the center, it might help us deliver more of it.

    Aislinn Conrad is developing iCare, an AI-powered, real-time violence detection system.

    ref. Protecting the vulnerable, or automating harm? AI’s double-edged role in spotting abuse – https://theconversation.com/protecting-the-vulnerable-or-automating-harm-ais-double-edged-role-in-spotting-abuse-256403

    MIL OSI Analysis

  • MIL-OSI Analysis: Data on sexual orientation and gender is critical to public health – without it, health crises continue unnoticed

    Source: The Conversation – USA – By John R. Blosnich, Associate Professor of Social Work, University of Southern California

    As part of the Trump administration’s efforts aimed at stopping diversity, equity and inclusion, the government has been restricting how it monitors public health. Along with cuts to federally funded research, the administration has targeted public health efforts to gather information about sexual orientation and gender identity.

    In the early days of the second Trump administration, the Centers for Disease Control and Prevention took down data and documents that included sexual orientation and gender identity from its webpages. For example, data codebooks for the Behavioral Risk Factor Surveillance System were replaced with versions that deleted gender identity variables. The Trump administration also ordered the CDC to delete gender identity from the National Violent Death Reporting System, the world’s largest database for informing prevention of homicide and suicide deaths.

    For many people, sexual orientation and gender identity may seem private and personal. So why is personal information necessary for public health?

    Decades of research have shown that health problems affect some groups more than others. As someone who has studied differences in health outcomes for over 15 years, I know that one of the largest health disparities for LGBTQ+ people is suicide risk. Without data on sexual orientation and gender identity, public health cannot do the work to sound the alarm on and address issues that affect not just specific communities, but society as a whole.

    Clinicians are concerned about the purging of health data that is essential to patient care.

    Alarms and benchmarks

    Health is determined by the interplay of several factors, including a person’s genetics, environment and personal life. Of these types of health information, data on personal lives can be the most difficult to collect because researchers must rely on people to voluntarily share this information with them. But details about people’s everyday lives are critical to understanding their health.

    Consider veteran status. Without information that identifies which Americans are military veterans, the U.S. would never have known that the rate of suicide deaths among veterans is several times higher than that of the general population. Identifying this problem encouraged efforts to reduce suicide among veterans and military service personnel.

    Studying the rates of different conditions occurring in different groups of people is a vital role of public health monitoring. First, rates can set off alarm bells. When people are counted, it becomes easier to pick up a problem that needs to be addressed.

    Second, rates can be a benchmark. Once the extent of a health problem is known, researchers can develop and test interventions. They can then determine if rates of that health problem decreased, stayed the same or increased after the intervention.

    My team reviewed available research on how sexual orientation and gender identity are related to differences in mortality. The results were grim.

    Of the 49 studies we analyzed, the vast majority documented greater rates of death from all causes for LGBTQ+ people compared with people who aren’t LGBTQ+. Results were worse for suicide: Nearly all studies reported that suicide deaths were more frequent among LGBTQ+ people. A great deal of other research supports this finding.

    Without data on sexual orientation and gender identity, these issues are erased.

    Lost data costs everyone

    Higher death rates among LGBTQ+ people affect everyone, not just people in the LGBTQ+ community. And when suicide is a major driver of these death rates, the costs increase.

    There are societal costs. Deaths from suicide result in lost productivity and medical services that cost the U.S. an estimated $484 billion per year. There are also human costs. Research suggests that for every suicide death, about 135 people are directly affected by the loss, experiencing grief, sadness and anger.

    President Donald Trump’s targeting of research on sexual orientation and gender identity comes at a time when more Americans than ever – an estimated 24.4 million adults – identify as lesbian, gay, bisexual or transgender. That’s more than the entire population of Florida.

    LGBTQ+ people live in every state in the country, where they work as teachers, executives, janitors, nurses, mechanics, artists and every other profession or role that help sustain American communities. LGBTQ+ people are someone’s family members, and they are raising families of their own. LGBTQ+ people also pay taxes to the government, which are partly spent on monitoring the nation’s health.

    Stopping data collection of sexual orientation and gender identity does not protect women, or anyone else, as the Trump administration claims. Rather, it serves to weaken American public health. I believe counting all Americans is the path to a stronger, healthier nation because public health can then do its duty of detecting when a community needs help.

    John R. Blosnich receives funding from the National Institutes of Health. He is affiliated with the U.S. Department of Veterans Affairs (VA), however all time and effort into writing this piece was done outside of his work with the VA. The opinions expressed are those of Dr. Blosnich and do not necessarily represent those of his institution, funders, or any affiliations.

    ref. Data on sexual orientation and gender is critical to public health – without it, health crises continue unnoticed – https://theconversation.com/data-on-sexual-orientation-and-gender-is-critical-to-public-health-without-it-health-crises-continue-unnoticed-255380

    MIL OSI Analysis

  • MIL-OSI Europe: Antoine Ferey is the 2025 AFSE Malinvaud Prize laureate

    Source: Universities – Science Po in English

     

     

    The Association Française de Science Économique (AFSE) announced the 2025 laureate of its Prix Edmond Malinvaud: Antoine Ferey.

    The AFSE (French Economic Association) is a nonprofit organization founded in 1950. It aims at promoting exchange of knowledge and participation of its members in public debates on economic policies. It is open to all economists, whether they work in universities, public research organizations, government bodies or private companies.

    Every year the AFSE awards a Prize for the best paper published in an indexed EconLit, peer-reviewed journal in the past two years by a young economist affiliated to a French laboratory.

    Antoine is awarded the 2025 Prix Edmond Malivaud for his paper Sufficient Statistics for Nonlinear Tax Systems with General Across-Income Heterogeneity (joint with Ben Lockwood and Dmitry Taubinsky), published in 2024 in the American Economic Review.

    The jury wanted to shed light on the topic of optimal non-linear tax systems, in particular taxation of savings which is much less investigated than taxation of income. 

    “In their paper, Antoine Ferey and his co-authors put forward a comprehensive approach to quantifying optimal commodity and savings taxes by developing sufficient statistics that capture various sources of income heterogeneity, extending the standard Atkinson-Stiglitz framework, and providing practical guidance for policy design and empirical estimation.”

    A ceremony will be organised on June 20th during the Paris Economics Taxation Workshop to award the Malinvaud Prize to Antoine.

    This is the third time that Antoine’s work has been honoured in as many months: earlier this year he became a CESifo Distinguished Fellow for his paper Redistribution and Unemployment Insurance (read abstract) and the Aix-Marseille School of Economics (AMSE) awarded him the Carine Nourry Best Doctoral Dissertation Prize. 

    Antoine also joins a growing list of faculty members whose papers have been awarded the Malinvaud Prize: Alfred Galichon, Isabelle Mejean, Clément de Chaisemartin, Johannes Boehm, and Michele Fioretti.

    Congratulations Antoine !

    (credits: Alexis Lecomte)

    Antoine Ferey joined the Department of Economics in 2023 as an Assistant Professor (tenure track). He is also a Research Affiliate of the CESifo Network and of the Institut des politiques publiques. During the Spring Semester, he has been invited by Harvard University to teach a part of their public economics sequence to PhD students.

    Prior to joining our faculty, he was an Assistant Professor at the Ludwig Maximilian University of Munich (LMU). He received his PhD in Economics from the Centre de recherche en économie et statistique (CREST) and Ecole Polytechnique in 2021, for which he received two PhD Dissertation Awards from the Association française de science économique (AFSE) and from Institut Polytechnique de Paris (IP Paris). 

    Antoine Ferey’s website

    MIL OSI Europe News

  • MIL-OSI Europe: Meet Daniela Espinal Fondeur and Gabrijela Papec, Recipients of the Competitive Schwarzman Scholars Programme

    Source: Universities – Science Po in English

    Daniela Espinal Fondeur and Gabrijela Papec have been selected to be part of the 150 students from 38 countries of the 10th cohort of Schwarzman Scholars, one of the most competitive scholarship programmes in the world – with an acceptance rate of below 3%. With its first anniversary coming up in 2026, this programme has reached this year the biggest number of applications and has admitted its 100th country represented, thanks to Sciences Po student Gabrijela Papec, from Croatia.

    This scholarship offers the equivalent of €150,000 to each recipient, with automatic acceptance to the best university in Asia (Times Higher Education World University Rankings), Tsinghua University in Beijing, China, for a one-year master’s degree on a campus reserved exclusive to the 150 graduates, the Schwarzman College. The core purpose of this programme can be summed up in this quote from its founding trustee, Stephen A. Schwarzman, “Those who will lead the future must understand China today”.

    Meet this year’s two Sciences Po recipients, Daniela Espinal Fondeur, a graduate from the Paris School of International Affairs (PSIA) and Gabrijela Papec, a master’s student from the Law School.

    Who are you?

    Daniela E. F.: I was born and raised in the Dominican Republic, where I studied economics as an undergraduate student. In 2022, I joined the Master in International Governance and Diplomacy at Sciences Po, and graduated in June 2024. My interest lies in international cooperation. I undertook internships in embassies, UNESCO, and the Dominican Republic Consulate in Paris. I wish to become a diplomat in the near future.

    Gabrijela P.: I am from Croatia. I began my journey at Sciences Po as an undergraduate student on the Reims campus, and its North America minor – just like Felipe Chertouh (2024 Schwarzman Scholar, article in French). I have a strong interest in the way advocacy work can be intertwined with human rights and international law, which grew even stronger after a summer internship at Genocide Watch. After a year as a master’s student in Economic Law, I decided to take a gap year and applied to the Schwarzman Scholar programme.

    What are you expecting from this programme?

    Daniela: I am really excited to benefit from this unique opportunity. China is so remote from the Dominican Republic, it is priceless to learn about a country while living there. I aim to build a bridge between China and my country through an internship at the Dominican Embassy in Beijing. Considering all the turmoil that’s happening in our world, it is incredible to go through that experience.

    Gabrijela: Getting a deep cultural understanding of the way international law is applied in China – a gigantic country which holds much power over other countries – is very important. I feel that China needs to be included in the very making of international law and policies, or they will never work out. I already experienced working in Asia, for a South Korean company, and I can’t wait to further enrich my skill set.

    How was your experience at Sciences Po ?

    Daniela: It was my first time away from home! I met remarkable colleagues, professors, and had a unique experience as a Paris Peace Forum volunteer, assigned to the Montenegro delegation. You can access many academic opportunities, such as the European Forum Alpbach in Austria. One of my favourite courses was about great strategies in diplomacy, past and present, taught by Bruno Stagno Ugarte, Minister of Foreign Affairs of Costa Rica. I made the most out of my Sciences Po experience by joining different clubs as well, in the fields of diplomacy and debate. 

    Gabrijela: Reims being quite a small city, I found it easy to meet people, who came from everywhere. The course that made a lasting impression on me was about conflict-related sexual violence, taught by David Eichert. This excellent course focused on the way international criminal law evolved to include sexual violence. I do believe that I, too, can change the course of history. I used to complain about the way Sciences Po gave me so much work, but I can see now that it prepared me to think for myself, to be responsible. It enabled me to apply to this programme, filling in a comprehensive file.

    What advice would you give to sciences po students applying to the Schwarzman Scholars programme? 

    Daniela: Be open to getting out of your comfort zone, to consider living in other places that can challenge you, mentally and culturally. It can turn into the greatest opportunity for growth at all level.

    A Schwarzman recipient must meet three main criteria :

    • demonstrated leadership,
    • intellect,
    • exemplary character and integrity.

    Gabrijela: Be open to yourself and who you want to be, but also, try to be the best student you can be. 

    Both: Reach out to previous scholars, ask for help. Sciences Po has an alumni base for this programme now, rely on it, on its sense of community. We can’t wait to meet the 1,300+ programme graduates in 2026 for its 10th anniversary.

    MIL OSI Europe News

  • MIL-OSI Global: Nuclear energy is a risky investment, but that’s no reason for the UK government to avoid it

    Source: The Conversation – UK – By Renaud Foucart, Senior Lecturer in Economics, Lancaster University Management School, Lancaster University

    Sizewell B on the UK’s Suffolk coast. Nick Beer/Shutterstock

    The UK government’s investment of around £14 billion in a new nuclear power plant marks a big economic shift for the country’s approach to energy.

    The Sizewell C plant in Suffolk will be the second of a new generation of reactors to be built in the country, after Hinkley Point C in Somerset, which is expected to open in 2031.

    French energy firm EDF is building Hinkley and will probably end up building Sizewell too. But it seems that the British government is finally prepared to take on the considerable financial risk which these projects bring.

    Previously it has preferred to look elsewhere. China, notably, has a longstanding appetite for investment in British infrastructure. (Although in 2022, the UK government bought back China’s stakes in Sizewell C amid geopolitical concerns.)

    But the money has to come from somewhere. And after EDF announced it wanted to limit its participation in Sizewell C – and in particular, exposure to the risk of cost overruns – the UK government has stepped in.

    EDF has has already lost a lot of money building Hinkley Point C. When construction began in 2017, costs were estimated at £18 billion.

    At the time, the UK government agreed to pay a set rate for the electricity produced so the French company could recoup its cost and make a reasonable profit. That price was perceived by some as as extremely high and remains higher than current wholesale prices.

    But as construction costs have more than doubled, the project has generated an estimated loss of around £13 billion for EDF. The company hopes to keep construction costs down this time, after similar costs overruns in projects it completed in France and in Finland.

    But now Sizewell C will only progress because the British government has said it will take on almost all of the financial risk.

    In doing so, the UK is not an outlier. In France, China and South Korea, nuclear power plants are built by state-owned companies. In the US, private companies are waiting for public funding to finance Donald Trump’s dream of a nuclear renaissance.

    And perhaps it’s an expense the state should be willing to take on.

    After all, although nuclear reactors (like solar farms and wind turbines) are expensive to set up, once they are built, the cost of producing electricity is very small.

    And if the long-term goal is to eliminate the need for fossil fuels, it means all electricity will need to come from a mixture of renewables, batteries and nuclear. Electricity could then become much cheaper than it is now.

    But building the means of creating this power comes with varying degrees of risk.

    Solar, for example, is not that risky. Panels are usually imported, there are no major safety concerns, and investors can roughly predict how much sun there will be in a typical year.

    For nuclear energy, production is also predictable. But the time it will take to complete construction of a plant and the associated costs are not.

    Part of this is down to choice. UK regulations around nuclear energy are complex and strict, and other countries build faster and cheaper. This may be why globally, solar power is attracting much more investment than other sources of energy.

    Political energy

    But this does not mean governments should ignore the nuclear option. One of the main reasons governments are useful to society is that they can afford to take risks that private investors cannot, and finance long term innovation.

    This in turn can lead to much greater strategic and geopolitical autonomy. While solar panels and batteries are getting ever cheaper, the vast majority of production is in China.

    Domestic production of nuclear allows for greater diversity in energy sourcing, and arguably from some more predictable partners. The key component, uranium, can be found in large quantities in places like Canada or Australia, or directly reused.

    Research suggests that nuclear energy may be particularly suited to feed the needs of digital datacentres and artificial intelligence.

    Meanwhile, the government also hopes to get small nuclear reactors from domestic producer Rolls Royce which could be built in factories at a much more predictable cost. Russia and China have each already built this kind of reactor.

    Plus there’s £2.5 billion for UK research on nuclear fusion, with the potential to deliver electricity on an unprecedented scale.

    No one knows if fusion will ever be possible. It is the kind of uncertain, incredibly expensive projects (with potentially massive returns) that pretty much no private investor would risk looking at.

    But again, it is the kind of bet only governments can take. For nuclear power, for reasons of scale, risk and uncertainty, is mostly a government business – and ultimately a political choice.

    It will take a long time to know if the decision to spend taxpayers’ money on Sizewell C was the right way to respond to the country’s energy needs. But ending reliance on private or foreign financing for nuclear projects could one day be seen as a positive reaction.


    Don’t have time to read about climate change as much as you’d like?

    Get a weekly roundup in your inbox instead. Every Wednesday, The Conversation’s environment editor writes Imagine, a short email that goes a little deeper into just one climate issue. Join the 45,000+ readers who’ve subscribed so far.


    Renaud Foucart 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. Nuclear energy is a risky investment, but that’s no reason for the UK government to avoid it – https://theconversation.com/nuclear-energy-is-a-risky-investment-but-thats-no-reason-for-the-uk-government-to-avoid-it-258645

    MIL OSI – Global Reports

  • MIL-OSI Africa: Deputy President to undertake working visit to Russia

    Source: South Africa News Agency

    Strengthening economic and trade relations will be at the core of Deputy President Paul Mashatile’s working visit to Russia.

    According to the Deputy President’s Office, the trip will focus on enhancing cooperation in key sectors, including agriculture, automotive, energy, and mining, as well as collaboration in science and technology.

    The working visit set for 17-21 June in Moscow and St. Petersburg, will involve high-level engagements and activities focused on economic diplomacy.

    In Moscow, Deputy President Mashatile will meet with Prime Minister Mikhail Mishustin to discuss cooperation in the areas of economy, trade, and energy.

    The Deputy President will meet with several high-ranking officials, including President Vladimir Putin, Valentina Matvienko, the Chairman of the Russian Federation Council, and Vyacheslav Volodin, the current Chairman of the State Duma, which is the lower house of the Russian Parliament.

    While in Moscow, the Deputy President will lay a wreath at the memorial site honouring South Africa’s liberation heroes, John Beaver (JB) Marks and Moses Kotane. 

    Following this, he will participate in the 28th St. Petersburg International Economic Forum (SPIEF2025).

    This year’s forum will be held from 19 to 21 June,  under the theme: “Shared Values: The Foundation of Growth in a Multipolar World.”

    The Deputy President will take part in the plenary session of SPIEF2025 while he has also received an invitation to speak at the Russia-Africa Business Dialogue.

    In addition, he is scheduled to deliver a public lecture at St. Petersburg State University on the topic: “South Africa’s G20 Presidency in a Rapidly Changing Geopolitical Environment.”

    He will address attendees at the opening of the South African Trade and Investment Seminar.

    “The St. Petersburg leg of the visit is expected to leverage on promoting South Africa’s trade relations and South Africa as an investment destination.” 

    According to the Deputy President’s Office, this trip will be his first visit to Russia since he took office under the seventh administration. 

    He will be accompanied by a delegation of Ministers and Deputy Ministers who are part of the Economic Sectors, Investment, Employment and Infrastructure Development Cabinet Cluster. – SAnews.gov.za

    MIL OSI Africa

  • MIL-OSI Global: Supreme Court ignores precedent instead of overruling it in allowing president to fire officials whom Congress tried to make independent

    Source: The Conversation – USA – By Claire B. Wofford, Associate Professor of Political Science, College of Charleston

    Can President Donald Trump — or any president — fire the heads of independent agencies created by Congress? Douglas Rissing/iStock via Getty Images Plus

    What may be one of the U.S. Supreme Court’s most important and far-reaching rulings in decades dropped in late May 2025 in an order that probably didn’t get a second – or even first – glance from most Americans.

    But this not-quite-two-page ruling, as technical and procedural as they come, potentially rewrites a major principle of constitutional law and may restructure the operation of the federal government.

    The case is dry in a way only lawyers could love, but its implications are enormous.

    Public mission, not presidential whims

    The dispute began when President Donald Trump fired two Biden-era officials: Gwynne Wilcox, a member of the National Labor Relations Board, and Cathy Harris, a member of the Merit Systems Protection Board.

    The National Labor Relations Board and the Merit Systems Protection Board, like the National Transportation Safety Board and the Federal Reserve, are among more than 50 independent agencies established by Congress to help the president carry out the law. Though technically located within the executive branch, independent agencies are designed to serve the public at large rather than the president.

    The dispute began when President Donald Trump fired board members of two independent agencies.
    Win McNamee/Getty Images

    To ensure these agencies are devoted to their public mission, not the will or whims of a president, congressional statutes generally permit the president to remove leaders of these agencies only for “good cause.” Malfeasance in office, neglect of duty, or inefficiency generally constitute “good cause.”

    Other executive branch agencies, such as the FBI, Food and Drug Administration and Department of Homeland Security are entirely under presidential command – if he wants their leaders out, out they go. But independent agencies, in existence since the late 19th century, are to carry out congressional policy free from the president’s purview and his political pressure.

    Because independent agencies are creatures of Congress housed within the executive branch, there is long-standing disagreement among scholars about just how much power the president should have over them.

    Limiting Congress, empowering the president

    In the two firings, there was agreement that Trump had violated the relevant statute by firing Wilcox and Harris without “good cause.”

    He justified Wilcox’s removal, in part, because she did not share his policy preferences. For Harris, he gave no reason at all.

    But the bigger issue was whether the law itself was constitutional: Could Congress limit why or how a president can remove employees of the executive branch?

    The root of the problem lies within the Constitution. Although Article 2 specifically gives the president the power to “appoint” certain federal officials, it says nothing about the power to fire -– or “remove” – them.

    Conservative legal scholars propose, under what’s called the “unitary executive theory,” that because the president “is” the executive branch, he has complete authority, including removal, over all who serve within it. Only with the unfettered ability to fire anyone who serves under him can the president fulfill his constitutionally mandated duty to ensure that “the Laws be faithfully executed.”

    Opponents have countered that this ignores fundamental aspects of our constitutional framework: the framers’ devotion to checks and balances, their aversion toward monarchical, kinglike rule, and their determination to put policymaking in the hands of Congress.

    These questions are not new.

    The Supreme Court first took up the issue in 1926 in Myers v. United States, when Chief Justice – and former president – William Howard Taft held that Congress could not limit the president’s ability to fire an Oregon postmaster, writing that “the power to remove inferior executive officers … is an incident of the power to appoint them.”

    Less than a decade later, however, the court ruled in Humphrey’s Executor v. United States that the Constitution did not grant the president an “illimitable power of removal,” at least over certain types of officials. This included the head of the Federal Trade Commission, whose firing by President Franklin Roosevelt had sparked the case.

    Humphrey’s Executor stood basically untouched for decades, until Justices John Roberts and Samuel Alito – both of whom had previously served in the executive branch – were appointed.

    With a now-solid conservative majority, the Supreme Court invalidated restrictions on the president’s ability to remove members of the Public Company Accounting Oversight Board in 2009.

    Two years after the arrival of fellow executive branch alumnus Brett Kavanaugh in 2018, the court struck down the “good cause” removal restriction for the head of the Consumer Financial Protection Bureau.

    Rather than explicitly overrule Humphrey’s Executor, however, the justices declared that these agencies were factually distinct from the Federal Trade Commission – leaders of one were protected by a “two-layer” removal system and the other because it was run by a single individual, not a multimember board.

    ‘Massive change in the law’

    Because Humphrey’s Executor was still good law, and the National Labor Relations Board and the Merit Systems Protection Board were structured like the Federal Trade Commission, district courts in 2025 initially held that the firings of Wilcox and Harris were unlawful.

    On April 9, 2025, Trump filed an emergency appeal with the Supreme Court, asking it to put the district court decisions on hold. On May 22, the Supreme Court granted that request, at least while the cases proceed through the lower courts.

    The court did not decide on the constitutionality of the removal statute, but the ruling is nonetheless a major victory for Trump. He can now fire not only Wilcox and Harris but also potentially the heads of any independent agency. Low-level civil servants may also be at risk.

    In the unsigned order, the high court echoed unitary executive theory, stating, “Because the Constitution vests the executive power in the Presidents … he may remove without cause executive officers who exercise that power on his behalf, subject to narrow exceptions.” It simply ignored Humphrey’s Executor altogether, leaving its value as precedent unclear.

    The Supreme Court also said that the holding did not apply to the Federal Reserve Board. That “uniquely structured, quasi-private entity” would remain free from executive control via removal.

    Such an explicit carve-out in legal doctrine is striking but responds directly to claims made by litigants and political commentators of the dire economic consequences that could result were the president to have free rein over the Federal Reserve’s chairman.

    In dissent, Justice Elena Kagan blasted the majority for allowing the president to overrule Humphrey’s Executor “by fiat,” a result made even worse because the court had done so via the so-called shadow docket, in the absence of full briefing or oral argument. Such “short-circuiting” of the “usual deliberative process” is, she wrote, a wholly inappropriate way to make a “massive change in the law.”

    After the appointments of conservatives John Roberts, left, and Samuel Alito, the Supreme Court in 2009 invalidated restrictions on the president’s ability to remove members of an independent agency.
    Alex Wong/Getty Images

    The shadow of Humphrey’s Executor

    What happens now?

    The National Labor Relations Board is paralyzed, and the Merit Systems Protection Board is somewhat hamstrung, with both lacking the quorum necessary to act. Cases about the firing of Harris, Wilcox and multiple other officials will bedevil lower courts as they try to figure out whether Humphrey’s Executor still stands, even as a shadow of its former self.

    Trump aims to continue axing federal employees, even as the administration struggles to rehire others.

    And, already asked again to make major legal change on its emergency docket, the Supreme Court will need to determine whether such change warrants more than the few paragraphs of explanation it gave in the ruling on the Wilcox and Harris firings.

    If, as seems likely, the court ultimately overturns Humphrey’s Executor, Kagan’s dissent serves as a warning voiced by others as well: A decision that allows the president to have total control over the heads of more than 50 independent agencies – agencies that pursue the public interest in areas from financial regulation to the environment, to nuclear safety – could shift their focus from serving the public to pleasing the president, profoundly affecting the lives of many Americans.

    In 2022, I donated $20 to ActBlue.

    ref. Supreme Court ignores precedent instead of overruling it in allowing president to fire officials whom Congress tried to make independent – https://theconversation.com/supreme-court-ignores-precedent-instead-of-overruling-it-in-allowing-president-to-fire-officials-whom-congress-tried-to-make-independent-257784

    MIL OSI – Global Reports

  • MIL-OSI: Life Sciences Investor Forum: Now Available for Online Viewing

    Source: GlobeNewswire (MIL-OSI)

    NEW YORK, June 13, 2025 (GLOBE NEWSWIRE) — Virtual Investor Conferences, the leading proprietary investor conference series, today announced the presentations from the Life Sciences Investor Forum, held June 11th and 12th are now available for online viewing.

    REGISTER AND VIEW PRESENTATIONS

    The company presentations will be available 24/7 for 90 days. Investors, advisors, and analysts may download
    investor materials from the company’s resource section.

    Select companies are accepting 1×1 management meeting requests through June 17.

    June 11th


    June 12
    th

    To facilitate investor relations scheduling and to view a complete calendar of Virtual Investor Conferences, please visit www.virtualinvestorconferences.com.

    About Virtual Investor Conferences®

    Virtual Investor Conferences (VIC) is the leading proprietary investor conference series that provides an interactive forum for publicly traded companies to seamlessly present directly to investors.

    Providing a real-time investor engagement solution, VIC is specifically designed to offer companies more efficient investor access. Replicating the components of an on-site investor conference, VIC offers companies enhanced capabilities to connect with investors, schedule targeted one-on-one meetings and enhance their presentations with dynamic video content. Accelerating the next level of investor engagement, Virtual Investor Conferences delivers leading investor communications to a global network of retail and institutional investors.

    Media Contact:
    OTC Markets Group Inc. +1 (212) 896-4428, media@otcmarkets.com

    Virtual Investor Conferences Contact:
    John M. Viglotti
    SVP Corporate Services, Investor Access
    OTC Markets Group
    (212) 220-2221
    johnv@otcmarkets.com

    The MIL Network

  • MIL-OSI Russia: Special Report: Continuation of a thousand-year friendship and a new chapter in the history of the era – on Xi Jinping’s trip to Kazakhstan to participate in the 2nd China-Central Asia Summit

    Translation. Region: Russian Federal

    Source: People’s Republic of China in Russian – People’s Republic of China in Russian –

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

    Beijing, June 13 /Xinhua/ — At the invitation of President of the Republic of Kazakhstan Kassym-Jomart Tokayev, Chinese President Xi Jinping will be in Astana from June 16 to 18 to attend the 2nd China-Central Asia (CA) Summit.

    Over a thousand years, the people of China and Central Asia have created the glory of the ancient Silk Road and written a magnificent chapter in the history of exchanges between civilizations. With deep historical roots, a solid foundation of public support and a wide range of practical needs, China’s relations with Central Asian countries have gained vitality and vigor in the new era.

    Two years ago, the 1st China-Central Asia Summit was successfully held in Xi’an, ushering in a new era of China-Central Asia relations. Over the past two years, cooperation between China and the region has achieved tangible results. Now, as promised, the 2nd summit will be held in Astana, pushing the six countries to move forward on a new path of building a China-Central Asia community with a shared future.

    In the time between the Xi’an and Astana summits, the roadmap for action has become clearer and the steps forward more powerful. Xi Jinping and the heads of the five Central Asian states must develop a new plan for cooperation that opens up new opportunities for peace and development in the region, brings valuable confidence to a changing world, and charts a brighter future for the progress of human civilization.

    A UNITED DESIRE TO PASS ON MILLENNIAL FRIENDSHIP

    More than 2,100 years ago, the journey of Zhang Qian, an emissary of the Han Dynasty, to the western lands opened the door for friendly exchanges between China and Central Asia.

    In the autumn of 2013, Xi Jinping visited four Central Asian countries and in Kazakhstan for the first time put forward the initiative to build the Silk Road Economic Belt, awakening ancient memories and drawing a blueprint for a dream.

    Over the past 10 years, Xi Jinping has visited Central Asia many times and maintained close ties with the leaders of Central Asian countries. China and the countries of the region have joined forces to comprehensively revive the Silk Road and deepen cooperation, which has ushered in a new era in relations between the two sides.

    Today, China has established a comprehensive strategic partnership, signed cooperation documents for the joint construction of the Belt and Road, and is implementing the concept of a community with a shared future for mankind bilaterally with each of the five Central Asian countries. This signifies the height of political mutual trust, the depth of good-neighborliness, and the breadth of practical cooperation between China and these countries.

    Friendship is the fruit of common views and common aspirations. As Xi Jinping noted, “deepening cooperation between China and Central Asian countries is a strategic choice of our generation of leaders, made with an eye to the future, in line with global trends and in response to the aspirations of the people.”

    In 2020, China put forward an initiative to create a “China-CA” mechanism. In July of the same year, the first meeting of the foreign ministers of China and the Central Asian countries via video link was held, at which the launch of regular meetings in this format was announced.

    In January 2022, Xi Jinping held a video summit with the leaders of five Central Asian countries to mark the 30th anniversary of the establishment of interstate diplomatic relations. During the talks, proposals were made to raise the status of the mechanism to the level of heads of state. “Always based on mutual respect, good neighborliness and friendship, unity in the face of challenges, mutual benefit and win-win,” this is how the head of China explained the secret to the success of cooperation between China and the Central Asian countries.

    In May 2023, at the 1st China-CA Summit, Xi Jinping detailed China’s foreign policy toward Central Asian countries and agreed with the leaders of the five countries to jointly build a closer community with a shared future for China and Central Asia. The mechanism of meetings at the level of heads of state was formally established. Xi Jinping put forward four proposals for regional development and four principles for building a community with a shared future, which received a warm response from other leaders.

    The Xi’an Declaration, a number of multi- and bilateral documents, key agreements on the most important areas of cooperation… The Xi’an meeting became a bright page in the thousand-year history of friendly contacts between China and the Central Asian states and gave a powerful impetus to peace and stability not only in the region, but also on the entire planet.

    The content of China-Central Asia cooperation is constantly enriched based on the principles of joint consultation, joint construction and joint use, and its structure is constantly improved. At the recent 6th meeting of the foreign ministers of China and Central Asian countries in Almaty, the parties highly appreciated the level of mutual trust and solidarity, as well as the important role of the China-Central Asia mechanism, expressing their readiness to further unleash the potential of partnership and create new milestones in building a community with a shared future.

    The China-CA format demonstrates practical results despite the relative “youth” of the mechanism. The personal participation of the leaders of the countries emphasizes mutual respect and the desire to deepen the partnership. This approach allows coordinating the positions of countries on key issues of our time, strengthening trust between countries and with each other, and forming a unified approach to regional security and development. In addition, the personal participation of the leaders in the formation of the China-CA mechanism emphasizes its strategic importance. This creates a new model of multilateral interaction in Eurasia, contributing to stability and development of the region. “Therefore, confidence is growing that the summit in Astana will expand the horizons of cooperation between our countries and give a new impetus to achieving practical results for the benefit of the population of the region,” said Sheradil Baktygulov, Director of the Kyrgyz Institute of World Politics.

    HAND IN HAND TOWARDS MODERNIZATION

    On April 29 this year, work began in the mountains of Kyrgyzstan’s Jalal-Abad region to lay three tunnels on the Kyrgyz section of the China-Kyrgyzstan-Uzbekistan railway, marking the project’s transition to the construction phase.

    This major infrastructure project within the framework of the Belt and Road initiative, promoted personally by the heads of the three states, has become a symbol of the convergence of interests of the three countries and embodies the desire of their peoples for interconnectedness and common prosperity. According to the Director of the Department of Land and Water Transport under the Ministry of Transport and Communications of Kyrgyzstan Tariel Keldibekov, the railway will rebuild the logistics network in the region. Acting Deputy Chairman of the Executive Committee of the Political Council of UzLiDeP Jamoliddin Meliboev emphasized that the project is evidence of deepening mutual trust and practical cooperation between China and the Central Asian countries.

    “The world needs a transport-connected Central Asia,” Xi Jinping said at the 1st China-CA summit. The above-mentioned railway is being built, trains regularly depart from different regions of China to Central Asian countries, the Kazakhstan terminal in Xi’an has been put into operation, and the construction of the Trans-Caspian International Transport Route is actively advancing… China and the Central Asian countries are consistently deepening their interconnectedness.

    Taking the high-quality construction of the Belt and Road as a new starting point, China and Central Asian countries are intensifying cooperation at an unprecedented speed and intensity. The two sides are jointly building a path to modernization and common development.

    An increasingly dense network of transport routes is becoming a bridge for trade. With the help of uninterrupted rail, road and air transport, Chinese products – from household appliances and everyday goods to electric cars – are constantly flowing into Central Asia, and high-quality Central Asian goods such as fertilizers, cotton, beef and lamb are increasingly finding their way to the Chinese market… According to the General Administration of Customs of the People’s Republic of China, in 2024, trade turnover between China and the Central Asian countries reached $94.8 billion, an increase of $5.4 billion compared to the previous year and a new historical maximum.

    38-year-old Kazakh farmer Sergey told reporters that in recent years he began cooperating with Chinese companies, introducing a “contract farming” model: he grows grain crops according to the demands of the Chinese market and receives agricultural support from Chinese specialists. This helped solve problems with growing grain and selling it.

    According to Abdugani Mamadazimov, Chairman of the National Foundation “Silk Road – the Road of Consolidation”, the “China-CA” mechanism has made a significant contribution to the stability and development of the region. “We hope that the 2nd “China-CA” summit will deepen cooperation between the parties, help continue the development of infrastructure and logistics, and also unite efforts for the sake of joint development and common prosperity,” he said.

    DEVELOPMENT OF CULTURAL EXCHANGES AND MUTUAL LEARNING BETWEEN CIVILIZATIONS

    On May 31, 2025, the first international tourist train China-Central Asia arrived from Xi’an to Almaty railway station. This event opened a series of cultural exchanges between China and Kazakhstan.

    At the 1st China-CA Summit, Xi Jinping put forward a number of initiatives, including a proposal to launch a tourist train. Deputy Chairman of the Board of JSC NC Kazakhstan Temir Zholy Anuar Akhmetzhanov expressed hope that the train will help strengthen ties between the peoples of China and the Central Asian countries and deepen their mutual understanding.

    Today, China has a visa-free regime with Kazakhstan and Uzbekistan. 2025 has been declared the Year of Chinese Tourism in Kazakhstan, and the Year of Uzbek Tourism in China. More and more Chinese tourists are traveling to the ancient cities of Samarkand and Bukhara, and more and more citizens of Central Asian countries are visiting China.

    The thousand-year-old Silk Road allows people to travel freely, promotes mutual understanding and cultural integration. Cooperation in education and poverty reduction, contacts on public administration issues, exchanges at the local level – deep and sustainable civilizational dialogue makes the friendship between the parties ever stronger.

    Partnerships in the field of professional education open the way to the future for Central Asian youth. In Tajikistan, the first in Central Asia “Lu Ban Workshop” has been operating for more than two years, where they teach heat supply technologies and engineering geodesy. “Lu Ban Workshop” in the East Kazakhstan region is aimed at training personnel for the automotive industry. In Astana, the second “Lu Ban Workshop” in Kazakhstan is also actively preparing to open. In Kyrgyzstan and Uzbekistan, such workshops began operating last year, and in Turkmenistan, the project is currently underway.

    Interest in China and the Chinese language in Central Asian countries is steadily growing. China and the countries of the region are rapidly exchanging cultural centers. There are already 13 Confucius Institutes operating in Central Asia. More and more young people are seeking to get an education in China. Today, there are almost one hundred pairs of administrative-territorial units that have established sister-city relations.

    Joint restoration of ancient Khiva in Uzbekistan, joint excavations at the Kazakh archaeological complex of Rakhat, work to preserve and pass on to future generations the Kyrgyz heroic epic “Manas”… Cooperation between China and the Central Asian countries in the field of cultural heritage protection has allowed many pearls of the Silk Road to shine again.

    Uzbek political commentator Sharofiddin Tulaganov noted that the China-CA mechanism has become an important platform for mutual learning between civilizations and the rapprochement of peoples, which contributes to deepening mutual understanding and strengthening trust, and also makes a significant humanitarian contribution to peace and stability in the region.

    According to Aidar Amrebayev, Director of the Center for Political Research at the Institute of Philosophy, Political Science and Religious Studies of the Science Committee of the Ministry of Science and Higher Education of Kazakhstan, the upcoming China-CA summit will give new impetus to cohesion and cooperation between China and the Central Asian countries, advance the construction of a closer community with a common destiny for China and CA, and contribute to the prosperity of the region and the improvement of global governance.

    From Xi’an to Astana, in the flow of high-quality joint construction of the “Belt and Road”, on the new path to modernization and in the dialogue of civilizations, China and the Central Asian countries are passing on the traditions of friendship and mutual support from generation to generation, making a new contribution to ensuring peace and development on the planet and promoting the progress of human civilization. –0–

    MIL OSI Russia News

  • MIL-OSI Africa: Seminar to explore leveraging of AfCFTA for inclusive development

    Source: South Africa News Agency

    The Human Sciences Research Council’s Africa BRICS and Global South (ABGS) research unit will host a seminar focused on utilising the African Continental Free Trade Area (AfCFTA) to promote regional health-industrial integration and foster inclusive development across the continent. 

    The ABGS research unit, based at the Human Sciences Research Council’s (HSRC), focuses on issues related to Africa, BRICS, and the Global South.

    Their research explores topics like economic integration, health security, and the role of BRICS in the Global South. 

    The hybrid seminar will be held at the HSRC Building in Pretoria on Tuesday, 17 June 2025.

    Presented by Senior Lecturer at the University of Edinburgh, Dr Geoffrey Banda, the seminar will focus on how the AfCFTA can be a powerful catalyst for strengthening Africa’s local health security through increased and resilient regional trade, industrialisation, and innovation.

    “The seminar will further explore how aligning health and industrial policy within the framework of the AfCFTA can drive job creation, enhance resilience, and support the continent’s broader development ambitions under Agenda 2063,” the advisory read. 

    In his recent book, “Cancer Care in Pandemic Times: Building Inclusive Local Health Security in Africa and India”, Banda makes a strong argument for an interdisciplinary approach that combines health research with industrialisation and regional economic integration. 

    The HSRC said this approach aims to develop sustainable and context-specific solutions to the health challenges faced in Africa.

    Key themes to be explored include the vulnerabilities associated with reliance on global supply chains, the intentional connection between health and industrial capabilities, the transition to new technologies along with industrial capabilities, and the use of the AfCFTA to scale innovative procurement. 

    “This approach aims to gradually develop continental innovation ecosystems that support resilient regional trading systems.”- SAnews.gov.za

    MIL OSI Africa

  • MIL-OSI Russia: Exclusive: China-Central Asia Mechanism Promotes Sustainable Development of Region – Kazakh Political Scientist

    Translation. Region: Russian Federal

    Source: People’s Republic of China in Russian – People’s Republic of China in Russian –

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

    ALMATY, June 13 (Xinhua) — Modern geopolitical challenges require enhanced and coordinated interaction between countries seeking stability and development. Central Asia and China have a unique potential to become a fulcrum of stability in the world. This opinion was expressed by Aidar Amrebayev, Director of the Center for Political Research at the Institute of Philosophy, Political Science and Religious Studies of the Science Committee of the Ministry of Education and Science of the Republic of Kazakhstan, in an exclusive interview with Xinhua.

    Speaking about the growing importance of cooperation between China and the Central Asian states, the expert noted that digitalization of infrastructure, joint development, and coordination of foreign policy positions are especially important today.

    “I think that it is in the interests of China and Central Asia to have a joint, coordinated positioning in the current geopolitical situation, which today is quite confrontational,” noted A. Amrebaev.

    The political scientist emphasized that the approaches of Kazakhstan and China largely coincide: both countries advocate strict adherence to international law, non-interference in the internal affairs of states, respect for sovereignty and territorial integrity, especially in times of acute confrontation in the international arena.

    “We are moving in the same direction. And I am convinced that the Central Asian countries are also interested in maintaining such positions. This is a signal to the world community that our region is striving for sustainable development and constructive interaction,” he added.

    In this context, the expert noted the importance of creating the UN Sustainable Development Centre in Almaty, as well as the active role of Kazakhstan and China in promoting multilateralism and strengthening international institutions, primarily the UN.

    Commenting on the 80th anniversary of the Victory in World War II and the establishment of the UN, A. Amrebaev emphasized the importance of historical memory and the role of China and Central Asia in supporting justice and honest dialogue in international relations.

    “Today, there are many inter-civilizational fault lines, economic and political confrontations. The modern world order is changing, and we need support points of stability and sustainability. In my opinion, Central Asia and China have the potential to become such a point of growth and sustainability in international relations,” the expert believes.

    The political scientist noted that despite the statements of some Western analysts about the possibility of the region turning into a “geopolitical chessboard,” the position of the Central Asian countries and China remains balanced, peaceful and pragmatic. He recalled the global initiatives of the Chairman of the People’s Republic of China Xi Jinping – in the areas of security, development, and civilizational dialogue, which give the world hope for overcoming conflicts.

    “At the Astana Forum, our president spoke about the need to look for reference points and countries capable of supporting joint and coordinated development. In the Chinese concept, this is a “community with a common destiny for humanity.” This is a wonderful philosophical concept, and Kazakhstan confirms its practical value with its actions,” said A. Amrebayev.

    The political scientist also commented on cooperation within the framework of the Belt and Road initiative, in which all five Central Asian countries participate. In his opinion, new formats of interaction between China and the regions provide a sustainable basis for economic and technological growth.

    “Today, the focus has shifted from a bilateral to a multilateral format. Let’s take water or transport issues, for example — they cannot be resolved in isolation. Broad regional coordination is needed. Therefore, participation in integration initiatives is becoming increasingly justified,” the expert noted. He emphasized that the region’s economy cannot be closed: it is necessary to go beyond bilateral corridors, taking into account global markets. In this context, Chinese initiatives create favorable conditions for the inclusion of Central Asia in the global trade and investment architecture.

    “It is important to listen to the interlocutor – this corresponds to both Chinese and Kazakh philosophy. Everyone wants to live peacefully, in harmony, raise children, interact. And it is on these values, and not on force, that the new world order should be built. I think such a philosophy is embedded in China’s initiatives and is shared by reasonable humanity,” A. Amrebaev summed up. -0-

    MIL OSI Russia News

  • MIL-OSI United Kingdom: How breast tissue density affects your risk of cancer

    Source: Anglia Ruskin University

    Justin Stebbing, Anglia Ruskin University

    Breast density is a significant yet often overlooked factor in breast cancer awareness, risk assessment and screening practices. Understanding what breast density is, how it affects breast cancer risk and what it means for screening can help women make informed decisions about their health.

    Breast density refers to the proportions of glandular and connective tissue compared to fatty tissue in the breast, as seen on a mammogram. Simply put, dense breasts have more glandular and fibrous tissue and less fat.

    On a mammogram, both dense tissue and tumours appear white, making it harder to detect abnormalities in women with dense breasts. This masking effect can lead to cancers being missed during routine screening, which is why breast density is not just a risk factor for developing breast cancer, but also for having it go undetected until it is more advanced.

    Recent large-scale studies have confirmed that women with dense breasts face a higher risk of developing breast cancer compared to women with less dense, fattier breasts. For example, a major study involving more than 33,000 women found that those with dense breasts were nearly twice as likely to develop breast cancer than those with low breast density.

    This increased risk is seen across both pre-menopausal younger women and post-menopausal older women, although the proportion of women with high breast density tends to decrease with age.

    In practical terms, women with the lowest breast density have about a 6% lifetime risk of developing breast cancer after age 50, while those with the highest density face a risk closer to 15%.

    The impact of breast density on cancer detection is also significant. Mammography, the standard screening tool, is less sensitive in women with dense breasts. While mammograms can detect about at least nine out of 10 cancers in women with mostly fatty breasts, the sensitivity drops to about seven out of 10 in women with extremely dense breasts.

    This means that tumours can be missed, leading to what are known as “interval cancers”, cancers that are diagnosed between regular screenings, often at a more advanced stage.

    Supplemental screening methods, such as MRI scanning, can help detect cancers that mammography might miss in women with dense breasts, and some pilot studies have shown that additional cancers are found this way.

    Breast density is now recognised as one of the most important risk factors for breast cancer, even as much as family history or other commonly discussed risk factors.

    About 40% of women fall into the higher density categories, and dense breasts are common in younger women, those taking hormone replacement therapy, and those with certain genetic backgrounds and ethnicities. However, breast density can also be influenced by lifestyle and hormonal factors, and it tends to decrease with age and higher body mass index and obesity.

    Given the importance of breast density, there has been a growing movement to ensure women are informed about their own breast density after mammograms, and to address this appropriately. A recent UK survey showed that most women aren’t aware of their breast density.

    In the US, new regulations require that all women undergoing mammography be notified if they have dense breasts and be advised about the associated risks. This aims to empower women to have more informed discussions with their healthcare providers about their personal risk and the potential need for additional screening.

    Despite the increased risk, it is important to remember that the majority of women with dense breasts will not develop breast cancer. Breast density is just one factor among many, and decisions about screening and risk reduction should be made on an individual basis.

    For women with dense breasts, discussing options for supplemental screening with their doctor is recommended. While there is currently no widely accepted intervention to reduce breast density, in my own research, I’m exploring new ways to address this risk factor.

    In summary, breast density is both a common and significant risk factor for breast cancer, and it can complicate the detection of cancer through standard mammography.

    Women should be aware of their breast density status, understand its implications for both risk and screening, and work with their doctors to determine the best approach for their individual situation. As awareness grows and screening practices evolve, the hope is that more cancers will be detected earlier, improving outcomes for all women.

    Justin Stebbing, Professor of Biomedical Sciences, Anglia Ruskin University

    This article is republished from The Conversation under a Creative Commons license. Read the original article.

    The opinions expressed in VIEWPOINT articles are those of the author(s) and do not necessarily reflect the views of ARU.

    If you wish to republish this article, please follow these guidelines: https://theconversation.com/uk/republishing-guidelines

    MIL OSI United Kingdom

  • MIL-OSI United Kingdom: Successful trial paves the way for improved reconnaissance on Army operations

    Source: United Kingdom – Executive Government & Departments 3

    News story

    Successful trial paves the way for improved reconnaissance on Army operations

    Recent trial saw a single operator controlling three uncrewed vehicles, which detected and classified threats.

    Uncrewed air vehicle in successful trial

    • UK first comes as government doubles investment in autonomous defence technology committing an extra £2bn this parliament
    • Next stage of trial will see drone swarms tested for intelligence, surveillance, and reconnaissance, delivering on recommendations set out in the Strategic Defence Review, and the Government Plan for Change.

    Soldiers are set to be better protected, and Army surveillance operations enhanced, following a successful trial in which a single operator controlled three uncrewed air and land vehicles.  

    The trials, conducted by the Defence Science and Technology Laboratory (Dstl), proved that robotic and autonomous systems (RAS) can be integrated into and controlled from crewed command vehicles, in a UK first.

    Drawing on lessons from Ukraine’s battlefields, this innovative use of RAS will play a vital role in strengthening the Army’s reconnaissance capabilities while reducing risk to personnel, allowing them to operate further from the frontline.

    The live trial took place on Salisbury Plain with a drone operated in tandem with two uncrewed ground vehicles, commanded by a single operator in a crewed vehicle. The autonomous systems were equipped with cameras and automatic target recognition software to detect and classify threats, which were relayed to the mission operator.

    Following recommendations set out in the Strategic Defence Review, this government is doubling investment in autonomous technology – investing an extra £2 billion this Parliament, following the Prime Minister’s historic uplift in defence spending to 2.5% of GDP from 2027. This will see autonomous systems, including drones, improve accuracy and lethality for our Armed Forces, boost UK export potential and drive jobs and growth across the country. 

    Thales designed and developed the trial for Dstl, supported by a number of specialist technology suppliers. Dstl’s work supports thousands of highly skilled jobs across the UK supply chain, including 7,000 staff employed by Thales directly, supporting the government’s Plan for Change.

    Following the success of the trial, Dstl will apply the concept to further missions, including deploying swarming drones in an intelligence, surveillance and reconnaissance role. 

    Minister for Defence Procurement and Industry, Rt Hon Maria Eagle MP said: 

    As set out in the Strategic Defence Review, we plan to use drones, data and digital warfare to ensure our Armed Forces stronger and safer, whilst boosting jobs and innovation across the UK. 

    This trial is an example of our Government’s new partnership with industry; delivering the cutting-edge technology to our front line troops and making defence an engine for growth, as part of our Plan for Change.

    The trial demonstrated the extension of the UK’s Generic Vehicle Architecture standard – which has also been adopted by NATO – to autonomous systems. Through integration into an internationally recognised system, the trial could lead to enhanced interoperability between allies, with the ability to deploy autonomous systems, sensors or software between vehicles at reduced risk and cost. 

    Dr Paul Hollinshead, Dstl’s Chief Executive, said:   

    Dstl identifies and harnesses the emerging technologies that will deliver mission success through science and technology advantage for UK forces.  

    These technologies support highly skilled jobs and create opportunities for growth throughout our specialist industry suppliers.

    Updates to this page

    Published 13 June 2025

    MIL OSI United Kingdom

  • MIL-OSI NGOs: Oceans British actors, authors, musicians and environmentalists urge UK government to ‘stop failing the ocean’ Photos of some of the signatories available here Some of the UK’s best-loved stars have joined a call on the UK government to stop failing the ocean and sign the… by Alexandra Sedgwick June 11, 2025

    Source: Greenpeace Statement –

    • Photos of some of the signatories available here

    Some of the UK’s best-loved stars have joined a call on the UK government to stop failing the ocean and sign the Global Ocean Treaty into law, as the pivotal UN Ocean Conference is taking place in Nice this week. 18 more states ratified the Treaty yesterday, bringing the total so far to 49, but embarrassingly there is no sign of action from the UK government. 

    Household names and longtime ocean, climate and nature ambassadors Stephen Fry, Emma Thompson, Bonnie Wright (who was in Nice for the summit), Dan Smith, Cel Spellman, Meera Sodha and Mya-Rose Craig are together appealing to the Foreign Secretary David Lammy to urgently sign the Global Ocean Treaty (also known as the High Seas Treaty) into UK law. Prime Minister Keir Starmer must support the legislation being brought to parliament before the summit ends on Friday.

    Their joint statement said: 

    “All life on earth depends on healthy oceans, yet they are under threat like never before. I urge the Foreign Secretary David Lammy to protect the oceans by rapidly passing the Global Ocean Treaty into UK law. It’s high time the UK got onboard. The Treaty is our best chance to achieve protection of 30% of the ocean by 2030, which scientists agree is essential for marine life to survive and thrive. The UK has turned up empty handed to a pivotal UN Ocean Conference where countries are committing to ocean protection right now. The UK must stop failing the ocean and swiftly join the 49 states that have already ratified. David Lammy has to ensure the Treaty legislation is tabled by the end of this vital conference.”

    After a flurry of ratifications on day one of the UN Global Ocean Conference, 49 states (plus the European Union) have now signed the Treaty into law, including 14 EU countries, but the UK is notably absent from this list[1][2]. A total of at least 60 states is required to bring the Treaty into force, and this threshold could be reached as soon as this week, but so far there’s no sign the UK will be included in the leading pack of countries. 

    The UN Ocean Conference (9-13 June) is the most significant political moment about the ocean since the agreement of the Global Ocean Treaty by the UN in 2023. Dozens of Heads of State are attending, according to the organisers. This level of attendance, and the diplomatic efforts of the organisers, provide an opportunity to set a high level of ambition for global ocean protection for the coming years. Ahead of the conference the UK government announced a package of domestic ocean protection measures but international action is also urgently needed to deliver on the commitment to protect at least 30% of the global ocean by 2030.

    Chris Thorne, Greenpeace UK senior oceans campaigner, said:

    “The UK government wants to be a leader on climate and nature, but 49 countries have beaten them to it on ocean protection. This vital international agreement could soon enter into force and begin delivering protection at sea on a scale we’ve never seen before. We’re tantalisingly close to a huge moment for the planet and the UK government could have pushed us closer. Embarrassingly, despite having had 20 months to do it, it hasn’t even begun the parliamentary process to sign the Treaty into UK law. 

    “All life on Earth depends on the ocean. Prime Minister Keir Starmer and Foreign Secretary David Lammy must stop failing it, and bring legislation to parliament before the summit concludes on Friday. The government must also loudly support calls for a global moratorium on deep sea mining. Global ocean protection cannot wait, and Starmer’s government shouldn’t either. This historic Treaty can help to protect a third of our blue planet from threats like industrial fishing, which devastates marine life. The UK needs to get onboard.”

    Actress Emma Thompson in Svalbard, Norway as part of a Greenpeace campaign. © Nick Cobbing / Greenpeace

    Mya-Rose Craig, ornithologist, writer, environmentalist and activist, said: 

    “We stand at a crossroads. In my lifetime, I’ll either witness the devastation of marine life and the decimation of coastal communities – or I’ll see a world where the oceans are properly protected, with thriving ecosystems, wildlife and people. Healthy oceans are also fundamental to tackling the climate crisis. I sailed to the Arctic with Greenpeace a few years ago, where I saw the Arctic sea ice shrinking. Each year, the sea ice retreats even further. But this is just one threat – destructive fishing, shipping, oil drilling and deep sea mining all pose a risk. Time is fast running out for governments to protect the oceans and the UK needs to deliver on its promises right now. Foreign Secretary David Lammy must ratify the Global Ocean Treaty immediately. It is the only tool that can help protect 30% of the oceans by 2030.”

    Cel Spellman, actor, writer and presenter, said: 

    “The health and balance of our bountiful oceans are at a critical tipping point. What happens at the UN Ocean Conference will define the future of our oceans; for the plant & wildlife species that call them home, for the communities that rely on them, and for the future of our precious planet. There is no other option than ensuring 30% of our oceans are protected, it’s as simple as that. Nothing less will suffice. The warning signs are there, the science is clear. If you want to understand why this is the case and how we’ve got in this mess, I implore you to watch or read Ocean with David Attenborough.”

    Dan Smith, Bastille playing guitar on board the Arctic Sunrise. © Tavish Campbell / Greenpeace

    Greenpeace UK is calling on the UK government to:

    • Prioritise ratifying the Global Ocean Treaty 
    • Speak out in favour of a global moratorium on deep sea mining and use diplomatic influence to build support for this and the multilateral system
    • Implement a full ban on all forms of destructive fishing, including bottom trawling, in all UK marine protected areas
    • Work with the UK Overseas Territory of Bermuda and other nations to champion one of the world’s first high seas sanctuaries in the Sargasso Sea. This stunning ecosystem supports a plethora of iconic wildlife including humpback whales, sharks, dolphins and sea turtles

    ENDS

    Photos of some of the signatories are available in the Greenpeace Media Library here

    Contact: Alex Sedgwick, Greenpeace UK press officer, alexandra.sedgwick@greenpeace.org, 07739 963301. 

    Notes for editors: 

    1. Palau, Chile, Belize, Seychelles, Monaco, Mauritius, Federated States of Micronesia, Cuba, Maldives, Singapore, Bangladesh, Barbados, Timor Leste, Panama, St. Lucia, Spain, France, Malawi, Antigua and Barbuda, Marshall Islands, Republic of Korea, Costa Rica, Cyprus, Finland, Hungary, Latvia, Portugal, Slovenia, Dominica, Norway, Romania, Albania, Bahamas, Belgium, Côte d’Ivoire, Croatia, Denmark, Fiji, Greece, Guinea-Bissau, Jamaica, Jordan, Liberia, Malta, Mauritania, Solomon Islands, Tuvalu, Vanuatu, Viet Nam.
    2. The European Union has also ratified the Treaty, in its capacity as an ‘enhanced observer’ at the UN.However, EU ratification does not count towards the total of 60 ratifications by UN member states required for the Treaty to enter into force.

    MIL OSI NGO

  • MIL-OSI Europe: Written question – Underinvestment in endometriosis research – E-002260/2025

    Source: European Parliament

    Question for written answer  E-002260/2025
    to the Commission
    Rule 144
    Tomasz Froelich (ESN)

    Endometriosis is a disorder that affects an estimated 200 million people worldwide and around 14 million women in Europe.

    Endometriosis is associated with a range of often debilitating symptoms, including severe pelvic pain, bowel symptoms and a risk of infertility[1].

    Endometriosis has a substantial economic impact, with direct healthcare costs, indirect costs related to lost productivity at work, and the financial burden of infertility treatments. Women with endometriosis need multiple medical consultations, diagnostic tests and treatments.

    The cost of endometriosis-associated sick leave for the EU is estimated at EUR 30 billion annually.

    Endometriosis is substantially under-represented in projects funded at EU level. Only 27 out of 145 983 projects funded in total (0.02 %) were related to endometriosis. Other non-malignant disorders received considerably more funds: 735 funded projects for depression, 410 for anxiety, etc. Gender-related autoimmune diseases received more funding than endometriosis. In addition, funding was mainly dedicated to the diagnosis of the disease, while few projects focused on treatment[2].

    • 1.Does the Commission agree that the funding dedicated to endometriosis at EU level is not aligned with the enormous burden attributable to the disease in the EU?
    • 2.What are the reasons for this substantial under-representation of endometriosis among projects funded at EU level?

    Submitted: 4.6.2025

    • [1] https://www.nature.com/articles/s44294-024-00048-6.
    • [2] https://www.sciencedirect.com/science/article/pii/S2949838423000464.
    Last updated: 13 June 2025

    MIL OSI Europe News

  • MIL-OSI United Nations: 13 June 2025 Departmental update mRNA Technology Transfer Programme’s Phase 2.0 discussed with partners on the sidelines of G20 Summit

    Source: World Health Organisation

    In parallel with the G20 Health Working Group, global health leaders are coming together in Johannesburg to set the foundation for a new phase of the mRNA Technology Transfer Programme – a pioneering initiative transitioning from proof of concept to sustainable, commercially viable manufacturing, while enhancing pandemic preparedness and regional health security.

    Launched in 2021 by the World Health Organization (WHO) and the Medicines Patent Pool (MPP), with the support of the Government of South Africa, France, Belgium, Canada, the European Union, Germany and Norway, the Programme has successfully enabled 15 Partners across Latin America, Africa, Eastern Europe and Asia to receive foundational mRNA technology. Now, it is moving into Phase 2.0 (2026–2030), with the aim of empowering regional manufacturers to scale up commercially sustainable production of mRNA-based vaccines and therapeutics at Good Manufacturing Practices (GMP)-grade.

    “The mRNA Technology Transfer Programme is delivering on its promise to build capabilities in low- and middle-income countries,” said Dr Tedros Adhanom Ghebreyesus, WHO Director-General. “The Pandemic Agreement adopted by the World Health Assembly also includes legally-binding commitments to strengthen local production. We must now translate those commitments into capacity on the ground, so that when the next pandemic strikes, we meet it more equitably and more effectively.”

    “This is a unique opportunity, driven by the pandemic. The foundations are in place — but without sustained political will, the promise of equitable mRNA access could slip through our fingers.” said Charles Gore, Executive Director of the Medicines Patent Pool. “What we need now is the courage to build on our investment to date, to align, and to realise the full value and impact of what we started.”

    From technology access to market-ready solutions

    The Programme is moving from focus on technology acquisition to defining how each partner will translate it into real-world impact. Each manufacturer is now focused on developing an economic case for long-term, flexible, and commercially viable manufacturing — with the capacity to produce mRNA vaccines in inter-pandemic periods and pivoting rapidly in response to future health emergencies.

    Product focus areas include:

    • mRNA vaccines – for pandemic and priority diseases (e.g., influenza, TB, HIV, malaria, dengue, leishmaniasis);
    • mRNA therapeutics – such as oncology and monoclonal antibody (mAb) treatments; and
    • Biologicals beyond mRNA – including near-term commercial products to support facility viability.

     “We have successfully progressed with the technology transfer to eight Partners — a testament to the strength and openness of this platform,” said Prof. Petro Terblanche, CEO of Afrigen Biologics. “What comes next is even more exciting: Afrigen is on the cusp of receiving GMP accreditation, positioning us not only as a technology originator but as a sustainable manufacturing and innovation partner for the Global South. We will continue to work with local and global partners on the development of new vaccines prioritizing the burden of disease in LMICs.”

    A diversity of models, one global goal

    The Programme’s Phase 2.0 recognises that there is no one-size-fits-all model. Manufacturers will develop tailored business strategies based on national health needs and policy, regulatory maturity and regional market dynamics. Some, like Bio-Manguinhos and Sinergium in Latin America, BioFarma in Indonesia, and Biovac in South Africa, are already piloting investment roadmaps with detailed market, regulatory, and COGS (cost of goods sold) modelling. Others will receive bespoke support to develop their investment cases.

    Crucially, sustainability will depend on country and regional-level procurement commitments, pooled purchasing mechanisms, and cross-border alignment — especially in Africa and Asia, where national markets alone may be insufficient to support GMP-level manufacturing scale.

    “We need to back science with smart policy,” said Dr Mmboneni Muofhe of South Africa’s Department of Science, Technology and Innovation. “This is about creating a new ecosystem for public health security, grounded in regional ownership, long-term strategy and investments.”

    Rising demand meets structural barriers

    While market opportunities for mRNA vaccines and therapeutics are growing — from seasonal influenza and HPV to innovative cancer treatments — the Programme acknowledges structural hurdles:

    • Misinformation and vaccine hesitancy;
    • Shifting donor funding priorities that reduce funding availability;
    • High clinical trial costs; and
    • Need for supportive policies and well-defined procurement pathways.

    The mRNA Programme highlights both the growing interest in regional R&D consortia focused on target diseases of regional relevance like leishmaniasis and malaria, and the drive to advance next-generation technologies focusing on dose sparing, reduced cost of goods and thermostability.

    MIL OSI United Nations News

  • MIL-OSI: US Lab Partners and SciSure Launch Strategic Partnership to Transform EHS Services and Lab Operations

    Source: GlobeNewswire (MIL-OSI)

    BOSTON, Mass., June 13, 2025 (GLOBE NEWSWIRE) — SciSure, the Scientific Management Platform (SMP) designed to unify scientific research, safety, operations, and compliance, today announced a strategic partnership with US Lab Partners, a leader in lab and facility operations and EHS (Environmental Health & Safety) consulting.

    Together, the organizations are launching a transformative “Virtual Incubator Model” that gives emerging and scaling life science organizations affordable access to world-class digital lab infrastructure and operational support.

    Unlocking Modern Lab Management for Scientific Entrepreneurs

    Emerging life science organizations have long faced a costly challenge: accessing high-quality EHS, lab operations, and compliance infrastructure before they have the resources or scale to support large software investments. The new SciSure and US Lab Partners collaboration eliminates this barrier. By combining SciSure’s comprehensive, scalable software suite with US Lab Partners’ expert consulting and implementation services, these organizations can now operate efficient, safe, and compliant labs from day one.

    “Our customers have often told us they needed digital infrastructure long before they had the budget or internal resources to manage it,” said Philip Meer, CEO of SciSure. “This partnership ensures they no longer have to choose between premium software or on-the-ground expert services – they get both, seamlessly integrated.”

    Better Together: A Complete Solution for Emerging Labs

    US Lab Partners provides deep, hands-on expertise in lab setup, operations, and EHS compliance. They become an extension of the customer’s internal team, guiding labs through complex requirements and day-to-day operations. SciSure complements this with an industry-leading platform encompassing Electronic Lab Notebooks (ELN), Laboratory Information Management Systems (LIMS), inventory tracking and EHS workflows, all in one secure and scalable environment.

    “Too often, emerging scientific companies are forced to rely on underpowered tools, systems that create data silos and are little more than glorified spreadsheets,” said Jon Zibell, Vice President of Global Alliances and Marketing at SciSure. “This partnership is designed to change that. We are delivering a seamless digital experience from day one, without sacrificing safety, compliance, or data integrity.”

    “Digitizing lab operations is no longer optional – it’s critical for continuity, safety, and scientific integrity,” said Demet Aybar, CEO and Founder of US Lab Partners. “Together with SciSure, we’re delivering world-class software and hands-on expertise that have traditionally been reserved for Big Pharma, now accessible to startups and academic innovators.”

    Impacting the Future of Scientific Innovation

    This partnership marks a pivotal shift in how scientific organizations can launch and operate. By eliminating the traditional burden of high costs, fragmented systems, and lack of technical resources, the Virtual Incubator Model accelerates innovation while reducing overhead and risk.

    Customers now gain access to a fully digital and seamlessly integrated record-keeping system from day one, end-to-end EHS and inventory management software and services, a robust LMS with training content library, tusted partners who bring both software and service to manage lab setup, safety, and compliance, as well as ELN, LIMS, SOP’s, and Sample Management built-in.

    “This model reflects our shared mission: to help brilliant science thrive without operational bottlenecks,” Aybar added. “We’re here to make world-class lab infrastructure available without compromise.”

    A photo accompanying this announcement is available at https://www.globenewswire.com/NewsRoom/AttachmentNg/c90d15db-77a2-4060-ae1b-ef857a726874

    The MIL Network

  • MIL-OSI Global: Why anti-trafficking measures alone won’t save Africa’s pangolins

    Source: The Conversation – UK – By Charles Emogor, Schmidt Science Postdoctoral Fellow, Department of Zoology, University of Cambridge

    Nigeria accounts for the largest volume of detected pangolin scales illegally traded from Africa. Between 2010 and 2021, 190,000kg of scales – representing nearly 800,000 African pangolins – were seized in shipments linked to Nigeria, despite a ban on international trade.

    Pangolins are scaly mammals found across Asia and Africa. They are considered the world’s most trafficked wild mammals and they are exploited in different ways on different continents.

    In Asia, mainly China, their scales are used in large-scale therapeutic medicines, despite not having known medicinal properties. Their meat is consumed as a delicacy, so it’s expensive and highly sought after.

    In Africa, pangolin scales are mainly used in small quantities to make traditional medicines and, like most other wildlife on the continent, their meat is sold and consumed locally. However, the decline in Asian pangolin populations has prompted the trafficking of African pangolin scales to Asia.

    Due to the relatively recent rise in international demand, the drivers of African pangolin exploitation remain unclear. However, some conservationists and researchers propose that this exploitation is primarily driven by overseas demand for pangolin scales used in traditional medicine.

    My new study challenges this view and suggests that African pangolin exploitation is motivated more by local demand for meat than international demand for scales.

    Having grown up in Nigeria, I developed personal connections with many of the hunters and vendors and have spent the past five years building a trustworthy relationship with them in order to research pangolin trade from within the industry.

    My colleagues and I sent an anonymous questionnaire to 590 hunters and 219 wild meat vendors in 33 locations in southeast Nigeria. We wanted to find out how many pangolins they caught annually and how they were captured. We also asked what their motivations for hunting were, how much they sold pangolin products for and the subsequent uses of meat and scales.

    Given that pangolin meat is eaten as food, we asked another group of 570 hunters, vendors, and other household members to score the palatability (perceived sensory qualities of meat flavour and texture) of 96 meat and fish dishes consumed in Nigerian communities.

    Of the approximately 21,000 white- and black-bellied pangolins, which we estimated were killed annually across the hunters in the landscape between 2020 and 2023, 97% were captured opportunistically (that is, while performing activities other than hunting) or during general hunting. Of those, were picked up by hand – these animals weigh just 2-3kg on average and are relatively slow-moving.

    Surprisingly, 98% of captured pangolins were caught for their meat, with 71% eaten by the hunters and 27% sold locally. This high rate of personal consumption compared to local sales is likely driven by their exceptional taste. In southeast Nigeria, the three pangolin species eaten scored highest in palatability among 96 wild meats assessed, and were comparable only with the African brush-tailed porcupine.

    By comparison, rural southeast Asian communities increasingly forego eating the pangolins themselves and instead sell them to urban centres because they get high prices for meat and scales.

    Most of the pangolin scales (70%) were discarded. Less than 30% were traded illegally. We also found that, on a per-animal basis, pangolin scales have been three to four times lower than meat since 2010, when Nigeria’s first pangolin scale seizure was documented.

    Beyond Nigeria

    While our study focused on pangolin trade in southeast Nigeria, our findings likely apply to other African forest regions where pangolins make up a similar proportion of the hunters’ total catch and where the price of scales is comparable.

    Our analysis only applies to white- and black-bellied pangolins; but this is still substantial as they make up approximately 98% of African pangolins trafficked internationally (based on seizure data) and 96% of pangolins caught by hunters across central and west Africa (based on hunter offtake data from six countries).

    Securing the future of African pangolins demands a bold shift if they are primarily being hunted for meat rather than scales, as appears to be the case in southeast Nigeria. Anti-trafficking measures alone won’t protect pangolins if hunting for local consumption remains unchecked.

    Promoting alternative protein sources or sustainable livelihoods for hunters could help reduce wild meat dependence. As current global trade bans don’t always reflect local hunting motivations, understanding why people hunt protected species and how they get traded both locally and globally will be crucial in developing conservation strategies that will tackle the root of the problem and encourage a transition to more sustainable practices.


    Don’t have time to read about climate change as much as you’d like?

    Get a weekly roundup in your inbox instead. Every Wednesday, The Conversation’s environment editor writes Imagine, a short email that goes a little deeper into just one climate issue. Join the 45,000+ readers who’ve subscribed so far.


    Charles Emogor receives funding from the British High Commission in Nigeria, National Geographic Society, Wildlife Conservation Society, Wildlife Conservation Network, Rufford Foundation, Conservation Leadership Programme, and Save Pangolins. He is the founder of Pangolin Protection Network (aka Pangolino).

    ref. Why anti-trafficking measures alone won’t save Africa’s pangolins – https://theconversation.com/why-anti-trafficking-measures-alone-wont-save-africas-pangolins-251744

    MIL OSI – Global Reports

  • MIL-OSI Global: Netflix’s Dept Q. suggests that psychological trauma might help a detective investigate – neuroscience backs this up

    Source: The Conversation – UK – By Edward White, PhD Candidate in Psychology, Kingston University

    Carl Morck is psychologically damaged. He’s socially insufferable. And he’s a departmental embarrassment. Yet this broken man becomes an incredibly effective investigator. Welcome to the brilliant paradox of Netflix’s Dept. Q, where mental trauma doesn’t disable – it supercharges.

    Detective Morck’s story begins with catastrophic failure. Ignoring protocol, he and his partner, James Hardy, rush headlong into what they think is a routine murder scene. It’s an ambush. Hardy ends up paralysed for life, a rookie officer dies and Morck survives with crushing survivor’s guilt and severe PTSD (post-traumatic stress disorder). Most detectives would retire. Morck comes back more determined to get his man.

    Months later, Morck returns to work. He obsessively replays the rookie’s body camera video hundreds of times as well as the ballistics reconstruction. His colleagues flee his toxic presence. His commander ships him off to the basement with a stack of cold cases, hoping he’ll disappear into bureaucratic obscurity.


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    Instead, she accidentally creates the perfect storm.

    Morck’s first basement case involves Merritt Lingard, a prosecutor who vanished from a ferry four years earlier. The official conclusion was she fell overboard and drowned. Case closed. But Morck can’t move on from anything anymore. His trauma-rewired brain won’t let him.

    He watches the ferry security footage with the same obsessive intensity he brings to replaying his shooting. Frame by frame. Over and over. The same compulsive attention to detail that torments him with endless replays of his failure becomes his investigative superpower. Where normal detectives see a tragic accident, Morck’s damaged neural pathways spot the inconsistencies everyone else missed.

    This isn’t nonsense, it’s neuroscience. Research shows that depression fundamentally rewires information processing, creating enhanced sensitivity to negative details and threats. What his therapist calls pathological rumination becomes detective gold.

    The banished misfits

    Morck is saddled with a team of misfits: Hardy (paralysed and bitter), Akram Salim (a Syrian refugee with mysterious combat skills), and Rose Dickson (battling her own demons). Together, they form a collection of damaged individuals that conventional policing would write off.

    But here’s the magic: their shared outsider status creates collective investigative superpowers.

    Take their interview with William Lingard, Merritt’s disabled brother. William draws pictures of “a man in a hat with a bird logo” — evidence that conventional investigators would probably set aside because it wouldn’t hold up in court. The series shows this attitude earlier when a young mother recants her witness statement. While other officers dismiss it as useless since it can’t help prosecute a case, Morck argues it’s still valuable investigative information.

    This reflects a fundamental difference in approach: most police focus on building prosecutable cases, but Dept. Q’s outsider status frees them to pursue any lead that might reveal truth, regardless of its courtroom value. Taking William’s drawings seriously as investigative intelligence, rather than dismissing them as legally inadmissible, eventually leads them to identify the crucial cormorant logo connection.

    Organisational psychology research shows that socially excluded groups are more willing to ask questions that insiders avoid due to workplace politics or social taboos. Operating from their basement exile, Department Q pursues theories that proper procedure would shut down. Their isolation becomes investigative freedom, unencumbered by institutional constraints.

    Department Q isn’t just entertainment, it’s a master class in psychological diversity’s investigative value. Real police departments might benefit from understanding how different types of cognitive processing can reveal different types of evidence. The systematic pessimism of depression, the hypervigilance of PTSD, the pattern recognition of anxiety – these aren’t just symptoms to medicate away, they’re investigative tools waiting to be properly deployed.

    The series suggests that our most psychologically damaged individuals might see truths that healthy minds systematically miss, which research backs up. It’s a provocative idea: maybe the people we consider “broken” are exactly who we need investigating the cases that have broken everyone else.

    Department Q proves that in the right circumstances, psychological damage doesn’t create victims. It creates visionaries.

    Edward White is affiliated with Kingston University.

    ref. Netflix’s Dept Q. suggests that psychological trauma might help a detective investigate – neuroscience backs this up – https://theconversation.com/netflixs-dept-q-suggests-that-psychological-trauma-might-help-a-detective-investigate-neuroscience-backs-this-up-258638

    MIL OSI – Global Reports