Category: Science

  • MIL-OSI Asia-Pac: World Malaria Day – 2025

    Source: Government of India

    World Malaria Day – 2025

    Towards a Malaria-Free India

    Posted On: 25 APR 2025 5:29PM by PIB Delhi

    “Malaria has been a big challenge confronting humanity for four thousand years. Even at the time of Independence, it was one of our biggest health challenges. Today, I can say with satisfaction that the countrymen have collectively, strongly fought this challenge.”

     

    • Prime Minister, Shri Narendra Modi

    Summary

    • World Malaria Day is observed globally every year on 25th April.
    • With an 80.5% decline in Malaria cases, between 2025-2023, India exited WHO’s High Burden to High Impact (HBHI) group in 2024, marking a global milestone.
    • Malaria deaths declined by 78.38% between 2015 and 2023.
    • 122 districts reported zero malaria cases in 2023, showing strong localized impact.
    • Intensified Malaria Elimination Project (IMEP) -3 targets 159 high-burden districts to accelerate malaria elimination in vulnerable areas.
    • The nationwide “Test, Treat, Track” strategy ensures early detection and timely treatment.
    • India aims to achieve zero indigenous malaria cases by 2027 and full elimination by 2030.

     

    World Malaria Day is observed globally on 25th April each year, following its institution by the World Health Organisation’s (WHO) member states during the 2007 World Health Assembly. The theme for 2025, “Malaria Ends With Us: Reinvest, Reimagine, Reignite,” calls for renewed global commitment to end malaria through innovation, collaboration, and sustained action.  

    Once among the world’s highest malaria-burdened countries, India has demonstrated remarkable progress through sustained political will, grassroots participation, and targeted interventions. A defining milestone came in 2024, when India exited the WHO’s High Burden to High Impact (HBHI) group—

    signalling a paradigm shift in the country’s malaria trajectory.  Backed by the National Framework for Malaria Elimination (2016–2030) and the National Strategic Plan (2023–2027), India has aligned its strategy with global standards while tailoring solutions to local needs.

    With an 80.5% reduction in malaria cases and 78.3% reduction in deaths between 2015 and 2023, and over 122 districts reporting zero cases last year, the country is advancing with renewed momentum towards achieving zero indigenous cases by 2027 and setting a global benchmark in public health elimination efforts. India reaffirms its steadfast commitment to eliminating malaria by 2030.

    Overview of Malaria

     

    What is Malaria? How does it occur?

    Malaria is a life-threatening disease caused by parasites and spread to humans through the bites of infected female Anopheles mosquitoes. It is common in tropical regions, but is preventable and treatable. Malaria does not spread from person to person, though it can also be transmitted through infected blood or contaminated needles. If left untreated, especially in cases of Plasmodium falciparum infection, it can lead to severe illness or even death within 24 hours.

     

    What are its symptoms?

    The most common early symptoms of malaria include fever, headache, and chills, usually appearing 10–15 days after being bitten by an infected mosquito. Symptoms may be mild, especially in people who’ve had malaria before, making early testing essential for timely treatment. Severe symptoms can include extreme fatigue, confusion, repeated seizures, breathing difficulties, dark or bloody urine, jaundice, and abnormal bleeding. Some types of malaria can cause severe illness and death.

     

    How can it be prevented?

    Malaria can be prevented by avoiding mosquito bites and, in some cases, by taking preventive medicines. If you’re travelling to areas where malaria is common, consult a doctor about taking preventive drugs (chemoprophylaxis) in advance. To lower the risk of mosquito bites, use mosquito nets while sleeping, especially in areas where malaria is present. Apply mosquito repellents that contain DEET, IR3535, or Icaridin after dusk. You can also use coils, vaporizers, and window screens to keep mosquitoes away. Wearing long-sleeved clothing in the evenings helps protect exposed skin.

     

    How can it be treated?

    Early diagnosis and treatment are key to curing malaria and stopping its spread. Anyone with symptoms should get tested using microscopy or a rapid diagnostic test. Malaria is a serious illness that always requires treatment with medicine. The type of medicine used depends on the type of malaria parasite, the person’s age, weight, whether they are pregnant, and if the parasite is resistant to certain drugs. The most effective treatment for Plasmodium falciparum is Artemisinin-based combination therapy (ACTs). Chloroquine is used to treat Plasmodium vivax in areas where it is still effective. Primaquine is added to prevent relapses in P. vivax and P. ovale cases. Most treatments are given in pill form, but people with severe malaria may need to be treated with injectable medicines at a hospital or health centre.

     

    Global Burden of Malaria

    According to the World Malaria Report, the estimated number of malaria deaths stood at 5 lakhs 97 thousand in 2023, compared to 6 lakhs in 2022.

    In 2023, the 11 HBHI countries were responsible for 66% of global malaria cases and 68% of deaths.

    India’s Commitment and National Goals

     

    India remains steadfast in its commitment to eliminate malaria by 2030, with the intermediate target of zero indigenous cases by 2027. The strategic roadmap for this mission is guided by:

     

    • The National Framework for Malaria Elimination in India (2016–2030) outlines the vision, goals, and targets for phased malaria elimination.
    • The recently launched National Strategic Plan for Malaria Elimination (2023–2027) builds upon earlier frameworks and aligns with the WHO Global Technical Strategy for Malaria 2016–2030.

    Key Interventions and Strategic Approach by the Government for Malaria Control

     

    To translate its malaria elimination vision into actionable outcomes, India has adopted a comprehensive, evidence-driven strategy. This approach integrates disease management, vector control, and community-driven interventions to ensure lasting impact and inclusive health coverage.

    Strategies for elimination of Malaria:

     

    • Malaria surveillance as a core intervention for malaria elimination.
    • Ensuring universal access to malaria diagnosis and treatment by enhancing and optimizing case management -“testing, treating and tracking”.
    • Ensuring universal access to malaria prevention by enhancing and optimizing vector control
    • Accelerating efforts towards elimination and attainment of malaria –free status.
    • Promoting research and supporting the generation of strategic information for malaria elimination and prevention of re-establishment of malaria transmission.

    Other Supportive Interventions

    • Behaviour Change Communication (BCC) for community mobilization. This includes mass media campaigns, community engagement, and leveraging local influencers.
    • Inter-sectoral convergence involving various ministries and stakeholders to address the socio-economic and environmental determinants of malaria.
    • Capacity building: Over 850 health professionals trained in 2024 and conducting studies on insecticide resistance and therapeutic efficacy.
    • The National Framework for Malaria Elimination (NFME) 2016–2030 categorizes regions by malaria prevalence, with Category 3 – Intensified Control Phase targeting high-burden areas. This phase focuses on aggressive disease control, district-level planning, and specific strategies for P. vivax, supported by robust systems and resources to move towards elimination.
    • Intensified Malaria Elimination Project-3 (IMEP-3) targets 159 high-burden districts across 12 states, focusing on malaria-prone and vulnerable populations to accelerate elimination efforts.
    • Funding supports key interventions such as LLIN distribution, entomological surveillance, and data-driven monitoring systems to ensure sustained impact.
    • Integration of malaria services under Ayushman Bharat and delivery through Ayushman Arogya Mandirs and Community Health Officers.

    Prime Minister Shri Narendra Modi had lauded the community-led malaria control as a key driver in the 117th edition of the Mann Ki Baat programme on 29th December, 2024. These examples highlight the power of grassroots action in achieving a malaria-free India.

     

    Conclusion

    On World Malaria Day, India stands at a defining moment in its public health journey, transforming from a high-burden nation to a global exemplar in malaria control. This progress has been made possible through science-led strategies, resilient health systems, and the power of people’s participation. As the nation advances towards eliminating indigenous malaria by 2027 and achieving full eradication by 2030, the call to action is clear: we must reinvest in innovation, reimagine community partnerships, and reignite collective resolve. Under the banner of “Malaria Ends With Us” every effort counts—because a malaria-free India is not just a goal, but a shared responsibility.

    References

    Click here to see PDF.

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  • MIL-OSI Asia-Pac: Eight more trial projects on hydrogen fuel technology given agreement-in-principle by Inter-departmental Working Group on Using Hydrogen as Fuel

    Source: Hong Kong Government special administrative region

    A spokesman for the Environment and Ecology Bureau (EEB) said that the Inter-departmental Working Group on Using Hydrogen as Fuel (Working Group) led by the EEB has given agreement-in-principle to eight more applications of trial projects on hydrogen fuel technology at its meeting today (April 25).  
     
    The relevant projects involve:

    (a) an application jointly submitted by International New Energy Industry Alliance Limited, Wing Tat Cargo & Trading (HK) Limited, H2 Powertrains Limited and Ontime International Logistics (HK) Co Limited, to try out 10 hydrogen fuel cell (HFC) goods vehicles for cross-boundary transport; 
    To date, the Working Group has given agreement-in-principle in stages to a total of 26 applications of hydrogen energy trial projects. Among them, the three HFC street washing vehicles from the Food and Environmental Hygiene Department have passed the examination with the Certificate of Roadworthiness issued, and Sinopec (Hong Kong) Limited has completed all commissioning and testing for the public hydrogen filling station at Au Tau, Yuen Long. The operational trials are expected to be launched in the first half of this year.
     
    The Working Group will continue to make reference to the operational data and experience collected from all local trials, in order to provide advice for the continuous enhancement of the safety and technical guidelines on the local application of hydrogen energy.
     
    The spokesman said, “The Government announced the Strategy of Hydrogen Development in Hong Kong (the Strategy) in June last year, establishing an action timeline across five key areas: regulatory framework, standards formulation, supporting infrastructure, regional co-operation, and capacity building. At the meeting, the EEB and the Electrical and Mechanical Services Department (EMSD) briefed the Working Group on the latest implementation progress of the Strategy, including introducing the Gas Safety (Amendment) Bill 2025 to the Legislative Council to incorporate safety regulations for hydrogen fuel, taking forward the consultancy study on establishing a green and low-carbon hydrogen certification standard, setting up safety training courses for hydrogen technology professionals, stepping up publicity and education work and promote local, regional, and international collaboration on hydrogen energy development, including organising science popularisation activities and seminars (such as the International Hydrogen Development Symposium 2025 held this year). The Working Group will continue to regularly review the progress of the Strategy and provide recommendations to facilitate the implementation of its various measures.”
     
    The spokesman supplemented, “To promote the green transformation of transport, the Chief Executive’s 2024 Policy Address announced the earmarking of funding under the New Energy Transport Fund to launch a new Subsidy Scheme for Trials of HFC Heavy Vehicles. The EEB has announced the acceptance of applications in December last year.”
     
    The spokesman further supplemented, “The Government is also committed to promoting hydrogen development through regional collaboration. The working plan of the Pearl River Delta Air Quality Management and Monitoring Special Panel under the Hong Kong-Guangdong Joint Working Group on Environmental Protection and Combating Climate Change covers demonstration projects of cross-boundary delivery vehicles transiting into HFC vehicles. Moreover, the liaisons between the EMSD and the State Administration for Market Regulation as well as the General Administration of Customs of the People’s Republic of China on the technical level, and the EEB’s exchanges with the Mainland authorities regarding exchanges involving hydrogen development in the Guangdong-Hong Kong-Macao Greater Bay Area, have all been making good progress.”
     
    The Working Group is formed by the EEB, the Transport and Logistics Bureau, the Development Bureau, the Security Bureau, the Environmental Protection Department, the EMSD, the Fire Services Department, the Transport Department, the Marine Department, the Planning Department, the Lands Department, the Buildings Department, the Architectural Services Department and the Labour Department.   

    MIL OSI Asia Pacific News

  • MIL-OSI Asia-Pac: Earth Sciences Minister Dr. Jitendra Singh chairs a high-level meeting of India Meteorological Department (IMD) and key ministries to review India’s weather and disaster preparedness

    Source: Government of India

    Earth Sciences Minister Dr. Jitendra Singh chairs a high-level meeting of India Meteorological Department (IMD) and key ministries to review India’s weather and disaster preparedness

    Also rolls out future roadmap for accurate forecasts

    For Delhi, which has 18 Automatic Weather Stations (AWS) in operation, the Minister directs officials to expedite the installation of 50 additional systems, with a long-term goal of scaling up to 100 AWS, this move aims to bring Delhi’s weather forecasting infrastructure on par with global standards

    Minister briefed about the progress of “Mission Mausam” initiative launched by PM Modi, which aims to revolutionize India’s weather monitoring infrastructure

    India to Have 126 Doppler Radars by 2026 as Govt Ramps Up Weather Monitoring

    Posted On: 25 APR 2025 6:52PM by PIB Delhi

     In a decisive move to strengthen India’s meteorological capabilities, Union Minister of State (Independent Charge) for Science and Technology; Earth Sciences and Minister of State for PMO, Department of Atomic Energy, Department of Space, Personnel, Public Grievances and Pensions, Dr. Jitendra Singh on Thursday chaired a high-level meeting of India Meteorological Department (IMD) and key ministries to review India’s weather and disaster preparedness, and also rolled out roadmap for accurate forecast.

    The Minister called for expediting expansion of Doppler Weather Radar (DWR) coverage and modernization of meteorological systems across the country.

    At present, Delhi has 18 Automatic Weather Stations (AWS) in operation. During the review, the Minister directed officials to expedite the installation of 50 additional systems, with a long-term goal of scaling up to 100 AWS. This move aims to bring Delhi’s weather forecasting infrastructure on par with global standards. These automated systems are designed to deliver highly specific, accurate, and timely forecasts, significantly enhancing the city’s capacity to monitor and respond to changing weather conditions.

    Amidst the growing frequency of extreme weather events, Dr. Jitendra Singh emphasized the urgent need for real-time, impact-based forecasting that can help minimize damage and save lives. “No weather hazard should go undetected or unpredicted,” the Minister asserted, underscoring the government’s resolve to build a resilient early warning system that reaches every corner of the country.

    A key highlight of the review was the ambitious expansion of the Doppler Weather Radar network, which is set to rise from the current 37 operational radars to 73 by 2025-26, and further to 126 by 2026. The new installations are being planned in high-priority regions such as Bengaluru, Raipur, Ahmedabad, Ranchi, Guwahati, and Port Blair, among others.

    The Minister was briefed on the selection of radar sites and the overall progress of the “Mission Mausam” launched by PM Narendra Modi, which aims to revolutionize India’s weather monitoring infrastructure. The plan includes improved satellite meteorology systems, upgraded numerical prediction models, and a more robust radar-based forecasting mechanism.

    “The ability to track extreme weather events with greater precision will not only boost disaster management efforts but also directly benefit farmers, fishermen, aviation, and various other sectors,” Dr. Jitendra Singh noted during the meeting, which included senior officials such as Earth Sciences Secretary Dr. M. Ravichandran and IMD Director General Dr. Mrutyunjay Mohapatra.

    The review also took stock of financial allocations and approvals pending for key weather-related infrastructure projects. Dr. Jitendra Singh urged ministries to fast-track decisions to ensure timely implementation.

    With climate change intensifying the unpredictability of weather systems, the push for enhanced radar coverage and more efficient dissemination of forecasts is seen as critical for national preparedness. The meeting, according to ministry officials, marks a significant step in India’s journey toward becoming a global leader in climate resilience and disaster risk reduction.

    The Minister’s review has now set the wheels in motion for a more coordinated and technologically advanced response to India’s meteorological challenges.

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  • MIL-OSI Asia-Pac: Hong Kong Investment Promotion Conference – Zhejiang (Ningbo) Forum cum Ningbo-Hong Kong Economic Co-operation Forum held in Ningbo (with photos/video)

    Source: Hong Kong Government special administrative region

    Hong Kong Investment Promotion Conference – Zhejiang (Ningbo) Forum cum Ningbo-Hong Kong Economic Co-operation Forum held in Ningbo (with photos/video) 
         Following the successful Hong Kong Investment Promotion Conferences in Beijing and Shanghai respectively in September and November last year, the Zhejiang (Ningbo) Forum, with the theme of “Hong Kong, joining hands with Zhejiang and meeting in Ningbo, the channel for more opportunities”, brought together a number of business leaders from various sectors including finance, supply chain, innovation and technology (I&T) and professional services to share their insights on Hong Kong’s advantages and opportunities in different areas and attracted more than 600 participants. The concurrent Ningbo-Hong Kong Economic Co-operation Forum has been held alternately in Hong Kong and Ningbo every year since 2002 to facilitate bilateral exchanges and co-operation on economic, trade and investment and has been well received by the business communities of the two places.
     
         Addressing the opening ceremony, Mr Lee said he is pleased to attend the High-Level Meeting cum the First Plenary Session of the Hong Kong/Zhejiang Co-operation Conference together with the Secretary of the CPC Zhejiang Provincial Committee, Mr Wang Hao, yesterday to witness the establishment of the Hong Kong/Zhejiang Co-operation Conference Mechanism, symbolising a new stage of comprehensive exchanges and co-operation between Hong Kong and Zhejiang. Mr Lee noted that Ningbo in Zhejiang Province is a manufacturing and port hub in the Yangtze River Delta, while Hong Kong is an international financial, trade and shipping centre. Both Ningbo and Hong Kong are important gateways in the opening up of the country, with complementary advantages and limitless opportunities for collaboration. Hong Kong is the largest source of external investment in Ningbo and more than 1 000 enterprises and institutions from Ningbo have been established in Hong Kong, reflecting the close economic and trade ties between the two places.
     
         Mr Lee said that under the “one country, two systems” principle, Hong Kong possesses unique advantages of having the strong support of the country while maintaining unparalleled connectivity with the world, serving as a “super connector” and “super value-adder”. Hong Kong acts as a two-way springboard for Mainland enterprises to go global and for attracting overseas enterprises. Despite the United States’ bullying and unjustified imposition of tariffs, and the emergence of unilateralism that disrupted the global landscape and geopolitics and posed risks of economic destruction and recession, the country’s immense economic strength and vast market provide certainty for global investors, and a new economic and trade order is taking shape. Hong Kong will continue to proactively serve Mainland enterprises in going global to explore international markets, and attract overseas enterprises to tap into the Mainland market.
     
         Members of the HKSAR Government delegation attending the Conference included the Deputy Financial Secretary, Mr Michael Wong; the Secretary for Commerce and Economic Development, Mr Algernon Yau; the Director of the Chief Executive’s Office, Ms Carol Yip; the Under Secretary for Financial Services and the Treasury, Mr Joseph Chan; the Director-General of Investment Promotion, Ms Alpha Lau; and the Commissioner for Industry (Innovation and Technology), Dr Ge Ming.
     
         The Executive Deputy Director of the Hong Kong and Macao Work Office of the CPC Central Committee and the Hong Kong and Macao Affairs Office of the State Council, Mr Zhou Ji; Member of the Standing Committee of the CPC Zhejiang Provincial Committee and the Secretary of the CPC Ningbo Municipal Committee, Mr Peng Jiaxue; Vice Governor of the Zhejiang Provincial People’s Government Mr Lu Shan; the Chief Engineer of the Ministry of Industry and Information Technology, Mr Xie Shaofeng; the Chief Risk Officer and the Director General of the Department of Public Offering Supervision of the China Securities Regulatory Commission, Mr Yan Bojin; and the Chairman of the HKTDC, Dr Peter Lam, also spoke at the opening ceremony.
     
         In his remarks on promoting Hong Kong’s advantages at a themed promotion activity, Mr Wong said that on finance, Hong Kong is the most trusted international financial safe haven for Mainland enterprises, offering diversified financing channels and financial services for companies to expand their businesses internationally. Regarding I&T, Hong Kong is in a golden age of development. The Northern Metropolis will serve as an important base for collaboration between the Mainland and Hong Kong on promoting I&T development. He invited Ningbo enterprises to visit the Northern Metropolis to explore opportunities for co-operation with Hong Kong.
     
         Furthermore, Invest Hong Kong held a signing ceremony of a number of key Zhejiang-Hong Kong and Ningbo-Hong Kong co-operation projects, covering various sectors including finance, technology, transportation, aviation, I&T and consumer goods.
     
         Co-founder of Casa Bauhinia in Ningbo Professor Anna Pao Sohmen was also invited to deliver a keynote speech to share the outlook of Zhejiang-Hong Kong and Ningbo-Hong Kong co-operation, encouraging Mainland enterprises to make good use of Hong Kong’s business and investment platform. A number of Hong Kong business leaders also participated in the panel discussion as guests, including the Chairman of the Board of Directors of the Hong Kong Science and Technology Parks Corporation, Dr Sunny Chai; the Chief Executive Officer of the Hong Kong Exchanges and Clearing Limited, Ms Bonnie Chan; and the Chief Executive Officer of the Airport Authority Hong Kong, Mrs Vivian Cheung. They discussed the unique status and advantages of Ningbo and Hong Kong in I&T, finance and professional services, and explored ways to promote complementary strengths and shared prosperity. A key enterprise from Hangzhou also shared its successful experience in co-operating with and investing in Hong Kong.
     
         In the afternoon, the HKSAR Government, the HKTDC and relevant authorities of the Ningbo Municipal People’s Government jointly organised three special promotion activities on finance, multinational supply chain management centre and I&T to promote investment in Hong Kong, during which Mr Chan, Ms Lau and Dr Ge delivered speeches. A number of government officials, relevant experts and representatives of enterprises of the two places also spoke and shared their successful experiences at the events, which helped deepen local enterprises’ understanding of Hong Kong’s advantages and opportunities in the respective sectors, with a view to attracting more Mainland enterprises to partner with Hong Kong to achieve mutual benefits.
     
         Mr Lee and the delegation departed for Hong Kong this afternoon.
    Issued at HKT 19:38

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    MIL OSI Asia Pacific News

  • MIL-OSI USA: Congressman Al Green Hosts TX-09 Codefest to Empower Student Coding App Developers and Advance STEM Education

    Source: United States House of Representatives – Congressman Al Green (TX-9)

    (Houston, TX) — On Saturday, April 12, 2025, Congressman Al Green will proudly launch the inaugural TX-09 Codefest, an exciting event aimed at inspiring and empowering middle and high school students at the start of their coding journey. Participants will have the opportunity to create new software, enhance existing programs, showcase their technical creativity, collaborate with peers, and explore ways to revolutionize the software industry. This event will take place at Houston Community College South in the Willie Gay Hall at 1990 Airport Boulevard, Houston, Texas 77051, from 10:00 a.m. to 3:00 p.m. CT. 

    The TX-09 Codefest will serve as a valuable precursor to the 2025 Congressional App Challenge (CAC). The CAC is dedicated to encouraging young minds in the Ninth Congressional District to explore the world of STEM, develop coding skills, and discover promising careers in computer science. The CAC is set to commence in early to mid-May, with applications accepted through October 30, 2025. For more information, you can visit the Congressional App Challenge website by clicking here.

    Congressman Al Green stated, “I am proud to host the TX-09 Codefest, a powerful example of how we can invest in the next generation of STEM leaders. The Congressional App Challenge competition offers students invaluable hands-on experience in coding and app development. By supporting competitions like this, we encourage STEM education and empower young people to address real challenges in their communities through innovation and critical thinking while cultivating a diverse pipeline of driven innovators.” 

    Click here to watch the Facebook live stream of the event.

    MIL OSI USA News

  • MIL-OSI Global: Why the energy transition won’t be green until mine waste disasters are prevented

    Source: The Conversation – UK – By Eva Marquis, Research Fellow in Critical Minerals and Circular Economy, University of Exeter

    On February 18, contamination in the Kafue river, Zambia, led to a mass death of fish. Its water turned a deathly grey and adjacent farmland was poisoned. The drinking water it supplied to half a million residents of the town of Kitwe was suddenly cut off.

    Reports suggest that this catastrophe was caused by the failure of the Chambishi tailings storage facility. Tailings are mixed liquid-solid mine wastes that remain after the valuable materials are removed from the crushed ores.

    They are often stored in impoundments, held in place by dams made of rock (and other mine waste), that ideally are managed and kept safe. This storage is necessary because tailings often contain high concentrations of potentially toxic, radioactive and corrosive elements.

    But tailings storage facilities can and do fail. The Chambishi failure was caused by a break in a wall between two tailings ponds containing acidic water. Fifty million litres of this water, equivalent to 20,000 Olympic swimming pools, spilled into a tributary of the Kafue river, and then into the river itself.

    The Kafue is a lifeline, flowing through 990 miles (1,600km) of Zambia, providing water for around 5 million people and supporting fishing and agriculture. That lifeline is still threatened by the ongoing damage of this failure.

    Chambishi is not alone. It is one of six major tailings incidents documented in the first three months of 2025, with others documented in Bolivia, Ghana, Philippines and Indonesia.

    Tailings and transitions

    Tailings are a produce of society’s voracious appetite for metals and materials. With growing demand for technologies for the energy transition, digitalisation and development, production of metals and materials and the volumes of tailings are set to vastly increase.

    Identifying suitable sites for safe storage is likely to become more challenging. Space will become more of a premium as more tailings are produced, and risks will evolve with changing climate and growing global population. For instance, storage facility plans developed before mining begins may no longer be suitable for their intended use over the life of the operation.

    The ability to safely store and manage tailings is a key factor in the development of metals projects. By extension, that’s fundamental to enabling an equitable and responsible energy transition.

    Initiatives to improve the management and monitoring of tailings, developed by independent organisations and industry bodies, such as the Global Industry Standard for Tailings Management and the International Council on Mining and Mineral’s Tailings Management Good Practice Guide. Although these initiatives are comprehensive, they do not minimise risks from past tailings storage practices or address the full costs involved.

    Tailing ponds.
    iofoto/Shutterstock

    A broad range of technical, social and environmental uncertainties have been linked to the management of tailings storage facilities. These uncertainties, combined with financial practices such as discounting future costs, can result in future costs (such as long-term tailings management and rehabilitation) being underestimated in mining project cash flows, and sizeable costs for future generations.

    Without a fully understanding of the true long-term costs, making the economic case for improved tailings management becomes that much harder.

    Reducing risks and improving outcomes

    Improved mechanisms for quantifying the cost of tailings in the short, medium and long term, whether tailings storage facilities fail or not, are essential for adequately financing these long-term legacies of mining. Mechanisms to reduce volumes of waste produced not only have the potential to improve project economics over the lifetime of a mine but can also enhance social and environmental outcomes both during and beyond the life of a mine.

    Tailings can be used as sources of aggregate materials for construction and critical metals for the green transition, and for carbon capture and storage. These opportunities will be context specific, however, and there will not be a one-size-fits-all approach to tailings reduction and responsible management.

    New mining paradigms, such as selective mining through precision drilling or in-situ electrokinetic “keyhole” techniques and extraction of metals from geothermal waters, may give us the ability to extract some metals without producing tailings.

    Innovations in tailings storage, like using tailings to fill worked-out underground mining tunnels, can remove tailings from the surface environment, eliminating risk from landslides, dust, seepages and other hazards. Even with these efforts, tailings storage facilities will continue to be used and will need to be managed.

    Reducing, reclaiming and regenerating the environments that have been negatively affected by tailings will require collaborative approaches. Financing is a clear barrier to responsible tailings management. Without knowing the true social, environmental and economic costs of tailings legacies, the ability to overcome this barrier to responsible management is hampered.


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

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


    Eva Marquis receives funding from EPSRC, NERC, and Innovate UK.

    Karen Hudson-Edwards receives funding from NERC, BBSRC, EPSRC, the Technology Strategy Board (Innovate UK), the Royal Society and the EU Horizon 2020 programme.

    ref. Why the energy transition won’t be green until mine waste disasters are prevented – https://theconversation.com/why-the-energy-transition-wont-be-green-until-mine-waste-disasters-are-prevented-252436

    MIL OSI – Global Reports

  • MIL-OSI Global: Leading by example: how the rich and powerful can inspire more climate action

    Source: The Conversation – UK – By Sam Hampton, Researcher, Environmental Geography, University of Oxford

    In a survey covering the UK, China, Sweden and Brazil, a majority of people agreed that we need to drastically change the way we live and how society operates, to address climate change. Another study involving more than 130,000 people across 125 countries found that 69% said they would donate 1% of their income to climate action.

    However, when asked in the same survey what proportion of others in their country would be willing to do the same, the average estimate was only 43%. This underestimation of others’ concern is known as pluralistic ignorance.

    This fuels a vicious cycle: silence begets silence. People hesitate to advocate for policies like cycle lanes or meat taxes, fearing social isolation, while politicians avoid championing measures seen as “career-limiting”. The result is a democracy trapped by unspoken consensus.

    Research on UK MPs reveals how this plays out. Even climate-conscious politicians frame low-carbon lifestyles such as avoiding flying or eating meat as extreme, wary of hypocrisy accusations if their personal choices fall short. This “greenhushing” isn’t just political caution – it’s a failure to recognise that most people are primed to follow bold examples.

    When leaders visibly adopt low-carbon behaviour, they can help address pluralistic ignorance. For instance, MPs who cycle or opt for the train instead of taking short-haul flights don’t just reduce emissions; they signal that such choices are normal, desirable, and shared.

    The invisible transition

    While individual actions matter, systemic change requires policies to steer collective transformation. Consider the UK’s early phase-out of inefficient lightbulbs: a 1.26 million tonne annual CO₂ reduction achieved not through personal sacrifice, but by banning the sale of halogen bulbs that emitted more heat than light.

    Progress on lightbulbs, renewable electricity or more efficient fridges are all part of an “invisible transition” towards a lower-carbon society – a series of changes already woven into our economy that often go unnoticed by the public. Reframing these achievements as collective victories – your home insulation, our renewable grid – can build momentum for tougher measures.

    For decades, fridges got bigger yet became more efficient and used less electricity.
    Prostock-studio / shutterstock

    Building on progress

    Public willingness to make sacrifices for climate action is closely tied to perceptions of fairness and necessity. Crucially, people want to see that their own efforts are being matched by others, especially those with larger carbon footprints. This is why leaders and other high-profile people should visibly lead by example, demonstrating commitment and helping to establish new social norms.

    Research shows that public support for subsidies for heat pumps, solar panels, electric vehicles and other low-carbon technologies often depends on whether these subsidies are perceived as fair and inclusive.

    Most agree that subsidies must help ensure that all households, especially those with lower incomes, can be involved. This makes it especially important for wealthy and high profile people to lead by example.

    Coalitions of the visible: uniting everyday leaders

    Leaders who take low-carbon actions are seen as more credible, not less. The most effective leadership frames climate action as pragmatic and rooted in everyday life, rather than as a test of virtue.

    Research by the NGO Climate Outreach demonstrates that shared, relatable stories – such as parents campaigning for solar panels at their children’s schools – can shift social norms and build momentum for collective action. These “narrative workshops” have shown that people respond most strongly when climate solutions are presented through the lens of their own values and aspirations, rather than as abstract technical fixes.

    The Green Salon Collective’s Mirror Talkers initiative is another creative example: by placing climate conversation prompts on salon mirrors, hairdressers are empowered to spark everyday discussions with clients. This kind of grassroots engagement helps normalise climate conversations in places you wouldn’t expect.

    Overcoming pluralistic ignorance requires leaders to articulate a new story – one that acknowledges the “invisible transition” already underway while inviting everyone to help finish the job.

    This means equipping leaders at every level with the tools and confidence to adopt and advocate for low-carbon choices. It also means normalising the reality that climate leadership is not about perfection, but about consistency and transparency.

    Figures like Clover Hogan, founder of Force of Nature, and Christiana Figueres, former UN climate chief, openly share their own “climate confessions” – acknowledging the challenges, contradictions and imperfect choices that come with striving for a low-carbon life. By embracing and communicating their imperfections, they demonstrate that visible, relatable climate leadership is about honesty and persistence, helping to shift expectations and inspire others to take action in their own lives.

    Authentic climate leadership can transform public understanding of climate solutions. By illuminating the transition already in progress – and their own part in it – leaders can transform pluralistic ignorance into pluralistic action.

    The task is not to convince people to care about climate change, but to show them that they already do, and to make visible the collective progress that is often hidden in plain sight.

    Sam Hampton receives funding from the Economics and Social Research Council. He is affiliated with the University of Oxford and University of Bath.

    Tina Fawcett currently receives funding from UKRI.

    ref. Leading by example: how the rich and powerful can inspire more climate action – https://theconversation.com/leading-by-example-how-the-rich-and-powerful-can-inspire-more-climate-action-255168

    MIL OSI – Global Reports

  • MIL-OSI Global: Tove Jansson’s Moomin books explore the power of adventure and transformation

    Source: The Conversation – UK – By Sue Walsh, Lecturer, Department of English Literature, University of Reading

    This year marks the 80th anniversary of the first Moomin tale, The Moomins and the Great Flood. In the book, Moomintroll and his friends embark on a journey to find their home after a great flood devastates Moominvalley, meeting odd creatures and new friends along their journey.

    The book was first published in creator Tove Jansson’s native Swedish in 1945. However, the first Moomin book to have an English edition was in fact the third of the Moomin books, Trollkarlens Hatt (The Hobgoblin’s Hat). It was translated by Jansson’s friend Elizabeth Portch and reached its widest English-speaking audience when it was published by Puffin Books in 1961 as Finn Family Moomintroll.

    At the beginning of the story Moomintroll finds a magical top hat. It can transform anything that is placed inside of it into something else entirely – and so the adventures begin.


    This is part of a series of articles celebrating the 80th anniversary of the Moomins. Want to celebrate their birthday with us? Join The Conversation and a group of experts on May 23 in Bradford for a screening of Moomins on the Riviera and a discussion of the refugee experience in Tove Jansson’s work. Click here for more information and tickets.


    Unlike the Swedish-language edition, Portch’s translation of Finn Family Moomintroll begins with a letter from Moominmamma. It’s written in a curly cursive and dotted with love-hearts and an image of an apparently “hand-drawn” troll. The letter is addressed to a “dear child” who is “overseas”.

    In it, Moominmamma expresses disbelief at the idea that there may not be any Moomins “there over” and that the child she is addressing may “not even know what a troll is” (hence the illustration).

    Moominmamma’s wonder at the differences in custom between her own land and “your country” is based on an assumption that the two must be somewhat alike. Similarly, her explanation of what Moomintrolls are depends on their difference from the “usual common trolls”, which means there must be familial similarity between them.

    The Moomins and the Great Flood was Jansson’s first Moomins book.

    Both Moominmamma’s wonder at and explanation of difference assume an underlying essential similarity or sameness between Moominvalley, where she lives, and the reader’s home. This is significant in a story that explores ideas of foreignness and translation, change and transformation.

    Though the adventures in Finn Family Moomintroll might be said to only truly begin on the spring morning when Moomintroll, Sniff and Snufkin find “a tall black hat”, the book opens with the Moomins settling down for their winter hibernation and closes with the valley in autumn.

    Creator of The Moomins, Tove Jansson in 1970.
    Per Olov Jansson/Wiki Commons, CC BY-SA

    The changes wrought by the Hobgoblin’s hat are “quite different” because “you never know beforehand” what they will be. However, their extreme nature is framed and contained by a world in which there are known and predictable changes in the seasons, as well as routine – though sometimes dramatic – changes in the weather.

    The Hemulen is unperturbed by the hat’s transformation of eggshells into fluffy little clouds that Moomintroll and his friends are able to ride. That’s because he is “so used to [them] doing extraordinary things”. But when Moomintroll is transformed by the hat into “a very strange animal indeed”, so much so that his friends do not recognise him, it’s a very different matter.

    A moment of real jeopardy occurs when Moomintroll’s own mother does not seem to recognise him either. But this is soon dispelled when Moominmamma looks “into his frightened eyes for a very long time” and quietly declares: “Yes, you are my Moomintroll.”

    This moment of recognition breaks the spell and Moomintroll changes back into “his old self again”. One of the crucial features of the hat is the changes it makes are only temporary and this, together with Moominmamma’s reassurance that she will “always know [Moomintroll], whatever happens”, suggests an ultimately unchanging essence to things that cannot be denied.

    Changelessness as deadening

    On the other hand, the book suggests that some change is to be embraced.

    Sniff’s desire for things to stay the same “for ever and ever” is portrayed as immature and wrong-headed. As is the Muskrat’s obsessive quest for peace and stillness which ends up with his apparent, though temporary, transformation into a monster.

    Snufkin’s point that “life is not peaceful” offers a gentle rebuke to the Hemulen, who also wishes to “live his life in peace and quiet”. But perhaps the clearest indication of the book’s attitude to changelessness is the monstrous Groke. She is motivated by an unwavering drive to recover the “King’s Ruby”, not because this thing which “changes colour all the time” is “the most beautiful thing in the world”, but because it is “the most expensive”.

    The Groke’s inability to appreciate the ruby aesthetically is presented as being rooted in her own immutability. That the Groke’s hostility to change is itself deadening, becomes evident when she sits “motionless” before the Moomins and their friends, staring at them in a way that makes them feel “she would wait for ever” and eventually departs leaving the ground behind her frozen in the wrong season.

    This, then, is key. Adventure, transformation and change in Finn Family Moomintroll are both necessary and desirable, but they are also contained within a reassuring frame of reliable predictability. The final lines of the English translation are: “It is autumn in Moomin Valley, for how else can spring come back again?”

    Sue Walsh 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. Tove Jansson’s Moomin books explore the power of adventure and transformation – https://theconversation.com/tove-janssons-moomin-books-explore-the-power-of-adventure-and-transformation-245969

    MIL OSI – Global Reports

  • MIL-OSI Global: Why you don’t need to stress about cortisol ruining your waistline – or your face

    Source: The Conversation – UK – By Craig Doig, Associate Professor of Metabolic Health, Nottingham Trent University

    tommaso lizzul/Shutterstock

    If you’ve been unfortunate enough to scroll through TikTok lately, the algorithm may have convinced you that cortisol, your body’s main stress hormone, is ruining your life.

    Yes, according to social media content creators, stress is giving you a repulsive “cortisol belly” and puffing up your sad “cortisol face.” And, of course, this is what’s holding us all back from achieving the full influencer, ideal dream life. If it weren’t for my raging cortisol levels, I’m sure I’d be knee-deep in Lamborghinis and beating off admirers with a stick by now.

    But is there any scientific evidence behind the cortisol craze? After all, this is just the latest in a long line of reasons social media has given us to believe we are inferior to the living gods of TikTok. Or maybe, just maybe, this is another grift designed to harvest likes, sell dodgy merch and drive engagement. Surely not.

    Cortisol is a natural hormone produced by your adrenal glands, located just above your kidneys. For millennia, humans have relied on cortisol – in fact, we can’t survive without it. Most of the time, it helps regulate our daily rhythms and behaviour.

    And yes, it’s true that stress (whether caused by an approaching sabre toothed tiger or having a high-pressure job) rapidly and reliably triggers cortisol release. But this isn’t bad. Cortisol isn’t trying to ruin your summer body, it’s trying to keep you alive and give you the energy to run or fight.

    That said, chronically elevated cortisol can contribute to some serious health issues, including weight gain. And to be very clear: if you’re experiencing symptoms of consistently high cortisol, you should be in conversation with a qualified healthcare professional.

    So yes, cortisol has its downsides – but then again, so does everything in excess. Even TikTok.

    Research shows that people with sustained high cortisol levels tend to store more fat in the abdominal area and around the face. This was first described nearly a century ago – in 1932, by neurosurgeon Harvey Cushing (don’t bother looking him up, he’s not on socials).

    But this applies to Cushing’s disease, a rare medical disorder. The cortisol released from everyday stress doesn’t even come close to the levels or duration seen in Cushing’s.

    Also, let’s not pretend your face or belly fat is solely cortisol’s fault. Fat distribution is the result of a complex mix of genetics, diet, sleep, exercise and hormones. Blaming one hormone for everything is like blaming the rise of air fryers for global warming.

    Chill out about cortisol

    If you’re genuinely concerned about stress or its effects on your health, I have good news: you don’t need to buy anything or follow the “cortisol detox” advice of social media influencers.

    Here are some stress-reducing tips. They are simple. They are boring. And they work:

    Get decent sleep – regularly.

    Exercise – regularly.

    Eat a balanced diet – regularly.

    Relax – a little.

    And if something feels off, talk to your doctor.

    “Cortisol belly” and “cortisol face” might sound catchy, but they reduce incredibly complex biological processes into bite-sized insecurities. Social media’s obsession with cortisol isn’t about health, it’s about content and clicks.

    Stress is real, but don’t let a billionaire influencer who wakes up at 3:53am to mainline turmeric tell you your face is “hormonal” and your stomach is “inflamed”.

    You don’t need to fix yourself with trendy hacks. Just put the phone down and chill. Which, ironically, might be the most effective cortisol-lowering advice of all.

    Craig Doig has received funding from The Physiological Society, Society for Endocrinology and the Defence Medical Services.

    ref. Why you don’t need to stress about cortisol ruining your waistline – or your face – https://theconversation.com/why-you-dont-need-to-stress-about-cortisol-ruining-your-waistline-or-your-face-254335

    MIL OSI – Global Reports

  • MIL-OSI USA: Bilirakis, Tonko, Crenshaw, Khanna, Peters and Liccardo Celebrate Re-launch of Longevity Science Caucus

    Source: United States House of Representatives – Representative Gus Bilirakis (FL-12)

    Washington, D.C. – Representatives Gus Bilirakis (R-FL), Congressman Paul Tonko (D-NY), Dan Crenshaw (R-TX), Ro Khanna (D-PA), Scott Peters (D-CA) and Sam Liccardo (D-CA) are proud to announce the re-launch of the Congressional Caucus for Longevity Science. The Longevity Science Caucus aims to educate Members about the growing field of aging and longevity biotechnology, and to promote initiatives aimed at increasing the healthy average lifespan of all Americans.   As the population continues to age, proactive investment can significantly reduce the long-term economic and healthcare burdens on society. By investing in research that delays aging and prevents chronic diseases, the government can promote healthier citizens, lower healthcare costs, and extend the productive years of life. Supporting longevity science is a forward-thinking strategy that benefits both individuals and the broader economy. 

    Congressman Bilirakis serves as a senior Member on the House Energy and Commerce Committee and is a Co-Chair of this Caucus along with Representative Tonko.  Bilirakis noted, “Increasing life expectancy and promoting positive health outcomes are important priorities, and the formation of this caucus is an important step toward achieving those goals.  I believe in promoting individual responsibility and supporting innovation in the pursuit of scientific discoveries that will enable Americans to live happier and longer lives.   I am honored to co-chair this bipartisan effort with my colleague, Congressman Tonko.  We will work with our colleagues in an effort to make a significant impact on the future health and wellness for our constituents.”

    Tonko, who is also a member of the House Energy and Commerce Committee, added, “With life expectancy in the United States at its lowest in decades, we in Congress need to come together to address this decline and support science and research that will enable people to live fuller and healthier lives. We’re doing just that with the Longevity Caucus. I am grateful for the partnership of Congressman Bilirakis in leading this Caucus and look forward to working in strong bipartisan fashion to help improve our quality and longevity of life, particularly in the fight against neurodegenerative diseases with aging as the greatest risk factor.”

    MIL OSI USA News

  • MIL-OSI USA: NCDIT Announces Artificial Intelligence Governance and Policy Leader

    Source: US State of North Carolina

    Headline: NCDIT Announces Artificial Intelligence Governance and Policy Leader

    NCDIT Announces Artificial Intelligence Governance and Policy Leader
    aljohnson

    The N.C. Department of Information Technology (NCDIT) has named I-Sah Hsieh as its first artificial intelligence governance and policy executive. Hsieh will advance North Carolina’s use of artificial intelligence (AI) to help the state become more efficient and effective while also maintaining digital safety. 

    “I-Sah’s appointment marks a significant step forward in North Carolina’s commitment to harnessing the power of AI for the benefit and protection of our residents, businesses, and visitors,” said NCDIT Secretary and State Chief Information Officer Teena Piccione. “By overseeing governance structures that prioritize ethics and security, I-Sah will play a pivotal role in shaping how the state uses this technology and collaborating with the General Assembly, private industry, and government users to ensure we are able to innovate and grow with AI while protecting our residents’ data and privacy.”

    As an AI governance and ethics expert with more than 25 years of experience, Hsieh joins NCDIT from SAS where he most recently served as the company’s AI governance and data ethics practice principal. Previously, he has helped develop AI strategies and solutions as a consultant for policymakers, the United Nations, Fortune 1000 executives, and nonprofits. He holds a Bachelor of Science in mechanical engineering from Cornell University.

    Last year, NCDIT led development of the North Carolina Responsible Use of Artificial Intelligence Framework. The framework, in alignment with existing state privacy laws and IT policies, highlights principles, practices, and guidance to provide a consistent approach for state agencies to innovate while ensuring privacy and limiting data protection risks. Hsieh’s hiring is part of NCDIT’s initiative to promote responsible use of AI in North Carolina.

    To help state employees navigate the potential use of generative AI, NCDIT has posted guidance, training and other resources on its website. The department is also developing comprehensive training for state employees.

    For more information and resources regarding the state’s use of AI, visit it.nc.gov/AI.

    Apr 25, 2025

    MIL OSI USA News

  • MIL-OSI Global: In talking with Tehran, Trump is reversing course on Iran – could a new nuclear deal be next?

    Source: The Conversation – Global Perspectives – By Jeffrey Fields, Associate Professor of the Practice of International Relations, USC Dornsife College of Letters, Arts and Sciences

    A mural on the outer walls of the former US embassy in Tehran depicts two men in negotiation. Majid Saeedi/Getty Images

    Negotiators from Iran and the United States are set to meet again in Oman on April 26, prompting hopes the two countries might be moving, albeit tentatively, toward a new nuclear accord.

    The scheduled talks follow the two previous rounds of indirect negotiations that have taken place under the new Trump administration. Those discussions were deemed to have yielded enough progress to merit sending nuclear experts from both sides to begin outlining the specifics of a potential framework for a deal.

    The development is particularly notable given that Trump, in 2018, unilaterally walked the U.S. away from a multilateral agreement with Iran. That deal, negotiated during the Obama presidency, put restrictions on Tehran’s nuclear program in return for sanctions relief. Trump{,} instead turned to a policy that involved tightening the financial screws on Iran through enhanced sanctions while issuing implicit military threats.

    But that approach failed to disrupt Iran’s nuclear program.

    Now, rather than revive the maximum pressure policy of his first term, Trump – ever keen to be seen as a dealmaker – has given his team the green light for the renewed diplomacy and even reportedly rebuffed, for now, Israel’s desire to launch military strikes against Tehran.

    Jaw-jaw over war-war

    The turn to diplomacy returns Iran-US relations to where they began during the Obama administration, with attempts to encourage Iran to curb or eliminate its ability to enrich uranium.

    Only this time, with the U.S. having left the previous deal in 2018, Iran has had seven years to improve on its enrichment capability and stockpile vastly more uranium than had been allowed under the abandoned accord.

    As a long-time expert on U.S. foreign policy and nuclear nonproliferation, I believe Trump has a unique opportunity to not only reinstate a similar nuclear agreement to the one he rejected, but also forge a more encompassing deal – and foster better relations with the Islamic Republic in the process.

    The front pages of Iran’s newspapers in a sidewalk newsstand in Tehran, Iran, on April 13, 2025.
    Alireza/Middle East Images/AFP via Getty Images

    There are real signs that a potential deal could be in the offing, and it is certainly true that Trump likes the optics of dealmaking.

    But an agreement is by no means certain. Any progress toward a deal will be challenged by a number of factors, not least internal divisions and opposition within the Trump administration and skepticism among some in the Islamic Republic, along with uncertainty over a succession plan for the aging Ayatollah Khamenei.

    Conservative hawks are still abundant in both countries and could yet derail any easing of diplomatic tensions.

    A checkered diplomatic past

    There are also decades of mistrust to overcome.

    It is an understatement to say that the U.S. and Iran have had a fraught relationship, such as it is, since the Iranian revolution of 1979 and takeover of the U.S. embassy in Tehran the same year.

    Many Iranians would say relations have been strained since 1953, when the U.S. and the United Kingdom orchestrated the overthrow of Mohammad Mossadegh, the democratically elected prime minister of Iran.

    Washington and Tehran have not had formal diplomatic relations since 1979, and the two countries have been locked in a decadeslong battle for influence in the Middle East. Today, tensions remain high over Iranian support for a so-called axis of resistance against the West and in particular U.S. interests in the Middle East. That axis includes Hamas in Palestine, Hezbollah in Lebanon and the Houthis in Yemen.

    For its part, Tehran has long bristled at American hegemony in the region, including its resolute support for Israel and its history of military action. In recent years that U.S. action has included the direct assaults on Iranian assets and personnel. In particular, Tehran is still angry about the 2020 assassination of Qassem Soleimani, the head of the Quds Force of the Islamic Revolutionary Guard Corps.

    Standing atop these various disputes, Iran’s nuclear ambitions have proved a constant source of contention for the United States and Israel, the latter being the only nuclear power in the region.

    The prospect of warmer relations between the two sides first emerged during the Obama administration – though Iran sounded out the Bush administration in 2003 only to be rebuffed.

    U.S. diplomats began making contact with Iranian counterparts in 2009 when Undersecretary of State for Political Affairs William Burns met with an Iranian negotiator in Geneva. The so-called P5+1 began direct negotiations with Iran in 2013. This paved the way for the eventual Iran nuclear deal, or Joint Comprehensive Plan of Action (JCPOA), in 2015. In that agreement – concluded by the U.S., Iran, China, Russia and a slew of European nations – Iran agreed to restrictions on its nuclear program, including limits on the level to which it could enrich uranium, which was capped well short of what would be necessary for a nuclear weapon. In return, multilateral and bilateral U.S. sanctions would be removed.

    Many observers saw it as a win-win, with the restraints on a burgeoning nuclear power coupled with hopes that greater economic engagement with the international community that might temper some of Iran’s more provocative foreign policy behavior.

    Yet Israel and Saudi Arabia worried the deal did not entirely eliminate Iran’s ability to enrich uranium, and right-wing critics in the U.S. complained it did not address Iran’s ballistic missile programs or support for militant groups in the region.

    Benjamin Netanyahu, Prime Minister of Israel, draws a red line on a graphic of a bomb while discussing Iran at the United Nations on Sept. 27, 2012.
    Mario Tama/Getty Images

    When Trump first took office in 2016, he and his foreign policy team pledged to reverse Obama’s course and close the door on any diplomatic opening. Making good on his pledge, Trump unilaterally withdrew U.S. support for the JCPOA despite Iran’s continued compliance with the terms of the agreement and reinstated sanctions.

    Donald the dealmaker?

    So what has changed? Well, several things.

    While Trump’s withdrawal from the JCPOA was welcomed by Republicans, it did nothing to stop Iran from enhancing its ability to enrich uranium.

    Meanwhile, Saudi Arabia, eager to transform its image and diversify economically, now supports a deal it opposed during the Obama administration.

    In this second term, Trump’s anti-Iran impulses are still there. But despite his rhetoric of a military option should a deal not be struck, Trump has on numerous occasions stated his opposition to U.S. involvement in another war in the Middle East.

    In addition, Iran has suffered a number of blows in recent years that has left it more isolated in the region. Iranian-aligned Hamas and Hezbollah have been seriously weakened as a result of military action by Israel. Meanwhile, strikes within Iran by Israel have shown the potential reach of Israeli missiles – and the apparent willingness of Prime Minister Benjamin Netanyahu to use them. Further, the removal of President Bashar al-Assad in Syria has deprived Iran of another regional ally.

    Tehran is also contending with a more fragile domestic economy than it had during negotiations for JCPOA.

    With Iran weakened regionally and Trump’s main global focus being China, a diplomatic avenue with Iran seems entirely in line with Trump’s view of himself as a dealmaker.

    A deal is not a given

    With two rounds of meetings completed and the move now to more technical aspects of a possible agreement negotiated by experts, there appears to be a credible window of opportunity for diplomacy.

    This could mean a new agreement that retains the core aspects of the deal Trump previously abandoned. I’m not convinced a new deal will look any different from the previous in terms of the enrichment aspect.

    There are still a number of potential roadblocks standing in the way of any potential deal, however.

    As was the case with Trump’s meetings with North Korean leader Kim Jong-un during his first term, the president seems to be less interested in details than spectacle. While it was quite amazing for an American leader to meet with his North Korean counterpart, ultimately, no policy meaningfully changed because of it.

    On Iran and other issues, the president displays little patience for complicated policy details. Complicating matters is that the U.S. administration is riven by intense factionalism, with many Iran hawks who would be seemingly opposed to a deal – including Secretary of State Marco Rubio and national security adviser Mike Waltz. They could rub up against newly confirmed Undersecretary of Defense for policy Elbridge Colby and Vice President JD Vance, both of whom have in the past advocated for a more pro-diplomacy line on Iran.

    As has become a common theme in Trump administration foreign policy – even with its own allies on issues like trade – it’s unclear what a Trump administration policy on Iran actually is, and whether a political commitment exists to carry through any ultimate deal.

    Top Trump foreign policy negotiator Steve Witkoff, who has no national security experience, has exemplified this tension. Tasked with leading negotiations with Iran, Witkoff has already having been forced to walk back his contention that the U.S. was only seeking to cap the level of uranium enrichment rather than eliminate the entirety of the program.

    For its part, Iran has proved that it is serious about diplomacy, previously having accepted Barack Obama’s “extended hand.”

    But Tehran is unlikely to capitulate on core interests or allow itself to be humiliated by the terms of any agreement.

    Ultimately, the main question to watch is whether a deal with Iran is to be concluded by pragmatists – and then to what extent, narrow or expansive – or derailed by hawks within the administration.

    Jeffrey Fields receives funding from the Carnegie Corporation of New York.

    ref. In talking with Tehran, Trump is reversing course on Iran – could a new nuclear deal be next? – https://theconversation.com/in-talking-with-tehran-trump-is-reversing-course-on-iran-could-a-new-nuclear-deal-be-next-254770

    MIL OSI – Global Reports

  • MIL-OSI Global: Tensions over Kashmir and a warming planet have placed the Indus Waters Treaty on life support

    Source: The Conversation – Global Perspectives – By Fazlul Haq, Postdoctoral Scholar at the Byrd Polar and Climate Research Center, The Ohio State University

    The Indus River Valley in the cold desert of Ladakh, India. Pallava Bagla/Getty Images

    In 1995, World Bank Vice President Ismail Serageldin warned that whereas the conflicts of the previous 100 years had been over oil, “the wars of the next century will be fought over water.”

    Thirty years on, that prediction is being tested in one of the world’s most volatile regions: Kashmir.

    On April 24, 2025, the government of India announced that it would downgrade diplomatic ties with its neighbor Pakistan over an attack by militants in Kashmir that killed 26 tourists. As part of that cooling of relations, India said it would immediately suspend the Indus Waters Treaty – a decades-old agreement that allowed both countries to share water use from the rivers that flow from India into Pakistan. Pakistan has promised reciprocal moves and warned that any disruption to its water supply would be considered “an act of war.”

    The current flareup escalated quickly, but has a long history. At the Indus Basin Water Project at the Ohio State University, we are engaged in a multiyear project investigating the transboundary water dispute between Pakistan and India.

    Fazlul Haq walks through the Gargo Glacier floodplain in the Upper Indus Basin.
    Fazlul Haq/Indus Basin Water Project/Ohio State University, CC BY-SA

    I am currently in Pakistan conducting fieldwork in Kashmir and across the Indus Basin. Geopolitical tensions in the region, which have been worsened by the recent attack in Pahalgam, Indian-administered Kashmir, do pose a major threat to the water treaty. So too does another factor that is helping escalate the tensions: climate change

    A fair solution to water disputes

    The Indus River has supported life for thousands of years since the Harappan civilization, which flourished around 2600 to 1900 B.C.E. in what is now Pakistan and northwest India.

    After the partition of India in 1947, control of the Indus River system became a major source of tension between the two nations that emerged from partition: India and Pakistan. Disputes arose almost immediately, particularly when India temporarily halted water flow to Pakistan in 1948, prompting fears over agricultural collapse. These early confrontations led to years of negotiations, culminating in the signing of the Indus Waters Treaty in 1960.


    Fazlul Haq/Bryan Mark/Byrd Polar and Climate Research Center/Ohio State University, CC BY

    Brokered by the World Bank, the Indus Waters Treaty has long been hailed as one of the most successful transboundary water agreements.

    It divided the Indus Basin between the two countries, giving India control over the eastern rivers – Ravi, Beas and Sutlej – and Pakistan control over the western rivers: Indus, Jhelum and Chenab.

    At the time, this was seen as a fair solution. But the treaty was designed for a very different world. Back then, India and Pakistan were newly independent countries working to establish themselves amid a world divided by the Cold War.

    When it was signed, Pakistan’s population was 46 million, and India’s was 436 million. Today, those numbers have surged to over 240 million and 1.4 billion, respectively.

    Today, more than 300 million people rely on the Indus River Basin for their survival.

    This has put increased pressure on the precious source of water that sits between the two nuclear rivals. The effects of global warming, and the continued fighting over the disputed region of Kashmir, has only added to those tensions.

    Impact of melting glaciers

    Many of the problems of today are down to what wasn’t included in the treaty, rather than what was.

    At the time of signing, there was a lack of comprehensive studies on glacier mass balance. The assumption was that the Himalayan glaciers, which feed the Indus River system, were relatively stable.

    This lack of detailed measurements meant that future changes due to climate variability and glacial melt were not factored into the treaty’s design, nor were factors such as groundwater depletion, water pollution from pesticides, fertilizer use and industrial waste. Similarly, the potential for large-scale hydraulic development of the region through dams, reservoirs, canals and hydroelectricity were largely ignored in the treaty.

    Reflecting contemporary assumptions about the stability of glaciers, the negotiators assumed that hydrological patterns would remain persistent with the historic flows.

    Instead, the glaciers feeding the Indus Basin began to melt. In fact, they are now melting at record rates.

    Construction site of the Diamer-Bhasha Dam along the Indus River.
    Fazlul Haq/Indus Basin Water Project/Ohio State University

    The World Meteorological Organization reported that 2023 was globally the driest year in over three decades, with below-normal river flows disrupting agriculture and ecosystems. Global glaciers also saw their largest mass loss in 50 years, releasing over 600 gigatons of water into rivers and oceans.

    The Himalayan glaciers, which supply 60-70% of the Indus River’s summer flow, are shrinking rapidly. A 2019 study estimates they are losing 8 billion tons of ice annually.

    And a study by the International Center for Integrated Mountain Development found that Hindu Kush-Karakoram-Himalayan glaciers melted 65% faster in 2011–2020 compared with the previous decade.

    The rate of glacier melt poses a significant challenge to the treaty’s long-term effectiveness to ensure essential water for all the people who rely on the Indus River Basin. While it may temporarily increase river flow, it threatens the long-term availability of water.

    Indeed, if this trend continues, water shortages will intensify, particularly for Pakistan, which depends heavily on the Indus during dry seasons.

    Another failing of the Indus Waters Treaty is that it only addresses surface water distribution and does not include provisions for managing groundwater extraction, which has become a significant issue in both India and Pakistan.

    In the Punjab region – often referred to as the breadbasket of both nations – heavy reliance on groundwater is leading to overexploitation and depletion.

    Groundwater now contributes a large portion – about 48% – of water withdrawals in the Indus Basin, particularly during dry seasons. Yet there is no transboundary framework to oversee the shared management of this resource as reported by the World Bank.

    A disputed region

    It wasn’t just climate change and groundwater that were ignored by the drafters of the Indus Waters Treaty. Indian and Pakistan negotiators also neglected the issue and status of Kashmir.

    Kashmir has been at the heart of India-Pakistan tensions since Partition in 1947. At the time of independence, the princely state of Jammu and Kashmir was given the option to accede to either India or Pakistan. Though the region had a Muslim majority, the Hindu ruler chose to accede to India, triggering the first India-Pakistan war.

    This led to a U.N.-mediated ceasefire in 1949 and the creation of the Line of Control, effectively dividing the territory between Indian-administered and Pakistani-administered Kashmir. Since then, Kashmir has remained a disputed territory, claimed in full by both countries and serving as the flashpoint for two additional wars in 1965 and 1999, and numerous skirmishes.

    A ruined village in Jammu and Kashmir, India, during the war between India and Pakistan in 1965.
    Hulton-Deutsch Collection/Corbis via Getty Images

    Despite being the primary source of water for the basin, Kashmiris have had no role in negotiations or decision-making under the treaty.

    The region’s agricultural and hydropower potential has been limited due to restrictions on the use of its water resources, with only 19.8% of hydropower potential utilized. This means that Kashmiris on both sides — despite living in a water-rich region — have been unable to fully benefit from the resources flowing through their land, as water infrastructure has primarily served downstream users and broader national interests rather than local development.

    Some scholars argue that the treaty intentionally facilitated hydraulic development in Jammu and Kashmir, but not necessarily in ways that served local interests.

    India’s hydropower projects in Kashmir — such as the Baglihar and Kishanganga dams — have been a major point of contention. Pakistan has repeatedly raised concerns that these projects could alter water flows, particularly during crucial agricultural seasons.

    However, the Indus Waters Treaty does not provide explicit mechanisms for resolving such regional disputes, leaving Kashmir’s hydrological and political concerns unaddressed.

    Tensions over hydropower projects in Kashmir were bringing India and Pakistan toward diplomatic deadlock long before the recent attack.

    The Kishanganga and Ratle dam disputes, now under arbitration in The Hague, exposed the treaty’s growing inability to manage transboundary water conflicts.

    Then in September 2024, India formally called for a review of the Indus Waters Treaty, citing demographic shifts, energy needs and security concerns over Kashmir.

    Indian Border Security Force soldiers patrol on a boat along the Pargwal area of the India-Pakistan international border.
    Nitin Kanotra/Hindustan Times via Getty Images

    The treaty now exists in a state of limbo. While it technically remains in force, India’s formal notice for review has introduced uncertainty, halting key cooperative mechanisms and casting doubt on the treaty’s long-term durability.

    An equitable and sustainable treaty?

    Moving forward, I argue, any reform or renegotiation of the Indus Waters Treaty will, if it is to have lasting success, need to acknowledge the hydrological significance of Kashmir while engaging voices from across the region.

    Excluding Kashmir from future discussions – and neither India nor Pakistan has formally proposed including Kashmiri stakeholders – would only reinforce a long-standing pattern of marginalization, where decisions about its resources are made without considering the needs of its people.

    As debates on “climate-proofing” the treaty continue, ensuring Kashmiri perspectives are included will be critical for building a more equitable and sustainable transboundary water framework.

    Nicholas Breyfogle, Madhumita Dutta, Alexander Thompson, and Bryan G. Mark at the Indus Basin Water Project at the Ohio State University contributed to this article.

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

    ref. Tensions over Kashmir and a warming planet have placed the Indus Waters Treaty on life support – https://theconversation.com/tensions-over-kashmir-and-a-warming-planet-have-placed-the-indus-waters-treaty-on-life-support-244699

    MIL OSI – Global Reports

  • MIL-OSI Global: Why sitting down – and getting back up – might be the most important health test you do today

    Source: The Conversation – UK – By Catherine Norton, Associate Professor Sport & Exercise Nutrition, University of Limerick

    Ruslan Huzau/Shutterstock

    If you or someone you love finds it difficult to stand up from the toilet without using your hands, it might seem like a small issue. But in health and ageing, this movement – known as the “sit-to-stand” – can be a red flag. It’s one of the strongest indicators of frailty, a condition that can threaten independence and quality of life.

    Frailty increases the risk of falls, hospital stays, slower recovery from illness, and early death. It’s more than just about being thin or weak – it’s about reduced muscle mass, strength and energy – and it’s one of the main reasons older adults lose the ability to live on their own.

    This loss of muscle strength and function isn’t just about growing old. It often begins as early as your 30s and accelerates after 60. The good news? It’s not inevitable. Frailty can be prevented – and even reversed – with simple, targeted changes in diet and physical activity.

    Surprisingly, carrying a bit of extra weight in older age can be beneficial. Studies suggest that being in the “overweight” BMI range is often linked to better outcomes than being underweight – as long as you’re carrying muscle, not just fat.

    What matters most is body composition – the ratio of muscle to fat. Lean muscle supports mobility, balance and resilience during illness or injury. In contrast, excess visceral fat (around the internal organs) increases the risk of disease.

    Muscle is made of protein and, as we age, our bodies become less efficient at using it. That means older adults need to eat more protein than younger people – not less. Aim for 1 to 1.2 grams of protein per kilogram of body weight per day. For a 70kg person, that’s around 70–85 grams daily, ideally spread across all meals.

    Good protein sources include:
    • Eggs, milk, cheese and yoghurt
    • Chicken, turkey, beef and oily fish
    • Lentils, beans, tofu and soy products
    • Nuts, seeds, and whole grains

    Also, don’t forget total calorie intake. If you’re undereating overall – especially during illness – your body will break down muscle to compensate, even if protein intake is adequate.

    Move it or lose it

    Muscle only stays if you use it – the “move it or lose it” mantra applies here. Regular strength training is one of the best things you can do to stay independent and strong.

    Aim for two to three sessions per week focused on strength. You don’t need a gym – bodyweight exercises at home count too.

    Effective strength activities include:

    • Sit-to-stand repetitions from a chair
    • Functional movements like stair climbing, gardening, or carrying groceries
    • Squats, lunges and push-ups
    • Using resistance bands or light weights

    Walking, swimming and cycling are great for cardiovascular and joint health, but they aren’t enough on their own to maintain muscle mass. Challenge your muscles regularly – even in small ways.

    Things to watch out for:

    • Struggling to stand up from low chairs or the toilet
    • Clothes feeling looser around the thighs or arms
    • Feeling weaker carrying bags or household items
    • Avoiding stairs or certain movements you used to do easily

    Catching these signs early can help you act before it affects your independence.

    Here are five things you can do for healthy ageing

    1. Prioritise protein: include it in every meal. Think eggs for breakfast, beans at lunch, and fish or chicken for dinner.
    2. Strength train weekly: find something you enjoy and can stick with – gardening, resistance bands, or a local class.
    3. Don’t fear healthy weight gain: especially if you’ve recently lost weight unintentionally. Focus on building muscle, not fat.
    4. Stay active daily: every movement counts – walking, stretching, or lifting household objects.
    5. Monitor your function: the sit-to-stand test is a simple way to track your strength. If it’s getting harder, take action.

    We can’t stop ageing, but we can age well. That means making muscle health a priority – not just for appearance, but for independence, dignity and quality of life.

    So, whether you’re thinking about your future or supporting an older loved one, remember this: building and maintaining muscle is one of the most powerful tools we have for healthy ageing.

    With the right habits, you can protect your strength, mobility and independence.

    And next time you sit down – think about how easily you get back up. That small action might be the most important health check you do all day.

    Catherine Norton receives funding organisations e.g. Food for Health Ireland, DAFM, Enterprise Ireland

    ref. Why sitting down – and getting back up – might be the most important health test you do today – https://theconversation.com/why-sitting-down-and-getting-back-up-might-be-the-most-important-health-test-you-do-today-255057

    MIL OSI – Global Reports

  • MIL-OSI Global: Trump can’t decide who to blame for a failing peace deal that would only lead to further conflict

    Source: The Conversation – UK – By Stefan Wolff, Professor of International Security, University of Birmingham

    After a second consecutive night of deadly Russian air attacks – against the capital Kyiv on April 23 and the eastern Ukrainian city of Pavlohrad on April 24 – a ceasefire in Ukraine seems as unrealistic as ever.

    With Russian commitment to a deal clearly lacking, the situation is not helped by US president Donald Trump. He can’t quite seem to decide who he will ultimately blame if his efforts to agree a ceasefire fall apart.

    Before the strikes on Kyiv, Trump blamed Ukrainian president, Volodymyr Zelensky, for holding up a deal by refusing to recognise Crimea as Russian. The following day, he chided Vladimir Putin for the attacks, calling them “not necessary, and very bad timing” and imploring Putin to stop.

    The main stumbling bloc on the path to a ceasefire is what a final peace agreement might look like and what concessions Kyiv – and its European allies – will accept. Ukraine’s and Europe’s position on this is unequivocal: no recognition of the illegal Russian annexation.

    This position is also backed by opinion polls in Ukraine, which indicate only limited support for some, temporary concessions to Russia. The mayor of Kyiv, Vitali Klitschko, also suggested that temporarily giving up territory “can be a solution”.

    The deal that Trump’s envoy Steve Witkoff apparently negotiated over three rounds of talks in Russia was roundly rejected by Ukraine and Britain, France and Germany, who lead the “coalition of the willing” of countries pledging support for Ukraine.




    Read more:
    Could Trump be leading the world into recession?


    This prompted Witkoff and US secretary of state Marco Rubio to pull out of follow-up talks in London on April 24. These ended with a fairly vacuous statement about a commitment to continuing “close coordination and … further talks soon”.

    And even this now appears as quite a stretch. Coinciding with Witkoff’s fourth trip to see Putin on April 25, European and Ukrainian counterproposals were released that reject most of the terms offered by Trump or at least defer their negotiation until after a ceasefire is in place.

    Why is it failing?

    The impasse is unsurprising. Washington’s proposal included a US commitment to recognise Crimea as Russian, a promise that Ukraine would not join Nato and accept Moscow’s control of the territories in eastern Ukraine that it currently illegally occupies. It also included lifting all sanctions against Russia.

    In other words, Ukraine would give up large parts of territory and receive no security guarantees, while Russia is rewarded with reintegration into the global economy.

    It is the territorial concessions asked of Kyiv which are especially problematic. Quite apart from the fact that they are in fundamental breach of basic principles of international law – the sovereignty and territorial integrity of states – they are unlikely to provide solid foundations for a durable peace.

    Much like the idea of Trump’s Ukraine envoy, Keith Kellogg, to divide Ukraine like post-1945 Berlin, it betrays a fundamental misunderstanding of what, and who, drives this war.

    Recent London peace talks in April failed to make progress.

    Kellogg later clarified that he was not suggesting a partition of Ukraine, but his proposal would have exactly the same effect as Trump’s most recent offer.

    Both proposals accept the permanent loss to Ukraine of territory that Russia currently controls. Where they differ is that Kellogg wants to introduce a European-led reassurance force west of the river Dnipro, while leaving the defence of remaining Ukrainian-controlled territory to Kyiv’s armed forces.

    If accepted by Russia – unlikely as this is given Russia’s repeated and unequivocal rejection of European peacekeeping troops in Ukraine – it would provide at best a minimal security guarantee for a part of Ukrainian territory.

    What it would almost inevitably mean, however, is a repeat of the permanent ceasefire violations along the disengagement zone in eastern Ukraine where Russian and Ukrainian forces would continue to face each other.

    This is what happened after the ill-fated Minsk accords of 2014 and 2015, which were meant to settle the conflict after Russia’s invasion of Donbas in 2014. A further Russian invasion could be just around the corner once the Kremlin felt that it had sufficiently recovered from the current war.




    Read more:
    Ukraine deal: Europe has learned from the failed 2015 Minsk accords with Putin. Trump has not


    The lack of a credible deterrent is one key difference between the situation in Ukraine as envisaged by Washington and other historical and contemporary parallels, including Korea and Cyprus.

    Korea was partitioned in 1945 and has been protected by a large US military presence since the Korean war in 1953. After the Turkish invasion of 1974, Cyprus was divided between Greek and Turkish Cypriots along a partition line secured by an armed UN peacekeeping mission.

    Trump has ruled out any US troop commitment as part of securing a ceasefire in Ukraine. And the idea of a UN force in Ukraine, briefly floated during the presidency of Petro Poroshenko between 2014 and 2019, never got any traction, and is not likely to be accepted by Putin now.

    The assumed parallels with the situation in Germany after the second world war are even more tenuous. Not only did Nazi Germany unconditionally surrender in May 1945 but its division into allied zones of occupation was formally and unanimously agreed by the victorious allies in Potsdam in August 1945.

    Muddling up Potsdam and Munich?

    By the time two separate German states of East and West Germany were established in 1949, the western allies had fallen out with Stalin but remained firmly united in Nato and western Europe. So the west German state was firmly protected under the US nuclear umbrella.

    The agreements made in Potsdam didn’t have the same implication of permanence as the US suggestion to formally recognise Crimea as Russian territory. The suggestion was always that the allied forces would pull out of Germany at some stage, and restore the country’s sovereignty.

    Most importantly, the allies did not reward the aggressor in the war or create the conditions for merely a brief interruption for an aggressor’s revisionist agenda.

    After all, what has driven Putin’s war against Ukraine is his conviction that “the collapse of the Soviet Union was the greatest geopolitical catastrophe of the century”.

    The Trump administration deludes itself that it is applying the lessons of Potsdam by recognising Russia’s territorial conquests in Ukraine and handing them over. Instead it is falling into the trap of the 1938 Munich Agreement. Negotiators in Munich tried, but failed, to avoid the second world war by appeasing and not deterring an insatiable aggressor – a historical lesson that doesn’t need repeating.

    Stefan Wolff is a past recipient of grant funding from the Natural Environment Research Council of the UK, the United States Institute of Peace, the Economic and Social Research Council of the UK, the British Academy, the NATO Science for Peace Programme, the EU Framework Programmes 6 and 7 and Horizon 2020, as well as the EU’s Jean Monnet Programme. He is a Trustee and Honorary Treasurer of the Political Studies Association of the UK and a Senior Research Fellow at the Foreign Policy Centre in London.

    Tetyana Malyarenko 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. Trump can’t decide who to blame for a failing peace deal that would only lead to further conflict – https://theconversation.com/trump-cant-decide-who-to-blame-for-a-failing-peace-deal-that-would-only-lead-to-further-conflict-254841

    MIL OSI – Global Reports

  • MIL-OSI USA: Stevens Recognized as Most Effective Michigan Democrat

    Source: United States House of Representatives – Congresswoman Haley Stevens (MI-11)

    Birmingham, MI – U.S. Representative Haley Stevens (D-MI) was recognized by the Center for Effective Lawmaking as the most effective Michigan Democrat in the U.S. House of Representatives for the 118th Congress. 

    According to the analysis published in the Lansing State Journal, “Stevens was a sponsor on 26 pieces of significant or substantial legislation” and was the most effective Member of Congress “on science and technology issues.

    “Being recognized as one of the most effective Members of Congress is an honor, but this is not about me — it’s about the people of Michigan and what we can achieve when we come together and fight for what’s right,” said Rep. Haley Stevens (D-MI). “I will continue working tirelessly to strengthen Michigan’s manufacturing economy, create more jobs, and make sure that all of us, no matter where we live in our state, have the resources we need to thrive.”

    In total, six of Rep. Stevens’ bills passed the House of Representatives in the 118th Congress, including the unanimous passage of H.Res.793, a resolution calling on Hamas to immediately release hostages taken during the October 2023 attack on Israel

    Of these six, two bills and portions of a third bill were subsequently signed into law by President Biden. The FAA Severe Turbulence Research and Development Act of 2023, was signed into law as part of the 2024 FAA reauthorization and the Hostage and Wrongful Detainee Day Act and provisions from the Countering Wrongful Detention Act were included in the fiscal years 2024 and 2025 National Defense Authorization Acts respectively. 

    Retiring Senator Gary Peters was ranked as the most effective Senator for the 118th Congress.

    Read the full Lansing State Journal article here.

    ###

    MIL OSI USA News

  • MIL-OSI Global: Trump’s ‘Garden of American Heroes’ is a monument to celebrity and achievement – paid for with humanities funding that benefits everyday Americans

    Source: The Conversation – USA – By Jennifer Tucker, Professor of History, Wesleyan University

    Donald Trump speaks in front of a wax statue of John Wayne at the John Wayne Museum in Winterset, Iowa, during the 2016 GOP primaries. Al Drago/CQ Roll Call via Getty Images

    Donald Trump first came up with his plan for a “National Garden of American Heroes” at the end of his first term, before President Joe Biden quietly tabled it upon replacing Trump in the White House.

    Now, with Trump back in the Oval Office – and with the country’s 250th anniversary fast approaching – the project is back. The National Endowment for the Humanities is seeking to commission 250 statues of famous Americans from a predetermined list, to be displayed at a location yet to be determined.

    It isn’t clear who compiled the list of 250 to be honored. It includes names that are largely recognizable and whose accomplishments are well-known: politicians like Abraham Lincoln and John F. Kennedy; jurists Ruth Bader Ginsburg and Antonin Scalia; activists such as Martin Luther King, Jr. and Harriet Tubman; celebrities such as John Wayne and Julia Child; and sports stars like Kobe Bryant and Babe Ruth.

    Donald Trump announces some famous Black Americans he plans to include in his ‘National Garden of American Heroes’ during a Black History Month event on Feb. 20, 2025, at the White House.

    The statue garden coincides with an executive order from March 2025 in which the Trump administration denounced what it saw as historical revisionism that had recast the country’s “unparalleled legacy of advancing liberty, individual rights, and human happiness.” Instead, it had constructed a story of the nation that portrayed it “as inherently racist, sexist, oppressive, or otherwise irredeemably flawed,” which “fosters a sense of national shame.”

    “We don’t need to overemphasize the negative,” explained Lindsey Halligan, a 35-year-old insurance lawyer who is named in the order as one of the people tasked with reforming museums that receive government funds.

    Trump often casts himself as a man of the people. But as historians, we don’t see a garden of heroes as a populist effort. To us, it represents a top-down approach to U.S. history, akin to the hagiography that Americans already regularly get from movies, television and professional sports.

    And it comes at a cost: It’s going to be paid for with funds that had been previously allotted to tell stories about people and places that may be less familiar than the proposed figures for Trump’s garden. But they’re nonetheless meaningful to countless communities across the nation.

    Only the movers and shakers matter

    Trump’s fixation on America’s luminaries is adjacent to the “great man” theory of history.

    In 1840, Scottish philosopher and historian Thomas Carlyle published “On Heroes, Hero-Worship, and the Heroic in History,” in which he argued that “The History of the world is but the Biography of great men.”

    American biologist and eugenicist Frederick Adams Woods embraced the great man theory in his 1913 work, “The Influence of Monarchs: Steps in a New Science of History.” In it, he investigated 386 rulers in Western Europe from the 12th century until the French Revolution. He proposed a scientific measurement to quantify the relative impact these rulers had on the course of civilization.

    Then and now, many other historians and sociologists have pushed back, arguing that the “Great Man” view of history oversimplifies the past by attributing major historical events to the actions of a few influential individuals, while ignoring broader social, economic and cultural forces.

    Nonetheless, it continues to have broad appeal. It’s very popular among corporate leaders, for example, many of whom like to portray themselves as visionaries, with their business successes proof of their genius.

    Trump’s garden of heroes reflects his penchant for celebrating wealth, champions and successes, akin to what Walt Disney tried to capture with his Disney World ride Carousel of Progress, which highlights American technological advances.

    A national redundancy?

    However, the U.S. already has a national statuary hall, which opened in the U.S. Capitol in 1870. Each state has contributed two statues; for example, Massachusetts honors Samuel Adams and John Winthrop, while Ohio celebrates James Garfield and Thomas Edison.

    Today there are 102 statutes, though just 14 women.

    Importantly, the roster is fluid – not set in stone – and reflects debates over whom the nation ought to celebrate.

    Over time, the representation has become slightly more inclusive. The first woman, Illinois educator Frances Willard, was added in 1905. Only in 2022 did a Black American appear, when educator Mary Bethune replaced a Confederate general from Florida. And in 2024, Johnny Cash replaced James Paul Clarke, a former governor and senator from Arkansas with Confederate sympathies.

    Family members and elected officials attend the unveiling of the statue of Johnny Cash at the U.S. Capitol on Sept. 24, 2024.
    Kent Nishimura/Getty Images

    What about everyday Americans?

    We don’t think there’s anything wrong with celebrating and honoring popular figures in American history. But we do think there’s an issue when it comes at the expense of other historical and archival projects.

    The New York Times reported that US$34 million for the project would come from funds formerly allocated to the National Endowment for the Arts and National Endowment for the Humanities, whose budget has been cut by 85%.

    Many of the grants that have been slashed explore, celebrate and preserve history in ways that stand in stark contrast to a statue garden. They involve, as Gal Beckerman writes in the Atlantic, efforts that “are about asking questions, about uncovering hidden or overlooked experiences, about closely examining texts or adding to the public record.”

    They include one that supports the digitization of local newspapers and archival records; another to collect and preserve oral histories of local communities; a grant that funds the production of documentaries and podcasts about local communities; traveling exhibitions that bring items from the Smithsonian’s collection to small towns and rural areas; and a grant to fund the collection of first-person accounts of Native Americans who attended U.S. government-run boarding schools.

    These and countless similar history projects serve millions of people far from Washington, and they have broad support from lawmakers and citizens of all political stripes.

    In 1938, as forces of fascism gathered in Europe, a Connecticut high school social science teacher said, “The greatest need of America, on the threshold of the greatest epoch of its history, is citizens who understand the past out of which the nation has grown. … Let us look into the souls of the leaders and the common people who have made America great.”

    In his 2016 campaign, Trump promised to work on behalf of everyday Americans – the “forgotten man and woman.” But the proposed statue garden of famous figures cuts out the common people from America’s story – not just as subjects of history, but as its stewards for future generations.

    With funds slashed from organizations dedicated to local history, we wonder how many more stories will go untold.

    Jennifer Tucker has received funding from the National Endowment for the Humanities for research that examines the social and cultural role of modern technology, such as facial recognition, through a historical lens.

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

    ref. Trump’s ‘Garden of American Heroes’ is a monument to celebrity and achievement – paid for with humanities funding that benefits everyday Americans – https://theconversation.com/trumps-garden-of-american-heroes-is-a-monument-to-celebrity-and-achievement-paid-for-with-humanities-funding-that-benefits-everyday-americans-254564

    MIL OSI – Global Reports

  • MIL-OSI Asia-Pac: More hydrogen fuel projects approved

    Source: Hong Kong Information Services

    The Environment & Ecology Bureau (EEB) said the Inter-departmental Working Group on Using Hydrogen as Fuel, led by the bureau, has given agreement-in-principle to eight more applications of trial projects on hydrogen fuel technology at its meeting today.

    The first project entails an application jointly submitted by International New Energy Industry Alliance, Wing Tat Cargo & Trading (HK), H2 Powertrains and Ontime International Logistics (HK) Co, involving 10 hydrogen fuel cell (HFC) goods vehicles for cross-boundary transport.

    The second one is an application submitted by Wilson Logistics to try out two HFC goods vehicles for cross-boundary transport.

    The third project concerns an application submitted by Kam Wai Tourist Bus (HK) Company to try out two HFC coaches for local passenger services.

    The fourth one pertains to an application submitted by China Travel Tours Transportation Services HK, Allenbus Automotive Technology Co and REFIRE Hong Kong to test out two HFC coaches for cross-boundary passenger services.

    The fifth application was submitted by Affluent Coach Services Company to test out two HFC coaches for local passenger services.

    The sixth one concerns an application jointly submitted by the Hong Kong & China Gas Company (HKCGC) and CIMC Enric Hong Kong, involving the provision of electricity with hydrogen power generation equipment for charging electric vehicles at a North Point commercial building.

    The seventh is an application jointly submitted by the HKCGC and the Housing Society on extracting hydrogen from the existing towngas network at a Shau Kei Wan construction site to generate electricity for charging electric vehicles and providing electricity for the site office.

    The final application was jointly submitted by the HKCGC and the Hong Kong Science & Technology Parks Corporation to extract hydrogen from the existing towngas network at the Science Park to generate electricity for charging electric vehicles.

    The bureau pointed out that to date, the working group has given agreement-in-principle in stages to a total of 26 applications of hydrogen energy trial projects.

    Among them, the three HFC street washing vehicles from the Food & Environmental Hygiene Department have passed the examination with the Certificate of Roadworthiness issued.

    Furthermore, Sinopec (Hong Kong) has completed all commissioning and testing for the public hydrogen filling station at Au Tau, Yuen Long, and expects to launch the operational trials in the first half of this year.

    At today’s meeting, the EEB and the Electrical & Mechanical Services Department briefed the working group on the latest implementation progress of the Strategy of Hydrogen Development in Hong Kong, which includes the Government introducing the Gas Safety (Amendment) Bill 2025 to the Legislative Council to cover safety regulations on hydrogen fuel, and organising the International Hydrogen Development Symposium 2025.

    MIL OSI Asia Pacific News

  • MIL-OSI USA: Congressman Guthrie Presents Kentucky Students with Awards for Congressional App Challenge and Congressional Art Competition

    Source: United States House of Representatives – Congressman Brett Guthrie (2nd District Kentucky)

    This week, Congressman Brett Guthrie (KY-02) hosted two events to celebrate and honor the winners of both the 2024 Congressional App Challenge and the 2025 Congressional Art Competition. Both events were held on the campus of Barren County High School. 

    “I am so proud to see the hard work that our local students put into their submissions for both the Congressional App Challenge and Congressional Art Competitions,” said Congressman Guthrie“It was an honor to host these extraordinarily talented students, their families, teachers, and friends this week to celebrate their incredible accomplishments. I know that all of these students have bright futures ahead, and I look forward to seeing their continued success in whatever their futures hold. Keep up the great work!” 

    2024 Congressional App Challenge Awards Ceremony

    The Congressional App Challenge allows middle and high school students to compete with peers in their own Congressional District by creating and exhibiting their software applications, or “apps,” for mobile, tablet, or computer devices on a platform of their choice. 

    It was established by Members of the U.S. House of Representatives in 2015 and is a nationwide competition intended to engage students’ creativity and encourage their participation in STEM (Science, Technology, Engineering and Math) fields. Eligibility is limited to students currently enrolled in middle or high school and either reside or attend school in the district.

    OVERALL FIRST PLACE: Allergy Aware by Emmaline Phelps, Brooke Gibson and Cole Young from Barren County High School. Their app helps connect individuals with food allergies, as well as their friends and family members, with resources to identify and even treat common allergic reactions. This includes making users aware of risk factors and instructions to administer epinephrine and even contains alternative recipes to avoid the selected allergen.

    All three students from the winning student group recently had the opportunity to travel to the U.S. Capitol to participate in the Congressional App Challenge 2024 House of Code Showcase, where winning submissions from across the country were highlighted.

    OVERALL FOURTH PLACE: Serving Society by Danica Stephens from Glasgow High School. Their app creates a platform to connect individuals looking for service opportunities with churches, volunteer organizations, and community groups to solve the needs of their broader community. 

    Congressman Guthrie recently presented other winning students with their awards at a March event at Hebron Middle School. Information about the winners honored at that event can be found here. 

    Photos from the Congressional App Challenge Awards Ceremony can be found here.

    2025 Congressional Art Competition Reception and Awards Ceremony

    The Congressional Art Competition allows high school students in Kentucky’s Second Congressional District to compete for the chance to have their artwork displayed in the U.S. Capitol for one year. This week’s reception gave artists from across the district to showcase their artwork for their peers, family members and judges. 

    The competition is judged by art professionals and professors from colleges and universities in the district. The “Overall First Place” winning artwork will be displayed in the U.S. Capitol for one year. The second and third place submissions, in addition to the “Facebook Favorite” will be displayed in Congressman Guthrie’s various Congressional offices.

    All submitted artwork for the 2025 Congressional Art Competition can be found here.

    Pictures from this week’s reception can be found here.

    OVERALL FIRST PLACE: Liliana Garcia – “Dry Road”

     
    OVERALL SECOND PLACE: Ava Alford – “Sea to Shining Sea”

     
    OVERALL THIRD PLACE: Heloisa Almeida – “Onca Pintada”

    Almeida –
     
    FACEBOOK FAVORITE: Heloisa Almeida – “Run for the Roses”

     
    OVERALL HONORABLE MENTIONS:
    1.    Heloisa Almeida – “Run for the Roses”
    2.    Braden Bratcher – “Alone”
    3.    Serenyty Johnson – “Artist Inspiration Project”

    COUNTY WINNERS:

    Bullitt County: 
    1.    Hannah Sharrill – “Born in Ancient Giza”
    2.    Tatum Barrow – “Reach for the Stars”

    Butler County:
    1.    Heloisa Almeida – “Onca Pintada”
    2.    Heloisa Almeida – “Run for the Roses”
    3.    Braden Bratcher – “Alone”

    Hardin County: 
    1.    Liliana Garcia – “Dry Road”
    2.    Greta Warren – “Emerald Tree Boa”
    3.    Emily Armstrong – “World Wide Pollution”

    Hart County:
    1.    Braydon Thompson – “Aged to Perfection”
    2.    Braydon Thompson – “Modern Dragon”
    3.    Katie Matthews – “The Liderung”

    Nelson County:
    1.    Ava Alford – “Sea to Shining Sea”
    2.    Ava Alford – “Dreaming of Travel”
    3.    Zoey Kirchner – “The Warmth of Your Grasp”

    Warren County:
    1.    Liam McDonald – “Chevelle”
    2.    Bella Dillinger – “AI: Alternate Identity”
    3.    Shantel Isomura – “Our Lady’s Welcome”
     
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    MIL OSI USA News

  • MIL-OSI Russia: Construction industry specialists presented the results of their research at a conference at St. Petersburg State University of Architecture and Civil Engineering

    Translation. Region: Russian Federal

    Source: Saint Petersburg State University of Architecture and Civil Engineering – Saint Petersburg State University of Architecture and Civil Engineering – Opening of the conference. In the presidium, from left to right: Olga Pastukh, Andrey Nikulin, Evgeny Korolev, Director of the Soil Testing Center, Head of the Geotechnics Department of SPbGASU Anatoly Osokin

    The III National (All-Russian) Scientific and Technical Conference “Prospects of Modern Construction” was held at the Construction Faculty of St. Petersburg State University of Architecture and Civil Engineering from April 21 to 23.

    The welcoming part of the plenary session opened with the showing of two videos, the first of which introduced the conference participants to our university. The other video was prepared by the creative team of the construction faculty for the 80th anniversary of the Victory in the Great Patriotic War and told about how the university lived during the difficult years of the Leningrad blockade.

    The moderator, Deputy Dean for Research, Associate Professor of the Department of Architectural and Construction Structures Olga Pastukh addressed the participants of the plenary session. Olga Aleksandrovna introduced the members of the conference organizing committee and invited them to visit the exhibition dedicated to safety in the construction industry that opened as part of the conference.

    On behalf of and on behalf of the rector of SPbGASU Evgeny Rybnov, the vice-rector for research activities Evgeny Korolev delivered a welcoming speech. Evgeny Valerievich noted that the conference could become a driver for the development of the national project “Infrastructure for Life”. The project, aimed at improving the comfort of housing, ensuring the safety of the urban environment, requires new, scientifically sound scientific solutions that will be implemented in practice.

    The Vice-Rector also emphasized the successes of the SPbGASU construction faculty team. Thus, on April 16, by decree of the President of Russia, Rashid Mangushev, professor of the geotechnical department, was awarded the title of “Honored Scientist of the Russian Federation”. Separate words of greeting were addressed to young researchers, whose presence in the hall, according to the Vice-Rector, is the key to the sustainability of science and the university. In conclusion, Evgeny Valerievich wished everyone fruitful work and constructive discussions.

    Dean of the Faculty of Construction Andrey Nikulin spoke about the activities of our university. Andrey Nikolaevich also introduced the faculty he heads, informed about its departments, laboratories, and partners.

    At the plenary session, the round table “Fire-safe construction – in the hands of youth” and six sections, scientists and specialists in the construction industry informed about new promising research results, exchanged experiences and ideas, and expanded their circle of professional acquaintances.

    The chairman of the metal and wooden structures section, head of the metal and wooden structures department, Yegor Danilov, spoke about the work of the section: “The section, which worked for three days, brought together more than 300 listeners, and about 90 people spoke as authors of reports. Among the participants were representatives of three construction companies, specialists from universities from Vologda, Yoshkar-Ola, Novocherkassk and other Russian cities, three foreign guests (Kazakhstan, China). The current problems of ensuring the spatial rigidity of modern multi-story wooden buildings, technical aspects of improving the standards of metal structures were discussed, and new methods for calculating joints were proposed. All days of the conference were eventful. The exchange of experience was extremely useful for both the students and the respected scientists-speakers.”

    Associate Professor of the Department of Technosphere Safety Olga Gorbunova was the Deputy Chairperson of the Occupational Safety in Construction section at the conference. According to her, the section was held in two stages: on the first day, representatives of professional communities in the field of occupational safety and faculty from universities in our country presented scientific reports, and on the second day, students did so. The topics of the reports touched upon current issues of ensuring human safety in the modern world, and issues of ensuring occupational safety in the construction industry. Olga Vladimirovna named some of the topics of student research: “The effects of man-made accidents using fuel oil on the state of the environment”; “Use of vacuum waste removal systems for collecting hazardous medical waste”; “On a unified system of cadastral control and fire safety”.

    Mikhail Zhavoronkov, Deputy Chairman and Associate Professor of the Department of Construction Materials and Metrology, reported on what was happening in the section on technology of building materials and metrology: “15 reports were announced. The work was held in a mixed mode: some reports were presented in person, and some – remotely. The speakers were teachers, postgraduates and master’s students of the department of TSMiM SPbGASU and other universities, representatives of organizations carrying out scientific and practical activities in the areas of work of the section. The reports were devoted to the study of the properties of concrete made using various fillers, various binders and using special additives; issues of formation of micro- and macrostructure of these concretes; development of a quality management system in construction, shortcomings of modern regulatory documentation and ways to overcome them. Of great interest were the works describing the properties of dispersion-reinforced concrete and dedicated to counteracting the explosive destruction of concrete during heating.”

    The reports at the section of the Department of Structural Mechanics raised issues of modeling geotechnical structures and earthquake-resistant construction.

    The section of the departments of construction organization and construction production technology started with the speeches of the heads of departments Roman Motylev and Anton Gaido, who spoke about the main areas of their scientific work. Particular attention was drawn to the reports “Formation of a resource-saving complex of machines for the construction of a roadbed by hydromechanization” by Vladimir Vanzha (associate professor of the Kuban State Agrarian University), “Application of modular heat-protective panels to ensure the reliability of installation of steel structures in the conditions of the Far North” by Milana Raslambekova (master’s student of St. Petersburg State University of Architecture and Civil Engineering) and others. The participants of the scientific section noted the breadth of topics of the reports and the relevance of the choice of research topics by master’s and postgraduate students of the departments.

    Representatives of various Russian universities took part in the work of the section of the Department of Architectural and Building Structures. The presentations of Irina Chernyshkova (Associate Professor of the South-Russian Polytechnic University) on the topic of “Acoustic Features of Atrium Spaces” and Nikolay Cherepanov (Student of the St. Petersburg State University of Railway Engineering) on the topic of “Requirements for Architectural Structures of a Building for the Integration of Unmanned Delivery into an Urban Environment” aroused particular interest among the audience and a lively professional discussion.

    The students also presented reports on modular technologies, recycled materials and structures, the features of thermal insulation materials for various building structures and unique construction in the Arctic zone.

    In addition to the engineering and technical aspects of construction, there were reports on the renovation of industrial heritage from the point of view of architectural and urban planning, innovation, environmental and socio-economic aspects. Olga Pastukh and Qu Rulan (candidate of architecture, senior lecturer at Zhengzhou University, China) analyzed both the experience of historical Russian cities and the influence of Soviet urban planning ideas on the growth and development of industrial cities in China in the mid-20th century, as well as their current state. Their presentation was prepared based on the results of a joint research project, “The Influence of Soviet Urban Planning Concepts and Ideas on the Formation and Development of Industrial Cities in China in the Mid-20th Century.”

    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 Russia: GUU at a meeting at AFK Sistema: joint promotion of scientific projects

    Translation. Region: Russian Federal

    Source: State University of Management – Official website of the State –

    On April 23, representatives of the State University of Management took part in an open dialogue on the topic of “Systemic communications: features of promoting innovative, knowledge-intensive and socially significant projects”, which was held at the head office of AFK Sistema

    The meeting with the executive vice president for public relations of AFK Sistema Sergey Kopytov brought together representatives of Lomonosov Moscow State University, RUDN University, HSE, RANEPA, Moscow Polytechnic University, State University of Management, Moscow State Institute of Culture, as well as the First Student Agency, a youth media outlet.

    The following took part from the State University of Management: Head of the Department for Coordination of Scientific Research Maxim Pletnev, Director of the Business Incubator Dmitry Rogov, Junior Researcher of the Department for Coordination of Scientific Research Anna Sotnikova and Analyst of the Center for Intellectual Property and Technology Transfer Anna Grishkina.

    During the meeting, the Head of the Corporate Communications Department of AFK Sistema shared practical cases. In particular, he spoke about covering the corporation’s contribution to the fight against the COVID-19 pandemic and the formation of a high-tech pharmaceutical holding, information support for the IPO of forestry and microelectronic assets, as well as about the promotion of AFK Sistema Group projects that shape the technological future of the country in such areas as: hydrogen and satellite technologies, computer vision and microchip production, the creation of electric river vessels and charging infrastructure for electric vehicles.

    The event was a continuation of the educational project implemented by the Sistema Charitable Foundation together with industrial partners from among the country’s leading high-tech companies as part of the Decade of Science and Technology in Russia. The project, which started in March 2025 at the R site

    Subscribe to the TG channel “Our GUU” Date of publication: 04/25/2025

    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 Europe: Immunisation prevents diseases and protects lives

    Source: European Union 2

    European Immunization Week is an initiative led by the World Health Organization (WHO) to raise awareness about the vital role immunisation plays to prevent diseases and protect life. This year’s EIW runs from 27 April to 3 May. 

    Vaccination is not only an act of self-protection but also one of solidarity, and one which  offers both immediate and long-term benefits, even if they might not be visible directly: vaccines protect individuals from potentially serious diseases and in the long run also protect others by reducing spread of infections. That way, vaccination is not only an act of self-protection but also one of solidarity. Without widespread vaccination, many diseases that are now rare thanks to vaccines, could return. 

    Successful vaccination programmes are built on understanding and responding to people’s beliefs, concerns, and expectations, and large parts of the population in European Union and European Economic Area (EU/EEA) countries follow the national vaccine recommendations in their countries.  

    However, in 2023 and 2024, case reports of diseases such as measles and pertussis surged following a period of low transmission during the COVID-19 pandemic. Routine childhood vaccination coverage, particularly for measles, remains below the recommended threshold in several countries. 

    In this context, social and behavioural science approaches can help identify and address barriers to vaccination and improve uptake in populations with lower coverage rates through tailored interventions. With this in mind, ECDC has published a set of operational tools that incorporate the latest social and behavioural science approaches and are provided in usable and adaptable formats that fit the real-life contexts of public health authorities and vaccination programmes. 

    Key recommendations to close the vaccination gaps include: 

    • Analysis of epidemiological trends, such as vaccination coverage by age, gender, geographical location, and education level.
    • Understanding the social and behavioural barriers and facilitators to vaccination that influence whether people accept, delay, or refuse vaccines so that targeted strategies and interventions can be implemented. 

    Join our digital event bridging epidemiology and social sciences to identify, understand and find joint solutions to address barriers against vaccination, close immunity gaps and improve vaccination coverage across the EU/EEA. 
     

    MIL OSI Europe News

  • MIL-OSI Global: Why predicting battery performance is like forecasting traffic − and how researchers are making progress

    Source: The Conversation – USA – By Emmanuel Olugbade, Ph.D. Candidate in Mechanical Engineering, Missouri University of Science and Technology

    How much charge is left? It can be hard to know for sure. Olemedia/E+ via Getty Images

    Lithium-ion batteries are quietly powering large parts of the world, including electric vehicles and smartphones. They have revolutionized how people store and use energy. But as these batteries become more central to daily life, they bring more attention to the challenges of managing them and the energy they store safely, efficiently and intelligently.

    I’m a mechanical engineer who studies these nearly ubiquitous batteries. They have been around for decades, yet researchers like me are still trying to fully understand how these batteries behave – especially when they are working hard.

    Batteries may seem simple, but they are as complicated as the real-world uses people devise for them.

    The big picture

    At their core, lithium-ion batteries rely on the movement of charged particles, called ions, of the element lithium between two electric poles, or electrodes. The lithium ions move from the positive electrode to the negative one through a conductive substance called an electrolyte, which can be a solid or a liquid.

    The basics of how a lithium-ion battery works.

    How much energy these batteries store and how well they work depends on a tangle of factors, including the temperature, physical structure of the battery and how the materials age over time.

    Around the world, researchers are trying to answer questions about each of these factors individually and in concert with each other. Some research focuses on improving lifespan and calculating how batteries degrade over time. Other projects are tackling safety under extreme conditions, such as fast-charging use in extreme climates – either hot or cold. Many are exploring entirely new materials that could make batteries cheaper, longer-lasting or safer. And a significant group – including me – are working with computer simulations to improve real-time battery monitoring.

    Real‑time monitoring in your electric vehicle’s battery system functions like a health check: It tracks voltage, current and temperature to estimate how much energy remains so you won’t be stranded with a dead battery.

    But it’s difficult to precisely measure how well each of the energy cells within the battery is performing as they age or as the weather changes from cold in winter to hotter in summer. So the battery management system uses a computer simulation to estimate those factors. When combined with real-time monitoring, the system can prevent overusing the battery, balance charging speed with long-term health, avoid power failures and keep performance high. But there are a lot of variables.

    The traffic analogy

    One of the best ways to understand this challenge is to think about city traffic.

    Let’s say you want to drive across town and need to determine whether your car has enough charge to travel the best route. If your navigation simulator accounted for every stoplight, every construction zone and every vehicle on the road, it would give you a very accurate answer. But it might take an hour to run, by which time the circumstances would have changed and the answer would likely be wrong. That’s not helpful if you’re trying to make a decision right now.

    A simpler model might assume that every road is clear and every car is moving at the speed limit. That simulation delivers a result instantly – but its results are very inaccurate when traffic is heavy or a road is closed. It doesn’t capture the reality of rush hour.

    While you’re driving, the battery management system would do a similar set of calculations to see how much charge is available for the rest of the trip. It would look at the battery’s temperature, how old it is and how much energy the car is asking for, like when going up a steep hill or accelerating quickly to keep up with other cars. But like the navigation simulations, it has to strike a balance between being extremely accurate and giving you useful information before your battery runs out in the middle of your trip.

    The most accurate models, which simulate every chemical reaction inside the battery, are too slow for real-time use. The faster models simplify things so much that they miss key behaviors – especially under stress, such as fast charging or sudden bursts of energy use.

    Managing the flow of electrons to and from a battery is as complicated as managing the flow of traffic on local streets.
    AP Photo/Julio Cortez

    How researchers are bridging the gap

    This trade-off between speed and accuracy is at the heart of battery modeling research today. Scientists and engineers are exploring many ways to solve it.

    Some are rewriting modeling software to make the physics calculations more efficient, reducing complexity without losing the key details. Others, like me, are turning to machine learning – training computers to recognize patterns in data and make fast, accurate predictions without having to solve every underlying equation.

    In my recent work, I used a high-accuracy battery simulator – one of the ones that’s really accurate but very slow – to generate a massive amount of data about how a battery functions when charging and discharging. I used that data to train a machine learning algorithm called XGBoost, which is particularly good at finding patterns in data.

    Then I used software to pair the XGBoost system with a simple, fast-running battery model that captures the basic physics but can miss finer details. The simpler model puts out an initial set of results, and the XGBoost element fine-tunes those to make corrections on the fly, especially when the battery is under strain.

    The result is a hybrid model that is able to respond both quickly and accurately to changes in driving conditions. A driver who floors the accelerator with just the simple model wouldn’t get enough energy; a more detailed model would give the right amount of energy only after it finished all its calculations. My hybrid model delivers a rapid boost of energy without delays.

    Other teams are working on similar hybrid approaches, blending physics and artificial intelligence in creative ways. Some are even building digital twinsreal-time virtual replicas of physical batteries – to offer sophisticated simulations that update constantly as conditions change.

    Battery storage pods like these in Arizona can store electricity between when it is generated and when it is needed.
    AP Photo/Ross D. Franklin

    What’s next

    Battery research is moving quickly, and the field is already seeing signs of change. Models are becoming more reliable across a wider range of conditions. Engineers are using real-time monitoring to extend battery life, prevent overheating and improve energy efficiency. Machine learning lets researchers train battery management systems to optimize performance for specific applications, such as high power demands in electric vehicles, daily cycles of home electricity use, short power bursts for drones, or long-duration requirements for building-scale battery systems.

    And there’s more to come: Researchers are working to include other important factors into their battery models, such as heat generation and mechanical stress.

    Some teams are taking hybrid models and compiling their software into lightweight code that runs on microcontrollers inside battery hardware. In practice, that means each battery pack carries its own brain on-board, calculating state-of-charge, estimating aging and tracking thermal or mechanical stress in near-real time. By embedding the model in the device’s electronics, the pack can autonomously adjust its charging and discharging strategy on the fly, making every battery smarter, safer and more efficient.

    As the energy landscape evolves – with more electric vehicles on the road, more renewable energy sources feeding into the grid, and more people relying on batteries in daily life – the ability to understand what a battery is doing in real time becomes more critical than ever.

    Emmanuel Olugbade receives funding from the National Science Foundation.

    ref. Why predicting battery performance is like forecasting traffic − and how researchers are making progress – https://theconversation.com/why-predicting-battery-performance-is-like-forecasting-traffic-and-how-researchers-are-making-progress-253572

    MIL OSI – Global Reports

  • MIL-OSI Global: ‘Extraordinary claims require extraordinary evidence’ − an astronomer explains how much evidence scientists need to claim discoveries like extraterrestrial life

    Source: The Conversation – USA – By Chris Impey, University Distinguished Professor of Astronomy, University of Arizona

    The universe is filled with countless galaxies, stars and planets. Astronomers may find life one day, but they will need extraordinary proof. ESA/Euclid/Euclid Consortium/NASA, image processing by J.-C. Cuillandre (CEA Paris-Saclay), G. Anselmi

    The detection of life beyond Earth would be one of the most profound discoveries in the history of science. The Milky Way galaxy alone hosts hundreds of millions of potentially habitable planets. Astronomers are using powerful space telescopes to look for molecular indicators of biology in the atmospheres of the most Earth-like of these planets.

    But so far, no solid evidence of life has ever been found beyond the Earth. A paper published in April 2025 claimed to detect a signature of life in the atmosphere of the planet K2-18b. And while this discovery is intriguing, most astronomers – including the paper’s authors – aren’t ready to claim that it means extraterrestrial life exists. A detection of life would be a remarkable development.

    The astronomer Carl Sagan used the phrase, “Extraordinary claims require extraordinary evidence,” in regard to searching for alien life. It conveys the idea that there should be a high bar for evidence to support a remarkable claim.

    I’m an astronomer who has written a book about astrobiology. Over my career, I’ve seen some compelling scientific discoveries. But to reach this threshold of finding life beyond Earth, a result needs to fit several important criteria.

    When is a result important and reliable?

    There are three criteria for a scientific result to represent a true discovery and not be subject to uncertainty and doubt. How does the claim of life on K2-18b measure up?

    First, the experiment needs to measure a meaningful and important quantity. Researchers observed K2-18b’s atmosphere with the James Webb Space Telescope and saw a spectral feature that they identified as dimethyl sulfide.

    On Earth, dimethyl sulfide is associated with biology, in particular bacteria and plankton in the oceans. However, it can also arise by other means, so this single molecule is not conclusive proof of life.

    Second, the detection needs to be strong. Every detector has some noise from the random motion of electrons. The signal should be strong enough to have a low probability of arising by chance from this noise.

    The K2-18b detection has a significance of 3-sigma, which means it has a 0.3% probability of arising by chance.

    That sounds low, but most scientists would consider that a weak detection. There are many molecules that could create a feature in the same spectral range.

    The “gold standard” for scientific detection is 5-sigma, which means the probability of the finding happening by chance is less than 0.00006%. For example, physicists at CERN gathered data patiently for two years until they had a 5-sigma detection of the Higgs boson particle, leading to a Nobel Prize one year later in 2013.

    The announcement of the discovery of the Higgs boson took decades from the time Peter Higgs first predicted the existence of the particle. Scientists, such as Joe Incandela shown here, waited until they’d reached that 5-sigma level to say, ‘I think we have it.’

    Third, a result needs to be repeatable. Results are considered reliable when they’ve been repeated – ideally corroborated by other investigators or confirmed using a different instrument. For K2-18b, this might mean detecting other molecules that indicate biology, such as oxygen in the planet’s atmosphere. Without more and better data, most researchers are viewing the claim of life on K2-18b with skepticism.

    Claims of life on Mars

    In the past, some scientists have claimed to have found life much closer to home, on the planet Mars.

    Over a century ago, retired Boston merchant turned astronomer Percival Lowell claimed that linear features he saw on the surface of Mars were canals, constructed by a dying civilization to transport water from the poles to the equator. Artificial waterways on Mars would certainly have been a major discovery, but this example failed the other two criteria: strong evidence and repeatability.

    Lowell was misled by his visual observations, and he was engaging in wishful thinking. No other astronomers could confirm his findings.

    Mars, as taken by the OSIRIS instrument on the ESA Rosetta spacecraft during its February 2007 flyby of the planet and adjusted to show color.
    ESA & MPS for OSIRIS Team MPS/UPD/LAM/IAA/RSSD/INTA/UPM/DASP/IDA, CC BY-SA

    In 1996, NASA held a press conference where a team of scientists presented evidence for biology in the Martian meteorite ALH 84001. Their evidence included an evocative image that seemed to show microfossils in the meteorite.

    However, scientists have come up with explanations for the meteorite’s unusual features that do not involve biology. That extraordinary claim has dissipated.

    More recently, astronomers detected low levels of methane in the atmosphere of Mars. Like dimethyl sulfide and oxygen, methane on Earth is made primarily – but not exclusively – by life. Different spacecraft and rovers on the Martian surface have returned conflicting results, where a detection with one spacecraft was not confirmed by another.

    The low level and variability of methane on Mars is still a mystery. And in the absence of definitive evidence that this very low level of methane has a biological origin, nobody is claiming definitive evidence of life on Mars.

    Claims of advanced civilizations

    Detecting microbial life on Mars or an exoplanet would be dramatic, but the discovery of extraterrestrial civilizations would be truly spectacular.

    The search for extraterrestrial intelligence, or SETI, has been underway for 75 years. No messages have ever been received, but in 1977 a radio telescope in Ohio detected a strong signal that lasted only for a minute.

    This signal was so unusual that an astronomer working at the telescope wrote “Wow!” on the printout, giving the signal its name. Unfortunately, nothing like it has since been detected from that region of the sky, so the Wow! Signal fails the test of repeatability.

    ‘Oumuamua is the first object passing through the solar system that astronomers have identified as having interstellar origins.
    European Southern Observatory/M. Kornmesser

    In 2017, a rocky, cigar-shaped object called ‘Oumuamua was the first known interstellar object to visit the solar system. ‘Oumuamua’s strange shape and trajectory led Harvard astronomer Avi Loeb to argue that it was an alien artifact. However, the object has already left the solar system, so there’s no chance for astronomers to observe it again. And some researchers have gathered evidence suggesting that it’s just a comet.

    While many scientists think we aren’t alone, given the enormous amount of habitable real estate beyond Earth, no detection has cleared the threshold enunciated by Carl Sagan.

    Claims about the universe

    These same criteria apply to research about the entire universe. One particular concern in cosmology is the fact that, unlike the case of planets, there is only one universe to study.

    A cautionary tale comes from attempts to show that the universe went through a period of extremely rapid expansion a fraction of a second after the Big Bang. Cosmologists call this event inflation, and it is invoked to explain why the universe is now smooth and flat.

    In 2014, astronomers claimed to have found evidence for inflation in a subtle signal from microwaves left over after the Big Bang. Within a year, however, the team retracted the result because the signal had a mundane explanation: They had confused dust in our galaxy with a signature of inflation.

    On the other hand, the discovery of the universe’s acceleration shows the success of the scientific method. In 1929, astronomer Edwin Hubble found that the universe was expanding. Then, in 1998, evidence emerged that this cosmic expansion is accelerating. Physicists were startled by this result.

    Two research groups used supernovae to separately trace the expansion. In a friendly rivalry, they used different sets of supernovae but got the same result. Independent corroboration increased their confidence that the universe was accelerating. They called the force behind this accelerating expansion dark energy and received a Nobel Prize in 2011 for its discovery.

    On scales large and small, astronomers try to set a high bar of evidence before claiming a discovery.

    Chris Impey receives funding from the Natonal Science Foundation and the Howard Hughes Medical Institute.

    ref. ‘Extraordinary claims require extraordinary evidence’ − an astronomer explains how much evidence scientists need to claim discoveries like extraterrestrial life – https://theconversation.com/extraordinary-claims-require-extraordinary-evidence-an-astronomer-explains-how-much-evidence-scientists-need-to-claim-discoveries-like-extraterrestrial-life-254914

    MIL OSI – Global Reports

  • MIL-OSI Global: Trump’s ‘Garden of American Heroes’ is a monument to celebrity and achievement – paid for with history funding that benefits everyday Americans

    Source: The Conversation – USA – By Jennifer Tucker, Professor of History, Wesleyan University

    Donald Trump speaks in front of a wax statue of John Wayne at the John Wayne Museum in Winterset, Iowa, during the 2016 GOP primaries. Al Drago/CQ Roll Call via Getty Images

    Donald Trump first came up with his plan for a “National Garden of American Heroes” at the end of his first term, before President Joe Biden quietly tabled it upon replacing Trump in the White House.

    Now, with Trump back in the Oval Office – and with the country’s 250th anniversary fast approaching – the project is back. The National Endowment for the Humanities is seeking to commission 250 statues of famous Americans from a predetermined list, to be displayed at a location yet to be determined.

    It isn’t clear who compiled the list of 250 to be honored. It includes names that are largely recognizable and whose accomplishments are well-known: politicians like Abraham Lincoln and John F. Kennedy; jurists Ruth Bader Ginsburg and Antonin Scalia; activists such as Martin Luther King, Jr. and Harriet Tubman; celebrities such as John Wayne and Julia Child; and sports stars like Kobe Bryant and Babe Ruth.

    Donald Trump announces some famous Black Americans he plans to include in his ‘National Garden of American Heroes’ during a Black History Month event on Feb. 20, 2025, at the White House.

    The statue garden coincides with an executive order from March 2025 in which the Trump administration denounced what it saw as historical revisionism that had recast the country’s “unparalleled legacy of advancing liberty, individual rights, and human happiness.” Instead, it had constructed a story of the nation that portrayed it “as inherently racist, sexist, oppressive, or otherwise irredeemably flawed,” which “fosters a sense of national shame.”

    “We don’t need to overemphasize the negative,” explained Lindsey Halligan, a 35-year-old insurance lawyer who is named in the order as one of the people tasked with reforming museums that receive government funds.

    Trump often casts himself as a man of the people. But as historians, we don’t see a garden of heroes as a populist effort. To us, it represents a top-down approach to U.S. history, akin to the hagiography that Americans already regularly get from movies, television and professional sports.

    And it comes at a cost: It’s going to be paid for with funds that had been previously allotted to tell stories about people and places that may be less familiar than the proposed figures for Trump’s garden. But they’re nonetheless meaningful to countless communities across the nation.

    Only the movers and shakers matter

    Trump’s fixation on America’s luminaries is adjacent to the “great man” theory of history.

    In 1840, Scottish philosopher and historian Thomas Carlyle published “On Heroes, Hero-Worship, and the Heroic in History,” in which he argued that “The History of the world is but the Biography of great men.”

    American biologist and eugenicist Frederick Adams Woods embraced the great man theory in his 1913 work, “The Influence of Monarchs: Steps in a New Science of History.” In it, he investigated 386 rulers in Western Europe from the 12th century until the French Revolution. He proposed a scientific measurement to quantify the relative impact these rulers had on the course of civilization.

    Then and now, many other historians and sociologists have pushed back, arguing that the “Great Man” view of history oversimplifies the past by attributing major historical events to the actions of a few influential individuals, while ignoring broader social, economic and cultural forces.

    Nonetheless, it continues to have broad appeal. It’s very popular among corporate leaders, for example, many of whom like to portray themselves as visionaries, with their business successes proof of their genius.

    Trump’s garden of heroes reflects his penchant for celebrating wealth, champions and successes, akin to what Walt Disney tried to capture with his Disney World ride Carousel of Progress, which highlights American technological advances.

    A national redundancy?

    However, the U.S. already has a national statuary hall, which opened in the U.S. Capitol in 1870. Each state has contributed two statues; for example, Massachusetts honors Samuel Adams and John Winthrop, while Ohio celebrates James Garfield and Thomas Edison.

    Today there are 102 statutes, though just 14 women.

    Importantly, the roster is fluid – not set in stone – and reflects debates over whom the nation ought to celebrate.

    Over time, the representation has become slightly more inclusive. The first woman, Illinois educator Frances Willard, was added in 1905. Only in 2022 did a Black American appear, when educator Mary Bethune replaced a Confederate general from Florida. And in 2024, Johnny Cash replaced James Paul Clarke, a former governor and senator from Arkansas with Confederate sympathies.

    Family members and elected officials attend the unveiling of the statue of Johnny Cash at the U.S. Capitol on Sept. 24, 2024.
    Kent Nishimura/Getty Images

    What about everyday Americans?

    We don’t think there’s anything wrong with celebrating and honoring popular figures in American history. But we do think there’s an issue when it comes at the expense of other historical and archival projects.

    The New York Times reported that US$34 million for the project would come from funds formerly allocated to the National Endowment for the Arts and National Endowment for the Humanities, whose budget has been cut by 85%.

    Many of the grants that have been slashed explore, celebrate and preserve history in ways that stand in stark contrast to a statue garden. They involve, as Gal Beckerman writes in the Atlantic, efforts that “are about asking questions, about uncovering hidden or overlooked experiences, about closely examining texts or adding to the public record.”

    They include one that supports the digitization of local newspapers and archival records; another to collect and preserve oral histories of local communities; a grant that funds the production of documentaries and podcasts about local communities; traveling exhibitions that bring items from the Smithsonian’s collection to small towns and rural areas; and a grant to fund the collection of first-person accounts of Native Americans who attended U.S. government-run boarding schools.

    These and countless similar history projects serve millions of people far from Washington, and they have broad support from lawmakers and citizens of all political stripes.

    In 1938, as forces of fascism gathered in Europe, a Connecticut high school social science teacher said, “The greatest need of America, on the threshold of the greatest epoch of its history, is citizens who understand the past out of which the nation has grown. … Let us look into the souls of the leaders and the common people who have made America great.”

    In his 2016 campaign, Trump promised to work on behalf of everyday Americans – the “forgotten man and woman.” But the proposed statue garden of famous figures cuts out the common people from America’s story – not just as subjects of history, but as its stewards for future generations.

    With funds slashed from organizations dedicated to local history, we wonder how many more stories will go untold.

    Jennifer Tucker has received funding from the National Endowment for the Humanities for research that examines the social and cultural role of modern technology, such as facial recognition, through a historical lens.

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

    ref. Trump’s ‘Garden of American Heroes’ is a monument to celebrity and achievement – paid for with history funding that benefits everyday Americans – https://theconversation.com/trumps-garden-of-american-heroes-is-a-monument-to-celebrity-and-achievement-paid-for-with-history-funding-that-benefits-everyday-americans-254564

    MIL OSI – Global Reports

  • MIL-OSI Global: Colors are objective, according to two philosophers − even though the blue you see doesn’t match what I see

    Source: The Conversation – USA – By Elay Shech, Professor of Philosophy, Auburn University

    What appear to be blue and green spirals are actually the same color. Akiyoshi Kitaoka

    Is your green my green? Probably not. What appears as pure green to me will likely look a bit yellowish or blueish to you. This is because visual systems vary from person to person. Moreover, an object’s color may appear differently against different backgrounds or under different lighting.

    These facts might naturally lead you to think that colors are subjective. That, unlike features such as length and temperature, colors are not objective features. Either nothing has a true color, or colors are relative to observers and their viewing conditions.

    But perceptual variation has misled you. We are philosophers who study colors, objectivity and science, and we argue in our book “The Metaphysics of Colors” that colors are as objective as length and temperature.

    Perceptual variation

    There is a surprising amount of variation in how people perceive the world. If you offer a group of people a spectrum of color chips ranging from chartreuse to purple and asked them to pick the unique green chip – the chip with no yellow or blue in it – their choices would vary considerably. Indeed, there wouldn’t be a single chip that most observers would agree is unique green.

    Generally, an object’s background can result in dramatic changes in how you perceive its colors. If you place a gray object against a lighter background, it will appear darker than if you place it against a darker background. This variation in perception is perhaps most striking when viewing an object under different lighting, where a red apple could look green or blue.

    Of course, that you experience something differently does not prove that what is experienced is not objective. Water that feels cold to one person may not feel cold to another. And although we do not know who is feeling the water “correctly,” or whether that question even makes sense, we can know the temperature of the water and presume that this temperature is independent of your experience.

    Similarly, that you can change the appearance of something’s color is not the same as changing its color. You can make an apple look green or blue, but that is not evidence that the apple is not red.

    Under different lighting conditions, objects take on different colors.
    Gyozo Vaczi/iStock via Getty Images Plus

    For comparison, the Moon appears larger when it’s on the horizon than when it appears near its zenith. But the size of the Moon has not changed, only its appearance. Hence, that the appearance of an object’s color or size varies is, by itself, no reason to think that its color and size are not objective features of the object. In other words, the properties of an object are independent of how they appear to you.

    That said, given that there is so much variation in how objects appear, how do you determine what color something actually is? Is there a way to determine the color of something despite the many different experiences you might have of it?

    Matching colors

    Perhaps determining the color of something is to determine whether it is red or blue. But we suggest a different approach. Notice that squares that appear to be the same shade of pink against different backgrounds look different against the same background.

    The smaller squares may appear to be the same color, but if you compare them with the strip of squares at the bottom, they’re actually different shades.
    Shobdohin/Wikimedia Commons, CC BY-SA

    It’s easy to assume that to prove colors are objective would require knowing which observers, lighting conditions and backgrounds are the best, or “normal.” But determining the right observers and viewing conditions is not required for determining the very specific color of an object, regardless of its name. And it is not required to determine whether two objects have the same color.

    To determine whether two objects have the same color, an observer would need to view the objects side by side against the same background and under various lighting conditions. If you painted part of a room and find that you don’t have enough paint, for instance, finding a match might be very tricky. A color match requires that no observer under any lighting condition will see a difference between the new paint and the old.

    Is the dress yellow and white or black and blue?

    That two people can determine whether two objects have the same color even if they don’t agree on exactly what that color is – just as a pool of water can have a particular temperature without feeling the same to me and you – seems like compelling evidence to us that colors are objective features of our world.

    Colors, science and indispensability

    Everyday interactions with colors – such as matching paint samples, determining whether your shirt and pants clash, and even your ability to interpret works of art – are hard to explain if colors are not objective features of objects. But if you turn to science and look at the many ways that researchers think about colors, it becomes harder still.

    For example, in the field of color science, scientific laws are used to explain how objects and light affect perception and the colors of other objects. Such laws, for instance, predict what happens when you mix colored pigments, when you view contrasting colors simultaneously or successively, and when you look at colored objects in various lighting conditions.

    The philosophers Hilary Putnam and Willard van Orman Quine made famous what is known as the indispensability argument. The basic idea is that if something is indispensable to science, then it must be real and objective – otherwise, science wouldn’t work as well as it does.

    For example, you may wonder whether unobservable entities such as electrons and electromagnetic fields really exist. But, so the argument goes, the best scientific explanations assume the existence of such entities and so they must exist. Similarly, because mathematics is indispensable to contemporary science, some philosophers argue that this means mathematical objects are objective and exist independently of a person’s mind.

    The color of an animal can exert evolutionary pressure.
    Paul Starosta/Stone via Getty Images

    Likewise, we suggest that color plays an indispensable role in evolutionary biology. For example, researchers have argued that aposematism – the use of colors to signal a warning for predators – also benefits an animal’s ability to gather resources. Here, an animal’s coloration works directly to expand its food-gathering niche insofar as it informs potential predators that the animal is poisonous or venomous.

    In fact, animals can exploit the fact that the same color pattern can be perceived differently by different perceivers. For instance, some damselfish have ultraviolet face patterns that help them be recognized by other members of their species and communicate with potential mates while remaining largely hidden to predators unable to perceive ultraviolet colors.

    In sum, our ability to determine whether objects are colored the same or differently and the indispensable roles they play in science suggest that colors are as real and objective as length and temperature.

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

    ref. Colors are objective, according to two philosophers − even though the blue you see doesn’t match what I see – https://theconversation.com/colors-are-objective-according-to-two-philosophers-even-though-the-blue-you-see-doesnt-match-what-i-see-234467

    MIL OSI – Global Reports

  • MIL-OSI Global: These 4 tips can make screen time good for your kids and even help them learn to talk

    Source: The Conversation – USA – By Erika Squires, Assistant Professor, Wayne State University

    Getting involved when your kids are watching digital media can make it an educational experience, rather than just entertainment. damircudic/E+ via Getty Images

    Screen time permeates the lives of toddlers and preschoolers. For many young children, their exposure includes both direct viewing, such as watching a TV show, and indirect viewing, such as when media is on in the background during other daily activities.

    As many parents will know, research points to several negative effects of screen time. As scholars who specialize in speech pathology and early childhood development, we are particularly interested in the recent finding that too much screen time is associated with less parent-child talk, such as fewer conversational turns between parents and children.

    As a result, the American Academy of Pediatrics and World Health Organization suggest limiting screen time for children.

    Beyond quantity, they also emphasize the quality of a child’s engagement with digital media. Used in moderation, certain kinds of media can have educational and social benefits for children – and even contribute to language development.

    These tips may help parents structure and manage screen time more effectively.

    No. 1: Choose high-quality content

    Parents can enhance their children’s screen-time value by choosing high-quality media – that is, content with educational benefit. PBS Kids has many popular shows, from “Nature Cat” to “Sid the Science Kid,” that would qualify as educational.

    Two other elements contribute to the quality of screen time.

    First, screen content should be age-appropriate – that is, parents should choose shows, apps and games that are specifically designed for young children. Using a resource such as Common Sense Media allows parents to check recommended ages for television shows, movies and apps.

    Second, parents can look for shows that use evidence-based educational techniques, such as participatory cues. That’s when characters in shows break the “third wall” by directly talking to their young audience to prompt reflection, action or response. Research shows that children learn new words better when a show has participatory cues – perhaps because it encourages active engagement rather than passive viewing.

    Many classic, high-quality television shows for young children feature participatory cues, including “Mickey Mouse Clubhouse,” “Dora the Explorer,” “Go Diego Go!” and “Daniel Tiger’s Neighborhood.”

    No. 2: Join in on screen time

    The American Academy of Pediatrics recommends that parents and children watch media together whenever possible.

    Screen time doesn’t have to look like this.
    kbeis/DigitalVision Vectors via Getty Images

    This recommendation is based on the evidence that increased screen media use can reduce parent-child conversation. This, in turn, can affect language development. Intentionally discussing media content with children increases language exposure during screen time.

    Parents may find the following joint media engagement strategies useful:

    • Press pause and ask questions.
    • Point out basic concepts, such as letters and colors.
    • Model more advanced language using a “think aloud” approach, such as, “That surprised me! I wonder what will happen next?”

    No. 3: Connect what’s on screen to real life

    Learning from media is challenging for young children because their brains struggle to transfer information and ideas from screens to the real world. Children learn more from screen media, research shows, when the content connects to their real-life experiences.

    To maximize the benefits of screen time, parents can help children connect what they are viewing with experiences they’ve had. For example, while watching content together, a parent might say, “They’re going to the zoo. Do you remember what we saw when we went to the zoo?”

    This approach promotes language development and cognitive skills, including attention and memory. Children learn better with repeated exposure to words, so selecting media that relates to a child’s real-life experiences can help reinforce new vocabulary.

    No. 4: Enjoy screen-free times

    Ensuring that a child’s day is filled with varied experiences, including periods that don’t involve screens, increases language exposure in children’s daily routines.

    Two ideal screen-free times are mealtimes and bedtime. Mealtimes present opportunities for back-and-forth conversation with children, exposing them to a lot of language. Additionally, bedtime should be screen-free, as using screens near bedtime or having a TV in children’s bedrooms disrupts sleep.

    Alternatively, devoting bedtime to reading children’s books accomplishes the dual goals of helping children wind down and creating a language-rich routine.

    Having additional screen-free, one-on-one, parent-child play for at least 10 minutes at some other point in the day is good for young children. Parents can maximize the benefits of one-on-one play by letting their children decide what and how to play.

    Even in small doses, parent-child playtime is important.
    Vera Livchak/Moment via Getty Images

    A parent’s role here is to follow their child’s lead, play along, give their child their full attention – so no phones for mom or dad, either – and provide language enrichment. They can do this by labeling toys, pointing out shapes, colors and sizes. It can also be done by describing activities – “You’re rolling the car across the floor” – and responding when their child speaks.

    Parent-child playtime is also a great opportunity to extend interests from screen time. Including toys of your child’s favorite characters from the shows or movies they love in playtime transforms that enjoyment from screen time into learning.

    Lucy (Kathleen) McGoron receives funding from Michigan Health Endowment fund and SAMHSA.

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

    ref. These 4 tips can make screen time good for your kids and even help them learn to talk – https://theconversation.com/these-4-tips-can-make-screen-time-good-for-your-kids-and-even-help-them-learn-to-talk-242580

    MIL OSI – Global Reports

  • MIL-OSI Global: Hotter and drier climate in Colorado’s San Luis Valley contributes to kidney disease in agriculture workers, new study shows

    Source: The Conversation – USA – By Katherine Ann James, Associate Professor of Environmental and Occupational Health, University of Colorado Anschutz Medical Campus

    Agricultural workers exposed to a hotter and drier climate are at an increased risk of kidney damage. George Rose/via Getty Images

    Heat and humidity contributed to kidney damage and disease in the San Luis Valley in Colorado between 1984 and 1998, according to our recently published work in the peer-reviewed journal Weather, Climate, and Society.

    The San Luis Valley is the largest high valley desert in North America. Many of its residents work in agriculture and are exposed to worsening air quality. That decline is due to increased wildfires, dust and temperatures, in combination with low humidity. This change was in part caused by the region’s climate becoming more arid due to a 23-year drought.

    I’m an environmental epidemiologist with an engineering background. For nearly two decades, I have partnered with the San Luis Valley community to investigate how water systems affect human health. Over the past eight years, my team’s research has focused on the far-reaching human health effects of the drought in the area.

    In this study, we used data from a cohort of people in the San Luis Valley who were originally recruited for research on the risk factors for Type 2 diabetes. Researchers often look to established datasets to evaluate new hypotheses because it avoids the need to recruit new study participants. This dataset includes 15 years of clinical, behavioral, demographic, genetic and environmental exposure data. Using it in our recent study allowed us to evaluate the impacts of drought conditions on kidney health.

    Our study suggests that a 10% decline in humidity is associated with a 2% increase in risk for acute kidney injury, while accounting for known risk factors for kidney disease. Those risk factors include age, sex, diabetes and hypertension.

    These findings are supported by our previous study that examined the effects of drought and heat on emergency and urgent care visits for kidney-related issues between 2003 and 2017 in the San Luis Valley.

    The two studies align with growing evidence that climate-related changes, particularly heat and humidity, are contributing to kidney injury. Over time, this means that more people are developing chronic kidney disease.

    Why it matters

    Globally, 10% of the population has kidney disease. In 2021, kidney diseases were the ninth leading cause of death worldwide, according to the World Health Organization. People experiencing poverty or limited access to health care are disproportionately affected.

    In the U.S., more than 1 in 7 adults has chronic kidney disease. That does not account for those with undiagnosed kidney disease.

    Extended exposure to drought conditions coupled with inadequate water intake has been linked to kidney stones, acute kidney injury and chronic kidney disease.

    Dehydration, especially in outdoor workers who labor in hot or dry conditions, is a known contributor to both acute kidney injury and chronic kidney disease.

    Acute kidney injury is characterized by a reduction in kidney function that is reversible.

    Chronic kidney disease is kidney damage that is progressive and may not be reversible.

    Studies in Florida and California have shown declining kidney health in agriculture workers as working conditions are becoming hotter and drier.

    Outdoor workers in agriculture, forestry, mining, ranching and construction are susceptible to the effects of changing outdoor conditions coupled with physical labor. This combination exacerbates dehydration and leads to acute and chronic kidney disease.

    What other research is being done

    In addition to these studies, our research team is involved in other projects aimed at addressing the health impacts of a changing climate.

    One such initiative is the Mountain West Climate-Health Engagement Hub, which focuses on reducing exposure to decreased air quality. This includes the deployment of do-it-yourself air filters and development of low-cost, point-of-use water filters to mitigate exposure to the secondary effects of drought.

    Do-it-yourself air filters can reduce exposure to decreased air quality.
    The Washington Post/Getty Images

    In the Centers for Health, Work & Environment, where I am affiliated, multiple national and international studies are focused on agriculture workers, farm owners and ranchers.

    These studies examine how heat, air quality and drought affect kidney, cardiovascular and mental health. These broader studies aim to inform policy and interventions to safeguard the health of workers globally and particularly in regions most vulnerable to climate change.

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

    Katherine Ann James receives funding from National Institutes of Health and CDC-National Institute of Occupational Safety and Health

    ref. Hotter and drier climate in Colorado’s San Luis Valley contributes to kidney disease in agriculture workers, new study shows – https://theconversation.com/hotter-and-drier-climate-in-colorados-san-luis-valley-contributes-to-kidney-disease-in-agriculture-workers-new-study-shows-248402

    MIL OSI – Global Reports

  • MIL-OSI USA: One Step at a Time: Labyrinths (Even Temporary Ones) Are a Place for Wellness

    Source: US State of Connecticut

    For centuries, labyrinths have served as symbols of personal journeys, struggles, and triumphs. In addition to being the setting for classic myths, labyrinths are also a place where, with each thoughtful step, one can wander and process topics weighing heavily on the mind.

    UConn Department of Sociology Professor-in-Residence Phoebe Godfrey, Department of Geography, Sustainability, Community and Urban Studies Professor Carol Atkinson-Palombo, and students recently installed a temporary labyrinth on campus to raise awareness for the possibility of a permanent remembrance labyrinth on the Storrs campus. The temporary chalk labyrinth can be found in between the Austin Building and Beach Hall until the next rain. 

    Godfrey is inspired to advocate for a future labyrinth as a place on campus where people can gather, and temporary labyrinths are a great way to share the idea and purpose of the project. “My classes are all linked to helping students connect more deeply with their bodies, and the Earth as part of their and planetary well-being, and labyrinths are a great way to do this,” says Godfrey. “Many other schools have built them for similar reasons, including a small one at Eastern Connecticut State University.” 

    After the success of the buddy bench project, Godfrey connected with UConn’s Director of Site Planning & University Landscape Architect Sean Vasington with the idea. 

    Alanna Torres-Laboy ’23 (CLAS), ’25 MA, a graduate assistant in UConn’s Dean of Students Office, walks on the temporary labyrinth set up on the Founders Green on Wednesday, April 23, 2025. (Sydney Herdle/UConn Photo)

    “For decades prior to the COVID-19 pandemic and since, health care providers have emphasized the importance of natural and built environments and their influence on our overall health and wellbeing, recommending nature-based programs as one way to help alleviate stress,” Vasington says. “There is also a strong connection between the quality of the conditions and features of a campus landscape and the mental health of students, including their ability to perform to their full potential academically. UConn is fortunate to have beautiful, open grounds and forests with ample walking paths and communal sitting areas; however it can also benefit from more quiet, reflective spaces within the campus core that connect us to nature. The proposed garden and labyrinth will do just that.” 

    Godfrey also attended a conference and met with educators at the University of Massachusetts who are working toward building a permanent installation on their campus. The UMass project has been underway for almost 10 years, and was bolstered by a study that suggested that labyrinth walking can lower blood pressure and pulse rate and increase overall satisfaction.  

    As with the current labyrinth installation, in Spring 2024 a temporary labyrinth was constructed between the Austin Building and Beach Hall for Earth Day. The installation included a journal for participants to share their thoughts or reflections, and the response was greater than anticipated.  

    Godfrey says around 25 people who visited the labyrinth last year wrote in the journal about their positive experiences interacting with the labyrinth. 

    “The diverse and yet collectively positive impact of labyrinths on university students has been documented,” says Godfrey. “Positive impacts include mental health and well-being, connecting walkers to a sense of place, sacredness and an ancient practice, and offering opportunities for lessons in contemplation and self-care. These claims were and continue to be supported by our student testimonies.” 

    Ella Barnett ‘24 (CLAS) helped with the construction of the labyrinth last spring and came back this year as an alum to help and document this year’s labyrinth through photography.

    “It has been beautiful to watch the labyrinth come to life for the second year in a row. I am grateful that it is able to create a space where individuals have an excuse to connect on the simplest terms, being a human with thought on Earth,” says Barnett.  

    Eduen Smith ’25 (CLAS) also helped construct this spring’s labyrinth.

    “This pop-up labyrinth is linked to a pop-up class from last fall based on the book ‘All We Can Save.’ The signs you see at the labyrinth were made by the students in class. They showcase some excerpts from various pieces in the book,” says Smith. “For me, this labyrinth is an example of how our students should be supported. A labyrinth is a simple creation that can impact folx’s mental health in profoundly positive ways. It’d also be a great permanent addition to our campus and even help beautify it!” 

    Though the spring installation was created with spray paint, other types of temporary labyrinths can be projected by light, constructed with yarn, or made of canvas or any other material — the creative possibilities are endless. 

    The potential project was granted space behind Arjona and engineered a few years ago, but to make it happen, Godfrey says, new momentum must be generated by recognizing the value of such ancient practice for our students now and into the future.  

    “The next challenge is to raise funding to complete the design and installation. Based on the success of the previous temporary installation, we hope this Spring installation will continue to build awareness and support for our permanent version,” says Godfrey. 

    When the weather is nice, people gather around Mirror Lake or Swan Lake, and landmarks like the former beloved Swing Tree and the buddy benches serve as areas where people can sit and enjoy the scenery. The labyrinth project’s collaborators hope the plan goes forward so the labyrinth can be another place on campus where students can hang out and enjoy the outdoors. In the meantime, to alleviate the end-of-semester stress, spend some time decompressing while you explore the latest temporary labyrinth installation.  

    The importance of decompressing and living in the moment is illustrated by a quote from a student who left a reflection of their time in the labyrinth in the journal:

    “My intention entering the labyrinth was to let go of this sense of hopelessness that has taken over me recently. As I took a stone, I prepared my body to take a breath and begin the walk. As I walked through the labyrinth, I imagined each hopeless thought as a stone that was weighing me down that dropped from my shoulders with every step I took. Finally, as I reached the center of the labyrinth, I placed the stone in the middle, symbolizing my own ‘pilgrimage for hope’. I felt connected to the Earth.” 
     

     

    MIL OSI USA News

  • MIL-OSI Global: Popcorn lung: how vaping can scar your lungs for life

    Source: The Conversation – UK – By Donal O’Shea, Professor of Chemistry, RCSI University of Medicine and Health Sciences

    Pixel-Shot/Shutterstock

    A US teenager was recently reported to have developed the oddly named medical condition “popcorn lung” after vaping in secret for three years. Officially known as bronchiolitis obliterans, popcorn lung is a rare but serious and irreversible disease that damages the tiny airways in the lungs, leading to persistent coughing, wheezing, fatigue and breathlessness.

    The term “popcorn lung” dates back to the early 2000s when several workers at a microwave popcorn factory developed lung problems after inhaling a chemical called diacetyl – the same ingredient used to give popcorn its rich, buttery taste.

    Diacetyl, or 2,3-butanedione, is a flavouring agent that becomes a toxic inhalant when aerosolised. It causes inflammation and scarring in the bronchioles (the smallest branches of the lungs), making it increasingly difficult for air to move through. The result: permanent, often disabling lung damage.

    While diacetyl is the most infamous cause, popcorn lung can also be triggered by inhaling other toxic chemicals, including volatile carbonyls like formaldehyde and acetaldehyde – both of which have also been detected in e-cigarette vapours.

    The scariest part? There’s no cure for popcorn lung. Once the lungs are damaged, treatment is limited to managing symptoms. This can include bronchodilators, steroids, and in extreme cases, lung transplantation. For this reason, prevention – not treatment – is the best and only defence.

    And yet, for young vapers, prevention isn’t so straightforward.

    The vaping trap

    Vaping is especially popular among teenagers and young adults, possibly due to the thousands of flavoured vape products available – from bubblegum to cotton candy to mango ice. But those fruity, candy-like flavours come with a chemical cost.

    E-liquids may contain nicotine, but they also include a chemical cocktail designed to appeal to users. Many of these flavouring agents are approved for use in food. That doesn’t mean they’re safe to inhale.

    Here’s why that matters: when chemicals are eaten, they go through the digestive system and are processed by the liver before entering the bloodstream. That journey reduces their potential harm. But when chemicals are inhaled, they bypass this filtration system entirely. They go straight into the lungs – and from there, directly into the bloodstream, reaching vital organs like the heart and brain within seconds.

    That’s what made the original popcorn factory cases so tragic. Eating butter-flavoured popcorn? Totally fine. Breathing in the buttery chemical? Devastating.

    Vaping’s chemical complexity

    With vaping, the situation is even murkier. Experts estimate there are over 180 different flavouring agents used in e-cigarette products today. When heated, many of these chemicals break down into new compounds – some of which have never been tested for inhalation safety. That’s a major concern.




    Read more:
    Flavoured vapes may produce many harmful chemicals when e-liquids are heated – new research


    Diacetyl, though removed from some vape products, is still found in others. And its substitutes – acetoin and 2,3-pentanedione – may be just as harmful. Even if diacetyl isn’t the sole culprit, cumulative exposure to multiple chemicals and their byproducts could increase the risk of popcorn lung and other respiratory conditions.

    This was tragically echoed in the story of the American teen who developed the disease. Her case is reminiscent of the 2019 Evali crisis (e-cigarette or vaping product use-associated lung injury), which saw 68 deaths and over 2,800 hospitalisations in the US. That outbreak was eventually linked to vitamin E acetate – a thickening agent in some cannabis vape products. When heated, it produces a highly toxic gas called ketene.

    More recent studies are raising alarm bells about vaping’s impact on young people’s respiratory health. A multi-national study found that adolescents who vape report significantly more respiratory symptoms, even when adjusting for smoking status. Certain flavour types, nicotine salts, and frequency of use were all linked to these symptoms.

    So, what does this all mean?

    It’s clear that history is repeating itself. Just as workplace safety rules were overhauled to protect popcorn factory workers, we now need similar regulatory urgency for the vaping industry – especially when it comes to protecting the next generation.

    Learning from the past, protecting the future

    Popcorn and vaping might seem worlds apart, but they’re connected by a common thread: exposure to inhaled chemicals that were never meant for the lungs. The danger lies not in what these chemicals are when eaten, but in what they become when heated and inhaled.

    If we apply the lessons from industrial safety to today’s vaping habits – particularly among young people – we could avoid repeating the same mistakes. Regulations, clear labelling, stricter ingredient testing, and educational campaigns can help minimise the risks.

    Until then, stories like that of the American teen serve as powerful reminders that vaping, despite its fruity flavours and sleek designs, is not without consequence. Sometimes, what seems harmless can leave damage that lasts a lifetime.

    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. Popcorn lung: how vaping can scar your lungs for life – https://theconversation.com/popcorn-lung-how-vaping-can-scar-your-lungs-for-life-254414

    MIL OSI – Global Reports