Category: Science

  • MIL-OSI Australia: 690 years of CFA service celebrated at Christmas Hills

    Source:

    Fred Kober receiving his 60-year medal of service from Captain Michael Scroggie and MC Peter Mildenhall

    Christmas Hills Fire Brigade members and their families gathered at Panton Hill Hotel on 4 June to celebrate the end of a long fire season, and to acknowledge a number of members who between them have accumulated 690 years of service.

    Sixty members and their guests enjoyed dinner at the Panton Hill Hotel while the presentations were made. A special slide show celebrating the rich history of the brigade also featured throughout the evening.

    “This was an important event because one of our still operational members, Fred Kober, celebrated 60 years of service with our brigade,” Captain Michael Scroggie said.

    “Fred joined us as a 16-year-old and has undertaken many roles over the years including captain, and has maintained his skills and fitness and still regularly turns out at local incidents,” he said.

    Not only did Fred receive a 60-year service medal but also a National Emergency clasp for his role as part of a District 14 strike team during the Black Summer fires of 2019-20. This clasp is in addition to his medal awarded for his service in the Black Saturday fires of 2009 which had a strong impact on the Christmas Hills community.

    Acting Commander Matt Baber also presented Pete Rae and John Roberts with National Emergency Medals for their service in the Black Summer fires. He also presented service awards to more than 30 other members of the brigade.

    This included four five-year certificates of service, five 10-year medals, nine 15-year medals (these were members who joined in the aftermath of the Black Saturday fires), four 25-year medals, two 30-year medals, one 35-year medal, two 40-year medals, two 45-year medals, a 50-year medal, and Fred’s 60-year medal.

    Michael Scroggie paid particular tribute to two active members who received 45-year medals.

    “Di Simmons and Robyn Adams have provided outstanding service to the brigade as active firefighters, but more particularly as members of the Brigade Management Team over the past 40 years or so,” he said. 

    “They have performed nearly all the BMT roles over extended periods of time, from captain in Di’s case to all levels of lieutenant roles, secretary/treasurer, training, OHS and comms. I don’t think there has a been a time in the past 40 years when one or the other or both haven’t been on the BMT.”

    Nillumbik Group Officer Matt Knight also paid tribute to Di and Robyn’s leadership and support at the group and district level as well and noted their strong role in the mentoring of women firefighters and leaders across CFA.

    Their previous professional lives as lecturers and researchers into fire science and environmental studies at Deakin was also instrumental in the development of the brigade mantra ‘Red truck green heart’ which underlies our approach to fire management and suppression in Christmas Hills.

    “While we took this opportunity to thank them for their enormous contribution to the effectiveness of our brigade up until now,” said Michael Scroggie, “we are further grateful that Dianne and Robyn will continue as active firefighters at Christmas Hills and in management roles at Nillumbik Group”.

    • Di Simmons and Robyn Adams receiving their 45 Year medals
    • Many of the members who received service awards
    Submitted by Peter Mildenhall

    MIL OSI News

  • MIL-OSI China: Chinese vice premier meets with foreign guests attending Belt and Road conference

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

    Chinese vice premier meets with foreign guests attending Belt and Road conference

    CHENGDU, June 10 — Chinese Vice Premier Ding Xuexiang on Tuesday held separate meetings with several foreign guests who are in China to attend the second Belt and Road Conference on Science and Technology Exchange in Chengdu, Sichuan Province.

    When meeting with Deputy Speaker of the National Assembly of Serbia Marina Ragus, Ding, who is also a member of the Standing Committee of the Political Bureau of the Communist Party of China Central Committee, said that China is willing to work with Serbia to implement the important consensus reached between the two heads of state, support each other’s major concerns and core interests, deepen high-quality Belt and Road cooperation, transform sci-tech innovation cooperation into a new growth point for bilateral relations, and promote further achievements in the construction of a China-Serbia community with a shared future in the new era.

    Ragus said that Serbia highly values its friendship with China, adheres firmly to the one-China principle, and is willing to strengthen practical cooperation with China in such fields as investment, the economy and trade, and science and technology, with the aim of building a community with a shared future between the two countries.

    When meeting with Uzbekistan’s Deputy Prime Minister Ramatov Achilbay Jumaniyazovich, Ding said China is ready to work with Uzbekistan to consolidate their political mutual trust and long-standing friendship, deepen their alignment of development strategies, and promote in-depth, substantive cooperation in areas such as connectivity, the economy and trade, and sci-tech innovation under the framework of high-quality Belt and Road cooperation.

    Ramatov said that Uzbekistan is willing to deepen practical cooperation with China under the guidance of the strategic consensus reached between the two heads of state, and to promote the continuous development of the comprehensive strategic partnership between the two countries.

    When meeting with Iran’s Vice-President of Science, Technology and Knowledge-Based Economy Hossein Afshin, Ding said that guided by the important consensus reached by the two heads of state, China is willing to make joint efforts with Iran to implement the China-Iran comprehensive cooperation plan well, promote high-quality Belt and Road cooperation, and further tap the cooperation potential in the field of science and technology to bring more tangible benefits to the people of the two countries.

    Afshin said that Iran attaches great importance to the development of bilateral relations with China and is willing to enhance its people-to-people bonds with the country, promote the implementation of the comprehensive cooperation plan, and make new progress in sci-tech cooperation.

    MIL OSI China News

  • MIL-OSI Russia: The Caribbean Challenge: Fostering Growth and Resilience Amidst Global Uncertainty

    Source: IMF – News in Russian

    June 10, 2025

    As prepared for delivery

    Introduction and Road Map

    Good evening, everyone.

    It is a great pleasure to join you here in Brasilia for the 55th Annual Meeting of the Caribbean Development Bank (CDB or the Bank).

    Thank you Valerie for your very kind introduction. I also take this opportunity to thank the Bank for giving me the honor of delivering this year’s lecture in memory of Dr. William Gilbert Demas.

    It is highly symbolic that this year’s meeting takes place in Brazil for the very first time. This symbolizes a new beginning and demonstrates the CDB’s broad and international coalition of shareholders all vested in CDB’s success.

    The CDB is an incredibly important institution that has a vital role to play in the Caribbean’s development. It must be cherished, and supported, even as it delivers value to its borrowing and non-borrowing membership in harmonious partnership with all its stakeholders.

    This is also the first CDB Annual General Meeting under the presidency of Mr. Daniel Best. It is therefore in order to, again, congratulate President Best and to wish him tremendous success.

    Dr. Demas’s contributions throughout his career—as a policymaker, as an academic, and as an economist—cannot be overstated. He left a legacy of far-sighted vision and Caribbean excellence. A legacy that the whole region can be proud of.

    We need to channel that vision and that excellence to meet two urgent priorities for the region. First, to lift growth prospects and living standards. And second, to build resilience against persistent economic shocks and natural disasters. These two objectives go hand in hand. We need the second to sustainably deliver on the first.

    At a moment of exceptional uncertainty in the global economy, these tasks become even harder—and our efforts become even more urgent.

    Today, I will address the growth and resilience challenge: both in the global context and in the context of the Caribbean region.

    I will then discuss how regional policymakers can respond—by implementing sound macroeconomic policies and by following through on necessary structural reforms.

    Finally, I will share how the IMF is supporting our members to boost growth prospects and build resilience in today’s uncertain global environment.

    The Global Growth Challenge

    Let me start with the global growth outlook.

    After a series of shocks over the past five years, the global economy seemed to have stabilized—at steady but underwhelming rates, as compared with recent experience.

    However, the landscape has now changed. Major policy shifts have signaled a resetting of the global trading system. In early April, the US effective tariff rate jumped to levels not seen in a century.

    And, while trade talks continue and there’s been a scaling back of some tariffs, trade policy uncertainty remains off the charts.

     

    As a result, we significantly downgraded our most recent global growth projections in the April World Economic Outlook—by 0.5 percentage point for this year, from 3.3 to 2.8 percent; and 0.3 percentage point in 2026, from 3.3 to 3.0 percent. This represents the lowest global growth in approximately two decades, outside of 2020, the year of the pandemic.

    A natural question is: if trade tensions and uncertainty persist, what could be the impact on global growth?

    To start, we know that uncertainty imposes huge costs. With complex modern supply chains and changing bilateral tariff rates, planning becomes very difficult. Businesses postpone shipping and investment decisions. We also know that the longer uncertainty persists, the larger the costs imposed.

    In addition, rising trade barriers hit growth upfront. Tariffs do raise fiscal revenues but come at the expense of reducing and shifting economic activity—and evidence from past episodes suggests higher tariff rates are not paid by trading partners alone. These costs are passed on to importers and, ultimately, to consumers who pay higher prices.

    Protectionism also erodes productivity over the long run, especially in smaller economies. Shielding industries from competition reduces incentives for efficient resource allocation. Past productivity and competitiveness gains from trade are given up, which hurts innovation.

    Tariffs will impact economic growth differently across countries, but no nation is immune. The IMF’s most significant downgrades to growth are concentrated in countries affected the most by recent trade measures. Low-income countries face the added challenge of falling aid flows, as donor countries reprioritize resources to deal with domestic concerns.

    And we have already seen an increase in global financial market volatility. Equity market valuations declined sharply in response to the April tariff announcements. Unusual movements in the US government bond and currency markets followed.

    Equity markets have since regained ground on the hopes of a swift resolution of trade tensions. But with continued uncertainty and tighter financial conditions, we assessed in our most recent Global Financial Stability Report that risks to global financial stability have increased significantly.

    These global realities result in three main vulnerabilities.

    First, valuations remain high in some key segments of global equity and corporate bond markets. If the economic outlook worsens, these assets are vulnerable to sharp adjustments. This could, in turn, affect emerging markets’ currencies, asset prices, and capital flows.

    Second, in more volatile markets, some financial institutions could come under strain, especially highly leveraged nonbank financial institutions, with implications for the interconnected financial system.

    Third, sovereign bond markets are vulnerable to further turbulence, especially where government debt levels are high. Emerging market economies—which already face the highest real financing costs in a decade—may now need to refinance their debt and finance fiscal spending at even higher costs.

     

    These vulnerabilities, and the potential for impact in emerging economies, should not be underestimated nor ignored.

    But let me step back from these most recent economic and financial developments. As I mentioned, global growth prospects were already underwhelming.

    And looking over the medium term, these global growth prospects, as I mentioned previously, remain at their lowest levels in decades.

    What is driving this? Our analysis shows that a significant and broad-based slowdown in productivity growth accounts for more than half of the decline in global growth.

    This is partly because global labor and capital have not been flowing to the most dynamic firms. Lower private investment after the Global Financial Crisis and slower working-age-population growth in major economies exacerbated the problem. Our studies show that, without a course correction, global growth rates by the end of this decade would be below the pre-pandemic average by about 1 percentage point.

    Simply put, new uncertainties on top of already weak economic prospects make for a very challenging global growth backdrop.

    The Caribbean Growth and Resilience Challenge

    It is not surprising, then, that most Caribbean countries also face a challenging outlook.

    In our latest World Economic Outlook, we already projected tepid growth in the Caribbean region overall—even before accounting for the US trade policy announcements. Stronger performance in some countries—such as Jamaica and Trinidad and Tobago—was offset by slower growth in others.

    And in several countries, crime weighs on growth prospects. Particularly in Haiti, where the security situation hampers efforts to sustain economic activity, implement reforms, and attract aid and foreign direct investment.

    On top of that, we estimate that the April tariff announcement and its global spillovers would lower Caribbean regional growth by at least 0.2 percentage point on average.

    But the impact varies across countries.

    In tourism-dependent economies, where growth is closely tied to US economic activity, the impact will mainly depend on the size of the US tourist base (Figure).

    In oil-exporting countries, lower commodity prices and higher volatility are the main channels of transmission. Lower global growth means lower demand for these commodities which adversely impacts the economies of commodity exporting countries.

    Slower growth, while a relatively recent phenomena from a global perspective, is, unfortunately, not new to the Caribbean. Declining growth trends in the Caribbean region have loomed over the longer horizon as well. Recent IMF analysis finds that most Caribbean countries had significantly slower growth over the last decades: 2001–2023, as compared with the previous two decades: 1980–2000 (Figure).

    For tourism-dependent Caribbean economies, we estimate a decline in potential growth from 3.3 percent over the 1981 – 2000 period to 1.6 percent over the following two decades, 2001-2019.

    This presents the Caribbean with an aggravated challenge – to reverse the trend of slower growth at a time when global growth is also declining. That is, the challenge is to reverse the trend of slower growth when the wind in the proverbial sail is weaker and has changed direction.

    Let’s be clear about what is at stake.

    Slower growth in the Caribbean slows the improvement in living standards and stymies the aspirations of Caribbean people for better opportunities. Slowing growth, in the past, has also meant that convergence in income levels between the Caribbean and advanced economies has stalled. In other words, the gap between the economic fortunes of the Caribbean national and that of her counterpart in the advanced world is growing wider.

     

    Of course, there are exceptions to the regional trend. In particular, Guyana’s economy has grown rapidly over the past two decades, progressing from low-middle-income to high-income status. Growth accelerated to over 45 percent on average in the past three years, making Guyana the fastest growing economy in the world!

    But for the Caribbean more broadly, the questions on which we should focus is – what explains the pattern of declining growth? And, what is the appropriate menu of policy responses to this pattern?

    With respect to the first question, and as in the rest of the world, a key explanation for declining growth is weak productivity growth.

    The growth challenge is not a mystery. Growth potential can be decomposed into its constituent factors and we can compare how the Caribbean’s growth potential has declined over time. Such an analytical and data-driven approach reveals that the Caribbean’s growth potential is a half of what it was a few decades ago. Addressing the Caribbean growth challenge requires systematic and comprehensive policies to strategically improve the factors that contribute to growth potential. Zooming in on one of the important factors: the Caribbean’s productivity growth has declined to almost zero. This is at the root of the Caribbean’s growth challenge. In addition to productivity growth, physical and human capital development need to be accelerated. So, ladies and gentlemen, there is no magic solution to the Caribbean growth challenge. There is no quick fix either. In fact, great danger exists if we believe that the growth challenge can be addressed with quick fixes. Solving the growth question will require as much effort as the effort put into the macro stability reforms successfully undertaken in Jamaica, Barbados and Suriname.

    What Should Policymakers Do? – Maintain and Entrench Macro Stability

    The goal for policymakers is clear: to foster resilient and inclusive growth that sustainably raises living standards.

    How should this be achieved?

    1. Maintain and entrench macro-economic stability and
    2. Decisively and comprehensively address the factors that raise growth potential

    As a pre-requisite, countries should strive to pursue policies that restore, maintain and entrench macroeconomic stability – stable prices, sustainable fiscal trajectories, adequate foreign exchange reserves and financial sector stability.

    The collective Caribbean experience powerfully demonstrates the transformative potential of macroeconomic stability. Jamaica, for example, which was burdened with unemployment rates that averaged 20% between the early 1970’s and the end of the 1980’s and 15% between over the 1990’s to the mid 2000’s only achieved the previously unimaginable result of low single digit unemployment rates, in the region of 4% and lower, when stability became entrenched.

    Stability is also a friend to the poor as Jamaica’s experience also highlights.

    Jamaica achieved the lowest rate of poverty in its history in 2023, again on the back of entrenched macroeconomic stability in the context of an institutionalized social protection framework supplemented by temporary and targeted counter-cyclical measures at times of distress.

    Friends, our history and global economic history clearly demonstrate that economic stability is indispensable to national success, regardless of chosen social and political organization. Economic stability should therefore be guarded and protected as a national asset, allowing for focus on higher order challenges like structural reforms to unlock growth potential. Also, the requirements of stability should act as a constraint on policy. Any proposed policy action that has the prospect of jeopardizing any of the components of stability should not make it through the policy formation gauntlet. Securing economic stability into the future requires laws but laws are insufficient. Stability over the long term is best preserved by developing, empowering, and strengthening institutions.

    Build fiscal buffers, strengthen fiscal frameworks, and bolster resilience.

    The Caribbean region hosts different currency regimes. The key requirement is internal consistency within the chosen currency regime. Floating rate and fixed rate currency regimes impose their own constraints. These need to be observed for success.

    While there is always room for improvement in monetary frameworks, the areas within the macro stability complex, that require urgent attention in the Caribbean, are rebuilding fiscal buffers, strengthening fiscal frameworks and bolstering resilience.

    Let’s face it: on top of all the other challenges, government budgets in the region are strapped. Providing extraordinary support in response to extraordinary shocks has depleted buffers.

    Public debt ratios have come down since the pandemic—this is good news. However, in many countries—including Caribbean countries—debt and financing needs are still too high.

    In fact, for some Eastern Caribbean Currency Union (ECCU) members, achieving their regional debt target of 60 percent of GDP by 2035, a full decade from now, will require sizeable efforts.

    With timely fiscal consolidation, countries can bring down debt ratios and by so doing, they can protect themselves against future shocks. And they can make space to invest in crucial human and physical capital—an investment in their own future.

    In addition, some Caribbean countries have pegged exchange rates, which have been a long-standing anchor of stability—for example, in the Eastern Caribbean. The ECCU is one of only four currency unions in the entire world[1] and stands as a testimony to the capacity of Caribbean people to collaborate, cooperate and innovate.

    However, to safeguard the stability provided by this currency union long into the future, fiscal policies must be sustainable, resilient, and consistent with the exchange rate regime. Inconsistency only serves to compromise the currency union with the potential for destabilizing consequences.

    Our advice to policymakers on how to rebuild buffers and strengthen frameworks is straightforward: mobilize tax revenue, spend wisely, and plan ahead.

    Let’s start with mobilizing tax revenue. The tax revenue yield in Eastern Caribbean countries is falling short of peers. Inefficient tax exemptions and weak tax administrations are leading to large revenue losses.

    Broadening the tax base and removing distortions will not only increase revenues but also support investment and growth. The Fund has provided technical assistance to our members in the Caribbean to support their ongoing efforts in this area.

    Let me turn to spending wisely. Not all spending is productive spending. With limited fiscal space focus must be on spending that has the potential to deliver quantifiable social and economic returns within reasonable timeframes. Policymakers should keep the quality and composition of spending under review, including by containing unproductive spending, enhancing efficiency, and digitalizing government services.

    Finally, plan ahead. With conviction. Credibility is critical to allow fiscal consolidation to proceed gradually with lower financing costs and better growth results.

    Strong medium-term fiscal frameworks, with well-designed fiscal rules and specific plans for fiscal policies and reforms, can help bring debt down and investment up.

    Frameworks that combine debt and operational targets—and are backed by adequate capacity and institutions—can be particularly powerful.

    This approach worked well in Jamaica, where fiscal responsibility was written into law under the Financial Administration and Audit Act. The Act established a public debt goal of 60 percent of GDP and a rule that determines the annual target fiscal balance consistent with that objective. An Independent Fiscal Commission is the arbiter of Jamaica’s fiscal rules and provides an opinion on fiscal policy sustainability, strengthening credibility and accountability.

    Planning ahead also means being ready for the certainty of economic shocks. A golden rule in policymaking in a country is to design policies that fit the country’s circumstances. Shocks are a permanent feature of Caribbean small state reality. Caribbean economic policy ought, therefore, to make provisions for the inevitability of economic shocks. In Jamaica’s Act, there are clear escape clauses for large shocks and an automatic adjustment mechanism to secure a return to the debt target.

    Well-designed and transparent sovereign wealth funds can also help stabilize public finances when shocks hit. For example, Trinidad and Tobago’s sovereign wealth fund insulates fiscal policy from oil price fluctuations. Guyana’s fund helps manage its natural resource revenues, finance investment, and save for the future. And St. Kitts and Nevis is considering a fund to smooth volatile revenues from the Citizenship-by-Investment program.

    Planning for shocks is ever more important in regions like the Caribbean that face recurrent threats from natural disasters.

    Our countries need to be prepared before disasters hit.

    Recurring natural disasters impair productive infrastructure and hinder human development, constraining productivity growth even further.

    Major natural disasters cost an average of 2 percent of GDP per year in Caribbean countries and close to 4 percent of GDP in the Eastern Caribbean countries.

    There is a physical dimension to disaster preparedness, which involves investing in resilient infrastructure.

    There is also a financial dimension, which involves developing resilient risk transfer, contingent claim and insurance mechanisms.

    Unfortunately, rising global private re-insurance premiums are making the task even harder. Domestic insurance premiums have also been rising. The result is lower insurance coverage in the private sector, and thus potentially more burden on governments when a natural disaster strikes.

    Caribbean countries can secure a comprehensive insurance framework with multiple layers: self-insurance through their own fiscal buffers, participation in pooled risk transfer arrangements, contingent financing and catastrophe bonds.

    With respect to the first layer, in Jamaica, there is a legislated requirement to save annually in a natural disaster fund. I recognize, however, that for some countries individual buffers have declined since the pandemic and need to be restored.

    On the second layer, the Caribbean Catastrophe Risk Insurance Facility (CCRIF) helps fill an important gap. Coverage has steadily improved since its inception, and the CCRIF has made prompt payouts after various natural disasters. This included US$85 million across five countries, Grenada, St Vincent & the Grenadines, Trinidad and Tobago, the Cayman Islands and Jamaica, in a matter of days after Hurricane Beryl, underscoring the Facility’s regional importance. Further expanding coverage would pay off in the long term.

    On the third layer of contingent financing, the World Bank has approved catastrophe deferred drawdown options for Barbados, Dominica, Grenada, Jamaica, St. Lucia, St. Vincent and the Grenadines, among other countries in the pipeline. Furthermore, Grenada and St. Vincent and the Grenadines have already drawn on these instruments following natural disasters.

    In addition, the IDB has credit contingent facilities with Antigua and Barbuda, the Bahamas, Barbados, Jamaica, St Vincent and the Grenadines among other countries.

    On the fourth layer, Jamaica has, with World Bank assistance, independently sponsored two catastrophe bonds.

    Now, to be clear, stability, resilience and risk transfer by themselves, do not automatically deliver the elevated growth needed. However, elevated levels of economic growth cannot be achieved without stability. Furthermore, stability and resilience set the stage for elongating the economic cycle by significantly lowering a country’s risk premium, lowering the cost of capital, expanding the frontier of project economic viability and providing the counter-cyclical capacity to respond to shocks, thereby limiting the duration and intensity of downturns, and providing for longer unbroken periods of consecutive economic growth. The Jamaican experience demonstrates these relationships.

    To achieve higher growth, in addition to stability, policymakers have to decisively address factors that elevate growth potential beginning with the productivity gap.

    Decisively address structural obstacles to lift firm level productivity

    Addressing the growth challenge requires reversing the decline in the Caribbean’s growth potential by 1) improving total factor productivity and 2) boosting investment in physical and human capital.

    Our analysis for the ECCU shows that the bulk of total factor productivity losses come from high costs of finance, cumbersome tax administration, inefficient business licensing and permits, and skills mismatches in the workforce. From my experience, this can also be applied to most of the Caribbean beyond the ECCU.

    Overcoming these obstacles could bring substantial productivity gains ranging from 34 to 65 percent— which would be an incredible result! This could close the gap in income per capita with the US by 9 to 27 percentage points.

    Simplify and Digitalize Regulation, Business Licensing, Permits and Tax Payment Procedures

    One practical step is to promote digitalization of Caribbean societies which can significantly boost productivity. This will require a multifaceted strategy including investment in digital infrastructure, digital transformation of government, reducing the cost and increasing the availability of data transmission, improving digital literacy, among other factors.

    Application of digital tools and digital technologies to improve access to government services, while reducing time, ought to be seen as a non-negotiable imperative. As an obvious example, further enhancing taxpayer access to digital government services—through e-payment, e-filing, and e-registration—would not only reduce the administrative burden but also encourage compliance, fostering a better environment for entrepreneurship.

    In much of the Caribbean, businesses have to navigate a complex labyrinth of licensing, permitting and regulatory regimes. This is a drag on productivity. While the largest enterprises have the scale to absorb the inefficiencies, smaller firms suffocate from overly burdensome processes. We know that the economic vitality of a country is linked to the level of hospitability of the business environment to its small and medium-sized firms.

    There is, therefore, tremendous scope in the region to greatly simplify regulatory processes and eliminate unnecessary steps. Furthermore, the digitalization of licensing, permitting and regulatory procedures promises to enhance the efficiency of firms, boosting productivity.

    Improving Access to Finance

    That leads me to another practical step: improving access to finance, which can encourage new businesses and support a transition into the more productive formal sector. Finance is the oxygen of business, and its affordable and widespread availability is essential for having a dynamic business environment.

    There could be an entire session on improving access to finance as it is so fundamental, yet so multifaceted and complex.

    Many factors hinder access to finance in the Caribbean. I will touch on a few.

    First, legacy weaknesses in banks’ balance sheets limit access to credit, investment, and growth across the region. So it is important to address vulnerabilities in the banking sector. This includes timely compliance with regulatory standards and easier ways to dispose of impaired assets. Progress is happening: banks are building buffers and reducing non-performing loan ratios. But more work is needed to ensure all banks meet regulatory minimums.

    Reducing the costs of non-performing loan resolutions, ultimately reduces the cost of loans. This can be achieved by modernizing insolvency regimes to encourage faster out-of-court debt workouts. Asset management companies—if they are properly funded—would facilitate asset disposals.

    Collateral infrastructure should also be strengthened through effective credit registries and partial credit guarantee schemes. For example, the recently created regional credit bureau in the Eastern Caribbean can help lower the cost and time of credit risk assessments and close information asymmetry gaps. This will help small and medium enterprises access credit while safeguarding credit quality.

    Stronger anti-money laundering and anti-terrorism financing frameworks can help protect the financial system from external threats and retain correspondent banking relationships, the absence of which impedes access to credit.

    The above financial sector measures are absolutely necessary but hardly revolutionary.

    Revolutionizing access to credit in the region could be achieved by enabling mobile real-time, instant, 24/7 payment system platforms as exist in India through their Unified Payments Interface (UPI) and right here in Brazil through Pix.

    In both India and Brazil, access to finance and to financial services have been transformed, and inclusiveness expanded, by these innovations. Transactions are free, or ultra-low cost, and these payment platforms are integrated into banking apps and into e-commerce platforms.

    Of course, these systems only exist within the context of national identification systems that provide the necessary identity verifications as required.

    Seize the Opportunities from the Renewable Energy Transition.

    The use of oil imports for electricity generation is costly and has led to very high electricity prices which undermines competitiveness—particularly for the tourism industry—at the expense of potential growth.

    As we explored last December in the Caribbean Forum in Barbados, a successful energy transition can foster inclusive, sustainable, and resilient growth.

    That transition will look different for energy-importing and energy-exporting countries.

    For energy importers, diversifying into renewable energy, with fast declining costs, can reduce reliance on expensive and volatile oil imports. It would also offer relief from some of the highest electricity costs in the world. Consider this key fact: electricity in many countries in the Caribbean costs, a minimum of, twice as much as in advanced economies. We have been discussing this in the region for a long time. Too long.

    The energy transition would enhance external sustainability for energy importers, while making them more competitive, more resilient to shocks, and more likely to grow faster and on a sustainable basis.

    But seizing these opportunities requires tackling key obstacles. For example, high upfront investment costs. Limited fiscal space. Regulatory hurdles for private investment. And small market sizes and isolated grids that hinder economies of scale.

    So, the transition to renewables will take time and investment. It will also take efforts coordinated on a regional scale.

    One immediate, cost-effective step is to implement energy efficiency measures. For example, both Barbados and Jamaica have retrofitted government buildings with energy-efficient equipment. This delivers quick savings, typically without large upfront costs.

    On the regional front, initiatives like the Resilient Renewable Energy Infrastructure Investment Facility—championed by the Eastern Caribbean Central Bank and supported by the World Bank—offer a promising step forward.

    Regional mechanisms to promote pooled procurement and to harmonize regulatory frameworks will also be key.

    Energy exporters in the Caribbean face a different set of challenges. Most notably, they have the difficult task of managing changes in fossil fuel demand and fiscal revenues while maximizing the value of existing reserves.

    But the energy transition is also an opportunity to diversify into the green energy sectors of the future, such as green petrochemicals and green hydrogen.

    Energy exporters will also need to watch out for spillovers from other regions’ climate policies, such as border carbon adjustment mechanisms. For example, Trinidad and Tobago faces exposure to the EU Carbon Border Adjustment Mechanism, which could, potentially, affect over 5 percent of the country’s total exports. And a further 5 percent is at risk if the EU expands its Mechanism.

    But energy exporting countries can also turn this type of spillover into an advantage. By introducing their own carbon pricing systems, they can retain revenue in their economies rather than have it collected by their trading partners.

    Invest in Human Capital, Bridge the Skills Gap and Invest in Physical Infrastructure

    The most important investment Caribbean countries can make is in boosting the human capital of the region. Human capital development is multifaceted, but today I will focus on the central elements of education and skills.

    Invest in Human Capital; Address the Skills Gap

    Given the small size of Caribbean economies, and the absence of economies of scale, economic success will be determined by the level and quality of human capital in the region.

    Elevated levels of economic growth will require substantial improvements in education and skills outcomes across the region, and in some countries more than others. This is deserving of the region’s energy and focus.

    A recent survey for the ECCU highlights a shortage of skilled labor as a key constraint for businesses. I know this skills gap is also a reality in Jamaica and can be generalized across much of the Caribbean.

    What can be done? The answer is twofold: enhance the skills of those employed and provide opportunities to those who have skills but are not in the labor market.

    Expanding vocational training and modernizing education systems, coupled with active labor market policies, can help mitigate the skills gap. And digital tools can connect employers with potential employees.

    Emerging technologies—such as artificial intelligence—make closing the skills gap all the more important. The opportunity is that rapidly evolving technologies could bring high productivity gains, with the threat that failure to upgrade skills could expose industries important to the region such as business process outsourcing.

    Harnessing that potential in Caribbean countries includes, for instance, integrating AI and data science into all levels of education.

    The good news is that many countries in the region are facing the skills challenge head on.

    For example, my home country of Jamaica launched a national initiative—supported by the World Bank—for secondary school students in the areas of Science, Technology, Engineering, Arts, and Mathematics, also known as the STEAM initiative.

    In Barbados, the 2022 Economic Recovery and Transformation Plan aims to enhance the business environment by advancing digitalization and skills training.

    In St. Vincent and the Grenadines, an ongoing education reform is focused on modernizing and expanding post-secondary technical and vocational education to better align skills with labor market needs.

    And in Antigua and Barbuda, the planned expansion of the University of the West Indies Five Islands Campus will provide new opportunities for higher education and regional talent development.

    However more can be done, and should be done, in each of these countries. The goal of policy should be to have Caribbean schools rank in the upper quartile of the Program for International Student Assessment (PISA) benchmarks.

    On creating more opportunities, bringing more women into the labor market can contribute to economic growth.

    We estimate that eliminating the gender gap in the ECCU—which is over 11 percentage points, on average—could boost regional GDP by roughly 10 percent. That is a powerful economic case for inclusive labor policies, such as enhanced access to childcare and elderly care.

    It is also imperative to foster opportunities for youth. Caribbean countries have some of the highest youth unemployment rates in the world, ranging from 10 to 40 percent. Empowering future generations is at the core of addressing the growth and resilience challenge in the region.

    I want to acknowledge the important efforts led by the Caribbean Community, CARICOM, to work towards deeper social and economic integration.

    Earlier this year, we saw tangible progress. CARICOM members are working to enable free movement of CARICOM nationals for willing countries. Importantly, this initiative also includes access to primary and secondary education, emergency healthcare, and primary healthcare for migrating individuals.

    Boost Investment in Infrastructure

    Improved infrastructure enhances the productivity of capital as well as the productivity of labor. The Caribbean will need much higher levels of investment to restore and boost its growth potential.

    Workers depend on public transportation to get from home to work and back home again. If this, for example, routinely takes an hour and a half each way, on average, and costs a third of weekly wages, then labor productivity will suffer. Efficient, affordable, accessible mass transportation enhances productivity. While taxis complement bus transportation, they cannot be an effective substitute. This is more of a problem in larger Caribbean territories and I know that Jamaica is tackling this problem head-on.

    Similarly, road and highway connectivity that opens new investment opportunities and reduces the cost of transportation of people and goods enhances productivity of capital as well as the productivity of labor and enhances growth potential.

    Modern commerce relies on communication and, importantly, on data. I mentioned this earlier. There is scope for telecommunications and broadband infrastructure to be improved, for data costs to be lowered, and for data access to be expanded. This will require investment. Hopefully, private investment, but investment that will need to be facilitated by government policy.

    Water is the source of life. Without water, communities are less productive, and businesses cannot function. Across the region, significant investment in water treatment, storage, and distribution infrastructure will be required to support economic growth and improve standards of living over the medium term.

    All of these elements of infrastructure – transportation, broadband, roads, water, and energy, dealt with earlier, – need considerable investment to keep Caribbean societies competitive and to raise the growth potential.

    However, Caribbean governments will not have the required resources to finance these investments from tax revenues, and at the same time fund education, health, security and other essential services.

    As such, governments will need to consider attracting local, regional, and international private capital in well-structured transactions to finance the productivity enhancing infrastructure needs of the region.

    This can be accomplished through the variety of Public Private Partnerships (PPP) modalities that exist and with the advice of multilateral partners, such as the International Finance Corporation (IFC) and the Inter-American Development Bank (IDB) who are very experienced in structuring these kinds of transactions, and who know what is required to generate investor interest.

    I can speak from experience – the IFC has been instrumental in assisting Jamaica to develop its pipeline of PPP’s.

    My advice however is to not develop PPP’s sequentially, one at a time, starting one as the other concludes. Given the preparation period required for each, sequential PPP development will take too long. Instead, pursue PPP’s using a programmatic approach. That is, develop a pipeline of infrastructure PPP’s in parallel so you can bring these to market in rapid succession. The time and resources required for investors to familiarize themselves with the macro-environment, the legislative framework, the regulatory architecture, the country risks etc., with uncertainty around bid success, needs to be amortized over a number of transactions – in order to attract deep pocketed and experienced investors prepared to provide competitive bids.

    Open, transparent and competitive PPP’s, that are well structured, can help bridge the infrastructure gap and boost productivity.

    The Role of the IMF

    These are not easy times, and these are not easy steps to take. They require clarity of vision, coordination, partnerships, technical expertise and lots of energy.

    But these steps can put Caribbean countries on a path toward greater growth and resilience.

    Rest assured that the IMF remains fully committed to supporting our members across the region.

    Our near-universal membership provides us with a unique global perspective and we are informed by a large range of cross-country experiences over the last 80 years.

    With 191 member countries the IMF, as compared to the United Nations with 192 member countries, is as global as it gets. We engage with each of our members on a country-by-country basis, as well as on a regional basis with currency unions, including the Eastern Caribbean Currency Union.

    Our member countries, including Caribbean states, are shareholders and owners of the IMF. We work for you. And we do so through three primary modalities – (i) surveillance, where we provide a review and analysis of our member countries’ economy on an annual or biennial basis. This review, called the Article IV Consultation report, named after the clause in our articles that mandates this exercise, is a principal obligation of IMF membership. This review, which contains country specific policy advice, is published, and freely available, online. I encourage media practitioners, economists, financial analysts, public policy advocates, and citizens interested in their country and region to access these Article IV reports for your country and make good use of the information and analysis contained therein.

    The second modality through which the IMF provides a service to its member countries is capacity development. Here we provide technical analysis and tailor-made policy advice on specific issues that countries may be grappling with. For example, designing of tax policy measures, improving efficiency in public spending, optimizing public debt management, bolstering the capacity of statistics agencies and the development of monetary policy tools to name a few. Under this modality we also provide training courses for public officials through regional institutions such as CARTAC and also in courses at the IMF’s headquarters in Washington, DC.

    Our third modality is the one that most are familiar with – the IMF provides financing designed to address balance of payments challenges. Our long-established lending toolkit helps countries restore macroeconomic stability. In this goal of restoring macroeconomic stability many countries have had successful engagements with the IMF. In the region, Jamaica, Barbados, and Suriname come immediately to mind.

    At the recent IMF Spring Meetings I moderated a panel where the Greek Finance Minister made the point that at this juncture of very challenging fiscal circumstances in the Eurozone, only six countries within the 27 member EU have fiscal surpluses, and it so happens that four of these had IMF programs during the Global Financial Crisis.

    And the IMF continues to evolve to meet the needs of our member countries. Our rapid facilities provide emergency financing when shocks hit. And our newer Resilience and Sustainability Facility provides affordable long-term financing to support resilience-building efforts.

    In the Caribbean, Barbados and Suriname have made great strides in positioning their economies for growth while reducing vulnerabilities under their economic programs supported by the Extended Fund Facility. These countries’ ownership of the reforms has been critical to their success.

    Jamaica had access to—but did not draw on—the Fund’s Precautionary and Liquidity Line, which provided an insurance buffer against external shocks. It supported efforts to keep the economy growing, reduce public debt, enhance financial frameworks, and upgrade macroeconomic data.

    The Fund also provided rapid financing to seven Caribbean member countries during the pandemic.

    And Barbados and Jamaica have benefitted from the Resilience and Sustainability Facility. Reforms have helped integrate climate-related risks in macroeconomic frameworks, provide incentives for renewable energy to support growth, and catalyze financing for investment in resilience.

    We are also engaging closely with Haiti through a Staff-Monitored Program. This Program is designed to support the authorities’ economic policy objectives and build a track record of reform implementation, which could pave the way for financial assistance from the Fund.

    Of course, the effectiveness of our advice and financial support is enhanced by our continued efforts in capacity development. In particular, I would like to highlight the work of CARTAC, which has been operating since 2001.

    CARTAC offers capacity building and policy advice to our Caribbean members across several areas: from public finance management, to tax and customs administration, to financial sector supervision and financial stability, and beyond.

    We greatly appreciate the generous support received so far for CARTAC. But more is needed to close the financing gap. I hope we can count on your advocacy with development partners to sustain CARTAC’s essential work.

    In my time at the Fund thus far, I have seen how much advanced countries rely on, and use, the IMF’s intellectual output to the benefit of their countries and how this output features in, and informs, public discourse in many member countries. The IMF is an incredibly powerful resource that works for you and I strongly encourage Caribbean countries to strategically maximize their use of the IMF and what it has to offer.

    A Call to Action

    Let me conclude.

    Policymakers in the Caribbean are facing a complex set of old and new challenges.

    But challenging times can also be times of opportunity, action, and resolve.

    The Caribbean is a region of immense promise, with rich cultural heritage, natural beauty, and vibrant population.

    The world is undergoing profound change. This change introduces global vulnerabilities to which the Caribbean is not immune. The resilience of small open economies like those in the Caribbean is likely to be tested.

    It is imperative, therefore, that Caribbean countries work to put their macro-fiscal houses in order while engaging in deep and meaningful structural reforms to increase the growth potential of Caribbean economies.

    You hold the keys to the future of the region. You have the tools, the talent, and the tenacity to chart a new path for growth and resilience. Your actions can make a difference to the Caribbean’s prospects.

    We have seen many steps in the right direction to address bottlenecks and boost productivity. And we encourage you to keep going.

    Implement those reforms that are under your control.

    Continue to work together across the region.

    Capitalize on CARICOM to achieve a larger market for the movement of people, investment, and trade.

    Stay focused on the goal: delivering more economic resilience, higher growth prospects, and better living standards for people across the Caribbean.

    And, you can count on the Fund along the way.

    Thank you.


    [1] The other currency unions are: Economic Community of Central African States (CEMAC); West African Economic and Monetary Union (WAEMU); and the European Economic and Monetary Union (EMU).

    IMF Communications Department
    MEDIA RELATIONS

    PRESS OFFICER: Julie Ziegler

    Phone: +1 202 623-7100Email: MEDIA@IMF.org

    https://www.imf.org/en/News/Articles/2025/06/10/dmd-clarke-cdb-speech-june-10

    MIL OSI

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  • MIL-OSI USA: Court Appointments Announced

    Source: US State of New York

    overnor Kathy Hochul today announced 17 appointments to the New York State Court of Claims, 5 appointments to the Supreme Court and 2 appointments to Family Court.

    “Our judicial system works best when we have talented, qualified jurists on the bench,” Governor Hochul said. “These 24 individuals have the experience and knowledge to serve as members of the judiciary, and will play a critical role in the fair and impartial dispensation of justice across New York.”

    As Judges of the Court of Claims:

    Monica Wallace

    Monica Piga Wallace was first elected to the Assembly in 2016. Wallace worked her way through college and law school, earning her undergraduate degree with honors from SUNY Binghamton, and her J.D., cum laude, from SUNY Buffalo Law School. Before her election to the Assembly, Monica spent much of her legal career as a law clerk in federal court, where she helped ensure that justice was served and that laws were applied equally to all parties appearing before the court. Monica also served on the faculty at her alma mater, SUNY Buffalo Law School, teaching students how the law can be used as a vehicle for positive social change.

    Gregory McCaffrey

    Gregory McCaffrey served as the District Attorney of Livingston County, New York; a position he held from May 2012 until December 2024. McCaffrey oversaw a team of legal professionals prosecuting serious criminal cases including homicides, violent felonies, and child sex offenses. Prior to this role, he practiced at Jones and Skivington Law Firm, focusing on litigation, municipal law, and criminal defense, and served as Town Attorney for Conesus, New York.

    Earlier in his career, he was an Assistant District Attorney in Monroe County, where he handled a progression of increasingly complex felony cases. He holds a Juris Doctor from the University at Buffalo School of Law and a Bachelor of Arts in Political Science from Nazareth College of Rochester. McCaffrey was born and raised in Livingston County where he resides with his family.

    John Bringewatt

    John Bringewatt currently serves as the Monroe County Attorney. In that role, he oversees a team of attorneys responsible for all of the County’s civil legal work. He previously maintained a wide-ranging litigation practice at Harter Secrest & Emery LLP. Early in his career, he served as a Law Clerk to Judge Susan L. Carney of the U.S. Court of Appeals for the Second Circuit.

    He holds a J.D. from the University of Michigan Law School and a B.A. in Political Science and Psychology from Colgate University.

    Abby Perer

    Abby Perer has served as in-house counsel for Syracuse University for nearly 10 years. In that role, she oversees all litigation and regulatory compliance matters. Before joining the University, Perer was a litigation associate for DLA Piper LLP, where she represented corporate and individual clients in commercial litigation, as well as civil and criminal investigations.

    Perer was once a Legal Intern for the Office of NYS Attorney General Eric T. Schneiderman. She attended Brooklyn Law School for her JD, and Hamilton College for her BA. She is a resident of Fayetteville, New York.

    Noel Mendez

    A native New Yorker, Noel Mendez was born and raised in the Bronx. He attended Lehman College and graduated with a degree in theater. Before attending the University at Buffalo School of Law, Noel worked as a police officer in the NYPD. Since graduating from law school, Noel obtained a Master of Laws in securities regulation from Georgetown University Law Center and subsequently moved to the Capital Region, where he worked as a court attorney for the New York State Court of Appeals. He later became a law clerk to the Honorable Jenny Rivera.

    Noel has held a variety of legal positions in the Capital Region since then. Most notably, he worked as a staff attorney for the Legal Aid Society of Northeastern New York and briefly as a prosecutor at the Albany County District Attorney’s Office. Most recently, Noel served as counsel to New York State Senator Jamaal T. Bailey.

    Noel lives in Albany County with his wife, Marlene and daughter, Annabelle.

    Natacha Carbajal-Evangelista

    Natacha Carbajal-Evangelista serves as the General Counsel for the NYS Department of State. In this role, Natacha oversees the Office of General Counsel, which provides legal advice and support to the New York Secretary of State and the diverse programs, divisions, boards, and commissions housed within the Department.

    Previously, Natacha served as Assistant Secretary for Labor & Workforce for New York State, leading the Statewide implementation of groundbreaking initiatives, including New York’s Paid Family Leave. Natacha also served as Senior Deputy Counsel and the Executive Deputy Superintendent for Operations at the NYS Department of Financial Services and Deputy Director at the NYS Workers’ Compensation Board.

    Prior to joining State government, Natacha was a senior associate at BakerHostetler, serving as counsel to the SIPA Trustee for the liquidation of Bernard L. Madoff Investment Securities LLC (BLMIS). Natacha served as a Judicial Law Clerk to the Hon. Elizabeth S. Stong of the U.S. Bankruptcy Court, E.D.N.Y. and the Hon. Arthur J. Gonzalez, former Chief Judge of the U.S. Bankruptcy Court, S.D.N.Y.

    Natacha is a graduate of Fordham Law School and Cornell University’s School of Industrial and Labor Relations.

    Mary Lynn Nicolas-Brewster

    Mary Lynn Nicolas-Brewster is the Executive Director of the Franklin H. Williams Judicial Commission, a permanent statewide commission dedicated to promoting racial and ethnic fairness in the court system. The Williams Commission, chaired by Hon. Shirley Troutman, Associate Judge of the New York State Court of Appeals, and Hon. Troy K. Webber, Associate Justice of the Appellate Division, First Department, strives to make the court system more responsive to the concerns of people of color and works to enhance diversity, equity and inclusion in the legal profession and the court system. The Commission’s namesake, Ambassador Franklin H. Williams, a distinguished attorney and civil rights leader, was a visionary and trailblazer who devoted his life to the pursuit of equal justice. The Commission stands as a testament to his life and legacy as the Commission pursues its mission to ensure justice and equity for all in the courts.

    Prior to this position, Nicolas-Brewster, a former Village Judge with the Village of Spring Valley, served as Court Attorney-Referee for the New York State Supreme Court, Ninth Judicial District, and as a Hearing Officer for the Office of Court Administration. Nicolas-Brewster also held multiple positions at the Office of the Westchester County Attorney, including Associate County Attorney, Senior Assistant County Attorney, and Assistant County Attorney. She has also served as Assistant Solicitor General for the New York State Attorney General’s Office, Senior Appellate Court Attorney for the New York State Appellate Division, Second Judicial Department, and Pro Se Law Clerk with the United States Court of Appeals for the Second Circuit. She has also been a member of the adjunct faculty at SUNY-Rockland Community College in the Legal Studies Department.

    Ms. Nicolas-Brewster obtained a J.D. from the New York University School of Law in 1992 and a B.A. in Literature and Rhetoric at Binghamton University, SUNY, in 1989.

    Erin Guven

    Erin Guven brings over 20 years of experience as an attorney dedicated to public interest to her new role as Court of Claims judge. In her most recent role as Westchester Family Court Support Magistrate, she conducted child support, spousal support and paternity hearings in a high-volume court. Erin has also held many other vital positions during her tenure including Court Attorney-Referee in the Supreme Court, 9th JD, Pro Bono Director & Staff Attorney at Legal Services of the Hudson Valley and Small Claims Assessment Review Hearing Officers. She is an active member of her legal and local communities and holds and undergraduate degree from Georgetown University and a JD from Brooklyn Law School.

    Menachem Mirocznik

    Menachem “Mendy” Mirocznik has served as a Court Attorney to the Hon. Orlando Marrazzo, Jr. in various Civil Courts since 2009. Since 2020, he has supported Justice Marrazzo in presiding over Richmond County’s Supreme Court, Civil Term. He conducts legal research and analysis, reviews cases, and drafts decisions. Between 2001 and 2008, he supported various Housing Court Judges for New York City’s Civil Court. He began his career in 1997 as a Legal Intern for Main Street Legal Services, representing indigent clients in cases regarding public assistance benefits and benefit termination.

    Mirocznik is a graduate of Touro College, from which he obtained a Political Science B.A. He received his J.D. from CUNY School of Law and was the President of the Jewish Law Students Association. He has been an active member of Community Board 2 since 2010, a board member of the Jewish Community Center of Staten Island since 2014, and President of the Council of Jewish Organizations of Staten Island since 2012.

    Jay Kim

    Jay Kim is currently the Principal Law Clerk to the Hon. Dena E. Douglas, a New York State Supreme Court Justice in Kings County, Criminal Term. He started his career in public service in 2008 as an Assistant Corporation Counsel in the Tort Division of the New York City Law Department. He subsequently served as a Principal Law Clerk to the Hon. Theodore T. Jones (Dec.) and the Hon. Jenny Rivera, Associate Judges of the New York State Court of Appeals, from 2010 to 2013. After his Court of Appeals clerkship, he served as a Senior Counsel in the Labor & Employment Division of the New York City Law Department from 2013 to 2015 and as an attorney within the Office of Legal Services of the New York City Department of Education from 2015 to 2018. Kim obtained his J.D. from St. John’s University School of Law and his B.A. in Sociology from New York University.  He is a member of the Asian American Bar Association of New York and the Korean American Lawyers Association of Greater New York.

    Denis Reo

    Denis Reo began his career in the Unified Court System in 2004, working as a Secretary to the Honorable Carol Edmead. He then went to work for the Honorable George J. Silver in January 2005 and served as Judge Silver’s Court Attorney, Senior Court Attorney, Principal Court Attorney and Principal Law Clerk from 2005 through 2017. During this time, he was assigned to Civil Court, Kings County; Family Court, Bronx County; and Supreme Court, Civil Term, New York County. In July 2017 Judge Silver was appointed Deputy Chief Administrative Judge for New York City Courts and Denis was named a Special Assistant to the Deputy Chief Administrative Judge. He was promoted to Chief of Staff to the Deputy Chief Administrative Judge in January 2019. In August 2019 he was appointed Chief Clerk of the Supreme Court, Civil Term, New York County where he assisted the Administrative Judge overseeing daily court operations as well as managing 350 non-judicial personnel within the court. Since December 2024 he has served as Chief of Staff to Deputy Chief Administrative Judge Adam Silvera, assisting Judge Silvera in overseeing the trial courts within New York City.

    Denis is a graduate of Sacred Heart University and St. John’s University School of Law. He resides in Farmingdale, NY with his wife and two children.

    Ilene Fern

    Ilene P. Fern is the Principal Law Clerk to the Honorable Lee A. Mayersohn of the 11th Judicial District of the New York State Supreme Court, a position she has held since 2021. Prior to that, Fern was the Principal Law Clerk to the Honorable Martin J. Schulman of the 11th Judicial District of the New York State Supreme Court from 1995-2020. From 1992 to 1994, Fern was the Senior Court Attorney to the Honorable Robert J. McDonald of the 11th Judicial District in the New York City Criminal Court. From 1989 to 1991, Fern was the Court Attorney to the Honorable Arnold N. Price in the New York City Civil Court. Fern was the President of the Queens County Women’s Bar Association from 1998-1999. She is currently a member of the Executive Board of the Brandeis Association. Fern obtained a J.D., from Jacob D. Fuchsberg Law Center at Touro University in 1985, where she was a Senior Editor of the Law Review, and a B.A., from the State University of New York at Binghamton in 1981.

    Darlene Goldberg

    Darlene Goldberg is a Principal Law Clerk for Hon. Caryn R. Fink with the NYS Unified Court System. Alongside Judge Fink, Goldberg researches and analyzes legal issues, advises on court proceedings and sentencing matters, drafts opinions, conducts discovery and pre-trial conferences, and leases with the Office of Court Administration. She previously operated her own criminal defense law firm for 13 years, specializing in major felonies through Nassau County’s indigent defense panel. She covered criminal cases ranging from misdemeanors to violent felonies and led counsel in both jury ad non-jury trials. She was also a Trial Attorney for the Legal Aid Society of Nassau County. She managed criminal cases from inception through disposition.

    Goldberg volunteered with the Moreland Shelter and Birthday Wishes of Long Island, which she coordinated tutoring services for the homeless children residing at the shelter as well as temporary to permanent housing transitioning. Goldberg is a graduate of Fordham University’s School of Law and Boston University for her undergraduate degree. She resides in Melville with her family. Her husband is also a lawyer.

    Gordon Cuffy

    Gordon Cuffy was appointed by Governor Hochul in June 2025 to serve as an Acting Supreme Court Justice. Cuffy previously served as a Court of Claims Judge in Onondaga County Court, where he presided over felony criminal cases. He was appointed to the bench in 2017 by Governor Andrew Cuomo, becoming the first African-American judge to oversee felony matters in Onondaga County. Prior to his appointment, he served as Onondaga County Attorney under County Executive Joanie Mahoney and also worked as a prosecutor and as General Counsel to New York State Thruway Authority. He previously ran for County Court Judge in 2012.

    James Ferreira

    James H. Ferreria was appointed to the Court of Claims by Governor George E. Pataki on June 16, 2006 and confirmed by the Senate on June 21, 2006. Judge Ferreira was reappointed to the Court of Claims for a full nine year term by Governor Eliot Spitzer on April 30, 2007 and confirmed again by the Senate on June 19, 2007. One June 10, 2016 Judge Ferreira was reappointed by Governor Andrew Cuomo and the Senate confirmed Judge Ferreira to an additional nine year term on June 15, 2016. Judge Ferreira was additionally designated as an Acting Justice of the Supreme Court in 2014 in the Third Judicial District. Judge Ferreira presides over civil actions pending in the Court of Claims, Albany County Supreme Court and Schoharie County Supreme Court.

    Judge Ferreira graduated from Cornell University in 1984, Syracuse University College of Law in 1989, cum laude, and the Maxwell School of Citizenship and Public Affairs at Syracuse University in 1989.

    In 1989, Judge Ferreira began his legal career as a law clerk at the New York State Supreme Court, Appellate Division, Fourth Department. He then went on to work at the law firm of Harris Beach LLP as an associate in 1991. In 1995, he joined the New York State Attorney General’s office as a Deputy Bureau Chief in the Environmental Protection Bureau. He then worked between 1999 and 2006 at the New York State Department of Environmental Conservation in various capacities, including as Assistant Commissioner in the Office of Hearing and Meditation Services and as Deputy Commissioner and General Counsel.

    Rhonda Tomlinson

    Judge Rhonda Ziomaida Tomlinson, a Brooklyn native raised by her Panamanian mother, was appointed to the New York State Court of Claims in June 2021. She earned her B.S. from Cornell University’s School of Industrial and Labor Relations and her J.D. from Hofstra University School of Law. Prior to her appointment, she served as Chief Administrative Law Judge for the NYS Board of Parole, overseeing statewide adjudications and participating in the Harlem Reentry Court.

    Her legal career includes roles as a principal court attorney, administrative law judge, Legal Aid defense attorney, and private practitioner in criminal and family law. She has been active in bar association committees and initiatives related to parole, sex trafficking, and the effects of incarceration on families. Judge Tomlinson has also taught legal and multicultural studies at CUNY School of Law, John Jay College, and St. John’s University. She is an engaged member of St. Gregory the Great R.C. Church, serving as a scout leader, lector, and school board member.

    Cheryl Joseph

    Judge Cheryl Joseph serves as Supervising Judge of the Matrimonial Parts in the Suffolk County Supreme Court and has been a Judge of the New York State Court of Claims since 2015. Appointed as an Acting Supreme Court Justice, she previously served for nine years as a Support Magistrate in Bronx and Suffolk County Family Courts.

    Judge Joseph earned her J.D. from NYU School of Law and her B.A. in Political Science and Philosophy from NYU, graduating magna cum laude and Phi Beta Kappa. She has also taught family law and civil litigation as an adjunct professor at Touro Law Center, where she was named Adjunct Professor of the Year twice.

    As Interim Supreme Court Justices:

    J. David Sampson

    Judge John David Sampson was appointed to the New York State Court of Claims in 2015 by Governor Andrew Cuomo and serves as a Court of Claims Judge and as an Acting Supreme Court Justice. He previously served as Executive Deputy Commissioner of the New York State Department of Motor Vehicles (2011–2015) and as Deputy Attorney General for Regional Affairs in the New York Attorney General’s Office (2008–2010). Earlier in his career, he spent over 25 years in private practice, including as a partner at Underberg Kessler LLP.

    Judge Sampson earned his J.D. from Albany Law School (1982) and his B.A. in Economics from Canisius University (1977). He is based in the Buffalo/Niagara area.

    Denise Hartman

    Hon. Denise Hartman was first appointed to the Court of Claims in 2015, and has served as an Acting Supreme Court Justice in Albany County for the last 10 years. She handles a full civil docket, including proceedings against governmental agencies, personal injury and contract actions, matrimonial cases, commercial litigation, and more. She also presides over the statewide Litigation Coordinating Panel.

    Prior to her judicial appointment, she was an Assistant Solicitor General in the New York State Attorney General’s Office from 1985 to 2015. There she briefed and argued many, many appeals in the New York State Appellate Divisions, Court of Appeals, U.S. Court of Appeals for the Second Circuit, and U.S. Supreme Court. She was formerly a Confidential Law Clerk at the Appellate Division, 4th Department, and was once a Law Assistant at Langan, Grossman, Kinney & Dwyer, PC.

    She obtained a BS in Civil and Environmental Engineering from Cornell University, and her JD from Syracuse University School of Law.

    Walter Rivera

    Judge Walter Rivera was appointed to the New York State Court of Claims by Governor Andrew Cuomo in 2017 and served one term as an Acting Supreme Court Justice in the 9th Judicial District. A native of Hell’s Kitchen in Manhattan, he is a graduate of Columbia College (1976) and the University of Pennsylvania Carey Law School (1979).

    He began his legal career as a law clerk at the New York State Court of Appeals and later served as an Assistant Attorney General before entering private practice. Rivera was elected Town Justice in Greenburgh, NY, serving from 2011 until his Court of Claims appointment. He was an adjunct professor at the Elisabeth Haub School of Law at Pace University for six years, past president of the Latino Judges Association, and a co-founder of the Hudson Valley Hispanic Bar Association.

    Michael Kitsis

    Michael Kitsis is an Acting Justice of the Supreme Court of the State of New York, serving since 2021. He has also served as a Judge in the Criminal Court of the City of New York since 2016. Prior to his judicial appointments, he spent over three decades as an Assistant District Attorney in the Manhattan District Attorney’s Office from 1983 to 2016.

    He holds a J.D. from the University of Virginia School of Law and a B.A. from the University of Pennsylvania.

    Jonathan Svetkey

    Jonathan Svetkey is currently an Acting Supreme Court Justice sitting in Manhattan, Criminal Term. His first appointment was to the New York City Civil Court in 2019 and a year later he was re-appointed to serve as a New York City Criminal Court Judge. Prior to taking the bench, Judge Svetkey was the Court Attorney for the Honorable Joanne B. Watters from 2017 to 2019. Before that he spent twenty years in private practice as a criminal defense attorney with the law firm of Watters & Svetkey, LLP. He also served as an Assistant District Attorney in the Bronx County District Attorney’s Office Appeals Bureau from 1990 to 1995. His first job out of law school was with the Kings County District Attorney’s Office. Judge Svetkey received his undergraduate degree from the University of Rochester and graduated from the Columbus School of Law at the Catholic University of America in 1984.

    As Interim Family Court Judges:

    Tonia Ettinger

    Tonia M. Ettinger was appointed by Governor Hochul in June 2025 to serve as a Family Court Attorney for Monroe County. Ettinger most recently served as the Principal Court Attorney for Honorable Fatimat O. Reid in the 7 th Judicial District (Monroe County Family Court), a position she has held since 2019. A dedicated and experienced family law attorney, Ettinger has spent her career advocating for children and families throughout Monroe County. She served for nearly a decade as an Attorney for the Child at the Legal Aid Society of Rochester, representing children in Monroe County Family Court (2009-2018).

    A graduate of the University at Buffalo School of Law (magna cum laude) and SUNY Geneseo (cum laude), Ettinger has been recognized as one of the Top Women in Law by the Daily Record. Ettinger is equally dedicated to embracing and uplifting the Rochester community, actively participating in events under the 7th Judicial District’s “Embracing Our Community” initiative. With 21 years of legal experience—16 years dedicated exclusively to Monroe County Family Court—she has demonstrated a deep and consistent commitment to justice, particularly for vulnerable youth and families navigating the family court system.

    Jessica Wilcox

    Jessica R. Wilcox serves as a Principal Law Clerk for the Honorable James H. Ferreira of the New York State Court of Claims, and previously served under Honorable Glen T. Bruening of the New York State Court of Claims from 2011-2022. Before that, she was the Principal Law Clerk for the Honorable John C. Egan Jr. of the Appellate Division of the Third Department for the New York State Supreme Court from 2007 to 2011. Wilcox was a Senior Associate at Barclay Damon f/k/a Bouck, Holloway, Kiernan, and Casey from 2000 to 2007 and an Associate Attorney at Rowley Forrest, O’Donnell & Beaumont from 1999 to 2000. From 1998 to 1999, Wilcox was an Associate at Brennan, Rehfuss, and Ligouri P.C.

    Wilcox obtained a J.D. from Albany Law School in 1997 and a B.A., cum laude, in Philosophy and German from Wells College in 1993.  She was found HQ by the Statewide Judicial Department Screening Committee on March 28, 2022.

    MIL OSI USA News

  • MIL-OSI USA: Pressley Slams 23andMe for Exploitation of Customers’ DNA, Demands Protection of Sensitive Private Data

    Source: United States House of Representatives – Congresswoman Ayanna Pressley (MA-07)

    “People trusted you with their most personal information. Show them you respect them. They do not need your apologies anymore, and they don’t need your sympathy. What they need is legal protection.”

    Video (YouTube)

    WASHINGTON – Today, in a House Committee on Oversight and Government Reform hearing, Congresswoman Ayanna Pressley (MA-07) slammed 23andMe for exploiting people’s DNA and private information following a severe data breach and bankruptcy – allowing more than 15 million people’s personal and genetic data to be sold off. The Congresswoman demanded 23andMe require the explicit, informed consent of each of their customers before including their data in any bankruptcy sale.

    A transcript of the Congresswoman’s remarks, as delivered, is available below, and the full video is available here.

    Transcript: Pressley Slams 23andMe for Exploitation of Customers’ DNA, Demands Protection of Sensitive Private Data

    House Committee on Oversight and Government Reform

    June 10, 2025

    REP. PRESSLEY: Ms. Wojcicki, you claimed that 23andMe is all about consumer empowerment. But most people ended up actually exploited, not knowing that they signed up to have their genetic data auctioned off to the highest bidder.

    And we’re not talking about email addresses. We’re talking about names, birthdates, genetic lineages – literal DNA. Data that implicates entire families, not just the person who gave the sample.

    Ms. Wojcicki, can genetic data – even if de-identified – be linked back to individuals?

    MS. WOJCICKI: I appreciate that question – could genetic data be linked back to individuals? You would – you can link back. Your DNA is your DNA. If I have a way of matching it to something that potentially connects to you, then you can potentially identify.

    REP. PRESSLEY: So, the answer is yes. The answer is yes. The genetic data – even if de-identified – can be linked back to individuals, just the science.

    MS. WOJCICKI: Well, no. If I had your sample – essentially, if I know what your picture looks like and I see another picture, I can connect those. But just having your DNA alone – if I just went to the subway and I swabbed it and I looked at samples, I would not be able to identify who’s there.

    REP. PRESSLEY: Let me reclaim my time, because I don’t have much of it and there’s a lot of ground to cover here – and I want a more direction question here, so I’m going to go to Ms. Hu.

    Is de-identified genetic data truly anonymous, or can it be traced back to individuals, Ms. Hu?

    MS. HU: Thank you so much, Congresswoman. I’m not a scientific expert on that exactly, but there has been research on the limits of de-identification and also the risks of re-identification.

    REP. PRESSLEY: Alright, fair enough. Yes – it absolutely can. With just a few pieces of additional information – like zip codes, gender, or 23andMe’s find your relative feature – it becomes easy to re-identify people and expose their personal health information.

    23andMe’s privacy agreement talks about anonymous data, but DNA can never truly be anonymous. That is the point.

    Now, Ms. Wojcicki – you said a limited number of customers were compromised by the data beach. But the truth of the matter is that out of the 15 million people who trusted this company, half of them – 7 million – had their data exposed.

    So that’s not inconsequential. It’s deeply consequential.

    And now, that same data could be sold off to a for-profit pharmaceutical company, so you can understand why people are rushing to delete their accounts.

    But the thing is when people have tried to log in and delete their data, they received error messages and then the website crashed. That is not okay. Your company is preventing people from deleting their information.

    Mr. Selsavage, it’s time to put people first. Will you contact each of your customers seeking consent for 23andMe to continue holding their data? Yes or no? It should be a simple opt-in communication that you send out before any bankruptcy sale – I want to really underscore that.

    MR. SELSAVAGE: Congresswoman, we first have sent a notice out to all of our customers via email, notifying them of the sale and that we – a second email is currently going out this week, notifying –

    REP. PRESSLEY: Reclaiming my time. Please just answer the question yes or no, okay? Will you commit to contacting each of your customers seeking consent for 23andMe to continue holding their data? This should be a simple opt-in communication that you send out before any bankruptcy sale. Yes or no?

    MR. SELSAVAGE: Congresswoman, it’s not that simple. We believe we’ve already –

    REP. PRESSLEY: Why not? People are deserving of this, these assurances and this insurance – they’ve been violated in so many ways.

    Ms. Wojcicki, will you amend your bid to commit to a similar consent requirement then?

    MS. WOJCICKI: I don’t believe I can talk extensively about my bankruptcy – about the bid – but I can say in the past, for example, when we did the GSK partnership, we proactively communicated with all customers.

    REP. PRESSLEY: I know that, I know that, I know that, I know that. It’s not good enough, it’s not good enough. It is just not good enough.

    People trusted you with their most personal information. Show them you respect them.

    They do not need your apologies anymore, and they don’t need your sympathy. What they need is legal protection.

    So if you are not able to protect the 15 million people and their families who trusted you, this company should not exist. The breach of data. The breach of civil liberties. The confusion this has caused for millions.

    It might just be time to give it up.

    I yield back.

    ###

    MIL OSI USA News

  • MIL-OSI USA: Senator Markey to File Amendment to Strip Republican Proposal to Ban AI Regulation by States from Reconciliation Package

    US Senate News:

    Source: United States Senator for Massachusetts Ed Markey

    Washington (June 10, 2025) – Senator Edward J. Markey (D-Mass.), a member of the Commerce, Science, and Transportation Committee, today announced plans to file an amendment to the Senate reconciliation bill to block Republicans’ attempt to prevent states from regulating artificial intelligence (AI) for the next 10 years.

    “Despite the overwhelming opposition to their plan to block states from regulating artificial intelligence for the next decade, Republicans are refusing to back down on this irresponsible and short-sighted provision,” said Senator Markey. “I plan to file an amendment to strip this dangerous provision from Republicans’ ‘Big Beautiful Bill.’ Republicans should be prepared to vote on this outrageous policy and explain to their constituents why they are preventing their state leaders from responding to the harms caused by this new and evolving technology.”

    Last week, Senator Markey convened a virtual roundtable with advocates to discuss the impacts this ban would have on communities across the country. On June 3, Senator Markey delivered remarks on the Senate floor opposing the provision in the House-passed reconciliation bill that would prevent states from regulating AI for the next ten years. Senator Markey is the author of the Artificial Intelligence (AI) Civil Rights Act, the most comprehensive AI civil rights legislation introduced in Congress. The legislation would put strict guardrails on companies’ use of algorithms for consequential decisions, ensure algorithms are tested before and after deployment, help eliminate and prevent bias, and renew Americans’ faith in the accuracy and fairness of complex algorithms.

    MIL OSI USA News

  • MIL-OSI United Kingdom: Scotland to host UK’s national supercomputer as Chancellor confirms £750 million investment

    Source: United Kingdom – Executive Government & Departments 2

    Press release

    Scotland to host UK’s national supercomputer as Chancellor confirms £750 million investment

    Scotland will become home to the UK’s most powerful supercomputer, with up to £750 million for the project confirmed in the Spending Review.

    Scotland to host the UK’s most powerful supercomputer.

    • Up to £750 million for a new supercomputer in Edinburgh will be confirmed by the Chancellor at Spending Review – giving scientists across the UK access to compute power found in only a handful of other nations.
    • Commitment follows the Prime Minister committing an extra £1 billion of funding to ramp up the UK’s AI compute power twenty fold as he opened London Tech Week.
    • AI Research Resource coming into operation soon, as Isambard supercomputer named one of the most powerful in the world.

    Scotland will be home to the UK’s most powerful supercomputer to drive forward innovations that grow our economy and ensure people are better off, putting Edinburgh at heart of the UK’s plans to unlock a decade of national renewal through artificial intelligence.

    The news comes after the Prime Minister kicked off London Tech Week by unveiling £1 billion of extra funding to scale up the country’s AI compute power twenty-fold. Following that announcement, the Chancellor has now confirmed up to a further £750 million to build the UK’s new national supercomputer at the University of Edinburgh, strengthening Britain’s position as an AI-maker and research power, with researchers and start-ups backed to deliver new waves of innovations and discoveries.

    Edinburgh’s new supercomputer will give scientists from across the UK the compute power they need for cutting edge research and making the next big breakthrough – whether that’s personalised medical treatments, making air travel more sustainable, or modelling climate change. This will form part of the Chancellor’s commitment to investing in Britain’s renewal at the Spending Review today (Wednesday), ensuring the British people are better off – from better health to economic growth.

    The supercomputer will work alongside the AI research resource, a network of the UK’s most powerful supercomputers that were built to bolster scientific research. The AI Research Resource, which is due to come into operation soon, is already being used to research Alzheimer’s vaccines and treatments for cancer by simulating how drugs work inside the body and ‘testing’ millions of potential drugs virtually to speed up the creation of new medicines. 

    Ahead of that moment, the Isambard system has this week been ranked in the top ten globally and top 5 in Europe for publicly available supercomputers. According to the latest Top500 rankings, it also ranks as a leader in terms of efficiency, setting a clear benchmark of how the UK government is delivering on its AI ambitions while driving forward its mission to become a clean energy superpower.

    UK Secretary of State for Science, Innovation, and Technology, Peter Kyle said:

    From the shipyards of the Clyde to developments in steam engine technology, Scottish trailblazers were central to the industrial revolution – so the next great industrial leap through AI and technology should be no different.  

    Basing the UK’s most powerful supercomputer in Edinburgh, Scotland will now be a major player in driving forward the next breakthroughs that put our Plan for Change into action.

    Chancellor of the Exchequer Rachel Reeves said:

    We are investing in Scotland’s renewal, so working people are better off. 

    Strong investment in our science and technology sector is part of our Plan for Change to kickstart economic growth, and as the home of the UK’s largest supercomputer, Scotland will be an integral part of that journey.

    Secretary of State for Scotland Ian Murray said:

    This is a landmark moment and will place Scotland at the forefront of the UK’s technological revolution. The £750 million investment in Edinburgh’s new supercomputer places Scotland at the cutting edge of computing power globally.

    This will see Scotland playing a leading role in creating breakthroughs that have a global benefit – such as new medicines, health advances, and climate change solutions. This is the Plan for Change – delivering real opportunities and economic growth for communities across Scotland.

    Principal and Vice-Chancellor of the University of Edinburgh, Professor Sir Peter Mathieson said: 

    This significant investment will have a profoundly positive impact on the UK’s global standing, and we welcome the vast opportunities it will create for research and innovation.

    Building on the University of Edinburgh’s expertise and experience over decades, this powerful supercomputer will drive economic growth by supporting advancements in medicine, bolstering emerging industries and public services, and unlocking the full potential of AI. We look forward to working alongside the UK government and other partners to deliver this critical national resource.

    The new supercomputer will vastly exceed the capacity of the UK’s current national supercomputer, ARCHER2. 

    The government will set out more details about the system in our upcoming Compute Roadmap, which we will publish this summer. It will outline the government’s strategic approach to building world-class compute infrastructure in the UK – which will include the new national supercomputer in Edinburgh and our investment to expand the AI Research Resource by at least 20 times by 2030. 

    DSIT and UKRI will work to ensure that the Edinburgh supercomputer’s system size represents value for money on our investment and meets the needs of the diverse user groups of the UK’s compute infrastructure.

    DSIT media enquiries

    Email press@dsit.gov.uk

    Monday to Friday, 8:30am to 6pm 020 7215 3000

    Updates to this page

    Published 11 June 2025

    MIL OSI United Kingdom

  • MIL-OSI Submissions: Universities – Bones to pick: New Aussie animal database comes to life with modern 3D tech – Flinders

    Source: Flinders University

    For the first time, the remarkable features of Australia’s unique wildlife – from platypus, bilby, kangaroo and emu to mammals gone extinct – are available for all to see, via their bones and skeletons in a new free online collection.

    Using 3D imaging technology, Flinders University and partners have launched the ‘Ozboneviz’ virtual database,  which goes ‘inside’ the anatomy of dozens of Australia’s most famous animals for the public, schools, researchers, artists, nature-lovers and others to access.

    Described in a new article published in the journal BioScience, the new collection of more than 1600 specimens has been collated and uploaded on to the high-tech MorphoSource repository, by Flinders University Associate Professor Vera Weisbecker’s ‘Bones and Biodiversity Lab’ and colleagues around Australia.

    “We are all fascinated by bones and this new database is a way to go behind the glass cases at the museum, see specimens up close and understand their special features,” says Associate Professor Weisbecker, who hopes Ozboneviz will fuel better scientific and public appreciation of Australia’s amazing mammals around the world.

    “Australia leads the world in mammal extinctions, but we are losing far more than a few fluffy rat-like critters. Our mammals have evolved in isolation for nearly 40 million years – there is simply nothing like them anywhere else.

    “Victorian-era scientists deemed Australian wildlife ‘primitive’, but now we can marvel at the elongated leg bones that make the kangaroo the largest hopping animal ever, or the bizarre shovel-like arms of the marsupial mole, and chances are that you will change your mind!

    “3D models of skeletons are a charismatic way to engage adults and children alike with Australia’s precious fauna, making it a key asset in science communication and school education.”

    Now Australia’s largest open-access library of 3D biodiversity data, the project was funded by the Australian Research Council Centre of Excellence for Australian Biodiversity and Heritage (CABAH), with support from the Australian Museum, SA and NT museums, the Australian National Wildlife Collection, and several universities.

    “Our core team spent three years travelling to four Australian museums and three universities. We mostly used surface scanners to digitise ten key bones of 189 iconic Australasian species: the skull, shoulder blade, pelvis and limb bones,” explains CABAH and Flinders archaeologist Dr Erin Mein.

    Jacob van Zoelen, PhD candidate at Flinders University and digitisation manager, says: “We used a structured light scanner to image the outside of most bones. But for particularly rare species, like the presumed-extinct ngudlukanta or desert rat-kangaroo, we opted for computed tomography, because it also images the internal structure of the bones at resolutions of 10-50 micrometers.”

    The resulting 3D files are deposited on the MorphoSource platform, which is important for scientists because it has the same rigorous cataloguing as any physical museum. But the files are open access, with anyone able to download them for non-commercial use.

    To facilitate public access, Dr Mein also built a Sketchfab site with more than 500 of the most precious and informative bones, with examples including the skull of an extinct marsupial tiger, or thylacine, the pig-footed bandicoot, desert-rat kangaroo and rare marsupial mole.  

    “This means the public can compare the cranium of a fox to a thylacine and dingo, for example, and compare the size and shape of limb bones of common marsupials,” adds Dr Mein. “There are also plenty of annotations to help non-specialist users learn about vertebrate anatomy and compare anatomical attributes between species.”

    As well as the focus on large native mammals such as kangaroos, possums, and bandicoots, the database includes some non-native mammals that people tend to come across, like goats and sheep, as well as a selection of large birds, lizards and frogs.

    The MorphoSource collection includes a number of specimens with interesting features or stories, including:

    • The skeleton of Billie, the Port River dolphin well known to Adelaide residents.
    • An Attenborough’s long-beaked Echidna (Zaglossus attenboroughi)- previously considered extinct but was reobserved in the wild around the time the specimen was scanned
    • The extinct pig-footed bandicoot (Chaeropus ecaudatus), the only marsupial with something like hooves.
    • CT scan of two whole marsupial moles (genus Notoryctes), which is Australia’s “weirdest skeleton,” according to Associate Professor Weisbecker.

    Associate Professor Weisbecker says there is no Australian precedent for open-access databases of this kind.

    “Hopefully this will lead the way to an even wider use of digitisation to make Australia’s unique local biodiversity accessible to the global public.”

    The article, ‘Ozboneviz: An Australian precedent in FAIR 3D imagery and extended biodiversity collections’ (2025) by Vera Weisbecker (Flinders University), Diana Fusco (Flinders), Sandy Ingleby (Australian Museum), Ariana BJ Lambrides (James Cook University), Tiina Manne (University of Queensland), Keith Maguire (South Australian Museum), Sue O’Connor (ANU), Thomas J Peachey (Australian Museum), Sofia C Samper Carro (ANU), David Stemmer (SA Museum), Jorgo Ristevski (Griffith University and Max Planck Institute of Geoanthropology), Jacob D van Zoelen (Flinders), Pietro Viacava (CSIRO), Adam M Yates (Museum and Art Gallery of the NT) and Erin Mein (Flinders) has been published in Bioscience (Oxford University Press) DOI: 10.1093/biosci/biaf064

    First published: 10 June https://doi.org/10.1093/biosci/biaf064

    Acknowledgements: Ozboneviz was funded by the Australian Research Council (ARC) Centre of Excellence for Australian Biodiversity and Heritage (grant CE170100015). VW was, in addition, supported by an ARC Future Fellowship (FT180100634). We gratefully acknowledge the support of Duke University’s MorphoSource team,  MAGNT experts and Flinders University Medical Device Research Institute imaging, and imagery and segmentation experts.

    MIL OSI – Submitted News

  • MIL-OSI Australia: Pointing to success: Marathon potential is in your hands – literally

    Source:

    11 June 2025

    Is your ring finger longer than your index finger? If so, you may be great in endurance sports.

    Whether it’s a personal challenge, for charity, or on your bucket list, marathons are one of the most sought-after goals for amateur and recreational runners worldwide.

    Now, a world-first study from the University of South Australia and the University of North Dakota suggests that a person’s marathon potential may be identified through a simple check of their hands.

    In a meta-analysis of 22 studies (representing 5293 participants and 12 countries) researchers found that a lower digit ratio – when a person’s ring finger is longer than their index finger – is a biomarker of cardiorespiratory fitness, specifically exercise tolerance and endurance performance.                                      

    The findings indicate that someone with longer ring fingers than index fingers may perform better in endurance sports like marathons or long-distance cycling.

    While previous studies have explored digit ratio and sports performance, this is the most comprehensive synthesis of evidence for digit ratio and cardiorespiratory fitness, and the first meta-analysis to link it specifically to exercise tolerance and endurance performance.

    Exercise tolerance is the level of physical activity an individual can endure before experiencing excessive fatigue. Endurance performance is the ability to sustain physical activity for long periods, often at a moderate to high intensity.

    UniSA researcher and PhD candidate Bethany Gower says that digit ratios could present a useful, low-cost screening tool for spotting potential in high-performance endurance athletes.

    “Measuring and comparing finger lengths might seem like a novelty, but research shows that this is a proven and biologically sound method for identifying muscle strength – and now, endurance performance,” Gower says.

    “Our research found that digit ratio is significantly linked to exercise tolerance, which reflects the highest intensity of exercise you can tolerate for a long time before it becomes too challenging to continue.

    “What this means is that people with lower digit ratios – a ring finger longer than their index finger – are more likely to tolerate increasing exercise intensity and perform better in longer-duration activities, such as marathons or distance cycling.

    “It’s a significant finding that could help coaches and sports scientists identify talent, or help recreational athletes better understand their endurance potential.”

    With elite athletes soon to compete in the Tour de France (5 July – 20 July) or the TCS Sydney Marathon (31 August), it’s a curiosity that could be put to the test.

    Prof Grant Tomkinson says that digit ratios are determined during early foetal development.

    “Greater exposure to testosterone in the womb has been linked with the development of lower digit ratios, which could influence a person’s ability to exercise intensely,” Prof Tomkinson says.  

    “It also has short-term benefits in later life by helping ‘charge’ the endocrine system to respond to challenging situations, like intense exercise, by suddenly spiking testosterone levels.

    “This could manifest as people having stronger body systems or organs that physically improve their ability to tolerate intense aerobic exercise, or as a stronger psychosocial, competitive response to being challenged when exercising.”

    For everyday athletes curious about their fitness potential, Gower says there’s a simple way to get a clue – just look at your fingers.

    “Digit ratio is easy to measure – just compare the length of your index and ring fingers of your hand. If your ring finger is longer, you’ve got a lower ratio.

    “You never know – your fingers might just reveal you’re built for endurance.”

    The University of South Australia and the University of Adelaide are joining forces to become Australia’s new major university – Adelaide University. Building on the strengths, legacies and resources of two leading universities, Adelaide University will deliver globally relevant research at scale, innovative, industry-informed teaching and an outstanding student experience. Adelaide University will open its doors in January 2026. Find out more on the Adelaide University website.

    …………………………………………………………………………………………………………………………

    Contacts for interview:

    Bethany Gower E: bethany.gower@unisa.edu.au

    Prof Grant Tomkinson E: grant.tomkinson@unisa.edu.au

    UniSA media contacts:

    Josh Owen-Thomas M: +61 428 715 401 E: josh.owen-thomas@unisa.edu.au

    Annabel Mansfield M: +61 479 182 489 E: Annabel.Mansfield@unisa.edu.au

    MIL OSI News

  • MIL-OSI Video: Ocean Conference, Palestine, Myanmar & other topics – Daily Press Briefing (5 Jun) | United Nations

    Source: United Nations (Video News)

    Noon briefing by Farhan Haq, Deputy Spokesperson for the Secretary-General.
    ـــــــــــــــــــــــــــــ
    Highlights:

    Rome Trip Announcement
    Ocean Conference
    Occupied Palestinian Territory
    Myanmar
    Iraq
    Sudan
    Abyei
    Ukraine
    Haiti
    Colombia
    Resident Coordinator/Ecuador  
    Birth Rates
    Dialogue Among Civilizations
    Programming Note

    ROME TRIP ANNOUNCEMENT
    The Secretary-General landed in Rome a short while ago – after he concluded his program in Nice at the Ocean conference.
    Tomorrow, Wednesday 11 June, he will be in Vatican City for an audience with His Holiness Pope Leo XIV. The Secretary-General looks forward to continuing the cooperation between the United Nations and the Holy See, notably on efforts to build a more peaceful, just and sustainable world.
    The Secretary-General will return to New York tomorrow.

    OCEAN CONFERENCE
    During a press event at the Ocean Conference, the Secretary-General told journalists we are in Nice on a mission – to save the ocean to save our future.
    He warned that the Ocean is approaching a tipping point, adding that powerful interests are pushing us towards the brink.
    We are facing a hard battle with a clear enemy: greed, Guterres told journalists. A greed that sows doubt, that denies science, that distorts truth, that rewards corruption and destroys life for profit.
    He added we are in Nice this week to stand in solidarity against those forces and reclaim what belongs to us all.
    The Secretary-General said we have a moral duty to ensure future generations inherit oceans swarming with life, and he called for stronger global cooperation, for action on plastic pollution and for the fight against climate change to extend to the seas.
    He also encouraged those countries that have yet to sign the Agreement on Marine Biodiversity of Areas Beyond National Jurisdiction to do so without delay. With ratifications coming in at a record rate, the treaty’s entry into force is now within sight.
    Before leaving Nice, the Secretary-General also held bilateral meetings with Mohamed Al-Menfi, the Head of the Presidential Council of Libya and with Dr. Philip Isdor Mpango, the Vice-President of Tanzania.

    OCCUPIED PALESTINIAN TERRITORY
    Turning to Gaza, the Office for the Coordination of Humanitarian Affairs says that hostilities and hunger continue to fuel desperation among more than two million people who are being denied the basics necessary for their survival, amid reports of ongoing Israeli military operations.  
    In northern Gaza, Israeli military operations have intensified in recent days, with mass casualties reported. Hungry and displaced people have also reportedly been killed while risking their lives to access food at militarized distribution hubs.  
    Meanwhile, four new displacement orders have been issued by the Israeli authorities for northern areas of Gaza since 6 June. The last of these was said to be in response to reported Palestinian rocket fire into Israel. Combined, they cover about eight square kilometres but largely overlap with previously issued orders.
    OCHA underscores that civilians must be protected, including those fleeing and forced to leave through displacement orders and those who remain despite those orders. Civilians who flee must be allowed to return as soon as circumstances allow. OCHA reiterates that civilians must be able to receive the humanitarian assistance they need, wherever they are. All of this is required by international humanitarian law. 
    Yesterday, some supplies, mainly flour, were collected from the Kerem Shalom crossing. The aid was bound for Gaza City but was taken directly from the trucks by hungry and desperate people who have now endured months of deprivation. 
    Separately, there have also been some instances of violent looting and attacks on truck drivers, which are completely unacceptable. OCHA reiterates that Israel, as the occupying power, bears responsibility with regards to public order and safety in Gaza. That should include letting in far more essential supplies through multiple crossings and routes, to meet humanitarian needs and help reduce looting.
    Today, additional supplies have been sent to Kerem Shalom, and humanitarian partners continue their efforts to pick up supplies when they are allowed access by the Israeli authorities.

    Full Highlights:
    https://www.un.org/sg/en/content/noon-briefing-highlight?date%5Bvalue%5D%5Bdate%5D=10%20June%202025

    https://www.youtube.com/watch?v=pFGasEIp8Jw

    MIL OSI Video

  • MIL-OSI USA: NASA Student Challenge Prepares Future Designers for Lunar Missions

    Source: NASA

    At NASA’s Johnson Space Center in Houston, the next generation of lunar explorers and engineers are already hard at work. Some started with sketchbooks and others worked with computer-aided design files, but all had a vision of how design could thrive in extreme environments.Thanks to NASA’s Student Design Challenge, Spacesuit User Interface Technologies for Students (SUITS), those visions are finding their way into real mission technologies.

    The SUITS challenge invites university and graduate students from across the U.S. to design, build, and test interactive displays integrated into spacesuit helmets, continuing an eight-year tradition of hands-on field evaluations that simulate conditions astronauts may face on the lunar surface. The technology aims to support astronauts with real-time navigation, task management, and scientific data visualization during moonwalks. While the challenge provides a unique opportunity to contribute to future lunar missions, for many participants, SUITS offers something more: a launchpad to aerospace careers.
    The challenge fosters collaboration between students in design, engineering, and computer science—mirroring the teamwork needed for real mission development.

    Keya Shah
    Softgoods Engineering Technologist

    Keya Shah, now a softgoods engineering technologist in Johnson’s Softgoods Laboratory, discovered her path through SUITS while studying industrial design at the Rhode Island School of Design (RISD).
    “SUITS taught me how design can be pushed to solve for the many niche challenges that come with an environment as unique and unforgiving as space,” Shah said. “Whether applied to digital or physical products, it gave me a deep understanding of how intuitive and thoughtfully designed solutions are vital for space exploration.”
    As chief designer for her team’s 2024 Mars spacewalk project, Shah led more than 30 designers and developers through rounds of user flow mapping, iterative prototyping, and interface testing.
    “Design holds its value in making you think beyond just the ‘what’ to solve a problem and figure out ‘how’ to make the solution most efficient and user-oriented,” she said, “SUITS emphasized that, and I continually strive to highlight these strengths with the softgoods I design.”
    Shah now works on fabric-based flight hardware at Johnson, including thermal and acoustic insulation blankets, tool stowage packs, and spacesuit components.
    “There’s a very exciting future in human space exploration at the intersection of softgoods with hardgoods and the digital world, through innovations like smart textiles, wearable technology, and soft robotics,” Shah said. “I look forward to being part of it.”

    For RISD alumnus Felix Arwen, now a softgoods engineer at Johnson, the challenge offered invaluable hands-on experience. “It gave me the opportunity to take projects from concept to a finished, tested product—something most classrooms didn’t push me to do,” Arwen said.
    Serving as a technical adviser and liaison between SUITS designers and engineers, Arwen helped bridge gaps between disciplines—a skill critical to NASA’s team-based approach.
    “It seems obvious now, but I didn’t always realize how much design contributes to space exploration,” Arwen said. “The creative, iterative process is invaluable. Our work isn’t just about aesthetics—it’s about usability, safety, and mission success.”
    Arwen played a key role in expanding RISD’s presence across multiple NASA Student Design Challenges, including the Human Exploration Rover Challenge, the Micro-g Neutral Buoyancy Experiment Design Teams, and the Breakthrough, Innovative, and Game-changing Idea Challenge. The teams, often partnering with Brown University, demonstrated how a design-focused education can uniquely contribute to solving complex engineering problems.
    “NASA’s Student Design Challenges gave me the structure to focus my efforts on learning new skills and pursuing projects I didn’t even know I’d be interested in,” he said.

    Felix Arwen
    Softgoods Engineer

    Both Arwen and Shah remain involved with SUITS as mentors and judges, eager to support the next generation of space designers.
    Their advice to current participants? Build a portfolio that reflects your passion, seek opportunities outside the classroom, and do not be afraid to apply for roles that might not seem to fit a designer.
    “While the number of openings for a designer at NASA might be low, there will always be a need for good design work, and if you have the portfolio to back it up, you can apply to engineering roles that just might not know they need you yet,” Arwen said.

    As NASA prepares for lunar missions, the SUITS challenge continues to bridge the gap between student imagination and real-world innovation, inspiring a new wave of space-ready problem-solvers.
    “Design pushes you to consistently ask ‘what if?’ and reimagine what’s possible,” Shah said. “That kind of perspective will always stay core to NASA.”
    Are you interested in joining the next NASA SUITS challenge? Find more information here.
    The next challenge will open for proposals at the end of August 2025.

    MIL OSI USA News

  • MIL-Evening Report: Do you talk to AI when you’re feeling down? Here’s where chatbots get their therapy advice

    Source: The Conversation (Au and NZ) – By Centaine Snoswell, Senior Research Fellow, Centre for Health Services Research, The University of Queensland

    Pexels/Mikoto

    As more and more people spend time chatting with artificial intelligence (AI) chatbots such as ChatGPT, the topic of mental health has naturally emerged. Some people have positive experiences that make AI seem like a low-cost therapist.

    But AIs aren’t therapists. They’re smart and engaging, but they don’t think like humans. ChatGPT and other generative AI models are like your phone’s auto-complete text feature on steroids. They have learned to converse by reading text scraped from the internet.

    When someone asks a question (called a prompt) such as “how can I stay calm during a stressful work meeting?” the AI forms a response by randomly choosing words that are as close as possible to the data it saw during training. This happens so fast, with responses that are so relevant, it can feel like talking to a person.

    But these models aren’t people. And they definitely are not trained mental health professionals who work under professional guidelines, adhere to a code of ethics, or hold professional registration.

    Where does it learn to talk about this stuff?

    When you prompt an AI system such as ChatGPT, it draws information from three main sources to respond:

    1. background knowledge it memorised during training
    2. external information sources
    3. information you previously provided.

    1. Background knowledge

    To develop an AI language model, the developers teach the model by having it read vast quantities of data in a process called “training”.

    Where does this information come from? Broadly speaking, anything that can be publicly scraped from the internet. This can include everything from academic papers, eBooks, reports, free news articles, through to blogs, YouTube transcripts, or comments from discussion forums such as Reddit.

    Are these sources reliable places to find mental health advice? Sometimes.
    Are they always in your best interest and filtered through a scientific evidence based approach? Not always. The information is also captured at a single point in time when the AI is built, so may be out-of-date.

    A lot of detail also needs to be discarded to squish it into the AI’s “memory”. This is part of why AI models are prone to hallucination and getting details wrong.

    2. External information sources

    The AI developers might connect the chatbot itself with external tools, or knowledge sources, such as Google for searches or a curated database.

    When you ask Microsoft’s Bing Copilot a question and you see numbered references in the answer, this indicates the AI has relied on an external search to get updated information in addition to what is stored in its memory.

    Meanwhile, some dedicated mental health chatbots are able to access therapy guides and materials to help direct conversations along helpful lines.

    3. Information previously provided

    AI platforms also have access to information you have previously supplied in conversations, or when signing up to the platform.

    When you register for the companion AI platform Replika, for example, it learns your name, pronouns, age, preferred companion appearance and gender, IP address and location, the kind of device you are using, and more (as well as your credit card details).

    On many chatbot platforms, anything you’ve ever said to an AI companion might be stored away for future reference. All of these details can be dredged up and referenced when an AI responds.

    And we know these AI systems are like friends who affirm what you say (a problem known as sycophancy) and steer conversation back to interests you have already discussed. This is unlike a professional therapist who can draw from training and experience to help challenge or redirect your thinking where needed.

    What about specific apps for mental health?

    Most people would be familiar with the big models such as OpenAI’s ChatGPT, Google’s Gemini, or Microsofts’ Copilot. These are general purpose models. They are not limited to specific topics or trained to answer any specific questions.

    But developers can make specialised AIs that are trained to discuss specific topics, like mental health, such as Woebot and Wysa.

    Some studies show these mental health specific chatbots might be able to reduce users’ anxiety and depression symptoms. Or that they can improve therapy techniques such as journalling, by providing guidance. There is also some evidence that AI-therapy and professional therapy deliver some equivalent mental health outcomes in the short term.

    However, these studies have all examined short-term use. We do not yet know what impacts excessive or long-term chatbot use has on mental health. Many studies also exclude participants who are suicidal or who have a severe psychotic disorder. And many studies are funded by the developers of the same chatbots, so the research may be biased.

    Researchers are also identifying potential harms and mental health risks. The companion chat platform Character.ai, for example, has been implicated in ongoing legal case over a user suicide.

    This evidence all suggests AI chatbots may be an option to fill gaps where there is a shortage in mental health professionals, assist with referrals, or at least provide interim support between appointments or to support people on waitlists.

    Bottom line

    At this stage, it’s hard to say whether AI chatbots are reliable and safe enough to use as a stand-alone therapy option.

    More research is needed to identify if certain types of users are more at risk of the harms that AI chatbots might bring.

    It’s also unclear if we need to be worried about emotional dependence, unhealthy attachment, worsening loneliness, or intensive use.

    AI chatbots may be a useful place to start when you’re having a bad day and just need a chat. But when the bad days continue to happen, it’s time to talk to a professional as well.

    Aaron J. Snoswell previously received research project funding from OpenAI in 2024-2025 to develop new evaluation frameworks for measuring moral competence in AI agents.

    Laura Neil receives funding through the Australian government Research Training Program Scholarship.

    Centaine Snoswell 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. Do you talk to AI when you’re feeling down? Here’s where chatbots get their therapy advice – https://theconversation.com/do-you-talk-to-ai-when-youre-feeling-down-heres-where-chatbots-get-their-therapy-advice-257732

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Visual feature: Scanning Australia’s bones

    Source: The Conversation (Au and NZ) – By Vera Weisbecker, Associate Professor in Evolutionary Biology, College of Science and Engineering, Flinders University

    ➡️ View the full interactive version of this article here.

    Vera Weisbecker receives funding from the Australian Research council. She is member of the Australian Greens Party and the Australian Mammal Society.

    Erin Mein is a member of the Australian Archaeological Association and Australian Mammal Society.

    Pietro Viacava performed this work as a research associate at Flinders University, before becoming affiliated with CSIRO.

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

    ref. Visual feature: Scanning Australia’s bones – https://theconversation.com/visual-feature-scanning-australias-bones-257119

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Economics: ECB appoints Thomas Vlassopoulos as Director General Market Infrastructure and Payments

    Source: European Central Bank

    10 June 2025

    • Directorate General Market Infrastructure and Payments oversees and coordinates the operation and development of payment systems and market infrastructure
    • It also leads the digital euro project
    • Mr Vlassopoulos will replace Ulrich Bindseil, who is leaving the ECB

    The Executive Board of the European Central Bank (ECB) has appointed Thomas Vlassopoulos as Director General Market Infrastructure and Payments. Mr Vlassopoulos will replace Ulrich Bindseil, who is leaving the ECB.

    Thomas Vlassopoulos is currently Deputy Director General Market Operations, a post he has held since May 2021. He previously headed the Monetary Analysis Division and was also Deputy Head of the Financial Stability Surveillance Division. Mr Vlassopoulos joined the ECB’s Directorate General Economics in 2008, from the Bank of Greece. Mr Vlassopoulos holds a master’s degree in economics from the London School of Economics and Political Science.

    The Directorate General Market Infrastructure and Payments (DG-MIP) coordinates and supports the operation and development of Eurosystem market infrastructures (TARGET Services), conducts oversight of payment, clearing and settlement systems, and acts as a catalyst for innovation in retail payments as well as exploring new technologies for wholesale central bank money settlement. It is also leading the digital euro project. Mr Vlassopoulos will be responsible for the strategic direction and management of DG-MIP, steering innovation, project workstreams and operational activities for TARGET Services, the digital euro project as well as retail and wholesale payments. He will chair a range of committees and high-level fora, maintaining working relationships with market participants and other stakeholders.

    For media queries, please contact Eszter Miltényi-Torstensson, tel.: +49 171 769 5305.

    Notes

    MIL OSI Economics

  • MIL-OSI Economics: Trade critical to ocean sustainability — DG Okonjo-Iweala at UN Ocean Conference

    Source: WTO

    Headline: Trade critical to ocean sustainability — DG Okonjo-Iweala at UN Ocean Conference

    DG Okonjo-Iweala highlighted that trade and the WTO can play a key role in harnessing the opportunities from the blue economy and in protecting the oceans’ resources. Underscoring the blue economy’s estimated annual value of over USD 2.6 trillion, she stressed: “The ocean is vital for our food, livelihoods and the health of our planet. More than 3 billion people either directly or indirectly rely on the oceans for their livelihoods.” She also emphasized the importance of the oceans in helping many WTO members meet their development objectives, including coastal and small island developing states (SIDS).
    Noting that marine and coastal ecosystems are threatened by climate change, biodiversity loss and marine pollution, including plastics pollution, she said that conserving and sustainably managing ocean resources is absolutely critical. “Business as usual is not an option” she said, stressing that a coherent approach that connects trade, finance and investment can help unlock inclusive, sustainable growth from the ocean economy.
    DG Okonjo-Iweala said the WTO can support decarbonization efforts by reducing trade barriers and facilitating the cross-border diffusion of environmentally friendly goods, services and technology for maritime shipping and for harnessing renewable energy from the oceans. The WTO also provides a forum for members to share experiences on the trade impact of environmental measures, she noted.
    Highlighting the important role the UN Ocean Conference (UNOC) plays in reinforcing international co-operation for the good of the world’s oceans and those who depend on its resources, DG Okonjo-Iweala stressed the importance of eliminating harmful fisheries subsidies to preserve ocean resources. WTO members have taken a first important step by adopting the Agreement on Fisheries Subsidies in June 2022, she said, noting that only 10 more ratifications are needed for its entry into force – so far 101 members have already ratified.
    DG Okonjo-Iweala was speaking at the opening high-level panel dedicated to conserving, sustainably managing and restoring marine and coastal ecosystems, including deep-sea ecosystems. Her address can be viewed here.
    DG Okonjo-Iweala also joined a high-level occasion hosted by France’s President Emmanuel Macron for heads of state and other dignitaries to celebrate World Ocean Day on 8 June.
    On 13 June, the WTO Secretariat will organize a side-event titled “Sustainable fisheries: The role of trade from oceans to plate”, co-organized with the United Nations Food and Agriculture Organization (FAO), United Nations on Trade and Development (UNCTAD) and UNOC co-hosts France and Costa Rica. The event will be opened by WTO Deputy Director-General Angela Ellard, Costa Rica’s Minister of Foreign Affairs Arnold André Tinoco, and France’s Minister of Maritime Affairs and Fisheries Agnès Pannier-Runacher. The discussion will feature experts from international organizations, the private sector, civil society and academia.
    DDG Angela Ellard will deliver a keynote address on 13 June at a session entitled “The WTO Agreement on Fisheries Subsidies and its Benefits: Perspectives from Science, Economics and Small-Scale Fishers” hosted by the Stop Funding Overfishing Coalition.
    The WTO Secretariat will also participate at panels and side-events during the UN Ocean Conference, and at special events such as the Blue Economy and Finance Forum.
    The WTO Fish Fund opened a Call for Proposals on 6 June, inviting developing and least-developed country (LDC) members that have ratified the Agreement on Fisheries Subsidies to submit requests for project grants aimed at helping them implement the Agreement. More information can be found here.
    Information on UNOC is available here.

    Share

    MIL OSI Economics

  • MIL-OSI NGOs: Resisting Dependency: U.S. Hegemony, China’s Rise, and the Geopolitical Stakes in the Caribbean

    Source: Council on Hemispheric Affairs –

    By Tamanisha J. John

    Toronto, Canada

    Introduction

    The Caribbean region is an important geostrategic location for the United States, not only due to regional proximity, but also due to the continued importance of securing sea routes for trade and military purposes. It is the geostrategic location of the Caribbean that has historically made the region a target for domineering empires and states. As both geopolitical site and geostrategic location, U.S. foreign policy articulations of Caribbean people and the region have been effectively contradictory, but the contradiction has allowed the U.S. to maintain its hegemonic position: Caribbean peoples in U.S. foreign policy are rendered backwards, unstable, and dangerous or targets of xenophobic harassment; while the physical region is rendered as a place where U.S. foreign policy must maintain one-sided power relations, lest these sites come under the influence of other states that the U.S. views as impinging upon its sphere of influence. One can most readily look to Haiti to see these contradictory dynamics at play. Haiti has not had democratic elections for two decades and instead has been under United Nations (UN) sanctioned “tutelage” or occupation via the CORE group, of which the U.S. is a part.[i] Over the past two decades, Haiti has been subject to a massive influx of U.S. manufactured weapons that fuel gun violence and murder in the country.[ii] Meanwhile those Haitians fleeing this violence to the U.S. have been met with whips at the U.S.-Mexico border, deportation flights from the U.S., and dehumanizing mythological hysteria accusing Hatians of  “eating pets.”[iii]

    Given the domineering impact of the U.S. and its allies in Canada and Europe in the Caribbean region, states in the region remain deeply dependent on foreign investment and tourism from these powers. ‘Foreignization’ of Caribbean economies makes it hard for the peoples of the region to make a living. Many Caribbean governments, neoliberal in orientation, willingly support this dependent development scheme by promoting migration for remittances, service industries for tourism, and temporary foreign worker schemes abroad due to lack of worthwhile opportunities at home. A large part of what maintains this dependent relationship—that many would find to be demeaning in most circumstances—is the securitization of the Caribbean region by the U.S. and its allies, as well as the invocation of “shared cultures,” rooted in colonial histories which continue to impose multiple hierarchies of domination on Caribbean peoples.

    Washington’s aim of permanent hegemony in the region is being challenged by an increasingly multipolar world, and this accounts for the US attempt to limit China’s influence in the Caribbean. For example, U.S. tariff assaults on the People’s Republic of China (PRC) stems from U.S. insecurities about China’s economic growth alongside its manufacturing and technological developments.[iv] China’s extension of infrastructural, technological, and other tangible material developments to states lower down on the global value chain, and at smaller costs to them is referred to by the U.S. and other western policy makers as “China’s growing influence.” This includes states in the Caribbean, which have not only become consumers of products from China but have also increased their exports to China since the 2010s. Unsurprisingly, the U.S. fears that China is gaining too much influence in the Caribbean given its developmental hand there. Although the U.S. is not directly competing with China on development initiatives, Washington’s reluctance to support meaningful progress in the Caribbean—where U.S. corporations continue to profit from structural underdevelopment—has led it to pursue strong-arm diplomacy as a symbolic stand against China instead.

    China’s alternative to dependent development challenges Western Hegemony in the Caribbean

    Western capitalist modernity, as an ideological, political, and socioeconomic project, is threatened by improvements to the global value chain. The issue at hand is that the U.S. and the Western-led capitalist system have long relegated states of the ‘Global South’ to lower positions on the global value chain. This has rendered development elusive for many states, to the sole benefit of Western corporations and their allies. Lack of development in places like the Caribbean, Africa, Asia, and Latin America actually benefits capitalist enterprises headquartered in the ‘Global North’ which extract surplus value by exploiting cheap natural resources, labor, and land in these regions. China’s accelerated advancement within the global value chain—alongside the rise of other partner states positioned lower on that chain—has not depended on economic or political subordination to the west. This trajectory is actively interpreted as eroding Western hegemonic dominance—even as the improved developments of states like China within the global value chain, have expanded global capitalism. Since 2018, the U.S. tariff assault on China, which has intensified under the second Trump administration, is a direct response to China’s economic growth propelled by China’s added value to the global value chain. In essence, the fear is China’s rise, while not reliant on the west, has made the West more reliant on importing cheap products and manufactured goods from China.

    After the global 2007/8 financial crisis, China’s expressed strategy was to diversify its exports and import markets through helping other states improve their own conditions in the global trade value system. This of course, was due to the negative impacts felt by China in its export markets from the 2008 global financial crisis. Since then, China has increased the internal demand within China for Chinese goods, which also saw the purchasing power of Chinese citizens rise. This helped the growth of a middle class in China, and also allowed the Communist Party of China (CPC) to think more broadly about its continued growth strategy. By the early 2010s China sought to develop a wider external market that was not dependent on the U.S. and the other Western states. As China began formulating a broader development strategy, the growing purchasing power of Chinese citizens made the U.S. and other Western countries increase demands on China to have unfettered access to China’s internal market. The 2010s thus became rife with false accusations by Western commentators of China manipulating its currency to amass reserve wealth, and maintain competitive exports[v] – which helped to spark Trump’s trade assault on China in 2018, and again during the second Trump administration in 2025.

    While conversations in the West hinged on conspiracy, the CPC acknowledged that neither internal consumption nor reliance on the U.S. and Western markets would promote long-term sustainable development and growth of China’s economy. Greater emphasis was placed on increasing and improving relations with other developing states. In essence, helping the development of states lower down on the global value chain would be necessary—in order to make them consumers (thus importers)—of products from China. This became part of China’s long-term strategy to diversify its import and export markets. Thus, after the 2008 global financial crisis and especially after 2010, China’s investment in places like the Caribbean had a marked and noticeable increase. A decade later, this strategy has proven beneficial to China’s growth and development – as well as to growth and development of other developing countries in Africa, Asia, Latin America and the Caribbean with more states engaging in, and pursuing trade and other relations with, China.

    The impact of U.S. tariffs and fees on the Caribbean

    Despite growing U.S. security concerns over China’s engagement in the Caribbean, the region remains largely dependent on the United States, and Caribbean states consistently run trade deficits in favor of the U.S. These trade deficits usually come at the expense of local Caribbean growers, producers, and artisans. According to Sir Ronald Sanders, Antigua and Barbuda’s Ambassador to the United States: “In 2024, the United States ran a $5.8 billion trade surplus with CARICOM as a whole. For a tangible illustration, Antigua and Barbuda’s imports from the U.S. exceeded $570 million, while its exports in return were a mere fraction of that total.”[vi] Given Caribbean regional economic dependence on the U.S., Canada and Europe, many Caribbean people seeking employment and/or asylum opportunities typically see the U.S. as a destination of choice, contributing to the large Caribbean diasporic communities in North America and Europe. These Caribbean diasporic communities not only send remittances and goods back to their home countries to support family, friends, and communities – but also facilitate Caribbean state’s exports into the U.S. It is important to underscore these dynamics, as the longstanding U.S.-Caribbean relationship—rooted in dependency—remains firmly entrenched, despite growing investments in the region from China.

    The U.S. tariff assault on China extended into a wider tariff assault by the U.S. against multiple countries, including states in the Caribbean. By April 3, 2025 the U.S. had imposed tariffs on 24 Caribbean countries: a 10% tariff on 23 of them,[vii] and a 38% tariff on Guyana[viii]—a Caribbean nation with extensive relations with China[ix]—excluding its exports of oil (dominated by U.S. and other foreign corporations), gold, and bauxite. The U.S. tariffs on Caribbean states—levied amid fragile post-pandemic recovery and lingering hurricane damage—underscores a troubling, though not surprising indifference to the region’s economic vulnerability and ongoing efforts toward stabilization and renewal.[x] During this time, the U.S. introduced a series of tariff increases on China, peaking at a 145% tariff after April 10, 2025, before settling on a 10% rate through an agreement reached on May 13, 2025.[xi] In addition to the tariffs that Washington placed on China, the U.S. also announced that it would issue port fees on Chinese built ships entering U.S. ports. In all, these tariffs and fees being imposed by the U.S. meant that there would likely be negative impacts borne by Caribbean states that import U.S. goods, and Caribbean states that export goods to China. The overall impact of the tariffs and fees would be two-fold: First, U.S. consumers of goods imported from the Caribbean would have to pay more to access those goods. Second, increased costs accrued to Caribbean state’s importing U.S. goods due to port fees, would make it more cost effective for those Caribbean states to import more goods directly from China. However, in the immediate term, Sino-Caribbean trade, lacking established relationships on a wide range of import products, has the potential to lead to import shortages – particularly of food and other essential imports from the U.S.—in the Caribbean. Given global backlash from the shipping industry, the U.S. revised and changed its decision regarding port fees a week later,[xii] and three weeks later, on April 28, it reduced the tariff on Guyana to 10%.

    Political commentators recognize, contrary to the denials by the Guyanese government, that the initially high tariffs placed on Guyana were motivated by U.S. tensions with China. According to former Guyanese diplomat, Dr. Shamir Ally,[xiii] and Guyanese political commentator, Francis Bailey, Guyana “is caught in a geopolitical battle between the US and China. Or more specifically – Washington objects to Beijing’s “very strong foothold” in Guyana.”[xiv] This was made clear, when prior to the Trump administration’s announcement of the tariff’s on Guyana, Guyanese President, Irfaan Ali, pledged that the U.S. would “have some different and preferential treatment” from Guyana[xv]— given a shared stance between the two countries in relation to Venezuela.[xvi] This pledge by Guyana’s president took place within the context of the U.S. Secretary of State Marco Rubio’s visit to the Caribbean, during which Rubio chastised the construction of infrastructure in Guyana that he deemed subpar, and alleged must have been built by China, even though it was not.[xvii] These kinds of geopolitical posturing by Washington stoke antagonisms, ignoring the negative impacts of Caribbean dependency, including that of Guyana. Caribbean economic dependency on the U.S. (Europe and Canada) will not be completely ameliorated by China, and neither will China be able to fill the role of the West for Caribbean exporters who, given histories of enslavement, indentureship, and colonialism, rely on diasporic taste and preferences for ‘niche’ exports (e.g., artisan goods, arts, entertainment). Given the high degree of U.S., Canadian, and European ownership in the Caribbean’s industrial and manufacturing sectors, the region’s capacity to produce “finished products” on an exportable scale remains limited. Despite the continued dependency relation of Caribbean states on U.S. markets, however, China can positively impact Caribbean economies by helping to diversify their trading partners, and by increasing local opportunities for people within Caribbean states, based on the kinds of new (or improved) infrastructure typically developed in partnerships with China.

    Though on the rise, the trade relationship between China and states in the Caribbean is still quite limited. Caribbean states that are a part of the Caribbean Community (CARICOM) saw a notable increase in their exports to China, from less than 1% of their total exports in the 1990s and 2000s, to between 1% and 6 % of exports going to China after the 2010s.[xviii] The majority of exports from the Caribbean to China from the 2010s forward have been agricultural and mineral in nature. Alongside the growing export potential of CARICOM states to China since the 2010s, there has also been an increase in Caribbean states importing Chinese goods. States such as Antigua and Barbuda, Dominica, Guyana, Jamaica, and Suriname import about 10% of their goods from China. On the other hand, states like the Bahamas, Barbados, Grenada, Trinidad and Tobago import less than 10% of their goods from China. The overall trend, then, is that CARICOM states have added some diversification to their trading partners since the 2010s but continue to remain firmly within the Western trading bloc. Given the structured dependency of Caribbean economies, they tend to import more from their trading partners than they export to them. However, as political analyst Daniel Morales Ruvalcaba points out, as a trading partner, China’s commitment to South-South partnerships has meant that trading disparities between itself and CARICOM states are “offset by investments flowing from China to the Caribbean […] broadly categorized into three key sectors: port infrastructure development, resource extraction, and the tourism industry.”[xix] This way of tending to the trade disparity has had beneficial impacts—that can also be seen very visibly by those who live and visit states in the Caribbean. Additionally, China’s investments have not been limited to CARICOM states, or to states that recognize China and not Taiwan. For instance, China invests in Belize, Haiti, St. Lucia, St. Kitts and Nevis, St. Vincent and the Grenadines—these are Caribbean states that recognize Taiwan.[xx]

    While China does not play a dominant import-export role in the Caribbean, given the system of dependency into which the Caribbean is already integrated, it also does not pose a security threat to the Caribbean region, despite Washington’s portrayal of China as a “bad actor.” The PRCs commitment to non-interference makes it extremely unlikely that China would use the Caribbean as a springboard for a security confrontation with Washington and its NATO allies. China does, however, have a strategic partnership with Venezuela, largely limited to a defensive posture given its relations with other states in the region, including the Caribbean. Further, with the large security presence of the U.S. and its allies in the Caribbean, China would have nothing to gain from an offensive military posture in the region. Though self-evident, this explains why the U.S has chosen to frame China’s presence in the Caribbean not in economic terms, but as a technological and geopolitical “threat”—going so far, on multiple occasions, as to allege that China is constructing covert surveillance facilities in Cuba to conduct espionage on the U.S.[xxi]

    The China-Caribbean “threat” from the U.S. Perspective

    In 2018, Washington signaled its intent to limit Chinese investments in infrastructure, energy, and technology abroad; by 2023, U.S. Southern Command identified the Caribbean as a key region where China’s growing economic footprint should be restrained. In its effort to push China out of the Caribbean tech sector, the U.S. has allowed U.S. and other Western companies to develop 5G networks in Jamaica at virtually no cost in the short term—effectively subsidizing the infrastructure to block Chinese involvement and investments in the sector. This campaign has gone so far as to include veiled threats of sanctions toward Jamaica and other regional nations should they pursue connectivity projects with China.[xxii] Since the 1940s, the U.S. has viewed government-controlled economies as threats to the Western capitalist order—a label that readily applies to China. In 2025, the trade offensive against China is markedly more severe, driven by Washington’s explicit goal of curbing the spread and stalling the advancement of China’s high-tech industries—an effort aimed at preserving U.S. dominance in the sector, which is increasingly seen as under threat. The trade war, which began openly during Trump’s first term, has only intensified in his second—driven in part by the growing influence of high-tech capitalists closely aligned with his administration. China’s advances in artificial intelligence, seen with the public release of DeepSeek AI, has only accelerated the U.S. assault.

    According to  U.S. and other pro-Western security analysts who view China as a “threat” in the Caribbean, this threat manifests in three primary ways. First, they point to China’s development of internet-based infrastructure in Caribbean nations which they claim enables Chinese espionage operations that target the U.S. from within the region. Second, they highlight the fact that most Caribbean states recognize the People’s Republic of China, rather than Taiwan, under the One-China policy—a position they attribute to questionable dealings with Beijing, rather than to the exercise of Caribbean political agency in matters of state recognition. And lastly, the Belt and Road Initiative (BRI) is portrayed as a nefarious development scheme that allows China to assert its influence globally. Notably, these accusations that form the “threat” narrative amongst U.S. and other pro-Western security advocates don’t hold up against the slightest scrutiny.

    First, there is no evidence that there are “Chinese spy bases” in Cuba or in any other country in the Caribbean—despite these accusations being levied by both Trump White Houses, and various U.S. Republican politicians in Florida.[xxiii] Second, the PRC does invest in, and maintain diplomatic relations with, Caribbean states that recognize Taiwan.[xxiv]  This suggests that the PRC does not force a One-China policy on states in the Caribbean with which it has cooperative relations. Commenting on Sino-Caribbean relations, Caribbean leaders themselves often note that the recognition of China and not Taiwan is due to support for China safeguarding its sovereignty and territorial integrity, of which they include national reunification.[xxv] Ultimately, the alleged “nefarious” nature of the Belt and Road Initiative stems from its core premise: that developing countries receive meaningful support from China to pursue their own development goals. Such efforts inevitably draw scrutiny from the U.S. and the Westbroadly, as genuine development in the ‘Global South’ is often perceived as a challenge to Western capital and hegemony. The BRI also encourages signatory states to build greater regional relationships with their Caribbean neighbors. It reflects a highly agentic approach, in stark contrast to the traditional way U.S. and other Western initiatives are typically implemented.

    Ultimately, the BRI is seen as a threat by Western policymakers because they would prefer China not pursue its own global initiatives. Given that the BRI also supports states in developing technological infrastructure and other advancements—with backing from China—these efforts are viewed by the U.S. as a strategic threat, ensuring the initiative will remain a target of sustained opposition. In the Caribbean, the U.S. push to end their tech relations with China comes off as brash, given that U.S. technology investments in the region have declined since the mid-1990s, while China technology investments have increased.[xxvi] In fact, the U.S. (and its Western allies) seem to only understand China’s investments, including the BRI, as lost market share. In essence, Washington and its Western allies seek to control economic development in the region. Two years ago for COHA, John (2023) argued that the U.S. and its allies were increasing their “diplomatic” presence in the Caribbean to maintain geostrategic influence, given China’s growing economic investments there.[xxvii] John maintained that the dismal track record of capitalism—led first by the Western European powers and later by the United States—has entrenched Caribbean states in a position of structural dependency within the global capitalist system. Key features of this dependency include persistently high levels of unemployment, underemployment, poverty, and a heavy reliance on labor exportation. This dependence made the region very receptive to Chinese investment.

    John (2023) concluded that influence is gained only where it aligns with local interests—and that investments from the PRC stood in stark contrast to Western strategies, which for decades have indebted Caribbean states, privatized their economies in ways that deepened foreign control, and consistently disregarded regional calls for reparations. This track record, it was argued, would only lead to increased militarization in the Caribbean by the U.S. and its Western allies, who have no tangible goal of helping Caribbean states to develop—but want confrontation with China. Two years later and the concluding remarks still stand.

    Concluding Remarks: Dependent Development is the price of Western Capitalism in the Caribbean

    In the Caribbean, the U.S. and its Western allies have long profited from—and perpetuated—the notion that foreignization is the norm. This extends beyond economic structures to encompass both domestic and foreign policies that effectively surrender the state, and its people, to massive  exploitation by foreigners. Some governments and local elites have been brought on as “shareholders” to maintain this backwards dependent status. That is because imperialism, especially in the Caribbean, has always been intent on establishing what Cheddi Jagan called “a reactionary axis in the Caribbean.”[xxviii] U.S. ‘influence in the Caribbean region has historically centered around controlling the “backwardness” and “unstableness” of its people, in order to keep U.S. geostrategic and geopolitical interests intact. This is done in conjunction with Caribbean political elites, who subject their own Caribbean populations in perpetual servitude to Western capital. Caribbean neoliberal states have a disregard for the rights of their citizens (and diaspora), favoring almost exclusively (and predominantly) Western foreign corporations and wealthy individuals. Cuba, however, stands out as an exception to this trend, and this is why it has been under relentless attack by Washington for more than 62 years.  It is important to point this out, given that some in the Caribbean political elite classes also share the same regressive rhetoric from the Westabout the “threat of China” to produce reactionary mindsets and views amongst large swaths of Caribbean people— so that their hand in maintaining Caribbean dependency is not critiqued.

    Caribbean people struggling to improve their societies for the better are continuously warned by the U.S. and its Western and Caribbean allies that they must maintain themselves in a dependent position. The truth is: So long as the majority of individual Caribbean states are importing finished products and agricultural goods from the U.S., Canada, and Europe—and to a smaller extent now China—the Caribbean will never have trade surpluses with these states. Lack of local businesses and the foreignization of Caribbean economies compound this contradiction that is perpetuated by the entrenched Western-led economic system. Political elites in the Caribbean frequently disregard local protests and locally developed alternatives that could threaten Western foreign corporations and investment. There is a real need for enhanced regional integration for Caribbean people, not only states, to improve their lot within the prevailing system. People will continuously be let down by formations like CARICOM, so long as these associations are dominated by Western development frameworks and have individual member states who care more about aligning their security interests with the West instead of their own region. While neoliberalism in the Caribbean is often attributed to structural constraints and the limited capacity of states to regulate foreign capital, such explanations fail to account for the extent to which Caribbean governments have themselves normalized and actively advanced neoliberal policy frameworks. The promotion of neoliberal policies both prolongs, and makes systemic, foreign dependence and domination.

    U.S. fear mongering about China in the Caribbean is propaganda. It only serves to prevent people from questioning why Caribbean states are dependent and why there is rampant foreignization of Caribbean economies. Who owns these corporate entities that make life hard in the Caribbean? The “threats” from the U.S. perspective boil down to the fact that China, in the Caribbean, is taking advantage of Western policies that make the Caribbean exploitable. It is often noted—and indeed observable—that China imports its own labor for development projects in the Caribbean. However, this practice is neither new nor unique; countries such as the United States, Canada, and various European powers have long employed similar strategies. Understandably, this reliance on imported labor has generated frustration among Caribbean populations, particularly given the region’s high levels of unemployment and underemployment. Many local workers are both willing and able to acquire the necessary skills and trades to work on infrastructure and development projects that come to the region. Local Caribbean firms and entrepreneurs would also seize the opportunity to participate in these projects—including local sourcing of materials. But this beneficial type of development is not presently feasible given how Western capitalists have integrated Caribbean states into the global capitalist system.

    The efforts of the Trump administration to cast China as a security threat in the Caribbean and to portray doing business with China as a security risk, have largely been unsuccessful. In the Caribbean, China simply takes advantage of Western policies that have made the region highly favorable and open to foreign investment, foreign entrepreneurs, and government dealings—in the form of Memorandums of Understanding (MOU) and Letters of Agreement (LOA)—with other states and corporations. The acceptance of these MOUs and LOAs receive minimal, to no input from Caribbean citizens. Debt traps have been normalized in the Caribbean by the Western capitalist system, making the Caribbean one of the most highly indebted regions in the world. Today, propagandists tend to invoke the myth of the  “Chinese debt-trap” to attribute to China this false label of being engaged in “debt trap diplomacy”—a term popularized in 2018 during the first trade assault against China.[xxix] In response to this myth, progressive commentators tend to highlight that China forgives a lot of debt, and has even helped Caribbean states to restructure debts owed to various financial institutions.[xxx] However, the biggest elephant in the room is that even if China ceased to exist in the Caribbean region, the region would still be one of the most indebted within the Western capitalist system. The debt-trap narrative not only deflects attention from the significant role Western powers have played in producing Caribbean indebtedness, but also unjustly shifts the burden onto China to forgive obligations for which Western capital is responsible.[xxxi] Lack of transparency in investment agreements and investor tax benefits, including profit repatriation, in the Caribbean has been normalized by laws first written by various European empires and later by Western capitalists that crafted structural adjustment policies. Yet, such arrangements, historically established by U.S. and Canadian capital interests, are often rebranded as evidence of corruption within the China–Caribbean relationship. Those concerned with the persistence of Caribbean dependency should critically engage with its structural causes and actively challenge Western propaganda regardless of the source from which it emanates.

    Endnotes

    [i] Pierre, Jemima. 2020. “Haiti: An Archive of Occupation, 2004-.” Transforming Anthropology 28(1): 3–23. doi: https://doi.org/10.1111/traa.12174.

    [ii] Kestler-D’Amours, Jillian. “‘A Criminal Economy’: How US Arms Fuel Deadly Gang Violence in Haiti.” Al Jazeera, March 25, 2024. web: https://www.aljazeera.com/news/longform/2024/3/25/a-criminal-economy-how-us-arms-fuel-deadly-gang-violence-in-haiti.

    [iii] Mack, Willie. Haitians at the Border: The Nativist State and Anti-Blackness. Carr-Ryan Commentary. Harvard Kennedy School, 2025. web: https://www.hks.harvard.edu/centers/carr-ryan/our-work/carr-ryan-commentary/haitians-border-nativist-state-and-anti-blackness.

    [iv] Ziye, Chen, and Bin Li. “Escaping Dependency and Trade War: China and the US.” China Economist 18, no. 1 (2023): 36–44.

    [v] Wiseman, Paul. “Fact Check: Does China Manipulate Its Currency?” PBS News, December 29, 2016. https://www.pbs.org/newshour/world/fact-check-china-manipulate-currency.

    [vi] Loop News. “More Caribbean Countries Respond to New US Tariffs,” April 4, 2025, sec. World News. https://www.loopnews.com/content/more-caribbean-countries-respond-to-new-us-tariffs/.

    [vii] TEMPO Networks. “Here Are All The Caribbean Countries Hit By Trump’s New Tariffs.” Tempo Networks, April 3, 2025, sec. News. https://www.temponetworks.com/2025/04/03/here-are-all-the-caribbean-countries-hit-by-trumps-new-tariffs/.

    [viii] Grannum, Milton. “Oil, Bauxite, Gold Exempt from US Tariff.” Stabroek News, April 4, 2025, sec. Guyana News. https://www.stabroeknews.com/2025/04/04/news/guyana/oil-bauxite-gold-exempt-from-us-tariff/.

    [ix] Handy, Gemma. “Was China the Reason Guyana Faced Higher Trump Tariff?” BBC, April 28, 2025. https://www.bbc.com/news/articles/cjeww5zq88no.

    [x] John, Tamanisha J. 2024. “Hurricane Unpreparedness in the Caribbean, Disaster by Imperial Design.” Council on Hemispheric Affairs (COHA). The Caribbean. https://coha.org/hurricane-unpreparedness-in-the-caribbean-disaster-by-imperial-design/.

    [xi] Grantham-Philips, Wyatte. “A Timeline of Trump’s Tariff Actions so Far.” PBS News, April 10, 2025, sec. Economy. https://www.pbs.org/newshour/economy/a-timeline-of-trumps-tariff-actions-so-far.

    [xii] Saul, Jonathan, Lisa Baertlein, David Lawder, and Andrea Shalal. “United States Eases Port Fees on China-Built Ships after Industry Backlash.” Reuters, April 17, 2025, sec. Markets. https://www.reuters.com/markets/global-shippers-await-word-us-plan-hit-china-linked-vessels-with-port-fees-2025-04-17/.

    [xiii] Credible Sources interview on February 26, 2025. Guyana in U.S.-China Crossfire? Ex-Diplomat Weighs In, 2025. https://www.youtube.com/watch?v=UtCNBiKdj-0

    [xiv] Handy, Gemma. “Was China the reason Guyana faced higher Trump tariff?” BBC, April 28, 2025. https://www.bbc.com/news/articles/cjeww5zq88no.

    [xv] Chabrol, Denis. “Guyana Pledges ‘Preferential’ Treatment to US.” Demerara Waves, March 27, 2025, sec. Business, Defence, Diplomacy. https://demerarawaves.com/2025/03/27/guyana-pledges-preferential-treatment-to-us/.

    [xvi] John, Tamanisha J. “Guyana, Beware the Western Proxy-State Trap.” Stabroek News, December 25, 2023, sec. In The Diaspora. https://www.stabroeknews.com/2023/12/25/features/in-the-diaspora/guyana-beware-the-Western-proxy-state-trap/.

    [xvii] Foreign Ministry Spokesperson Guo Jiakun’s Regular Press Conference on April 3, 2025. Beijing Says That Road in Guyana Criticised by Rubio Is Not Built by China, 2025. https://youtu.be/6gljwDyW1qk?si=2QXhDUythljBsIcJ.

    [xviii] Morales Ruvalcaba, Daniel. 2025. “National Power in Sino-Caribbean Relations: CARICOM in the Geopolitics of the Belt and Road Initiative.” Chinese Political Science Review 10: 28–48. doi: https://link.springer.com/article/10.1007/s41111-024-00252-4.

    [xix] Ibid.

    [xx] Ibid. 

    [xxi] Qi, Wang. “Hyping Chinese ‘spy Bases’ in Cuba Slander; Shows US’ Hysteria: Expert.” Global Times, July 3, 2024. https://www.globaltimes.cn/page/202407/1315376.shtml.

    [xxii] Pate, Durrant. “US Warns Jamaica against Chinese 5g.” Jamaica Observer, October 25, 2020. https://www.jamaicaobserver.com/2020/10/25/us-warns-jamaica-against-chinese-5g/.

    [xxiii] Belly of the Beast. Investigative Report. May 30, 2025. Big Headlines, No Proof: Inside the Hype Over “Chinese Spy Bases”  https://www.youtube.com/watch?v=CF87JJp8WIo

    [xxiv] Bayona Velásquez, Etna. “Chinese Economic Presence in the Greater Caribbean, 2000-2020.” In Chinese Presence in the Greater Caribbean: Yesterday and Today, 599–661. Santo Domingo, Dominican Republic: Centro de Estudios Caribeños (PUCMM), 2022.

    [xxv] Loop news. “T&T, Caribbean countries pledge support for One China policy.” May 6, 2022. https://www.loopnews.com/content/tt-caribbean-countries-pledge-support-for-one-china-policy/

    [xxvi] Ricart Jorge, Raquel. “China’s Digital Silk Road in Latin America and the Caribbean.” Real Instituto Elcano, April 21, 2021, sec. Latin America. https://www.realinstitutoelcano.org/en/commentaries/chinas-digital-silk-road-in-latin-america-and-the-caribbean/.

    [xxvii] John, Tamanisha J. 2023. “US Moves to Curtail China’s Economic Investment in the Caribbean.” Council on Hemispheric Affairs (COHA). https://coha.org/us-moves-to-curtail-chinas-economic-investment-in-the-caribbean/.

    [xxviii] Jagan, Cheddi. “Alternative Models of Caribbean Economic Development and Industrialisation.” In Caribbean Economic Development and Industrialisation, 3 (1):1–23. Hungary: Development and Peace, 1980. https://jagan.org/CJ%20Articles/In%20Opposition/Images/3014.pdf.

    [xxix] Chandran, Rama. “The Chinese “Debt Trap” Is a Myth.” China Focus, August 26, 2022,  http://www.cnfocus.com/the-chinese-debt-trap-is-a-myth/

    [xxx] Hancock, Tom. “China renegotiated $50bn in loans to developing countries: Study challenges ‘debt-trap’ narrative surrounding Beijin’s lending.” Financial Times, April 29, 2019, https://www.ft.com/content/0b207552-6977-11e9-80c7-60ee53e6681d

    [xxxi] Kaiwei, Zhang and Xian Jiangnan. “So-called “debt trap” a Western rhetorical trap.” China International Communications Group (CN) , September 14, 2024, https://en.people.cn/n3/2024/0914/c90000-20219659.html

    Featured image: Chinese Foreign Minister Wang Yi (centre) poses for a group photograph with representatives from the Caribbean countries that share diplomatic relations with China, May 12, 2025, at the Diaoyutai State Guesthouse, Beijing
    (Source: Chinese State Media)

    Tamanisha J. John is an assistant professor in the Department of Politics at York University and a member of the US/NATO out of Our Americas Network zoneofpeace.org/ 

    MIL OSI NGO

  • MIL-OSI United Nations: Secretary-General’s press conference at Ocean Conference [scroll down for French]

    Source: United Nations MIL-OSI 2

    ood morning,
     
    We are in Nice on a mission – save the ocean, to save our future.

    That was my message at the Conference opening yesterday, and it is the message I have carried through all my meetings.
     
    The ocean is the lifeblood of our planet.
     
    It produces half of the oxygen we breathe, nourishes billions of people, supports hundreds of millions of jobs, and underpins global trade.
     
    For many, the ocean is more than a source of food and livelihood.
     
    It shapes cultures…anchors identities… and feeds the soul.
     
    Yet, we are treating it like a limitless resource – pretending it can absorb our abuse without consequence.
     
    Every year, we see more troubling signs that our ocean is under siege.
     
    Fish populations are collapsing due to reckless illegal fishing and overexploitation.
     
    Climate change is driving ocean acidification and heating – destroying coral reefs, accelerating sea level rise, and threatening communities worldwide.
     
    And plastic pollution is choking marine life and infesting our food chain – ultimately ending up in our blood and even our brains.
     
    When we poison the ocean, we poison ourselves.
     
    Dear friends,
     
    There’s a tipping point approaching – beyond which recovery may become impossible.
     
    And let us be clear:
     
    Powerful interests are pushing us towards the brink.
     
    We are facing a hard battle, against a clear enemy.
     
    Its name is greed.
     
    Greed that sows doubt… denies science… distorts truth… rewards corruption… and destroys life for profit.
     
    We cannot let greed dictate the fate of our planet.
     
    That is why we are here this week: to stand in solidarity against those forces and reclaim what belongs to us all.
     
    Governments, business leaders, fishers, scientists…  everyone has a responsibility and a vital role to play.
     
    Throughout my many engagements at the Conference, I have highlighted four priorities.
     
    First – we must transform how we harvest the ocean’s bounty.
     
    It is not about fishing, it’s about how we fish.
     
    Sustainable fishing is not a choice – it is our only option.
     
    This means stronger global cooperation, strict enforcement against illegal fishing, and expanded protected areas to rebuild stocks and safeguard marine life.
     
    And it means delivering on the 30 by 30 target – to conserve and manage at least 30 per cent of marine and coastal areas by 2030.
     
    We have a moral duty to ensure future generations inherit oceans swarming with life.
     
    Second – we must confront the plague of plastic pollution.
     
    This means phasing out single-use plastics, overhauling waste systems, and boosting recycling.
     
    All countries must quickly finalize an ambitious, legally binding global treaty to end plastic pollution. And we hope that this will happen this year.
     
    Third – the fight against climate change must extend to the seas.
     
    For decades, the ocean has been absorbing carbon emissions and taking the heat of a warming planet.
     
    That comes at great cost.
     
    As we prepare for COP30 in Brazil, countries must present ambitious national climate action plans.
     
    These plans must align with limiting the rise in global temperature to 1.5 degrees Celsius;
     
    Cover all emissions and the whole economy;
     
    And in line with the commitments countries have made to accelerate the global energy transition and seize the benefits of clean power.
     
    Last year, for the first time, the annual global temperature was 1.5°C hotter than pre-industrial times.
     
    Scientists are clear: that does not mean that the long-term global temperature rise limit to 1.5 degrees is out of reach.
     
    It means we need to fight harder.
     
    The ocean depends on it – and so do we.
     
    I urge countries to champion ocean-based climate solutions – like protecting mangroves, seagrass beds, and coral reefs.
     
    We must also increase financial and technological support to developing countries – so that they can protect themselves from extreme weather and respond when disasters strike.
     
    The survival of coastal communities and Small Island Developing States depends on it.
     
    And fourth – we must implement the recent Agreement on Marine Biodiversity of Areas Beyond National Jurisdiction.
     
    The Agreement is a historic step towards protecting vast areas of our ocean.
     
    I congratulate the 134 countries that have signed and the 49 and counting that have ratified the Agreement – including 18 new signatures and 18 ratifications yesterday alone.
     
    The entry into force is within our sight.
     
    And I call on all remaining nations to join swiftly.
     
    We do not have a moment to lose.
     
    Finally, on seabed mining, we have a collective responsibility to proceed with great caution.
     
    I support the ongoing work of the International Seabed Authority on this important issue.
     
    As I said yesterday, the deep sea cannot become the Wild West.
     
    Ladies and gentlemen of the media,
     
    The urgency of this moment cannot be overstated.
     
    Ocean health is inseparable from human health, climate stability, and global prosperity.
     
    But I leave Nice energized and encouraged by the many pledges already made.
     
    Encouraged by island nations and Indigenous Peoples sharing their stories and expertise…
     
    Encouraged by young activists demanding action and accountability…
     
    Scientists developing innovative solutions for all…
     
    Business leaders investing in the blue economy…
     
    This is the global coalition we need.
     
    I urge everyone to step forward with decisive commitments and tangible funding.
     
    The ocean has given us so much.
     
    It is time we returned the favor.
     
    Our health, our climate, and our future depend on it.
     
    Thank you. Je vous remercie.
     
    Question: Secretary General, you warned against a wild west on deep sea mining. Beyond words, what specific actions would you like countries to take to either stop deep sea mining or put in place strong regulations?
     
    Secretary-General: Well, as I mentioned, there is an institution that has a key role to play, and is playing it, and I trust that they will be doing what is necessary to avoid the Wild West that I mentioned. It is the International Seabed Authority, and I think it’s extremely important not to have any kind of initiative that is beyond whatever will be established by the International Seabed Authority.
     
    Question: Mr. Secretary-General, you said we have to save the ocean. Are you happy with this conference? Do you think it will make a difference?
     
    Secretary-General: I think it is making a difference. There is one aspect that is particularly evident. UNCLOS, the United Nations Convention on the Law of the Sea, took 12 years to enter into force. We are two years from the BBNJ, and we have already, as of today, 49 ratifications [Editor’s Note: 50 including the EU] with 15 commitments to do it soon, which means that it will, in the next few months, reach the entry into force. That is a record – a little bit more than two years. So, I see a momentum and an enthusiasm that was difficult to find in the past.
     
    And the way this meeting was attended – not only by countries, but by civil society, by the business community, by indigenous communities, representing more than double those that came to the Lisbon conference that I attended two years ago – shows the very strong commitment made by countries in relation to enlarging the protection areas. All these shows a momentum that, to be honest, I had never witnessed in conferences of this type. Am I entirely happy? Of course not. I would like things to move much faster.
     
    And let’s not forget that there is a clear link between biodiversity, climate and marine protection. And in that clear link, we still have some dramatic gaps. And one of the most worrying ones is, of course, the impact of climate change on the oceans – the fact that the rising of sea levels is accelerating; the fact that waters are more and more warmer with acidification. We see the impacts in coastal areas. We see the corals bleaching, and we see that climate change became an extremely dramatic threat to the lives of our oceans. And there, I have to say, we are moving slowly, and I hope the COP in Belém will be able to provide the necessary acceleration.
     
    Question: You said that sustainable fishing was the only option left, but for small states like Sri Lanka that’s struggling with bottom trawling – a regional practice  – and IUU fishing [Illegal, unreported and unregulated], we don’t have the capacity to enforce and control external actors like that. What can the UN do to assist small states to protect its fish stocks and marine ecology?
     
    Secretary-General: I think we must develop forms, first of all, of accountability in relation to illegal fishing and in relation to the way fishing resources of developing countries are being exploited by a certain number of predators. So, there is a question of accountability, and we’ll be doing our best to increase the mechanisms of international accountability that for the moment – let us be clear – are extremely limited and inefficient.
     
    Question: CO2 emissions from fossil fuels are a double problem for the ocean because of acidification, and they are hitting the atmosphere and the ocean. At the same time, there’s a lot of oil industry activity that happens in the ocean, which is a continuing risk. What message and agreements do you expect to hear from the countries in this conference regarding the fossil fuel industry or is this not a subject right now in this conference?
     
    Secretary-General: I believe the energy transition will be more central in the COP meeting than in this meeting. But there are two things that, for me, are absolutely evident. First is that 85 per cent of the emissions correspond to fossil fuels. So the problem of climate change is essentially linked to fossil fuels. The second is that we are witnessing an energy transition that demonstrates that the cheapest way to produce energy is through renewables.
     
    You might have heard what I said about greed. There is a dramatic effort from the fossil fuel industry to distort the reality. But one thing for me is inevitable – the fossil fuel age is coming to an end, and the renewable age will be there as the age of the future. The problem is, will that be done on time? And what we need is to accelerate that transition.  And I hope that in the COP there will be a very strong message in this regard.
     
    Question: I wanted to ask if you have concerns generally about the 1.5 target slipping out from policymakers’ speeches as people come to accept that it’s not likely to be met. Are you concerned that people are moving ahead and starting to talk about 2 degrees? How do you keep up the message around 1.5 when the science looks certain that it will be passed?
     
    Secretary-General: I am concerned. Scientists are very clear when they tell us that the 1.5 degrees is still achievable as a limit to global warming. But they are also unanimous in saying that we are on the brink of a tipping point that might make it impossible. So there is a matter of urgency that is extremely important, and that is the reason of my concern. Until now, we have not seen enough urgency, enough speed in making things move fast, in energy transition and in other aspects that are essential to keep 1.5 degrees alive. A lot of progress is being seen, but not yet enough, and we must accelerate our transition. And this is, for me, the most important objective of the next COP, and of the pressure we are making at the present moment on countries to have Nationally Determined Contributions, the so-called national action plans, that are fully compatible with 1.5 degrees, which foresees until 2035 a dramatic reduction of emissions.
     

    ****

     

    [All-French]

    Bonjour à tous,
     
    Nous sommes à Nice en mission : sauver l’océan – pour sauver notre avenir.
     
    C’était le message que j’ai porté à l’ouverture de la Conférence hier.
    Et c’est le message que j’ai répété à chacune de mes rencontres ici.
     
    L’océan est le poumon de notre planète.
     
    Il produit la moitié de l’oxygène que nous respirons… nourrit des milliards de personnes… soutient des centaines de millions d’emplois… et fait tourner le commerce mondial.
     
    Mais pour beaucoup, l’océan est bien plus qu’une ressource.
     
    Il façonne des cultures. Il ancre des identités. Il nourrit l’âme humaine.
     
    Et pourtant, nous le traitons comme une ressource inépuisable – comme s’il pouvait absorber nos abus sans conséquences.
     
    Chaque année, les signes de détresse se multiplient.
     
    Les stocks de poissons s’effondrent sous l’effet de la pêche illégale et de la surexploitation.
     
    Le dérèglement climatique provoque l’acidification et le réchauffement des océans – détruisant les récifs de corail, accélérant la montée des eaux, et mettant en péril des communautés entières.
     
    La pollution plastique étouffe la vie marine et contamine notre alimentation – jusqu’à se retrouver dans notre sang… et même dans notre cerveau.
     
    En empoisonnant l’océan, c’est nous-mêmes que nous empoisonnons.
     
    Chers amis,
     
    Nous approchons un point de bascule – au-delà duquel tout retour en arrière pourrait devenir impossible.
     
    Soyons clairs : des intérêts puissants nous poussent dangereusement vers le précipice.
     
    Nous livrons un combat difficile, contre un ennemi bien identifié.
     
    Son nom, c’est la cupidité.
     
    Une cupidité qui sème le doute… nie la science… déforme la vérité… récompense la corruption… et détruit la vie au nom du profit.
     
    Nous ne pouvons pas laisser la cupidité dicter le sort de notre planète.
     
    C’est pourquoi nous sommes ici cette semaine : pour faire front ensemble face à ces forces – et reprendre ce qui appartient à toutes et à tous.
     
    Les gouvernements, les chefs d’entreprise, les pêcheurs, les scientifiques… chacun a une responsabilité, chacun a un rôle vital à jouer.
     
    Tout au long de la Conférence, j’ai mis en avant quatre priorités.
     
    Premièrement – nous devons transformer la manière dont nous récoltons les richesses de l’océan.
     
    La question n’est pas de pêcher ou non — mais de savoir comment nous pêchons.
     
    La pêche durable n’est pas une option – c’est notre seule voie possible.
     
    Cela exige une coopération internationale renforcée, une lutte implacable contre la pêche illégale, et une extension des aires marines protégées pour reconstituer les stocks et préserver la vie marine.
     
    Cela implique aussi de tenir l’objectif 30-30 : protéger et gérer au moins 30 % des zones marines et côtières d’ici 2030.
     
    Nous avons le devoir moral de transmettre aux générations futures des océans pleins de vie.
     
    Deuxièmement – nous devons combattre le fléau de la pollution plastique.
     
    Cela signifie éliminer progressivement les plastiques à usage unique, réformer les systèmes de gestion des déchets, et renforcer le recyclage.
     
    Tous les pays doivent conclure rapidement un traité mondial ambitieux et juridiquement contraignant pour mettre fin à la pollution plastique. Et nous espérons que cela se produira cette année.
     
    Troisièmement – la lutte contre le changement climatique doit aussi se mener en mer.
     
    Depuis des décennies, l’océan absorbe nos émissions de carbone et la chaleur d’une planète en surchauffe.
     
    Cela a un prix.
     
    À l’approche de la COP30 au Brésil, les pays doivent présenter des plans d’action climatique nationaux ambitieux.
     
    Des plans compatibles avec l’objectif de limiter la hausse des températures à 1,5 °C ;
     
    Qui couvrent toutes les émissions et l’ensemble de l’économie ;
     
    Et conformément aux engagements des pays à accélérer la transition énergétique mondiale, en saisissant les opportunités offertes par les énergies propres.
     
    L’an dernier, pour la première fois, la température mondiale annuelle a dépassé de 1,5 °C les niveaux préindustriels.
     
    Les scientifiques sont clairs : cela ne signifie pas que la limite de 1,5 °C est hors de portée.
     
    Cela signifie que nous devons redoubler d’efforts.
     
    L’océan en dépend — et nous aussi.
     
    J’appelle les pays à soutenir les solutions climatiques basées sur l’océan — comme la protection des mangroves, des herbiers marins et des récifs coralliens.
     
    Nous devons aussi accroître le soutien financier et technologique aux pays en développement – pour qu’ils puissent se protéger face aux phénomènes climatiques extrêmes, et répondre rapidement quand les catastrophes frappent.
     
    La survie des communautés côtières et des petits États insulaires en dépend.
     
    Quatrièmement – nous devons mettre en œuvre l’Accord sur la biodiversité marine des zones situées au-delà des juridictions nationales.
     
    L’ Accord est une avancée historique pour protéger d’immenses espaces marins.
     
    Je félicite les 134 pays qui l’ont signé, et les 49 – et c’est pas fini – qui l’ont déjà ratifié, dont 18 signatures et 18 ratifications enregistrées hier seulement.
     
    L’entrée en vigueur est à notre portée.
     
    J’en appelle à tous les autres États pour de les rejoindre sans attendre.
     
    Nous n’avons pas une minute à perdre.
     
    Enfin, sur l’exploitation minière des fonds marins, nous avons une responsabilité collective d’agir avec une extrême prudence.
     
    Je salue les travaux en cours de l’Autorité internationale des fonds marins sur cette question cruciale.
     
    Comme je l’ai dit hier, les grands fonds ne peuvent devenir le Far West des temps modernes.
     
    Mesdames et Messieurs les journalistes,
     
    L’urgence de ce moment ne peut être exagérée.
     
    La santé de l’océan est indissociable de la santé humaine, de la stabilité climatique et de la prospérité mondiale.
     
    Mais je quitte Nice plein d’énergie et d’espoir, porté par les nombreux engagements déjà pris.
     
    Porté par les récits et l’expertise des nations insulaires et des peuples autochtones…
     
    Par la détermination des jeunes militants qui exigent des comptes…
     
    Par les scientifiques qui inventent des solutions pour toutes et tous…
     
    Et par les acteurs économiques qui investissent dans une économie bleue durable.
     
    C’est cette coalition mondiale dont nous avons besoin.
     
    J’en appelle à chacun : engagez-vous avec clarté, avec ambition, et avec des financements concrets.
     
    L’océan nous a tant donné.
     
    Il est temps de lui rendre la pareille.
     
    Notre santé, notre climat et notre avenir en dépendent.
     
    Je vous remercie.
     

    MIL OSI United Nations News

  • MIL-OSI USA: VIDEO: Capito Opening Statement at Hearing to Review NIH Budget Request

    US Senate News:

    Source: United States Senator for West Virginia Shelley Moore Capito
    [embedded content]
    Click here or on the image above to watch Chairman Capito’s opening remarks from the hearing. 
    WASHINGTON, D.C. – Today, U.S. Senator Shelley Moore Capito (R-W.Va.), Chairman of the Senate Appropriations Subcommittee on Labor, Health and Human Services, Education, and Related Agencies (Labor-HHS), chaired a hearing with Dr. Jay Bhattacharya, M.D., the Director of the National Institutes of Health (NIH) to review the president’s Fiscal Year 2026 budget request.  
    Below is the opening statement of Chairman Capito as prepared for delivery: 
    “Good morning. Dr. Bhattacharya, congratulations on your new role as Director of the NIH. Thank you for appearing before the subcommittee today to discuss how the fiscal year 2026 budget proposal will continue efforts from NIH to reduce illness, enhance health and lengthen the lives of all Americans. 
    “My home state of West Virginia is faced with many complex health challenges. I know that if we work together, make wise investments and focus on what really matters, we can create positive momentum towards eliminating those challenges. 
    “Fostering NIH collaboration with smaller and rural states is critical, and one of the strengths of the NIH IDeA Program. This program provides funding to 23 states—including West Virginia—that historically have received little to no federal research funding.  
    “The IDeA program and other NIH funding streams have been instrumental for Marshall University, West Virginia University, and other institutions in my state in developing world-class research in neuroscience, cancer, stroke, vision, and addiction science. 
    “Researchers throughout West Virginia are making significant contributions to biomedical research in areas ranging from cancer to Alzheimer’s disease to substance use disorders. 
    “I look forward to hosting you in West Virginia soon to see first-hand all of the amazing research being done across the state. 
    “This will be a challenging year for appropriations, yet supporting biomedical research is a priority for me and has long been a bicameral, bipartisan priority for Congress.
    “The United States leads the world in biomedical innovation and I, along with many of my colleagues on this committee, think it is important America remains the leader in biomedical innovation and research. Investing in biomedical research has proven to save lives while exponentially strengthening the U.S. economy. I look forward to hearing from you how this budget request would continue to advance this critical research and innovation.
    “The NIH is a driver of economic growth, funding more than $94.58 billion in national economic activity last year.
    “In West Virginia, NIH supported over 700 jobs and $147 million in economic activity in 2024 alone.  
    “For almost a decade, this committee has supported research toward the goal of finding treatments and a cure for Alzheimer’s disease. This goal is very personal to me since both of my parents lived with and eventually succumbed to the disease.  
    “These investments have allowed NIH to fund research into a wide variety of potential causes of the disease, and build evidence for prevention based on a healthy lifestyle. NIH-funded research on the amyloid protein led to the development of FDA-approved Alzheimer’s drugs in 2023 and 2024 to slow progression of the disease.  
    “All of this research is important, and I look forward to working with you to continue robust and diversified Alzheimer’s disease research. 
    “NIH-funded research is also behind many of the more than 600 new cancer treatments that the FDA has approved over the last 20 years. 
    “As a lead sponsor of the Childhood Cancer STAR Act, I look forward to hearing about your priorities and advancements to combat cancer and grow our clinical trial networks – especially among children. 
    “Although we are making positive strides, substance abuse remains an issue in my state. I look forward to hearing more from you about how combining the National Institute on Drug Abuse into a new National Institute on Behavioral Health will enable that important work to continue.
    “I have heard from many University leaders – from schools ranging in size, location, and subject – about the impact of changes being implemented at NIH. These institutions are the reason America has kept the edge in biomedical innovation.
    “As with any change in leadership, there seems to be a heightened sense of concern and confusion that diverting resources from research will result in a less healthy America. And I hope today we can work to come to a better understanding. 
    “We have a difficult task ahead of us this year, but it is my hope that we will come together, just as we have done in prior fiscal years, to use our limited resources in the most efficient and effective way to support the health and well-being of all Americans. 
    “Dr. Bhattacharya, I look forward to your testimony.”

    MIL OSI USA News

  • MIL-Evening Report: With so many parties ‘ruling out’ working with other parties, is MMP losing its way?

    Source: The Conversation (Au and NZ) – By Richard Shaw, Professor of Politics, Te Kunenga ki Pūrehuroa – Massey University

    There has been a lot of “ruling out” going on in New Zealand politics lately. In the most recent outbreak, both the incoming and outgoing deputy prime ministers, ACT’s David Seymour and NZ First’s Winston Peters, ruled out ever working with the Labour Party.

    Seymour has also advised Labour to rule out working with Te Pāti Māori. Labour leader Chris Hipkins has engaged in some ruling out of his own, indicating he won’t work with Winston Peters again. Before the last election, National’s Christopher Luxon ruled out working with Te Pāti Māori.

    And while the Greens haven’t yet formally ruled anyone out, co-leader Chlöe Swarbrick has said they could only work with National if it was prepared to “completely U-turn on their callous, cruel cuts to climate, to science, to people’s wellbeing”.

    Much more of this and at next year’s general election New Zealanders will effectively face the same scenario they confronted routinely under electoral rules the country rejected over 30 years ago.

    Under the old “first past the post” system, there was only ever one choice: voters could turn either left or right. Many hoped Mixed Member Proportional representation (MMP), used for the first time in 1996, would end this ideological forced choice.

    Assuming enough voters supported parties other than National and Labour, the two traditional behemoths would have to negotiate rather than impose a governing agenda. Compromise between and within parties would be necessary.

    Government by decree

    By the 1990s, many had tired of doctrinaire governments happy to swing the policy pendulum from right to left and back again. In theory, MMP prised open a space for a centrist party which might be able to govern with either major player.

    In a constitutional context where the political executive has been described as an “elected dictatorship”, part of the appeal of MMP was that it might constrain some of its worst excesses. Right now, that is starting to look a little naive.

    For one thing, the current National-led coalition is behaving with the government-by-decree style associated with the radical, reforming Labour and National administrations of the 1980s and 1990s.

    Most notably, the coalition has made greater use of parliamentary urgency than any other government in recent history, wielding its majority to avoid parliamentary and public scrutiny of contentious policies such as the Pay Equity Amendment Bill.

    Second, in an ironic vindication of the anti-MMP campaign’s fears before the electoral system was changed – that small parties would exert outsized influence on government policy – the two smaller coalition partners appear to be doing just that.

    It is neither possible nor desirable to quantify the degree of sway a smaller partner in a coalition should have. That is a political question, not a technical one.

    But some of the administration’s most unpopular or contentious policies have emerged from ACT (the Treaty Principles Bill and the Regulatory Standards legislation) and NZ First (tax breaks for heated tobacco products).

    Rightly or wrongly, this has created a perception of weakness on the part of the National Party and the prime minister. Of greater concern, perhaps, is the risk the controversial changes ACT and NZ First have managed to secure will erode – at least in some quarters – faith in the legitimacy of our electoral arrangements.

    The centre cannot hold

    Lastly, the party system seems to be settling into a two-bloc configuration: National/ACT/NZ First on the right, and Labour/Greens/Te Pāti Māori on the left.

    In both blocs, the two major parties sit closer to the centre than the smaller parties. True, NZ First has tried to brand itself as a moderate “common sense” party, and has worked with both National and Labour, but that is not its position now.

    In both blocs, too, the combined strength of the smaller parties is roughly half that of the major player. The Greens, Te Pāti Māori, NZ First and ACT may be small, but they are not minor.

    In effect, the absence of a genuinely moderate centre party has meant a return to the zero-sum politics of the pre-MMP era. It has also handed considerable leverage to smaller parties on both the left and right of the political spectrum.

    Furthermore, if the combined two-party share of the vote captured by National and Labour continues to fall (as the latest polls show), and those parties have nowhere else to turn, small party influence will increase.

    For some, of course, this may be a good thing. But to those with memories of the executive-centric, winner-takes-all politics of the 1980s and 1990s, it is starting to look all too familiar.

    The re-emergence of a binary ideological choice might even suggest New Zealand – lacking the constitutional guardrails common in other democracies – needs to look beyond MMP for other ways to limit the power of its governments.

    Richard Shaw 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. With so many parties ‘ruling out’ working with other parties, is MMP losing its way? – https://theconversation.com/with-so-many-parties-ruling-out-working-with-other-parties-is-mmp-losing-its-way-257974

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: PKK’s decision to disband shows the benefit of engaging in politics rather than an armed struggle

    Source: The Conversation – UK – By Rebecca Lucas, Senior Analyst – Defence Economics and Acquisition, RAND Europe

    The recent decision by the Kurdistan Workers’ Party (PKK) to disarm and disband has important lessons for any country facing a seemingly intractable insurgency. On May 12, the group stated that following its 12th Congress it will “dissolve the PKK’s organizational structure and end the armed struggle method”. The organisation has said that it will now pursue its goals “through democratic politics”.

    The PKK’s decision follows talks between the Turkish government and the group’s leader, Abdullah Ocalan, who has been in Turkish custody since 1998. Regional dynamics, Turkish domestic politics, and personal ambition have all played key roles in bringing the conflict to this point.

    Much uncertainty remains. The PKK and Turkey have embarked on peace processes before, only to return to conflict. But the group’s formal announcement of its intention to disband marks an important step towards ending an insurgency that has lasted over 40 years. If so, it will bring to an end a conflict that has cost all sides involved tens of thousands of lives.

    The possibility of ending this insurgency not only raises questions about this specific conflict, but also what we know more broadly about how insurgencies end.


    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.


    The PKK has a long track record of combining military action with political struggle. As with many other insurgent organisations, the group has worked to gain and maintain public support among ethnic Kurds, despite its use of violence.

    Its strategy has also evolved over the years to adapt to circumstances. It moved away from the its original Marxist beginnings with the end of the cold war and over the years changed its fundamental aim from separatism to increased regional autonomy and local government, through the system of what it calls democratic confederalism. Over the decades the group and its affiliates have also decreased their use of terrorism in Europe and western Turkey.

    This is in keeping with characteristics that researchers have found facilitate the transformation of organisations from armed groups to participants in institutional politics. There are a large number of cases in which insurgencies or terrorist organisations shifted – successfully or unsuccessfully – to either transform into a political party or combine with one.

    There’s no doubt that military pressure has been important in downgrading the PKK as an insurgency. But military victories over the PKK have failed to end the conflict – in fact military oppression against the PKK has often backfired and reinforced public support for the group.

    Many of the factors that have made it possible for the PKK to transform itself have been political, rather than narrowly military. Research by the RAND Corporation thinktank has found that rather than simply aiming to defeat an insurgency, it’s usually more effective to combine military pressure with political reform that aims to remove the reasons for the insurgency.

    Combining armed force with political pressure

    Turkey has taken this mixed approach, something many analysts have attributed to the foreign minister, Hakan Fidan. Ankara has pursued parallel tracks of negotiation and force. This has included improved counter-terrorism and counter-insurgency techniques, investment in drones and other military pressure.

    But Ankara has in parallel cut off financial flows to the organisation, while strengthening economic opportunities for Kurdish citizens – particularly in western Turkey. Many Kurds moved west to escape violence in the traditionally Kurdish regions in Turkey’s southeast: Istanbul is now the city with the largest Kurdish population in Turkey.

    The Turkish government has also strengthened its relationships with other Kurdish groups, primarily the Kurdistan Democratic Party in northern Iraq, to provide both military and political support.

    This case is another example of the importance of blending strictly military tactics with diplomacy, economic policy and strategic communications. The celebrated Prussian military theorist, Carl von Clausewitz said that war is politics by other means – and many insurgencies are fundamentally political in nature. So this requires multiple lines of effort to be pursued in parallel to effectively respond to this – with an emphasis on political solutions rather than just the use of force.

    This has been seen in conflicts with a number of insurgent groups in recent years – including the Revolutionary Armed Forces of Colombia (Farc) or the Bangsamoro Islamic Armed Forces (Biaf) and Moro Islamic Liberation Front in the Philippines. In all of these cases, central governments have engaged in constructive political dialogue, providing amnesty and other incentives for fighters to demobilise while offering broader concessions in order to build a more sustainable peace.

    Successfully bringing insurgencies to and through a negotiated settlement requires long-term investment and effort. The issues that caused the insurgency in the first place do not simply disappear when the document is signed. In the case of the PKK, there are a number of ways in which this recent progress could be reversed. Concerns have been raised about whether the Turkish government will deliver on promised constitutional reforms or prisoner releases. There is also the question of whether PKK fighters will be willing and able to demobilise and reintegrate into society.

    Research has indicated that states with flawed democracies have more difficulty ending insurgencies on favourable terms. Freedom House and similar organisations currently rank Turkey as “Not Free”. The country has been backsliding for years under the presidency of Recep Tayyip Erdoğan.

    Despite these misgivings, the initial success of Turkey’s approach support previous research on how insurgencies end, and how armed groups might turn instead to politics. For the governments of countries facing insurgency, it means taking a comprehensive and multi-sectoral approach to encourage this to happen. Governments may also need to move away from a binary definition of “winning” or “losing” to a more nuanced understanding of how all parties stand to gain from the end of an insurgency.

    Rebecca Lucas 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. PKK’s decision to disband shows the benefit of engaging in politics rather than an armed struggle – https://theconversation.com/pkks-decision-to-disband-shows-the-benefit-of-engaging-in-politics-rather-than-an-armed-struggle-258221

    MIL OSI – Global Reports

  • MIL-OSI: Life Sciences Investor Forum Agenda Announced for June 11th-12th

    Source: GlobeNewswire (MIL-OSI)

    NEW YORK, June 10, 2025 (GLOBE NEWSWIRE) — Virtual Investor Conferences, the leading proprietary investor conference series announced the agenda for the Life Sciences Investor Forum June 11th & 12th. This event is co-hosted by Zacks Small Cap Research.

    Individual investors, institutional investors, advisors, and analysts are invited to attend.

    REGISTER HERE

    It is recommended that investors pre-register and run the online system check to expedite participation and receive event updates. There is no cost to log-in, attend live presentations, or schedule 1×1 meetings with management.

    “The life sciences sector is driving breakthrough innovation, and we’re proud to give these pioneering companies a direct line to investors,” said Jason Paltrowitz, Executive Vice President of Corporate Services at OTC Markets Group. “This Virtual Investor Conference, co-hosted by Zacks Small Cap Research, offers an essential platform for companies to share their vision, showcase scientific progress, and connect with a wider investment community actively seeking the next wave of healthcare and biotech leaders.”

    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: Chinese authorities issue directive to deepen pilot comprehensive reform in Shenzhen

    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 10 (Xinhua) — China will continue to push forward the comprehensive reform pilot in Shenzhen, south China’s Guangdong Province, deepening reform and innovation in the city and expanding its opening up, according to a guideline issued Tuesday.

    The document, jointly released by the General Offices of the Communist Party of China (CPC) Central Committee and the State Council, outlines a new series of reform measures for Shenzhen to overcome institutional barriers in education, science and high-skilled personnel training in a coordinated manner. It calls for strengthening the deep integration of innovation, industry, capital and talent chains, and exploring new paths, scenarios and platforms for cooperation in the Guangdong-Hong Kong-Macao Greater Bay Area. The guideline also calls for pilot projects in areas such as building a modern, international and innovative city.

    As noted in the directive, Shenzhen will deepen reform and expand opening-up from a higher starting point, at a higher level and to achieve higher goals, creating more new practices that can be replicated and disseminated. The city will further enhance its role as an important driving force for the construction of the Guangdong-Hong Kong-Macao Greater Bay Area and a development hub in the national strategy, and contribute to and set a model for the all-round construction of a modern socialist country. –0–

    MIL OSI Russia News

  • MIL-OSI USA: Artificial Intelligence Models Improve Efficiency of Battery Diagnostics

    Source: US National Renewable Energy Laboratory

    NREL-Developed Neural Networks Uncover New Insights Into Battery Health


    NREL’s battery researchers are turning to cutting-edge artificial intelligence models to optimize battery performance for a new generation of energy storage. Photo by Werner Slocum, NREL

    Resilient energy systems depend on reliable batteries. The lithium-ion (Li-ion) batteries powering our world must endure the steady strain of time, charge cycles, and environmental conditions that gradually wear them out through degradation.

    Understanding the health of a battery can help manufacturers, researchers, and consumers alike optimize its lifetime performance. Yet diagnosing a battery’s state of health is no easy feat, as each cell is a complex system of chemical reactions and physical changes that standard evaluation models struggle to capture with speed and precision.

    National Renewable Energy Laboratory (NREL) researchers have developed and demonstrated a groundbreaking physics-informed neural network (PINN) model that can predict battery health nearly 1,000 times faster than traditional models.

    “Li-ion battery lifetime and aging dynamics vary significantly with chemistry, operating conditions, cycling demands, electrode design, and operational history, which makes optimal handling, design, and maintenance difficult,” said Kandler Smith, who leads electrochemical modeling and data science research at NREL. “It’s especially difficult to understand the physical degradation mechanisms of a battery during use without opening it up. We need reliable methods to check in on batteries’ internal state in a nondestructive way.”

    NREL’s PINN replaces the traditional, resource-intensive battery physics model with a powerful artificial intelligence approach that mimics the interconnected neurons of our brains to analyze nonlinear, complex datasets. This deep learning process can enhance battery health diagnostics by quantifying physical degradation mechanisms and pave the way for more efficient, scalable approaches to manage battery aging.

    Traditional Models and Limitations

    NREL researchers have created a vast array of battery lifespan models to diagnose battery health, predict battery degradation, and optimize battery designs. For years, the team has been on the cutting edge of physics-based machine learning techniques to optimize predictive modeling for advanced battery research.

    Two such models, the Single-Particle Model (SPM) and the Pseudo-2D Model (P2D), are widely used and accepted approaches to providing a window into how a battery’s internal health parameters—such as electrode inventory and kinetics, Li-ion inventory, and Li transport paths—evolve over time. However, directly using these models is an intensive process that requires massive amounts of computations and limits their ability to offer rapid diagnostics.

    “Instead of a physics model, we proposed a PINN surrogate model to separate out a battery’s internal properties from its output voltage,” said NREL Computational Science Researcher Malik Hassanaly, who collaborated closely with the battery research team. “This approach drastically reduces the computational time and resources required, allowing researchers to quickly diagnose battery degradation and provide real-time feedback on battery health.”

    The NREL-developed PINN surrogate combines the predictive power of artificial intelligence with the rigor of physics-based modeling. The resulting two-part study published in the Journal of Energy Storage demonstrates how researchers trained and tested the PINN surrogate using conventional SPM and P2D models. This multifaceted approach allowed NREL researchers to train the PINN surrogate on a wide range of internal battery properties. The resulting open-source model offers critical insights into changes that occur during battery aging, helping quickly estimate how long a battery might last in a different setting.

    What makes this development especially revolutionary in battery research is the integration of physics-informed principles into neural networks. Traditional neural networks are data-driven models that excel at pattern recognition but often lack the ability to enforce physical laws, which are crucial for accurately simulating battery behavior. PINNs, however, are designed to understand and follow these physical laws by embedding them directly into the model’s training procedure, enabling it to predict battery parameters with a level of scientific rigor previously achievable only by complex, time-intensive models. With the PINN surrogate, techniques typically constrained by high resource requirements can now be applied on a broad scale, bringing real-time insights into battery health within reach.

    Applications and Next Steps

    The success of NREL’s PINN surrogate offers wide-ranging implications. For battery diagnostics, the PINN surrogate can provide rapid state-of-health predictions, allowing for faster decision-making across battery applications. By drastically lowering the computational barriers to battery diagnostics, the PINN surrogate model paves the way for widespread, scalable, and efficient energy storage management—helping ensure energy is available when and where it is needed.

    “This approach unlocks new capabilities in battery diagnostics, paving the way for onboard diagnostics of batteries in use,” Smith said. “This means that batteries of the future may include systems to extend their useful life by identifying degradation signals and adapting fast-charge limits with age.”

    Currently, researchers are working to transition the PINN surrogate from controlled simulations to real-work data validation, using batteries cycled within NREL’s laboratories. By bridging this gap, researchers hope to deploy PINN-based diagnostics across a wide range of battery systems, enhancing battery performance monitoring and extending lifespans. Future research will focus on refining the PINN model to handle highly dimensional problems, allowing it to predict a broader array of internal battery parameters with increased precision. This means creating models that can both respond to diverse current loads and scale effectively to future battery designs and usage patterns.

    Learn more about NREL’s energy storage and transportation and mobility research. And sign up for NREL’s quarterly transportation and mobility research newsletter to stay current on the latest news.

    MIL OSI USA News

  • MIL-OSI USA: Dr. Cato T. Laurencin Represents U.S. at U.S.-Africa Frontiers of Science, Engineering, and Medicine Symposium

    Source: US State of Connecticut

    More than 100 scientists, engineers, and medical professionals from 16 African countries and the United States discussed advances across a broad range of multi-disciplinary topics, including Biotechnology, New Solutions for Decarbonization, Advances in Space Research, Smart and Connected Cities, and Precision Agriculture. UConn’s Dr. Cato T. Laurencin has served as a distinguished member of the Oversight Committee for the National Academies of Sciences, Engineering, and Medicine since its inception.

    Sponsored by the National Academies of Sciences, Engineering, and Medicine, the U.S.-Africa program brings together outstanding young scientists, engineers, and medical professionals from the U.S. and the member countries of the African Union to discuss exciting advances and opportunities in their fields. The goal of the meetings is to enhance the scientific exchange and dialogue among young researchers in African countries and the U.S., including the African science diaspora, and through this interaction, facilitate research collaboration within and beyond the region.

    Laurencin, an internationally recognized scientist, engineer, and surgeon, is actively involved in Africa through his work with the African Academy of Sciences (AAS) and other African scientific organizations. He has been a fellow of the AAS since 2012. Laurencin also participated in the first U.S.-Africa Frontiers of Science, Engineering, and Medicine symposium, contributing to discussions on research collaboration and scientific exchange between African countries. He also spoke at the 2024 Galien Forum in Dakar, Senegal, on the role of women in STEM in addressing environmental crises in Africa.

    Laurencin is a fellow of the Senegalese Academy of Arts and Sciences, and a fellow of the Benin National Academy of Science and Arts. He received the 2019 UNESCO-Equatorial Guinea International Prize for Research in the Life Sciences at the African Union Heads of State Summit in Addis Ababa, Ethiopia. Laurencin received the 2019 UNESCO-Equatorial Guinea International Prize for Research in the Life Sciences, becoming the first American to earn this prestigious award. The ceremony took place during the Africa Union Heads of States Summit located in Addis Ababa, Ethiopia.

    At UConn Laurencin is the University Professor and Albert and Wilda Van Dusen Distinguished Endowed Professor of Orthopaedic Surgery at UConn School of Medicine, professor of Chemical Engineering, professor of Materials Science and Engineering, and professor of Biomedical Engineering at the University of Connecticut. He is the chief executive officer of The Cato T. Laurencin Institute for Regenerative Engineering, a cross-university institute created and named for him at the University of Connecticut. A shoulder and knee surgeon, he is a pioneer of the field of Regenerative Engineering. In receiving the Spingarn Medal, the NAACP named him the world’s foremost engineer-physician-scientist. He is the first surgeon elected to the National Academy of Medicine, the National Academy of Engineering, the National Academy of Sciences and National Academy of Inventors.

    MIL OSI USA News

  • MIL-OSI Russia: From Student to Pro: A Knight’s Move

    Translation. Region: Russian Federal

    Source: State University Higher School of Economics – State University Higher School of Economics –

    © Maxim Kovalevich

    The HSE hosted the student festival “Career Gambit”, organized byHse Chess Club, which became an unconventional platform for dialogue between students and employers. The opponents not only excitedly built game strategies, but also talked about careers and real employment opportunities. It turned out that playing chess is not just an intellectual competition, but also an opportunity to get to know each other better, discuss professional interests and look at future cooperation from a new angle.

    The festival brought together more than 100 people, most of whom took part in the tournament, where 16 teams from employer companies and the same number of student teams competed.

    Over the course of seven rounds, there were intense battles for the main trophy, which went to the Wildberries team.

    The festival gave an opportunity not only for experienced chess players to compete, but also for those who had never sat down at the board to join the world of chess. For them, Pavel Zaitsev, senior coach of the HSE Chess Club, former member of the HSE and RSUH teams, postgraduate student of the Institute of Philosophy of the Russian Academy of Sciences, held a master class and told many interesting facts about the game and the basic rules.

    Those who did not participate in the tournament but wanted to try their hand at chess had the opportunity to compete in a simultaneous game with Nikita Buts, FIDE chess master, executive director at Sber, Founder

    All festival participants noted that it was an interesting experience that brought together like-minded people from different fields for a common interesting activity and provided students with another opportunity to plan their career trajectory.

    “As an amateur, I am pleased that chess is gaining a presence in the HSE intellectual landscape,” said Vice-Rector Salambek Dombaev, a member of the HSE team. “This time, the guys managed to assemble a very interesting lineup of students, HSE employees, and colleagues from the industry. The tournament was a success. Personally, I lost all the games, but I received a boost and motivation to continue improving my skills in the game. I am sure that I am not alone in my desire. I would like to express my gratitude to our student chess association for the excellent organization of the event and the atmosphere. At the Career Gambit festival, I talked to HSE students and was impressed by their level. It was not just a tournament, but a mix of games and career talks. The students caught insights from professionals and learned about internships and opportunities in companies.”

    “We are always looking for new formats of interaction between employers and students to ensure effective communication,” shared Olga Gaevskaya, Head of Career Development and Alumni Relations Office. — It is not always possible to find out the answers to the questions that concern students at official meetings. Therefore, when the HSE Chess Club suggested holding a chess tournament between companies and HSE students, we thought — this is what we need!”

    The tournament involved 16 HSE partners. These are top-level specialists in their subject areas, and despite the heated competition at the chessboard, the students were able to meet their future potential employers and also play games as if they were solving work problems with their colleagues.

    Pavel Salman, Team Lead Computer Vision in the Wildberries PVZ quality control team, captain of the winning team, said that it was valuable for him to sit down at the board after a long break and meet interesting people. “The organization of the event is perfect, it was a pleasure to play,” he says. “I didn’t expect to see so many teams, it turned out to be really large-scale. I wish you to continue growing further, to develop the chess community (it’s really cool!) We will be happy to take part in future tournaments. For our Wildberries team, this is only the second inter-corporate chess competition, and we are glad that we managed to achieve such success in the conditions of competition with such strong teams! From the first rounds, we managed to pull ahead a little in points, but then it became difficult to hold on. Before the last round, about seven pursuers almost caught up with us. I think this is an obvious indicator that many worthy and equal teams gathered, and, perhaps, we were just a little lucky in the end.”

    Alexey Demyanenko, Director of Products and Tariffs at PJSC Rostelecom, talked to HSE students at the festival and was impressed by their level. “It wasn’t just a tournament, but a mix of games and career talks. Students caught insights from professionals and learned about internships and opportunities in companies. At Rostelecom, we have a large internship program, but unfortunately, many students don’t know about it yet, which means we need to better inform them about our opportunities. The Rostelecom team took second place, and for us it was a great experience and a chance to practice gaming skills and at the same time share information about a career at Rostelecom. Chess is not only about strategy, but also about pumping up the future! And we pumped up a lot at the chess festival at HSE,” he said.

    Alexey Novikov, a representative of T2, was glad to learn that HSE has such a large-scale chess club. “I would like to note the high level of play, and after the tournament there was an opportunity to talk to students about the possibilities of working in the company,” he noted. “It would be great if this format becomes traditional. I wish further development to the chess movement at HSE.”

    Aleksandr Chelekhovsky, a teacher and member of the HSE team, enjoys participating in atmospheric tournaments in the atrium. “I don’t really like online games, but I always try to get to our tournaments,” he says. “I met a lot of student and colleague friends who often go to such tournaments. It’s great that many teams from different companies gathered. It seems to me that HSE is making big steps towards expanding and popularizing chess. I am ready to support these steps and continue to participate in the activities of the chess club.”

    Please note: This information is raw content directly from the source of the information. It is exactly what the source states and does not reflect the position of MIL-OSI or its clients.

    MIL OSI Russia News

  • MIL-OSI United Kingdom: Exploring how an AI lab model could work for policing 

    Source: United Kingdom – Government Statements

    Case study

    Exploring how an AI lab model could work for policing 

    The National Policing Capabilities Unit came to ACE to explore a high-level operating model for how an in-house AI lab could enable greater innovation.

    Artificial intelligence (AI) will play a significant role in shaping the police service of the future, bolstering capabilities by making investigations more sophisticated and efficient as well as freeing up officers’ time. 

    The National Police Chiefs’ Council (NPCC) wants to establish UK policing as a leader in applied responsible AI, but despite a marked increase in experimentation across existing, new or anticipated challenges, these largely remain limited to niche capabilities or individual forces. 

    The Home Office’s National Policing Capabilities Unit (NPCU) came to the Accelerated Capability Environment (ACE) to explore a high-level operating model for how an in-house AI lab could inspire and enable greater innovation by bringing together technical expertise from industry and academia and applying leading research to policing problems and data.  

    Developing and delivering an AI lab

    ACE undertook a discovery exercise with six suppliers, exploring how an AI lab could provide police forces and their partners with the environment, support and expertise needed to develop, de-risk and rapidly adopt trustworthy AI technologies.

    This research needed to answer key questions including how such an AI lab could be developed and delivered, how this would engage with forces, what value it would provide and how it would work with existing technology-focused areas of policing. 

    As part of the discovery work, two stakeholder workshops were convened, covering areas such as system of interest mapping, technology assessment and capability baselining, and the value case and delivery model. 

    Challenges and considerations in core areas such as skills and talent, data access and governance, and funding and facilities (virtual vs physical vs hybrid) were also examined. The research also investigated how existing work in areas including data science, analytics and synthetic data could accelerate development of an AI lab as well as complement its work. 

    Ultimately, three AI lab design and operating model options were developed and presented in a final report, badged as bronze, silver and gold, along with a high level, three-year roadmap and costs for taking a lab from concept to working capability.  

    Bronze was a continuation of existing investment levels and efforts and was ultimately discounted because it would not deliver a national AI lab. The silver option – which meets all policing requirements over the next one to three years – was deemed feasible but it was the gold option, which would produce a world-leading AI lab with a future-proof design within 18 months, that was ultimately recommended.  

    ACE itself was also used as a model of how an effective AI lab could operate. 

    Updates to this page

    Published 10 June 2025

    MIL OSI United Kingdom

  • MIL-OSI United Kingdom: Art Gallery unveils nation’s favourite railway artwork

    Source: Scotland – City of Aberdeen

    Train Landscape by artist Eric Ravilious has been named as the world’s best-loved railway artwork in the UK, following a global poll organised by Railway 200 and Art UK to mark the 200th anniversary of the modern railway. The watercolour is in the collection of Aberdeen Archives, Gallery & Museums and has gone on display in Gallery 7 at Aberdeen Art Gallery.

    Painted in 1940, it shows the chalk white horse of Westbury, Wiltshire, viewed through the window of a third-class train carriage. Tirzah Garwood, the wife of Eric Ravilious, made the collage using elements from different watercolours Ravilious painted whilst travelling on trains.

    Ella Ravilious, granddaughter of Eric Ravilious, said: “I’m thrilled that Train Landscape has been voted best-loved railway artwork, as it captures travel through the British landscape in a third-class carriage in the late 1930s. This painting by my grandfather, Eric Ravilious, was created with the assistance of my grandmother, Tirzah Garwood. Eric rode back and forth on the train, making several watercolours, none of which he was totally happy with. Tirzah collaged the best bits of each painting together to create a successful picture. Train lovers might notice that the chalk figure visible from the train window should be the Long Man of Wilmington rather than the Westbury Horse because it was painted on the Brighton to Eastbourne line.”

    Railway 200 explores how a British invention changed the world forever and how the railway continues to shape our lives and livelihoods, presenting a constant source of inspiration to artists. The bicentenary commemorates the opening of the Stockton and Darlington Railway (S&DR) in 1825 when George Stephenson drove Locomotion No.1 26 miles between Shildon, Darlington and Stockton. Alan Hyde from Railway 200 said: “Like the amazing artworks, this competition has captured the imagination of people around the world, highlighting an enduring connection between art and the railway. We hope that art lovers, rail enthusiasts and others will enjoy the Railway 200 exhibition on the Art UK website, and travel by train to enjoy these wonderful railway-inspired paintings at first hand during rail’s bicentenary.”

    Andrew Ellis, Chief Executive of Art UK, said: “Art UK is delighted to have partnered with Railway 200 to connect the public to a truly wonderful selection of railway-inspired artworks held in collections across the UK. This masterful evocation of a sighting of the Westbury White Horse from a railway carriage by Eric Ravilious is an extremely worthy winner that also throws a spotlight on the rich art collection of Aberdeen Archives, Gallery & Museums. We are thrilled that the work will now be on display and we encourage everyone to make the train journey to Scotland and see it.”

    Councillor Martin Greig, Aberdeen City Council’s culture spokesman, said: “It’s a tremendous source of pride for all of us here in Aberdeen that the public vote has recognised Train Landscape in this way – to steam into first place ahead of a painting JMW Turner is really quite something. On a personal level, this painting has been a favourite of mine since childhood. It’s just one of the many outstanding treasures visitors to Aberdeen Art Gallery can enjoy free of charge, seven days a week. Art UK does a wonderful job of sharing the country’s public collections online, and we hope that this news will encourage people to travel to Aberdeen to experience Train Landscape in real life, along with all the other outstanding works on display at Aberdeen Art Gallery – just a short walk from the train station!”

    Art lovers and rail enthusiasts can now enjoy a curated exhibition of the 20 most popular paintings on the Art UK website at artuk.org until 31 December 2025.
     

    The final order of the top 20 best-loved UK railway artworks:
     

    1. Train Landscape, 1940, by Eric Ravilious (1903–1942), Aberdeen Art Gallery & Museums
    2. Rain, Steam, and Speed – The Great Western Railway, 1844, by Joseph Mallord William Turner (1775–1851), The National Gallery, London
    3. Service by Night, 1955, by David Shepherd (1931–2017), National Railway Museum
    4. The Travelling Companions, 1862, by Augustus Leopold Egg (1816–1863), Birmingham Museums Trust
    5. Clapham Junction, 1961, by Terence Tenison Cuneo (1907–1996), National Railway Museum
    6. By Rail to Wales, by Frank Wootton (1911–1998), National Railway Museum
    7. The ‘Coronation Scot’ Ascending Shap Fell, Cumbria, 1937, by Norman Wilkinson (1878–1971), National Railway Museum
    8. Talyllyn Railway on the Dolgoch Viaduct, 1967, by Terence Tenison Cuneo (1907–1996), Russell-Cotes Art Gallery & Museum
    9. View from a Railway Carriage; Beginning of the Carriage, by Anna Todd (b.1964), Cardiff and Vale University Health Board
    10. Blue Train at Bowling Harbour, 1965, by Terence Tenison Cuneo (1907–1996), Glasgow Life Museums
    11. Waterloo Station, 1967, by Terence Tenison Cuneo (1907–1996), Science Museum
    12. Mallard, 1980s, by Ann Emily Carr (b.1929), Hopetown Darlington
    13. A Diesel Train on the Shore of Bassenthwaite Lake, near Keswick, Cumberland, by Barber (active c.1950–1961), National Railway Museum
    14. The Opening of the Stockton and Darlington Railway, 1825, 1949, by Terence Tenison Cuneo (1907–1996), National Railway Museum
    15. The Erecting Shop of the North British Locomotive Company’s Hyde Park Works, Glasgow, 1924, by Ralph Gordon Tetley (1910–1985), National Railway Museum
    16. Train Crossing Monsal Dale Viaduct, by Norman Wilkinson (1878–1971), National Railway Museum
    17. The Day Begins, 1946, by Terence Tenison Cuneo (1907–1996), National Railway Museum
    18. The Railway Station, 1862, William Powell Frith (1819–1909), Royal Holloway, University of London
    19. Euston Station: Loading the Travelling Post Office, 1948, by Grace Lydia Golden (1904–1993), The Postal Museum
    20. ‘Crimson Rambler’, 1992, by Philip D. Hawkins (b.1947), The Postal Museum

    Image credit: Michal Wachucik / Abermedia LTD / Art UK 

    MIL OSI United Kingdom

  • MIL-OSI United Kingdom: The risks to consider before going under the knife

    Source: Anglia Ruskin University

    By James D. Frame, Anglia Ruskin University

    A series of ads for Brazilian butt lifts (BBL) on social media platforms like Instagram and Facebook were recently banned by the UK’s Advertising Standards Authority (ASA). These ads were found to be misleading and irresponsible, often downplaying serious health risks and pressuring consumers with time-limited offers.

    This move highlights growing concerns over how cosmetic surgery is marketed online and the safety of BBL procedures. But BBLs are not the only cosmetic surgeries under scrutiny.

    Liposuction has a high rate of post-operative complications, and even non-surgical procedures like lip fillers and liquid BBLs have raised health concerns among experts.

    According to recent data from the British Association of Aesthetic Plastic Surgeons (BAAPS), there were 27,462 cosmetic procedures performed in 2024 – a 5% rise from 2023. More than nine out of ten (93.5%) of these procedures were performed on women.

    Body contouring – including liposuction, abdominoplasty and thigh lifts – are the most popular surgeries, while facial rejuvenation procedures, particularly face and neck lifts, brow lifts and eyelid surgery have all increased in popularity since 2023.

    Risk factors

    Many of these popular procedures are also among the riskiest. Body contouring surgeries like liposuction, tummy tucks and fat grafting, for example, are major operations that typically take hours and involve general anesthesia.

    And the aesthetic outcomes are not always as expected either. Fat removal can sometimes lead to uneven body contours, lumps, or skin irregularities, which may worsen as the body continues to age.

    All surgeries carry risks, but complications from cosmetic procedures are often downplayed or misunderstood. These risks can manifest immediately after surgery or even weeks later, ranging from minor issues like infection and scarring to life-threatening conditions such as blood clots or organ failure.

    One of the most dangerous risks is pulmonary embolism, which occurs when a blood clot travels to the lungs. In the US, around 18,000 cases of venous thromboembolism (VTE) occur annually among plastic surgery patients, with about 10% resulting in death within just one hour of symptoms appearing.

    This already serious threat has become even more pressing in the post-COVID era, as VTE cases are rising. COVID is known to increase the body’s tendency to form blood clots – even in those with mild or no symptoms.

    These lingering effects can persist for weeks or months and, when combined with the usual surgical risks like immobility, tissue trauma and inflammation, they significantly increase the likelihood of a life-threatening event like a pulmonary embolism. As a result, people undergoing plastic surgery today may face a higher baseline risk than before the pandemic.

    Fat embolism is another potentially deadly complication, often associated with procedures like liposuction or BBLs. This occurs when fat particles enter the bloodstream and travel to vital organs, leading to serious medical emergencies.

    After surgery, some patients may wake up disoriented, confused, or with lingering neurological symptoms – signs of a serious medical emergency. Fat embolism can have immediate, life-threatening effects and, in severe cases, can cause permanent brain damage, organ failure, or sudden death.

    Procedures like rhinoplasty (nose reshaping) or breast augmentation can come with relatively high rates of dissatisfaction. Implants, in particular, can cause issues like rupture, deflation, capsular contracture (hardening around the implant), or asymmetry. There is also some concern about a rare form of cancer – breast implant-associated anaplastic large cell lymphoma (BIA-ALCL) – linked to certain types of implants.

    Even if surgery doesn’t result in major complications, many patients still walk away unhappy. A common issue is that procedures don’t account for how the body continues to age. A facelift or tummy tuck might look great initially, but the natural ageing process can quickly undo or distort those results.

    The problem is that many cosmetic procedures fail to account for the inevitable changes our bodies undergo with age. Our bodies change over time – skin loses elasticity, fat distribution shifts and trends evolve. What feels like a good decision in your 20s might look very different in your 40s.

    Non-surgical treatments

    One of the most troubling issues in the cosmetic industry is the lack of consistent regulation. This is particularly true for non-surgical treatments, where injectable products can be administered by anyone, from trained doctors to self-taught beauty influencers. Cosmetic tourism adds another layer of complexity. Many people travel abroad for cheaper procedures, only to face complications once they return home – with limited recourse or support.

    Non-surgical treatments like dermal fillers and Botox have become increasingly popular due to their quick results and minimal downtime. However, they are not without risk.

    Modern fillers like hyaluronic acid are generally safer than older materials such as silicone. They’re less likely to cause issues like granulomas – as long as they don’t become infected – and they can even be reversed if needed. However, when injected incorrectly, especially into a blood vessel, fillers can cause serious complications like tissue death, permanent scarring, or even blindness.

    Botox injections also carry risks, including muscle paralysis, nerve damage, and uneven facial results – particularly when performed by unqualified practitioners.

    Before undergoing any cosmetic procedure – whether surgical or non-surgical – it’s essential to research a qualified practitioner, understand the risks and set realistic expectations.

    Cosmetic surgery can be empowering for many people, helping them feel more confident in their own skin. But the decision to alter your appearance permanently should never be taken lightly. Behind the glamour and glossy Instagram stories lies a more serious picture – one where the risks are real and the consequences, sometimes irreversible.

    James D. Frame, Professor of Aesthetic Plastic Surgery, 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 Global: Why more youth are landing in the ER with vomiting from cannabis use

    Source: The Conversation – Canada – By Jamie Seabrook, Professor, Department of Epidemiology and Biostatistics; Professor, Department of Paediatrics; Professor, Brescia School of Food and Nutritional Sciences, Western University

    As cannabis use among youth rises in Canada — and THC potency reaches record highs — emergency departments are seeing a surge in cases of a once-rare condition: cannabis hyperemesis syndrome (CHS).

    Characterized by relentless vomiting, abdominal pain and temporary relief through compulsive hot showers or baths, CHS is increasingly affecting adolescents and young adults. Yet few people — including many clinicians — know it exists.

    As public health and substance use researchers, and authors of a recent review on CHS in youth, we are struck by how misunderstood and misdiagnosed this condition remains.

    A silent side-effect of heavy cannabis use

    Canada ranks among the highest globally for youth cannabis use, with 43 per cent of 16-19-year-olds reporting use in the past year. Usage peaks among those 20–24 years, with nearly half (48 per cent) reporting past-year use.

    This rise in regular, heavy use coincides with a 400 per cent increase in THC potency since the 1980s. Strains with THC levels above 25 per cent are now common. As cannabis becomes more potent and accessible, clinicians are seeing more cases of CHS, a condition virtually unheard of before 2004.

    What is CHS?

    CHS unfolds in three phases:

    1. Prodromal phase: Nausea and early morning discomfort begin. Users increase cannabis consumption, thinking it will relieve symptoms.

    2. Hyperemetic phase: Intense vomiting, dehydration and abdominal pain follow. Hot showers or baths provide temporary relief — a hallmark of CHS.

    3. Recovery phase: Symptoms resolve after stopping cannabis entirely.

    Diagnosis is often delayed. One reason is because CHS mimics conditions like gastroenteritis or eating disorders, leading to costly CT scans, MRIs and gastric emptying tests. One telltale sign — compulsive hot bathing — is frequently overlooked, despite its strong diagnostic value.

    Nausea and early morning discomfort begin in the early stages of CHS.
    (Shutterstock)

    Why CHS is dangerous for youth

    Youth face unique risks. The brain continues to develop until about age 25, and THC exposure during this critical window can impair cognitive functions like memory, learning and emotional regulation. Heavy cannabis use is associated with heightened risks of anxiety, depression, psychosis and self-harm.

    Some youth use cannabis to self-medicate for mental health concerns and increase their use when symptoms of CHS appear, mistakenly believing cannabis will help. Others are reluctant to disclose their use due to stigma, fear of judgment or legal consequences.

    In our recent review, we found that CHS is frequently misdiagnosed as bulimia nervosa because of the vomiting and unintended weight loss. But unlike bulimia, CHS-related vomiting is involuntary and not motivated by body image concerns. A clue is that those with CHS often return to normal eating and bathing patterns during symptom-free periods, which is not typical for an eating disorder.

    Compulsive hot bathing is a telltale sign of CHS.
    (Shutterstock)

    A burden on the health system and individual

    CHS doesn’t just take a toll on youth — it strains the health-care system. Emergency department visits for CHS have spiked in recent years, with a study in Ontario showing a significant rise after cannabis commercialization following legalization in 2018. Repeated ER visits, missed school or work and emotional distress compound the burden. In rare cases, CHS can lead to kidney failure due to severe dehydration and electrolyte imbalance.

    Unfortunately, anti-nausea medications like ondansetron often fail. Studies have shown temporary relief from topical capsaicin or low-dose haloperidol, but no acute treatment consistently works unless cannabis use stops.

    What can be done?

    The most effective long-term solution to treating CHS is cannabis cessation. For youth who use cannabis to cope with anxiety, quitting can lead to withdrawal symptoms and distress. This makes harm reduction strategies critical: gradual reduction plans, mental health supports and non-judgmental conversations between providers and patients.

    Clinicians should systematically screen youth presenting with cyclic vomiting for cannabis use and hot bathing behaviour. Youth are more likely to disclose cannabis use when asked in an empathetic, stigma-free way.

    Public health campaigns can play a major role. We need honest, accessible education — in schools, clinics and online — that explains what CHS is, how to recognize it and how to seek help. In our view, the addition of CHS content to youth health curriculums, pediatric training programs and cannabis use screening tools is overdue.

    A preventable crisis

    CHS is a preventable but growing consequence of chronic cannabis use in young people. As legalization continues to reshape social norms and access, it is essential to ensure that youth — and those who care for them — are informed about the full spectrum of cannabis-related health risks.

    This story was co-authored by Morgan Seabrook, an undergraduate research assistant at the Human Environments Analysis Laboratory at Western University.

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

    ref. Why more youth are landing in the ER with vomiting from cannabis use – https://theconversation.com/why-more-youth-are-landing-in-the-er-with-vomiting-from-cannabis-use-258375

    MIL OSI – Global Reports

  • MIL-OSI Global: Chatbots can help clinicians become better communicators, and this could boost vaccine uptake

    Source: The Conversation – Canada – By Jaigris Hodson, Associate Professor of Interdisciplinary Studies, Royal Roads University

    Strengthening doctors’ communications skills is a public health benefit. (Shutterstock)

    Measles is back. In recent months, outbreaks have re-emerged across North America including 2,968 cases in Canada as of May 31, 2025. At the heart of many of these surges lies missed childhood vaccinations — not just because of access barriers, but also due to conversations that didn’t happen.

    Many clinicians want to support their patients in making protective health decisions, but these are not simple conversations. Trust is essential, and clinicians need to accept that these may be complex discussions and learn how to build trust when medical misinformation and misunderstandings are in play.

    These conversations are important, but clinicians’ and patients’ time together is often limited, and it’s hard to demonstrate trustworthiness and build trust. That’s where we believe — and evidence suggests — artificial intelligence (AI) can help.

    A surprising use for AI

    AI is already being used to support diagnostic decisions and streamline administrative tasks in health care. But it also offers promise as a training tool for the human side of care.

    We’re part of a team researching how chatbots can be developed to help clinicians practise difficult conversations about vaccines. These tools have the potential to provide low-cost, emotionally engaging and psychologically safe simulations for health professionals like doctors, nurse practitioners and pharmacists.

    These kinds of tools are especially valuable in rural and remote areas, where access to in-person workshops or continuing education may be limited. Even for busy clinicians in well-resourced areas, chatbots can offer a flexible way to hone communication skills and to learn about circulating concerns.

    Improving communication

    Research consistently shows that clinicians can increase vaccine uptake by using better communication strategies. Even brief interventions — such as training in motivational interviewing — have measurable impacts on patient trust and behaviour.

    Chatbots provide an opportunity to deliver this kind of training at scale. In recent work, computational social scientist David Rand and colleagues have demonstrated how AI-based agents can be trained to engage in social conversations and generate responses that effectively persuade.

    These principles can be applied to the clinician–patient setting, allowing professionals to test and refine different ways of engaging with vaccine hesitancy before stepping into real-world conversations.

    In research conducted in Hungary, clinicians reported feeling more confident and prepared after interacting with simulated patients. The opportunity to rehearse responses, receive feedback and explore multiple conversational pathways helped clinicians understand what to say — and how and when to say it.

    Simulating conversations between clinicians and patients can help clinicians prepare for actual encounters.
    (Shutterstock)

    Practising communication

    We believe chatbots can be used to train clinicians in a type of presumptive language known as the AIMS method (announce, inquire, mirror and secure trust). Similar approaches, drawing on motivational interviewing, have been tested in Québec, where it has demonstrated success in helping clinicians increase vaccine confidence and uptake among new parents.

    This kind of intervention will simulate conversations with patients with vaccine questions, allowing physicians to practice AIMS techniques in a low-stakes environment. For example, the chatbot could play the role of a parent, and the physician would begin by announcing that it is time for the parents to vaccinate their children.

    Then, if the “parent” (the chatbot) expresses vaccine hesitancy, the physician would inquire about what is driving the hesitancy. Importantly, when the “parent” responds to the questions, the AIMS approach teaches the physician not to respond directly to the concerns, but instead first mirror the response to show the parent that they are being heard and understood.

    Finally, and sometimes after multiple rounds of inquiry and mirroring, the physician can move on to securing the parent’s trust.

    Becoming adept at methods of conversational approaches like AIMS takes practice. That’s what a chatbot can offer: repeated, flexible, low-risk rehearsal. Think of it like a flight simulator for conversations.

    Staying ahead of misinformation

    The landscape of misinformation is constantly shifting. New conspiracy theories, viral videos and misleading anecdotes can gain traction in days. Clinicians shouldn’t have to confront these narratives for the first time during a brief patient visit.

    By having the AI model underlying the chatbot constantly trawling the web for the latest misleading claims and updating chatbot scenarios regularly, we can help clinicians recognize and respond to the kinds of misinformation circulating now. This is especially important when trust in institutions is wavering and personalized, empathetic responses are most needed.

    Conversations build trust

    While we propose chatbots can be used to teach doctors how to address vaccine skepticism, motivational interviewing has already been employed via AI-based chatbots to address smoking cessation, with some promising results.

    A similar approach has also been used to encourage the uptake of stress-reduction behaviours. Though the use of chatbots in education is a growing area of inquiry, the specific use of chatbots to train physicians in motivational interviewing approaches is a new field of study.

    Using this approach as part of (continuing) clinical education could help better prepare the frontlines to serve as a successful bulwark against vaccine concerns not rooted in science.

    In the face of falling vaccination rates and rising distrust, clinicians are on the front lines of public health. We owe them better tools to prepare and build trust.

    Trust isn’t built in a moment. It’s built in conversation. And those can be practised.

    Jaigris Hodson is on the advisory board of the Clarity Foundation. She receives funding from the Social Sciences and Humanities Research Council of Canada.

    Heather Lanthorn is a senior advisor to the Clairity Foundation.

    David Rand has received funding from Google, Meta, and the Gates Foundation.

    Heather Lanthorn is the Senior Advisor to the Clarity Foundation.

    ref. Chatbots can help clinicians become better communicators, and this could boost vaccine uptake – https://theconversation.com/chatbots-can-help-clinicians-become-better-communicators-and-this-could-boost-vaccine-uptake-255045

    MIL OSI – Global Reports