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Category: Science

  • MIL-OSI United Kingdom: Hamza Yassin to deliver free talk at Anglia Ruskin

    Source: Anglia Ruskin University

    Published: 9 October 2024 at 12:18

    Presenter and wildlife cameraman has date at the Chelmsford Science Festival

    TV presenter, wildlife cameraman and Strictly Come Dancing champion Hamza Yassin will be heading to Essex later this month to take part in the Chelmsford Science Festival.

    The free event at Anglia Ruskin University (ARU) on Tuesday, 29 October, will focus on Hamza’s journey overcoming adversity with his dyslexia to becoming a renowned wildlife cameraman and presenter in My Life Behind the Lens. Hamza will share some incredible photographs and stories from his early life in Sudan and his global travels as a cameraman. 

    Hamza achieved national stardom when he lifted the famous Glitterball Trophy in 2022 with his professional partner Jowita Przystal, but he had enjoyed a successful and varied TV career before Strictly Come Dancing. Hamza’s first appearance was on The One Show, as one of their wildlife cameramen.

    He is known as Ranger Hamza on the hugely popular CBeebies shows Let’s Go For A Walk and Ranger Hamza’s Eco Quest, and is one of the regular presenters on the BBC’s Countryfile and Animal Park.

    For Channel 4, Hamza has presented Scotland: My Life in the Wild and Scotland: Escape to the Wilderness, and the highly regarded BBC One documentary Hamza: Strictly Birds of Prey. He is currently filming a new BBC One series titled Hamza’s Hidden Wild Isles.

    Hamza has a particular passion for birds and is a skilled ornithologist and birds nest recorder. His first book, Be a Birder: The joy of birdwatching and how to get started, was published last year, while his second book, Hamza’s Wild World, was published by Macmillan Children’s Books and is out now.

    Professor Laurie Butler, Dean of the Faculty of Science and Engineering at Anglia Ruskin University (ARU), said:

    “We are absolutely thrilled to be welcoming Hamza to ARU on 29 October as part of the Chelmsford Science Festival.

    “Hamza achieved national treasure status when he danced his way to victory on Strictly two years ago and we are excited to learn more about his passion for wildlife and nature.

    “As well as being a talented wildlife cameraman, Hamza is also a knowledgeable conservationist and ornithologist, so the event should be perfect for anyone with an interest in natural history.”

    Hamza will be bringing his cameras to ARU, offering visitors an exclusive, close-up look at his equipment, and will host a short Q&A session, so attendees should come armed with questions. Hamza will also be available to meet attendees following the talk and Q&A.

    Due to exceptional demand, the organisers have arranged a free live stream of Hamza’s talk on Tuesday, 29 October (6.30-8pm). 

    To register for the live stream, visit https://www.eventbrite.co.uk/e/hamza-yassin-my-life-behind-the-lens-tickets-1037842152817 or to join the waiting list to attend Hamza’s in-person talk at ARU, visit https://www.eventbrite.co.uk/e/my-life-behind-the-lens-tickets-1015926973927

    For further information about the 2024 Chelmsford Science Festival, and the full range of events taking place this year, visit https://www.aru.ac.uk/events/chelmsford-science-festival 

    MIL OSI United Kingdom –

    January 23, 2025
  • MIL-OSI Global: How 19th-century French novelist Balzac mastered the multiverse long before Marvel

    Source: The Conversation – UK – By Harsh Trivedi, Associate Teacher, School of Languages and Cultures, University of Sheffield

    The multiverse has become an essential part of pop culture. The Marvel Cinematic Universe (MCU) brought this shared universe style of storytelling to global prominence with Iron Man (2008), where a post-credit scene hinted at a larger interconnected universe.

    Over time, this expanded into a cinematic multiverse, particularly with the 2016 film Doctor Strange. Films like Spider-Man: No Way Home (2021) and Doctor Strange: Multiverse of Madness (2022) introduced audiences to parallel universes where different versions of the same character coexist. The multiverse has also been embraced by other films, like Everything Everywhere All At Once (2022), which won multiple Academy Awards and Stree 2, which became the highest-grossing Bollywood film of all time in September 2024.

    This style of storytelling has deep literary roots. I believe the first person to master the fictional multiverse was the 19th-century French novelist, Honoré de Balzac, in his monumental work La Comédie Humaine (The Human Comedy, 1829-1847).




    Read more:
    Multiverse films take characters to increasingly dark places – as Robert Downey Jr’s Doctor Doom casting shows


    In the 1920s, German physicist Werner Heisenberg challenged Newtonian physics, positing that particles can simultaneously occupy multiple states – he called this the Uncertainty Principle. Later, in the 1950s, American physicist Hugh Everett proposed the Many Worlds Interpretation, suggesting that all possible outcomes of a quantum event occur, each in a separate parallel universe.

    While this theory was developed in physics, the term “multiverse” was introduced into literature by British science fiction writer Michael Moorcock. In The Eternal Champion (1970), he envisioned characters existing in parallel worlds with multiple avatars.

    Honoré de Balzac, by Louis Boulanger (1836).
    Wikimedia., CC BY-SA

    However, Balzac’s La Comédie Humaine, written over a century earlier, already contained the seeds of multiverse storytelling. Comprising nearly 100 novels and short stories, it features thousands of characters who reappear across different works, creating a shared universe that allows for complex narrative interconnections.

    Balzac’s innovation was not merely in these recurring characters, but in the thematic and conceptual unity he established across his fictional universe.

    This cohesion is built through his “typology” of characters. Balzac’s “types” are characters who embody universal traits while retaining their individual personalities – making them instantly recognisable across different stories.

    In his preface to Une Ténébreuse Affaire (An Historical Mystery, 1841), Balzac defends his use of types: “A type … is a character who summarises in himself certain characteristic traits of all those who more or less resemble him; he is the model of the genre.”

    Hungarian philosopher Georg Lukács expanded on this idea, stating that Balzac’s types represent a synthesis of the individual and the universal. These characters are universal enough to represent broader societal forces, while remaining distinct individuals within their own narratives.

    The moment Andrew Garfield’s Spider-Man saves the love interest of Tom Holland’s Spider-Man, MJ.

    This balance between the universal and individual is a cornerstone of multiverse storytelling. For instance, the climax of Spider-Man: No Way Home highlights the interplay between the universal and individual aspects of characters, as seen when three versions of Spider-Man (Toby Maguire, Andrew Garfield, Tom Holland) from parallel universes unite. Garfield’s Spider-Man finds redemption by saving MJ (Holland’s Spider-Man’s love interest), a moment that mirrors his own tragic loss of Gwen – emphasising both their shared trauma and divergent fates.

    In much the same way, Balzac’s recurring characters evolve across La Comédie Humaine, reflecting different facets of their personalities and situations. Although not planned as a shared universe from the beginning – Balzac retrofitted earlier works to fit this framework – the coherence of his fictional world is remarkable.

    Mobilising the multiverse

    The French philosopher Alain wrote that Balzac’s literary universe can sometimes feel like a “crossroads where characters from La Comédie Humaine meet, greet each other, and pass”. This creates a sense of disjointedness, due to its lack of strict chronological order, allowing readers to enter Balzac’s universe from any of the nearly 100 novels or short stories.

    Balzac addressed these concerns in his prefaces. He engaged in a meta-discourse similar to the post-credit scenes in modern Marvel films, where future plot-lines and character arcs are hinted at.

    Balzac’s use of prefaces as a space to preempt criticism and engage with his readers anticipates the dialogue between creators and fans in the MCU. Just as Marvel balances creative vision with fan demands, Balzac used his prefaces to address concerns from his readers about the trajectories of beloved characters.

    One of many such instances occurs in the preface to Pierrette (1840), where Balzac reveals that Maxime de Trailles, a notorious bachelor who ruins many women’s lives in La Comédie Humaine, is finally getting married. Despite criticisms from readers who wanted De Trailles to meet a tragic and painful end, Balzac defends his decision, humorously remarking: “What do you want me to do? That devil Maxime is in good health.”

    Both Balzac and Marvel deal with the challenge of catering to a wide and diverse audience. The multiverse model, however, offers a solution to the limitations of a shared universe. While Balzac struggled with the impossibility of creating a completely coherent world – La Comédie Humaine was unfinished at his death – the multiverse allows modern creators to explore multiple realities and satisfy diverse audience expectations without making irreversible narrative choices.

    In 2019, Marvel faced a backlash to the film Captain Marvel from conservative fans, for casting a female actor in a lead role – and then, in 2022, another backlash for casting a Muslim Pakistani actress as Ms. Marvel. Rather than directly addressing the criticism, which could have alienated both conservative and liberal audiences, Marvel used the multiverse to cater to a wide range of expectations.

    Across the Spider-Verse (2023) is a prime example. This animated film features over 600 versions of Spider-Man, from the “traditional” white Spider-Man to black, Indian and even animal versions of the character (notably Peter “Porker”, the Spider-Pig). In doing so, Marvel catered to diverse global markets without committing to a single interpretation.

    Balzac’s La Comédie Humaine laid the groundwork for modern multiverse storytelling. This approach allowed him to explore different dimensions of his characters across various stories. His visionary storytelling anticipated the fluidity and complexity found in today’s shared cinematic universes, demonstrating his enduring influence on narrative structures.



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

    – ref. How 19th-century French novelist Balzac mastered the multiverse long before Marvel – https://theconversation.com/how-19th-century-french-novelist-balzac-mastered-the-multiverse-long-before-marvel-239764

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI Global: How to recognise burnout – and what to do if you’re affected

    Source: The Conversation – UK – By Michael Koch, Reader in Human Resource Management & Organisational Behaviour, Brunel University London

    PeopleImages.com – Yuri A/Shutterstock

    Emily, a finance manager, has been working 60-hour weeks for several months to meet deadlines. She starts feeling constantly exhausted, both physically and mentally. Work that she once found engaging now seems overwhelming, and she’s easily irritated with her colleagues. Despite putting in more hours, her productivity declines. Eventually, she starts calling in sick frequently and considers quitting her job, feeling like she just can’t keep going any more.

    Emily is a victim of burnout. For 2024, World Mental Health Day is focused on workplace health, with the aim of helping people like Emily recognise when work is affecting their wellbeing, so that they can take steps to address it.

    Burnout happens when the demands of a job are high for a long time, and are not offset by sufficient mental and physical resources. In this situation, people are no longer able to recover from their demanding job. Their energy is gradually drained, resulting in a state of mental exhaustion, a cynical and negative attitude towards their work, as well as a declining performance.

    In other words, people affected by burnout are neither able nor willing to fully function in their job. Burnout can occur in any job, but is most likely in workplaces where demands are high and resources low. It is a widespread phenomenon.

    A report by the charity Mental Health UK asserts that the country is on the verge of becoming a burnt-out nation, with 91% of the working adults surveyed reporting high or extreme levels of pressure and stress at some point in the past year.

    According to the same report, 20% of workers in the UK even took time off work due to poor mental health caused by stress last year.

    You don’t have to work in a desk job to be at risk of burnout.
    ultramansk/Shutterstock

    Research has consistently shown that the primary causes of burnout are excessive and prolonged job demands. This includes, for example, high workloads, job insecurity, role ambiguity, conflict, stress or stressful events, and work pressure.

    Burnout has severe consequences, most of all for people affected by it. Burnout impacts people differently, but even mild cases – which could linger for several years – can lead to a multitude of negative health outcomes. This includes work-related anxiety and depression, increased risk of cardiovascular diseases, Type 2 diabetes, insomnia, headaches and perhaps most alarmingly, increased mortality.

    People with mild cases of burnout are also at risk of developing more severe burnout that will keep them off work sick for long periods.

    Burnout is also worrying for organisations as it has a negative impact on creativity, leads to higher employee turnover, increased absenteeism and poor job performance.

    The symptoms of burnout differ from one person to another, and sometimes people might not even fully realise they’re burnt out until they are no longer just tired but too exhausted to function.

    People who experience burnout are drained of energy and may be overwhelmed even by
    small tasks. They distance themselves from their work, struggle with self doubt and develop cynical, negative attitudes regarding their job or the people they work for.

    When looking for symptoms of burnout, it might help to ask yourself questions like: Do you mostly talk about your work in a negative way? Do you tend to think less about your work and do your job almost mechanically? Do you sometimes feel sickened by your work tasks? Are there days when you feel tired before you arrive at work? Do you often feel emotionally drained during your work? Do you usually feel worn out and weary after your work?

    Burnout recovery and prevention needs to help minimise the job demands which cause
    exhaustion and disengagement. For example, reducing workload and work pressure, and establishing clear boundaries between life and work can help to reduce stressful job demands.

    Job resources can also help to mitigate the impact of job demands. This includes things like job control, having a variety of tasks, social support, performance feedback, opportunities for professional development and the quality of a worker’s relationship with their supervisor.

    When people have an abundance of these resources, the link between the demands of the job and burnout is greatly reduced because they help workers to cope better.

    Recovery is possible

    Opportunities for recovery from work-related stress are an especially important job resource in this context. Recovery means that employees have non-work time where they can relax and detach themselves from work. This may include leisure activities that allow people to simply experience pleasure without competitive pressures.

    Research has also shown that job crafting is an effective burnout intervention. Job crafting means that employees make small adjustments to both their job demands and resources. Employees can decrease their job demands by taking steps to minimise the emotionally, mentally or physically demanding job aspects or by reducing their workload.

    For example, this might involve looking for a calmer place to work. They can also increase job resources by engaging in professional development, gaining more autonomy at work and by asking others for support, feedback and advice. Over time, engaging in job crafting will lead to lower burnout.

    Organisations also need to play their part to reduce burnout. A range of intervention strategies such as stress management training, mindfulness-based approaches or policies that allow employees to disconnect from work outside of normal working hours are useful tools for combating burnout in an organisation.

    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. How to recognise burnout – and what to do if you’re affected – https://theconversation.com/how-to-recognise-burnout-and-what-to-do-if-youre-affected-240747

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI Global: How a subfield of physics led to breakthroughs in AI – and from there to this year’s Nobel Prize

    Source: The Conversation – USA – By Veera Sundararaghavan, Professor of Aerospace Engineering, University of Michigan

    Neural networks have their roots in statistical mechanics. BlackJack3D/iStock via Getty Images Plus

    John J. Hopfield and Geoffrey E. Hinton received the Nobel Prize in physics on Oct. 8, 2024, for their research on machine learning algorithms and neural networks that help computers learn. Their work has been fundamental in developing neural network theories that underpin generative artificial intelligence.

    A neural network is a computational model consisting of layers of interconnected neurons. Like the neurons in your brain, these neurons process and send along a piece of information. Each neural layer receives a piece of data, processes it and passes the result to the next layer. By the end of the sequence, the network has processed and refined the data into something more useful.

    While it might seem surprising that Hopfield and Hinton received the physics prize for their contributions to neural networks, used in computer science, their work is deeply rooted in the principles of physics, particularly a subfield called statistical mechanics.

    As a computational materials scientist, I was excited to see this area of research recognized with the prize. Hopfield and Hinton’s work has allowed my colleagues and me to study a process called generative learning for materials sciences, a method that is behind many popular technologies like ChatGPT.

    What is statistical mechanics?

    Statistical mechanics is a branch of physics that uses statistical methods to explain the behavior of systems made up of a large number of particles.

    Instead of focusing on individual particles, researchers using statistical mechanics look at the collective behavior of many particles. Seeing how they all act together helps researchers understand the system’s large-scale macroscopic properties like temperature, pressure and magnetization.

    For example, physicist Ernst Ising developed a statistical mechanics model for magnetism in the 1920s. Ising imagined magnetism as the collective behavior of atomic spins interacting with their neighbors.

    In Ising’s model, there are higher and lower energy states for the system, and the material is more likely to exist in the lowest energy state.

    One key idea in statistical mechanics is the Boltzmann distribution, which quantifies how likely a given state is. This distribution describes the probability of a system being in a particular state – like solid, liquid or gas – based on its energy and temperature.

    Ising exactly predicted the phase transition of a magnet using the Boltzmann distribution. He figured out the temperature at which the material changed from being magnetic to nonmagnetic.

    Phase changes happen at predictable temperatures. Ice melts to water at a specific temperature because the Boltzmann distribution predicts that when it gets warm, the water molecules are more likely to take on a disordered – or liquid – state.

    Statistical mechanics tells researchers about the properties of a larger system, and how individual objects in that system act collectively.

    In materials, atoms arrange themselves into specific crystal structures that use the lowest amount of energy. When it’s cold, water molecules freeze into ice crystals with low energy states.

    Similarly, in biology, proteins fold into low energy shapes, which allow them to function as specific antibodies – like a lock and key – targeting a virus.

    Neural networks and statistical mechanics

    Fundamentally, all neural networks work on a similar principle – to minimize energy. Neural networks use this principle to solve computing problems.

    For example, imagine an image made up of pixels where you only can see a part of the picture. Some pixels are visible, while the rest are hidden. To determine what the image is, you consider all possible ways the hidden pixels could fit together with the visible pieces. From there, you would choose from among what statistical mechanics would say are the most likely states out of all the possible options.

    In statistical mechanics, researchers try to find the most stable physical structure of a material. Neural networks use the same principle to solve complex computing problems.
    Veera Sundararaghavan

    Hopfield and Hinton developed a theory for neural networks based on the idea of statistical mechanics. Just like Ising before them, who modeled the collective interaction of atomic spins to solve the photo problem with a neural network, Hopfield and Hinton imagined collective interactions of pixels. They represented these pixels as neurons.

    Just as in statistical physics, the energy of an image refers to how likely a particular configuration of pixels is. A Hopfield network would solve this problem by finding the lowest energy arrangements of hidden pixels.

    However, unlike in statistical mechanics – where the energy is determined by known atomic interactions – neural networks learn these energies from data.

    Hinton popularized the development of a technique called backpropagation. This technique helps the model figure out the interaction energies between these neurons, and this algorithm underpins much of modern AI learning.

    The Boltzmann machine

    Building upon Hopfield’s work, Hinton imagined another neural network, called the Boltzmann machine. It consists of visible neurons, which we can observe, and hidden neurons, which help the network learn complex patterns.

    In a Boltzmann machine, you can determine the probability that the picture looks a certain way. To figure out this probability, you can sum up all the possible states the hidden pixels could be in. This gives you the total probability of the visible pixels being in a specific arrangement.

    My group has worked on implementing Boltzmann machines in quantum computers for generative learning.

    In generative learning, the network learns to generate new data samples that resemble the data the researchers fed the network to train it. For example, it might generate new images of handwritten numbers after being trained on similar images. The network can generate these by sampling from the learned probability distribution.

    Generative learning underpins modern AI – it’s what allows the generation of AI art, videos and text.

    Hopfield and Hinton have significantly influenced AI research by leveraging tools from statistical physics. Their work draws parallels between how nature determines the physical states of a material and how neural networks predict the likelihood of solutions to complex computer science problems.

    Veera Sundararaghavan receives external funding for research unrelated to the content of this article.

    – ref. How a subfield of physics led to breakthroughs in AI – and from there to this year’s Nobel Prize – https://theconversation.com/how-a-subfield-of-physics-led-to-breakthroughs-in-ai-and-from-there-to-this-years-nobel-prize-240871

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI: WTW launches partnership with the University of Colorado Boulder to harness the climate prediction revolution

    Source: GlobeNewswire (MIL-OSI)

    LONDON, Oct. 09, 2024 (GLOBE NEWSWIRE) — WTW (NASDAQ: WTW), a leading global advisory, broking, and solutions company today announced a new scientific partnership with the University of Colorado Boulder to transfer scientific advances in seasonal climate prediction to the insurance and risk management industries. Through this collaboration, WTW and its clients will be able to anticipate how weather events will affect their operations and portfolios over the next quarter and prepare for forecasted climate risks.

    Natural fluctuations in the Pacific Ocean – known as El Niño and La Niña – are the leading cause of year-over-year changes in the global climate. The reach of these patterns extends far beyond the Pacific and affects the odds of drought, wildfire, heatwaves, and hurricanes across much of the world. Because meteorological agencies are now able to predict El Niño and La Niña episodes several months ahead of time, these forecasts provide advance warning of severe weather events and likely climate impacts over large parts of the globe.

    Historically, the state of the tropical Pacific has cost trillions of dollars in direct damages and reduced economic growth. But most businesses have only begun to take advantage of the strong predictability offered by El Niño and La Niña. WTW has teamed with the University of Colorado Boulder to harness the ongoing ‘climate prediction revolution’ for business use and improve our ability to predict global climate for the coming season, year, and decade. At CU Boulder, the collaboration will be led by Prof. Pedro DiNezio, a leading expert in long-term climate forecasts, the effects of El Niño, and climate extremes under global warming.

    Scott St. George, Head of Weather and Climate Research for the WTW Research Network, said, “What happens in the tropical Pacific certainly does not stay in the tropical Pacific. El Niño and La Niña can reach across the entire globe to affect local weather and the risks of catastrophic perils. We are excited to work together with Prof. DiNezio so our clients know well in advance how to prepare their business when El Niño and La Niña are on the horizon. These insights will be especially valuable for sectors that depend strongly on natural resources, such as energy producers, food and beverage, and transportation.”

    Pedro DiNezio, Associate Professor in the Department of Atmospheric and Oceanic Sciences at CU Boulder, added, “Making predictions is one of the most thrilling parts of my work. Every prediction tests our understanding of the inner workings of the climate system. In addition, El Niño and La Niña happen every several years, therefore we do not fully know everything about these complex, sometimes chaotic phenomena, keeping our research fresh and exciting. This collaboration with WTW adds a new layer to this challenge as we learn how to produce predictions that are useful for the insurance sector and vulnerable communities around the world”.

    About WTW

    At WTW (NASDAQ: WTW), we provide data-driven, insight-led solutions in the areas of people, risk and capital. Leveraging the global view and local expertise of our colleagues serving 140 countries and markets, we help organizations sharpen their strategy, enhance organizational resilience, motivate their workforce and maximize performance.

    Working shoulder to shoulder with our clients, we uncover opportunities for sustainable success—and provide perspective that moves you.

    Learn more at wtwco.com.

    About the University of Colorado Boulder

    At the foot of the Rocky Mountains, the University of Colorado Boulder is nationally recognized as one of only 38 AAU public research universities. Established in 1876, CU Boulder is an R1 public research university with five Nobel laureates, nine MacArthur fellows and is the No. 1 public university recipient of NASA awards. CU Boulder is a leader in many fields, including aerospace engineering, earth and environmental science, physics, and environmental law. The school partners with many notable federal research labs, including the National Oceanic and Atmospheric Administration, the National Institute of Standards and Technology, and the National Renewable Energy Laboratory. Learn more.

    Media contact

    Sarah Booker: +44 7917 722040
    Sarah.booker@willistowerswatson.com

    CU Boulder Media Relations:
    cunews@colorado.edu

    The MIL Network –

    January 23, 2025
  • MIL-OSI Global: Blitz of political attack ads in Pennsylvania and other swing states may be doing candidates and voters more harm than good

    Source: The Conversation – USA – By Heather LaMarre, Associate Professor of Media and Communication, Temple University

    Nearly $11 billion is projected to be spent on political advertising in the 2024 fall election season. PM Images/DigitalVision Collection via Getty Images

    For Pennsylvania residents like me, there is no escape from the record-breaking number of political attack ads disrupting our favorite shows and filling our social media feeds.

    A projected US$10.7 billion is being spent nationwide – but particularly in battleground states – on political ads this election season.

    For those who are feeling election fatigue and just want to stream in peace: Buckle in, because it’s about to get worse.

    As of late August 2024, over $1.7 billion in political ads had been reserved nationwide to run between Labor Day and Election Day. Over $400 million of that is just for presidential election ads in seven key battleground states.

    With Pennsylvania widely considered the most decisive state in the 2024 presidential election, it may be no surprise that the Keystone State has the most presidential ad reservations, totaling $137 million.

    And the Philadelphia market alone is the top market in the country, with $125 million in ad reservations. Democrats are spending about 25% more than Republicans on presidential ads in Philly.

    As a political communication expert and professor of media and social influence who lives in Philadelphia, I am often asked: “Why are there so many political ads, why are they so negative, and more importantly, how do we make it stop?”

    I’ll answer the first two below. For the last, the truth is we don’t.

    A billboard in Philadelphia purchased by the Trump campaign.
    Selcuk Acar/Anadolu via Getty Images

    Voters feel exhausted, angry, stressed

    If campaigns are spending all this money on political attack ads, they must work, right? Surely they sway at least undecided voters?

    In a word: no. Research suggests deluges of negative political advertising do little to change voters’ minds.

    They can even backfire on candidates.

    When voters perceive ads as unfair or manipulative, they are less likely to vote for the candidate or party producing the ads. And when subjected to repeated unwanted exposure to political ads, they can experience “psychological reactance” and behave opposite of what the ads intended.

    Some studies also suggest that negative ads create election stress, which can reduce voter turnout among the less politically interested.

    In a 2023 Pew Research Center survey, 65% of U.S. adults reported that they always or often feel “exhausted” when they think about U.S. politics. More than half reported that they always or often feel “angry” with U.S. politics.

    More concerning, research suggests our elections are harming voters’ mental health. This is marked by lost sleep, increased anxiety and chronic stress.

    ‘Daisy’ and the birth of ad wars

    Historically, political advertising was considered an effective tool for educating voters, building momentum and engaging the politically uninterested.

    Although the research is mixed, past studies have shown that advertising increased election turnout and influenced voter behavior.

    The infamous 1964 “Daisy” ad run by President Lyndon Johnson’s campaign shocked audiences with the potential horrors of nuclear war. While the ad never mentioned Johnson’s opponent, Arizona Sen. Barry Goldwater, it is largely credited as a turning point in presidential political advertising, ushering in an era of political attack ads.

    LBJ’s “Daisy” ad played on American’s Cold War fears.

    However, political ad wars have been a feature of U.S. presidential elections since the 1800s, with attack ads on TV starting in the early 1950s.

    But why the constant barrage now?

    Citizens United unleashes flood of dark money

    Political ad spending has monumentally increased over the past several election cycles, and hit the billions after the landmark 2010 Citizens United case.

    In that ruling, the Supreme Court decided that limiting spending from corporations or outside groups violated those groups’ First Amendment right to free speech. Prior to Citizens United, corporations and other groups like nonprofits and labor unions were subject to prohibitions on campaign donations. Individual campaign contribution limits, which currently stand at $3,300 per candidate per election, kept spending relatively level across the electorate.

    Following the ruling, however, the influx of corporate and outside money completely changed the campaign finance landscape.

    In 2010, political ad spending reached $3.3 billion – an 11% increase from the 2008 election that took place pre-Citizens United. A decade later, total spending on political ads soared to $9 billion in the 2020 election.

    Significant portions of this spending come from political action committees that are not bound by traditional campaign contribution limits as long as they do not donate the money directly to a candidate or coordinate with a candidate’s campaign.

    These groups, known as super PACs, can raise and spend unlimited amounts of money from undisclosed donors. While super PACs have to disclose identities of people who donate over $200 in a year, donors can use shell companies to hide their identities.

    This web of secret money, known as dark money, exceeded $1 billion in 2020.

    During the 2024 election cycle, over $2.4 billion has been raised by super PACs. This is where much of the funding for the political ad barrage that voters experience in the weeks leading up to the election comes from.

    But why are the ads so negative?

    Attack ads lose appeal

    These days, most political ads are negative, according to a 2020 Pew Research Center study.

    For example, in the weeks following President Joe Biden leaving the race, 95% of pro-Trump ads focused on attacking Vice President Kamala Harris rather than promoting policy, according to the Wesleyan Media Project, which tracks political advertising.

    Americans are a deeply divided electorate. Political violence is on the rise, misinformation floods the system, and trust in media is at an all-time low.

    Research shows that fear-based negative messaging leads to stress and anxiety, elicits more bias and entrenches attitudes.

    Knowing this, it is reasonable to ask why campaigns continue down the path of negative advertising. The answer likely rests in old beliefs.

    Prior studies have shown that people pay closer attention to negative information than to positive information. And infamous ad effects like Johnson’s easy win after the airing of the Daisy ad contribute to the commonly held belief that negative ads still win elections.

    But the media environment has changed drastically, and voters are growing resentful.

    Voters resent microtargeting

    Unlike traditional voter segmentation where an entire group of voters would receive similar messages, campaigns now use data analytics to microtarget messages for specific voters.

    Microtargeting enlists the help of social monitoring companies to identify voters’ psychometric data – their hopes, fears, likes, dislikes and so on – so that campaigns can finely tune messages to target them on social media.

    Not only are these microtargeted messages manipulative, but they can be an unwelcome disruption and invasion of privacy, especially among the politically uninterested.

    A 2020 Pew survey found that over half of voters believe tech companies should not allow political ads on social media. Three-quarters oppose campaigns using their personal data to target them with political ads.

    Some evidence suggests that political microtargeting even reduces citizens’ trust in democracy.

    After record-breaking amounts of advertising this election cycle, the latest polls remain very tight, and most are within the margin of error. The reality is that Americans are already divided and steadfast in their voting decisions, and it is difficult to change entrenched political attitudes.

    Put simply, the political ad barrage coupled with microtargeting strategies is not an effective campaign strategy that sways voters’ minds. Meanwhile, there is growing evidence that this level of negativity is harming the electorate and undermining trust in democracy.

    Heather LaMarre 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. Blitz of political attack ads in Pennsylvania and other swing states may be doing candidates and voters more harm than good – https://theconversation.com/blitz-of-political-attack-ads-in-pennsylvania-and-other-swing-states-may-be-doing-candidates-and-voters-more-harm-than-good-239034

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI Global: Though home to about 50 white extremist groups, Ohio’s social and political landscape is undergoing rapid racial change

    Source: The Conversation – USA – By Paul J. Becker, Associate Professor of Sociology, University of Dayton

    Members of the white militia group Proud Boys march on the Ohio state capitol in Columbus on Jan. 6, 2024. Paul Becker, CC BY

    The first time many Americans heard about Springfield, Ohio, came during the September 2024 presidential debate when Donald Trump falsely claimed that Haitian immigrants in the city were eating other residents’ cats and dogs.

    Though shocking, these harmful rumors had been spreading on social media since the beginning of the summer and had gained more notoriety when JD Vance, a U.S. senator from Ohio and Trump’s running mate, made similar statements on X, the social media platform formerly called Twitter.

    But what has gone mostly overlooked is the effect these racist lies have had on energizing Ohio’s nearly 50 white extremist groups.

    Members of the white supremacist group Blood Tribe marched through Springfield on Aug. 10, 2024, with with swastikas on their signs.

    Since then, members of the Ku Klux Klan and the right-wing extremist group Proud Boys have each marched in separate demonstrations through Springfield.

    As scholars of extremism who live in Ohio and work at the University of Dayton, we have seen these events unfold at a time when city officials have received multiple bomb threats targeting local government offices and schools since Trump’s false and racist claims against Haitian immigrants.

    The changing landscape

    In our research, we have found that the rapidly changing social conditions in Ohio have played a significant role in the growth of extremism.

    Between 1990 and 2019, for instance, manufacturing jobs shrank from 21.7% of all employment in the state to 12.5%, a loss of nearly 360,000 jobs. As a result, income disparities between the professional and working classes have widened – as has the heightened sense among some alienated white men that white conservatives are the real victims of bias in a society growing more racially and culturally diverse.

    A neo-Nazi group speaks under heavy police protection at a 2005 rally sponsored by the National Socialist Movement at City Hall in Toledo, Ohio.
    Bill Pugliano/Getty Images

    For many of these alienated men, particularly those in rural areas that lack significant numbers of Black and Hispanic residents, extremist ideologies offer easy answers to complex questions that involve their sense of disenfranchisement.

    In 2020, for example, the population of Springfield was about 60,000. But over the past three years, city officials estimate that the population has grown by about 25%, partly fueled by the arrival of as many as 15,000 Haitian immigrants during that time. Many of them are legally living in the U.S. under a special federal program.

    Similar demographic shifts are occurring throughout the state. Between 2010 and 2022, the percentage of the white population dropped from 81.2% to 77.3%, a loss of about 250,000, putting the state’s white population at about 9.1 million. During the same time, the Hispanic population, for instance, grew from about 357,000 in 2010 to nearly 525,000.

    For some of these white extremists, these population changes will lead to an inevitable race war between white people and nonwhite people. We have found that the attraction of belonging to a group that promises strength, protection and a source of identity can be particularly compelling.

    The Ohio connection

    In recent years, white extremism in Ohio has received attention as a result of the extremist rhetoric of and often violent crimes committed by white men who call the state home. Consider just a few examples:

    Born and raised in Ohio, Andrew Anglin founded the Daily Stormer, a popular neo-Nazi website, in 2016.

    James Alex Fields Jr. of Maumee, Ohio, poses for a mug shot after he drove his car into a crowd of counterprotesters in Charlottesville, Va., on Aug. 12, 2017.
    Albemarle-Charlottesville Regional Jail via Getty Images

    James Alex Fields Jr., a white nationalist from the Toledo area, was sentenced to life in prison in 2019 for the murder of Heather Heyer in Charlottesville, Virginia. Fields was convicted of driving his car into a crowd of counterprotesters during the white nationalist Unite the Right Rally in August 2017.

    Prior to the attack, Fields frequently posted the hashtag #Hitlerwasright on his social media accounts and called for violence against nonwhites and Jews.

    In the summer of 2022, Ohio law enforcement officers shot and killed Ricky Shiffer after the armed Navy veteran fired a nail gun at the FBI field office in Cincinnati. On his social media accounts, Shiffer had called for violence against federal law enforcement officials after the FBI searched Donald Trump’s residence at Mar-a-Lago as part of the federal probe into Trump’s handling of classified documents.

    Tres Genco, a self-described incel – short for “involuntary celibate” – who hated women and believed he was owed sex from them, was from the Cincinnati area and pled guilty in 2022 to plotting a mass shooting of women at Ohio State University. Law enforcement officials in Ohio stopped the planned attack before it happened.

    On April 21, 2023, Christopher Brenner Cook, 20, of Columbus, Ohio, and others were sentenced to nearly eight years in prison for his plan to attack power grids across the U.S. Cook and his accomplices believed that they were starting a race war and used neo-Nazi propaganda and white supremacist ideology to recruit young people to join their group.

    Online recruitment tactics

    Leaders of white supremacist and militia groups often use both traditional outreach and digital platforms to recruit people to their groups. Traditional outreach includes recruitment in conversations, attending events, and sharing books, pamphlets, flyers and posters.

    At the same time, social media has become a critical tool for extremist groups to spread their message, recruit members and organize events.

    These online platforms create echo chambers that reinforce extremist beliefs in debunked conspiracy theories, such as the assumption that the federal government is part of a plot to eliminate the white race.

    In addition to the increased traffic on social media, we have seen a rise of extremist groups in Ohio known as active clubs, where members engage in physical fitness, combat training and emotional support that encourages the development of a warrior mentality in preparation for what followers believe is an inevitable race war.

    Countering extremism in Ohio

    Though the emergence of white extremist groups goes far beyond the borders of Ohio, we have found that community-based, educational initiatives are effective in understanding and ultimately eradicating the root causes of racial and ethnic hatred on the local level.

    In our view, community engagement that emphasizes dialogue and understanding across different racial groups is crucial for demonstrating the dangers of intolerance – and the benefits of diversity.

    Paul J. Becker is part of a team at The University of Dayton that received funding from the Department of Homeland Security for the Preventing Radicalization to Extremist Violence through Education, Network-Building and Training in Southwest Ohio (PREVENTS-OH) project. Funded by the Department of Homeland Security under the Targeted Violence and Terrorism Prevention (TVTP) Grant Program, PREVENTS-OH recognizes that domestic violent extremism and hate movements pose a serious threat to the realization of human rights.

    Art Jipson is part of a team at The University of Dayton that received funding from the Department of Homeland Security for the Preventing Radicalization to Extremist Violence through Education, Network-Building and Training in Southwest Ohio (PREVENTS-OH) project. Funded by the Department of Homeland Security under the Targeted Violence and Terrorism Prevention (TVTP) Grant Program, PREVENTS-OH recognizes that domestic violent extremism and hate movements pose a serious threat to the realization of human rights.

    – ref. Though home to about 50 white extremist groups, Ohio’s social and political landscape is undergoing rapid racial change – https://theconversation.com/though-home-to-about-50-white-extremist-groups-ohios-social-and-political-landscape-is-undergoing-rapid-racial-change-239997

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI Global: Buyer beware: Off-brand Ozempic, Zepbound and other weight loss products carry undisclosed risks for consumers

    Source: The Conversation – USA – By C. Michael White, Distinguished Professor of Pharmacy Practice, University of Connecticut

    In just a few years, brand-name injectable drugs such as Ozempic, Wegovy, Mounjaro and Zepbound have rocketed to fame as billion-dollar annual sellers for weight loss as well as to control blood sugar levels and reduce the risk of heart disease.

    But the price of these injections is steep: They cost about US$800-$1,000 per month, and if used for weight loss alone, they are not covered by most insurance policies. Both drugs mimic the naturally occurring hormone GLP-1 to help regulate blood sugar and reduce cravings. They can be taken only with a prescription.

    The Food and Drug Administration announced an official shortage of the active ingredients in these drugs in 2022, but on Oct. 2, 2024, the agency announced that the shortage has been resolved for the medicine tirzepatide, the active ingredient in Mounjaro and Zepbound.

    Despite the soaring demand and limited supply of these drugs, there are no generic versions available. This is because the patents for semaglutide – the active ingredient in Ozempic and Wegovy, which is still in shortage – and tirzepatide don’t expire until 2033 and 2036, respectively.

    As a result, nonbrand alternatives that can be purchased with or without a prescription are flooding the market. Yet these products come with real risks to consumers.

    I am a pharmacist who studies weaknesses in federal oversight of prescription and over-the-counter drugs and dietary supplements in the U.S. My research group recently has investigated loopholes that are allowing alternative weight loss products to enter the market.

    High demand is driving GLP-1 wannabes

    The dietary supplement market has sought to cash in on the GLP-1 demand with pills, teas, extracts and all manner of other products that claim to produce similar effects as the brand names at a much lower price.

    Products containing the herb berberine offer only a few pounds of weight loss, while many dietary supplement weight loss products contain stimulants such as sibutramine and laxatives such as phenolphthalein, which increase the risk of heart attacks, strokes and cancer.

    Poison control centers have seen a steep rise in calls related to off-brand weight loss medications.

    The role of compounding pharmacies

    Unlike the dietary supplements that are masquerading as GLP-1 weight loss products, compounding pharmacies can create custom versions of products that contain the same active ingredients as the real thing for patients who cannot use either brand or generic products for some reason.

    These pharmacies can also produce alternative versions of brand-name drugs when official drug shortages exist.

    Since the demand for GLP-1 medications has far outpaced the supply, compounding pharmacies are legally producing a variety of different semaglutide and tirzepatide products.

    These products may come in versions that differ from the brand-name companies, such as vials of powder that must be dissolved in liquid, or as tablets or nasal sprays.

    Just like the brand-name drugs, you must have a valid prescription to receive them. The prices range from $250-$400 a month – still a steep price for many consumers.

    Compounding pharmacies must adhere to the FDA’s sterility and quality production methods, but these rules are not as rigorous for compounding pharmacies as those for commercial manufacturers of generic drugs.

    In addition, the products compounding pharmacies create do not have to be tested in humans for safety or effectiveness like brand-name products do.

    Proper dosing can also be challenging with compounded forms of the drugs.

    Companies that work the system

    For people who cannot afford a compounding pharmacy product, or cannot get a valid prescription for semaglutide or tirzepatide, opportunistic companies are stepping in to fill the void. These include “peptide companies,” manufacturers that create non-FDA approved knockoff versions of the drugs.

    From November 2023 to March 2024, my team carried out a study to assess which of these peptide companies are selling semaglutide or tirzepatide products. We scoured the internet looking for these peptide companies and collected information about what they were selling and their sales practices.

    We found that peptide sellers use a loophole to sell these drugs. On their websites, the companies state that their drugs are for “research purposes only” or “not for human consumption,” but they do nothing to verify that the buyers are researchers or that the product is going to a research facility.

    By reading the comments sections of the company websites and the targeted ads on social media, it becomes clear that both buyers and sellers understand the charade. Unlike compounding pharmacies, these peptide sellers do not provide the supplies you need to dissolve and inject the drug, provide no instructions, and will usually not answer questions.

    Peptide sellers, since they allegedly are not selling to consumers, do not require a valid prescription and will sell consumers whatever quantity of drug they wish to purchase. Even if a person has an eating disorder such as anorexia nervosa, the companies will happily sell them a semaglutide or tirzepatide product without a prescription. The average prices of these peptide products range from $181-$203 per month.

    Skirting regulations

    Peptide sellers do not have to adhere to the rules or regulations that drug manufacturers or compounding pharmacies do. Many companies state that their products are 99% pure, but an independent investigation of three companies’ products from August 2023 to March 2024 found that the purity of the products were far less than promised.

    One product contained endotoxin – a toxic substance produced by bacteria – suggesting that it was contaminated with microbes. In addition, the products’ promised dosages were off by up 29% to 39%. Poor purity can cause patients to experience fever, chills, nausea, skin irritation, infections and low blood pressure.

    In this study, some companies never even shipped the drug, telling the buyers they needed to pay an additional fee to have the product clear customs.

    If a consumer is harmed by a poor-quality product, it would be difficult to sue the seller, since the products specifically say they are “not for human consumption.” Ultimately, consumers are being led to spend money on products that may never arrive, could cause an infection, might not have the correct dose, and contain no instructions on how to safely use or store the product.

    Will prices for brand-name products come down?

    To combat these alternative sellers, pharmaceutical company Eli Lilly began offering an alternative version of its brand-name Zepbound product for weight loss in September 2024.

    Instead of its traditional injection pen products that cost more than $1,000 for a month’s supply, this product comes in vials that patients draw up and inject themselves. For patients who take 5 milligrams of Zepbound each week, the vial products would cost them $549 a month if patients buy it through the company’s online pharmacy and can show that they do not have insurance coverage for the drug.

    After a grilling on Capitol Hill in September 2024, pharmaceutical company Novo Nordisk came under intense pressure to offer patients without prescription coverage a lower-priced product for its brand-name Wegovy as well.

    In the next few years, additional brand-name GLP-1 agonist drugs will likely make it to market. As of October 2024, a handful of these products are in late-phase clinical trials, with active ingredients such as retatrutide, survodutide and ecnoglutide, and more than 18 other drug candidates are in earlier stages of development.

    When new pharmaceutical companies enter this market, they will have to offer patients lower prices than Eli Lilly and Novo Nordisk in order to gain market share. This is the most likely medium-term solution to drive down the costs of GLP-1 drugs and eliminate the drug shortages in the marketplace.

    C. Michael White 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. Buyer beware: Off-brand Ozempic, Zepbound and other weight loss products carry undisclosed risks for consumers – https://theconversation.com/buyer-beware-off-brand-ozempic-zepbound-and-other-weight-loss-products-carry-undisclosed-risks-for-consumers-239480

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI Global: 5 kinds of American evangelicals and their voting patterns

    Source: The Conversation – USA – By Richard Flory, Executive Director, Center for Religion and Civic Culture, USC Dornsife College of Letters, Arts and Sciences

    Evangelicals may share the same basic theology, but they are not a monolithic group. Joe Raedle/Getty Images

    Polls and analyses from journalists, scholars and even religious leaders often seem to assume that evangelicalism represents a singular religious and social identity. Former president and Republican nominee Donald Trump, who received 81% of the white evangelical vote in the 2016 election, is predicted to garner a majority share of this vote again in 2024.

    Yet, the reality is much more complex. In 2016, for example, evangelical leaders such as Jerry Falwell Jr. and Robert Jeffress celebrated Trump’s victory and evangelicalism’s role in bringing America back to God. Others – such as Russell Moore, currently editor of the evangelical magazine Christianity Today – saw Trump as the opposite of what evangelicalism represents.

    Led by prominent figures such as the late Jerry Falwell, contemporary evangelicalism emerged as a political force in the 1970s and 1980s and championed conservative religious values. Since then, evangelicals have been regarded as a uniform, monolithic group who are opposed to gay rights, abortion and more, and that they are a reliable conservative voting bloc.

    As a scholar of American religion who has studied the evangelical movement for over 30 years, I was dissatisfied with this interpretation. At University of Southern California’s Center for Religion and Civic Culture, we decided to bring together our collective research on evangelicalism to develop a broader template to understand the dynamics of American evangelicalism. The result was a report first published in 2018 that we continue to update.

    We have identified and described five varieties, or “types,” within the broader evangelical movement.

    Evangelicals and their beliefs

    At its core, evangelicalism is characterized by a belief in the literal truth of the Bible.

    For example, evangelicals believe that the world and humans were created by God; that Jesus was literally God’s son and also born as a human; that Jesus died and physically rose from the dead; and that God currently acts through humans to achieve his ends for humanity. A hallmark belief for evangelicals is having a “personal relationship with Jesus Christ” and a focus on encouraging others to be “born again” or “saved” through Jesus.

    Despite sharing the same basic theology, there are differences within evangelicalism politics and social engagement.

    We used three criteria to develop our five categories: First, each type shares a basic agreement on evangelical theology. Second, they each understand themselves as existing within the larger tradition of American evangelicalism. And third, their theology motivates how they act in the world, including appropriate social and political actions.

    Typologies simplify in order to explain, but they also can blur some of the finer distinctions between categories. Still, the perspectives these different varieties of evangelicals maintain shape not only who they will vote for but also why they vote a certain way.

    1. MAGA-vangelicals

    MAGA-vangelicals consist of the white Christian nationalist core of the “Make America Great Again” or MAGA, movement, with some Latino, Asian and Black American pastors aligning themselves with this movement.

    MAGA-vangelicals have been the most vocal and visible group of evangelicals since the 2016 election.

    The origins of this group trace back to the 1980s – the time of the emergence of the religious right. MAGA-vangelicals echo many of the same issues – such as opposition to abortion and LGBTQ+ rights and support for anti-immigration policies. One significant shift, however, since the Jan. 6, 2021, insurrection, is an increased acceptance of political violence. “Jan. 6 was not an insurrection,” evangelical leader Lance Wallnau has falsely asserted. “It was an election fraud intervention.” The baseless election fraud myth was the pretext for the violence on Jan. 6.

    2. Neo-fundamentalist evangelicals

    Neo-fundamentalists are evangelicals who are as theologically or politically conservative as MAGA-vangelicals but maintain a [theological commitment] to remain separate from any relationships – whether personal, social or political – that would, in their view, compromise the teachings of evangelical Christianity and their own identity as evangelical Christians.

    For example, Southern Baptist Theological Seminary President Albert Mohler and Christianity Today editor Russell Moore have opposed Trump due to his, by evangelical standards, lack of values and amoral lifestyle.

    The Rev. Russell Moore.
    AP Photo/Mark Humphrey, File

    However, they support how the Trump administration furthered the political goals of evangelical Christianity. In particular, they support the Supreme Court overturning Roe v. Wade and supporting evangelicals’ religious freedom to discriminate against LGBTQ+ people in their businesses.

    Yet there has recently been some qualified support among neo-fundamentalists offered for Trump himself, despite their opposition to his personal morals. For example, Mohler has argued that Trump is the better candidate to achieve their goals in 2024, despite his personal shortcomings. Mohler takes the position, though, that this support largely depends on Trump remaining committed to evangelical goals on issues such as abortion.

    3. iVangelicals

    iVangelicals are evangelicals primarily focused on personal faith and the weekly worship experience in their churches. They are mainly concentrated in the evangelical megachurch movement.

    iVangelicals want to reach large numbers of people through their popular worship services, varied social programs and small group ministries.

    iVangelicals are particularly adept at borrowing and adapting elements of popular culture to provide a “relevant” church atmosphere.

    For example, most iVangelical megachurches include music that, other than the lyrics, is nearly indistinguishable from secular pop and rock bands, in both style and quality. Although they are generally conservative in their theology and politics, they tend to stay away from overtly political messages in their churches.

    There is, however, a range of beliefs and commitments among iVangelicals, with some being attracted to groups such as Evangelicals for Harris, a new effort to mobilize evangelicals to move away from Republicans, Trump and MAGA and to vote for Harris. Their approach uses biblical examples and references to argue that true Christian teachings and actions are more aligned with Democrats than Republicans.

    Evangelicals for Harris.

    4. Kingdom Christians

    Kingdom Christians are evangelicals who, in their churches and ministries, strive to mirror the demographic and socioeconomic mix of the neighborhoods where they are rooted.

    They tend to have a more diverse racial and ethnic mix of members than other evangelical churches. Their focus is to be a part of, and to serve, their local communities in a manner that mirrors their conception of the kingdom of God on Earth.

    Leaders among Kingdom Christians often critique the economic and political systems that produce poverty and racial injustice. The focus of their efforts, however, is on creating relationships with local businesses and activists in the local community and contributing to policy through engagement with local officials.

    Kingdom Christians are present-oriented; the kingdom of God is to be realized in the communities where believers live, as well as in some future spiritual world.

    5. Peace and Justice evangelicals

    Peace and Justice evangelicals are a loose network of pastors, nonprofit leaders, professors and activists. They are a small segment within evangelicalism often embedded in larger organizations, and they focus their work on key social and political issues such as racial justice, immigration reform and environmental issues. They seek to have a wider impact than just a focus on the local community.

    Peace and Justice evangelicals trace their origins to the late 1960s publication, The Other Side, originally Freedom Now, which represented a freshly emerging evangelical social consciousness around issues of racial justice. Following close behind was the Sojourners community, and Sojourners magazine, which is still active today.

    In 1973, a group of evangelical college professors wrote the Chicago Declaration of Social Concern, which ultimately led to the launch of Evangelicals for Social Action as a national organization in 1978.

    This is a small but growing minority in the larger evangelical world, with many belonging to traditional evangelical institutions. For example, Alexia Salvatierra, at Fuller Seminary, is a longtime “faith-rooted” community organizer and has more recently been instrumental in forming Matthew 25/Mateo25, a group that aids immigrants and “defends the vulnerable.” Shane Claiborne, a long-time urban activist, is currently head of Red Letter Christians, a movement that combines “Jesus and justice” and seeks to “live out Jesus’ counter-cultural teachings.”

    Several Christians work with organizations that help immigrants.
    AP Photo/Russell Contreras

    Evangelicals and the future

    Following historical evangelical voting patterns, it is likely that most white evangelicals will vote for Trump in 2024. I believe many will do so with enthusiasm, while others will vote for him because of his policies, while remaining troubled by his rhetoric.

    Of the evangelicals who oppose Trump, some will refuse to vote for either Trump or Harris, refusing to cast a vote for president. Others will vote for Harris, following the example of many Republican leaders who are seeking to move beyond the damage that Trump and the MAGA movement have done to the Republican Party and to conservatism.

    Meanwhile, for the Kingdom Christians and Peace and Justice evangelicals, the true values of evangelical Christianity will be supported by the more progressive policies of the Democratic Party.

    Regardless of how they vote in the 2024 election, evangelicals in all of these categories will continue to promote their distinct vision of evangelicalism and educate members on how they should bring their faith to bear on important social and political issues in American culture.

    Richard Flory has received funding from the John Templeton Foundation and the Lilly Endowment.

    – ref. 5 kinds of American evangelicals and their voting patterns – https://theconversation.com/5-kinds-of-american-evangelicals-and-their-voting-patterns-238470

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI Global: The woman who revolutionized the fantasy genre is finally getting her due

    Source: The Conversation – USA – By Dennis Wise, Professor of Practice in English Literature, University of Arizona

    Hugo Award-winner Arthur C. Clarke called Judy-Lynn del Rey the ‘most brilliant editor I ever encountered.’ Artwork by Adriano Botega. Courtesy of Inspiration Films, LLC.

    Think of your favorite fantasy or science fiction novel. You’ll know the author and title, of course. But can you think of its editor or publisher?

    In publishing, the people who work behind the scenes rarely get their due. But on Oct. 1, 2024, at least, one industry pioneer got the limelight. On that day, PBS aired “Judy-Lynn del Rey: The Galaxy Gal,” the first episode of its new documentary series “Renegades,” which highlights little-known historical figures with disabilities.

    A woman with dwarfism, Judy-Lynn del Rey was best known for founding Del Rey Books, a science fiction and fantasy imprint that turned fantasy in particular into a major publishing category.

    As a scholar of fantasy literature, I had the good fortune to serve as research consultant for the PBS project. Due to time constraints, however, the episode could tell only half of del Rey’s story, passing over how she affected science fiction and fantasy themselves.

    Judy-Lynn del Rey, you see, had very clear notions on what kind of stories people wanted to buy. For some critics, she also committed the unforgivable sin of being right.

    The Mama of ‘Star Wars’

    Over the course of her career, del Rey earned a reputation as a superstar editor among her authors. Arthur C. Clarke, who co-wrote the screenplay for “2001: A Space Odyssey,” called her the “most brilliant editor I ever encountered,” and Philip K. Dick said she was the “greatest editor since Maxwell Perkins,” the legendary editor of Ernest Hemingway and F. Scott Fitzgerald.

    She got her start, though, working as an editorial assistant – in truth, a “gofer” – for the most lauded science fiction magazine of the 1960s, Galaxy. There she learned the basics of publishing and rose rapidly through the editorial ranks until Ballantine Books lured her away in 1973.

    Soon thereafter, Ballantine was acquired by publishing giant Random House, which then named del Rey senior editor. Yet her first big move was a risky one – cutting ties with Ballantine author John Norman, whose highly popular “Gor” novels were widely panned for their misogyny.

    Del Rey’s acquisition of the rights to ‘Star Wars’ was a boon for Ballantine.
    The Internet Speculative Fiction Database

    Nonetheless, del Rey’s mission was to develop a strong backlist of science fiction novels that could hook new generations of younger readers, not to mention adults. One early success was her “Star Trek Log” series, a sequence of 10 novels based on episodes of “Star Trek: The Animated Series.”

    But del Rey landed an even bigger success by snagging the novelization rights to a science fiction film that, at the time, few Hollywood executives believed would do well: “Star Wars.”

    This savvy gamble led to years of lucrative tie-in products for Ballantine such as calendars, art books, sketchbooks, the Star Wars Intergalactic Passport and, of course, more novels set in the Star Wars universe – so many different tie-ins, in fact, that del Rey dubbed herself the “Mama of Star Wars.”

    Afterward, she became someone who, as reporter Jennifer Crighton put it, radiated “with the shameless glee of one of the Rebel forces, an upstart who won.”

    A big player in big fiction

    Del Rey’s tendencies as an editor were sometimes criticized – often by competitors who could not match her line’s success – for focusing too much on Ballantine’s bottom line. But she also chose to work within the publishing landscape as it actually existed in the 1970s, rather than the one she only wished existed.

    In his book “Big Fiction,” publishing industry scholar Dan Sinykin calls this period the “Conglomerate Era,” a time when publishing houses – usually small and family run – were being consolidated into larger corporations.

    One benefit of this shift, however, was greater corporate investment in the industry, which boosted print runs, marketing budgets, author advances and salaries for personnel.

    Ballantine’s parent company, Random House, was also known as an industry leader in free speech, thanks to the efforts of legendary CEOs Bennett Cerf and Robert L. Bernstein.

    Accordingly, Random House gave their publishing divisions, including Ballantine, immense creative autonomy.

    And when del Rey was finally given her own imprint in 1977, she took her biggest risk of all: fantasy.

    The Del Rey era

    In prior decades, fantasy had a reputation for being unsellable – unless, of course, your name was J.R.R. Tolkien, or you wrote Conan-style barbarian fiction. Whereas the top science fiction magazines often had distinguished runs, fantasy magazines often folded due to lack of sales.

    The popular film version of ‘The Princess Bride’ was aided by del Rey’s earlier advocacy for reissuing the novel.
    The Internet Speculative Fiction Database

    In 1975, though, del Rey hired her husband, Lester del Rey, to develop a fantasy line, and when Del Rey Books launched two years later, it landed major successes with bestsellers such as Terry Brooks’ “The Sword of Shannara” and Stephen R. Donaldson’s “The Chronicles of Thomas Covenant the Unbeliever.” Yet even though Lester edited the fantasy authors, Judy-Lynn oversaw the imprint and the marketing.

    One lesser-known example of her prowess is “The Princess Bride.”

    Today, most people know the 1987 film, but the movie originated as a much earlier novel by William Goldman. The original 1973 edition, however, sold poorly. It might have faded into obscurity had del Rey not been determined to revive Ballantine’s backlist.

    She reissued “The Princess Bride” in 1977 with a dazzling, gate-folded die-cut cover and a new promotional campaign, without which the novel – and the film – might never have found its later success.

    Accolades accumulate

    Thanks to these efforts, Del Rey Books dominated genre publishing, producing more bestselling titles through 1990 than every other science fiction and fantasy publisher combined. Yet despite complaints that the imprint prioritized commercial success over literary merit, Del Rey authors earned their fair share of literary accolades.

    The prestigious Locus Poll Award for best science fiction novel went to Del Rey authors Julian May and Isaac Asimov in 1982 and 1983. Other Locus awardees include Patricia A. McKillip, Robert A. Heinlein, Larry Niven, Marion Zimmer Bradley and Barbara Hambly.

    Barry Hughart’s “Bridge of Birds” was one of two winners for the World Fantasy Award in 1985 and won the Mythopoeic Society Award in 1986. Even more impressively, Del Rey ran away with the Science Fiction Book Club Award during that prize’s first nine years of existence, winning seven of them. The imprint’s titles also won three consecutive August Derleth Fantasy Awards – now called the British Fantasy Award – from 1977 through 1979.

    Yet despite these accolades, Del Rey’s reputation continued to suffer from its own commercial success. Notably, Judy-Lynn del Rey was never nominated for a Hugo Award for best professional editor. When she died in 1986, the Hugo committee belatedly tried granting her a posthumous award, but her husband, Lester, refused to accept it, saying that it came too late.

    Although the current narrative continues to be that Del Rey Books published mainly formulaic mass-market fiction in its science fiction and fantasy lines, the time may be ripe to celebrate the foresight and iconoclasm of a publisher who expanded speculative fiction beyond the borders of a small genre fandom.

    I was research consultant for the PBS episode mentioned in the article, but I am not an employee of PBS or any other organization mentioned in this article.

    – ref. The woman who revolutionized the fantasy genre is finally getting her due – https://theconversation.com/the-woman-who-revolutionized-the-fantasy-genre-is-finally-getting-her-due-240198

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI Global: DEA could reclassify marijuana to a less restrictive category – a drug policy expert weighs the pros and cons

    Source: The Conversation – USA – By Chris Meyers, Adjunct Professor of Philosophy, George Washington University

    The move would not make marijuana legal at the federal level for recreational use and would require dispensaries to comply with medical marijuana requirements. Nathalie Jamois/SOPA Images, LightRocket via Getty Images

    The Drug Enforcement Administration announced in early 2024 that it would act on President Joe Biden’s call to reclassify marijuana, moving it from the tightly controlled Schedule I category that it has been in since 1970 to the less restrictive Schedule III status of the Controlled Substances Act. That triggered a long process of hearings and reviews that will not be completed until after the presidential election in November.

    The news drew strong reactions from critics: 25 Republican lawmakers sent a letter to Attorney General Merrick Garland protesting any changes to federal marijuana laws. They argued that the decision “was not properly researched … and is merely responding to the popularity of marijuana and not the actual science.”

    As a philosopher and drug policy expert, I focus on assessing arguments and evidence rather than politics or rhetoric. So, what are the arguments for and against rescheduling cannabis?

    Scheduling under the Controlled Substances Act

    The Controlled Substances Act places each prohibited drug into one of five schedules based on known medical use, addictive potential and safety. Schedule I drugs – which, along with marijuana, also includes heroin, LSD, psilocybin, ecstasy (MDMA) and quaaludes – is the most restrictive category.

    Schedule I substances cannot be legally used for any purpose, including medical use or research, though an exception for research can be made with special permission from the DEA. The criteria for inclusion in the Schedule I category is that the substance has a high potential for abuse, is extremely addictive and has “no currently accepted medical use.”

    Schedule II, which is slightly less restrictive than Schedule I, includes drugs that are addictive and potentially unsafe but also have some accepted medical use. These include strong opioids such as fentanyl, as well as cocaine, PCP and methamphetamine. Though they are still tightly regulated, Schedule II drugs can be used medically with a prescription or administered by a licensed physician.

    Schedule III is much less restrictive and is intended for substances with legitimate medical use and only moderate risk of abuse or dependency. This category includes low-dose morphine, anabolic steroids and ketamine.

    Schedule IV – which includes the sedative valium, the weak opioid tramadol and sleep medicines such as Ambien – is even less restrictive.

    The least restrictive category is Schedule V, which includes cough syrups with codeine and calcium channel blockers such as gabapentin and pregabalin. All scheduled drugs require a doctor’s prescription and can be distributed only by licensed pharmacies.

    What rescheduling would mean for marijuana

    The push to reschedule is largely to make federal laws consistent with state medical marijuana programs that – as of October 2024 – are legal in 38 states plus the District of Columbia.

    Moving marijuana to Schedule III would not change its legal status in states where it is banned. It would make marijuana legal at the federal level but only for medical use. Recreational use would still be federally prohibited, even though it is currently legal in 24 states plus Washington.

    Rescheduling, however, might not make medical marijuana any easier for patients to access and could even make it much harder for some. Currently, getting a medical marijuana card is quite easy in most states. In Washington D.C., where I live, patients can self-certify.

    Reclassifying marijuana as a Schedule III drug would legitimize its medical use.

    If marijuana is reclassified as Schedule III, medical marijuana programs will have to start requiring a doctor’s prescription, just like with all other scheduled substances. And it could be distributed only by licensed pharmacies, which would put medical dispensaries that are now selling it without a license from the Food and Drug Administration out of business.

    Rescheduling, however, would give medical marijuana legitimacy as a bona fide medicine. And the intent of the move is to increase access, even if it is unclear how rescheduling would achieve that.

    So, assuming that rescheduling would have the intended effect of expanding access to medical marijuana, should it be rescheduled?

    Medical uses of marijuana

    Though there are three criteria for Schedule I in the Controlled Substances Act, the DEA in fact relies on only the medical use criterion. This was the basis of the DEA’s proposal to reschedule marijuana. The fact that almost 75% of Americans live in a state with a medical marijuana program suggests that marijuana has an accepted medical use.

    More importantly, Schedule III of the Controlled Substances Act already includes dronabinol, which is delta-9 THC, the active ingredient in marijuana. Although dronabinol is synthesized in the lab rather than extracted from the cannabis plant, it is the exact same molecule. The FDA approved THC in the form of dronabinol in 1985 for treating anorexia caused by HIV/AIDS as well as nausea and vomiting due to chemotherapy. Placing marijuana in the same schedule as its primary active ingredient makes a lot of sense.

    Another argument in favor of rescheduling is that it would open up new opportunities for medical research into marijuana’s effects, research that is currently hampered by its Schedule I status. This work is critical because the system of cannabinoid receptors through which marijuana causes its therapeutic and psychoactive effects is crucial for almost every aspect of human functioning.

    Research has shown that cannabis is effective not only in treating nausea and AIDS but also chronic pain and some symptoms of multiple sclerosis.

    There is also good evidence that marijuana can help treat other conditions, including Lou Gehrig’s disease (amyotrophic lateral sclerosis, or ALS), glaucoma, irritable bowel syndrome, insomnia, migraine, post-traumatic stress disorder and Tourette syndrome. Keeping marijuana in the Schedule I category severely hampers research that might establish more effective treatments for these conditions.

    Researchers have been extremely limited in their abilities to study marijuana because of its Schedule I classification.

    Balancing risks and benefits

    Those opposed to rescheduling cite possible health risks associated with marijuana consumption. Heavy use is linked to an increased risk of developing schizophrenia. However, the increased risk of schizophrenia from cannabis use is comparable to that caused by watching excessive television, eating junk food or smoking cigarettes.

    Long-term marijuana use can also lead to sleep problems and diminished visuospatial memory. It can also cause gastrointestinal trouble, such as cannabis hyperemesis syndrome, which is characterized by nausea, vomiting and abdominal pain. The symptoms, while extremely unpleasant, are temporary and occur only after consuming marijuana. The condition disappears in people who stop using.

    Marijuana use can also be addictive. According to the Centers for Disease Control and Prevention, about three out of every 10 regular marijuana users meet the diagnostic criteria for cannabis use disorder.

    All of the concerns above are legitimate, though it is worth noting that virtually no effective medicine is free from undesirable side effects. And although marijuana can be habit-forming, it is not as addictive as alcohol, tobacco, oxycodone, cocaine, methamphetamine or benzodiazepines. None of those other drugs are categorized as Schedule I, and alcohol and tobacco are not scheduled at all.

    Unlike most other prescription medications, marijuana use is associated with many benefits. For example, in states where marijuana has been legalized, worker’s compensation payments have fallen by an average of 21% among people over 40. Researchers think that this is because marijuana helps workers better manage chronic pain. The use of marijuana for pain management also helps to reduce dependency on opioids. One study found that U.S. counties with one or two marijuana dispensaries had an average of 17% fewer opioid-related fatalities compared with counties with no dispensaries.

    Research also shows that marijuana use can help to prevent Alzheimer’s by blocking the enzymes that produce amyloid plaques. It also shows promise for reducing a person’s risk of developing Type 2 diabetes by helping the body regulate insulin and glucose levels.

    All of these benefits add up to marijuana users having an overall lower rate of premature death than nonusers.

    Chris Meyers 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. DEA could reclassify marijuana to a less restrictive category – a drug policy expert weighs the pros and cons – https://theconversation.com/dea-could-reclassify-marijuana-to-a-less-restrictive-category-a-drug-policy-expert-weighs-the-pros-and-cons-237199

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI: SCOR announces the filing of a tender offer for the entire share capital of MRM

    Source: GlobeNewswire (MIL-OSI)

    Press release
    October 9, 2024 – N° 14

    SCOR announces the filing of a tender offer
    for the entire share capital of MRM

    To read this information in full, please confirm that you have read and understood the disclaimer on SCOR’s website here.

    *

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    SCOR, a leading global reinsurer

    As a leading global reinsurer, SCOR offers its clients a diversified and innovative range of reinsurance and insurance solutions and services to control and manage risk. Applying “The Art & Science of Risk”, SCOR uses its industry-recognized expertise and cutting-edge financial solutions to serve its clients and contribute to the welfare and resilience of society.

    The Group generated premiums of EUR 19.4 billion in 2023 and serves clients in around 160 countries from its 35 offices worldwide.

    For more information, visit: http://www.scor.com

    Media Relations
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    media@scor.com

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    tfossard@scor.com

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    All content published by the SCOR group since January 1, 2024, is certified with Wiztrust. You can check the authenticity of this content at wiztrust.com.

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    The MIL Network –

    January 23, 2025
  • MIL-OSI Asia-Pac: Chinese Film Panorama 2024 opens tonight (with photo)

    Source: Hong Kong Government special administrative region

    Chinese Film Panorama 2024 opens tonight (with photo)
    Chinese Film Panorama 2024 opens tonight (with photo)
    *****************************************************

         The opening ceremony for the Chinese Film Panorama 2024 was held tonight (October 9) at Hong Kong City Hall, followed by a screening of the opening animated film “Into the Mortal World” (2024) directed by Zhong Ding.      The Acting Secretary for Culture, Sports and Tourism, Mr Raistlin Lau; the Film and Television Artistic Director of the Bauhinia Culture Group, Mr Deng Wugui; the Deputy Director-General of the Department of Publicity, Cultural and Sports Affairs of the Liaison Office of the Central People’s Government in the Hong Kong Special Administrative Region, Mr Lin Nan; the Chairman of the Southern Film Culture Foundation, Mr Ding Kai; the Director of Leisure and Cultural Services, Mr Vincent Liu; the Chairman of the South China Film Industry Workers Union, Mr Cheung Hong-tat; and the executive producer of the opening film, Mr Huang Long, officiated at the opening ceremony.      The Panorama is presented by the Leisure and Cultural Services Department (LCSD) and the Southern Film Culture Foundation in association with Sil-Metropole Organisation Ltd, the China Film Foundation and the South China Film Industry Workers Union, and supported by the Bauhinia Culture Group. Ten distinctive feature-length animated films and two short film programmes produced on the Mainland will be shown at the Theatre of Hong Kong City Hall, the Cinema of the Hong Kong Film Archive, and lecture halls of the Hong Kong Science Museum and the Hong Kong Space Museum, the East Kowloon Cultural Centre (EKCC), Cine-Art House (Maritime Square) and the Rayson Huang Theatre of the University of Hong Kong from today to November 16.       The opening film, “Into the Mortal World”, is a reinterpretation of the mythology of “The Cowherd and the Weaver Girl”. The weaver girl’s son is reconnected with his long-lost sister when he is demoted to the mortal world and embarks on an adventure in the divine realm.      Other selected films include “Princess Iron Fan” (1941) (4K restored version), “The Monkey King: Uproar in Heaven” (First and Second Parts) (1961-1964), “Peacock Princess” (1963), “Nezha Conquers the Dragon King” (1979), “The Legend of Sealed Book” (1983) (4K restored version), “To the Bright Side” (2021), “Chang An” (2023), “The Storm” (2024) , and “Boonie Bears: Time Twist” (2024). Apart from animated feature films, two collections of animated short films will also be screened.      “Into the Mortal World” is in Cantonese while other films are in Putonghua. “Chang An” will be screened on October 14 at Rayson Huang Theatre of the University of Hong Kong and on November 16 at the EKCC for free. Cine-Art House (Maritime Square) will offer a free screening of “Peacock Princess” on October 12. The admission tickets for the screening at Rayson Huang Theatre of the University of Hong Kong have been available at The University of Hong Kong Staff Association located at 5/F, T T Tsui Building of the University of Hong Kong starting from September 30. The admission tickets for the free screenings at Cine-Art House (Maritime Square) and the EKCC are available at the respective screening locations from September 30 and November 1. Each person can obtain up to two tickets per screening on a first-come, first-served basis. Other film tickets priced at $70 are now available at URBTIX (www.urbtix.hk). For telephone bookings, please call 3166 1288. For programme details, please call 2734 2900 (LCSD) or 2780 5355 (for screenings at Cine-Art House (Maritime Square) and the University of Hong Kong) or visit www.lcsd.gov.hk/fp/en/listing.html?id=66.      The Chinese Film Panorama 2024 is one of the activities in the Chinese Culture Promotion Series. The LCSD has long been promoting Chinese history and culture through organising an array of programmes and activities to enable the public to learn more about the broad and profound Chinese culture. For more information, please visit www.lcsd.gov.hk/en/ccpo/index.html.

     
    Ends/Wednesday, October 9, 2024Issued at HKT 21:28

    NNNN

    MIL OSI Asia Pacific News –

    January 23, 2025
  • MIL-OSI: OnStation Welcomes Former DOT Chief Mack Long to Drive Public Sector Adoption

    Source: GlobeNewswire (MIL-OSI)

    CLEVELAND, Oct. 09, 2024 (GLOBE NEWSWIRE) — OnStation, the leading provider of digital stationing solutions for the heavy highway industry, today announced the appointment of Mack Long as its new Strategic Advisor.

    Mack brings over 30 years of experience working for both contractors and Departments of Transportation. Previously, he served as the Director of the Montana Department of Transportation as well as President and General Manager of Wyoming’s JTL Group. Mack is a recognized expert in the industry and has served as the Chairman of the Committee on Construction for American Association of State Highway and Transportation Officials (AASHTO). In his capacity as strategic advisor, Mack will guide OnStation relationships with public sector officials, research, and grant funds.

    Throughout his career, Mack has been passionate about putting the right technology into the hands of road crews, which aligns with the OnStation corporate mission. “OnStation is the best tool out there for both the DOTs and contractors to make sure their projects get built right. It’s the critical tool that connects every road worker with the information they need to be productive and safe,” said Long.

    CEO Patrick Russo noted how the addition of Mack Long deepens OnStation’s value proposition for DOT and contractor teams who often work side by side on the same projects. The app allows team members to instantly find their live digital station and offset reading, drop flags at specific locations, attach images, send chat messages, and share with colleagues across the entire project.

    “OnStation focuses on providing a digital location to every worker on a jobsite to help make their jobs easier and safer. We solve challenges roadway crew experience daily by aligning the needs of DOT project owners and the contractor community, so everyone derives increased value from digital stationing. Mack’s experience on both sides of road construction project teams will help guide us towards fulfilling this vision. It is awesome our company is attracting folks like Mack, and I am excited to learn from him,” said Russo.

    For more information about OnStation and its solutions, please visit http://www.onstationapp.com. 

    About Mack Long

    Mack was born in Billings, Montana, where he grew up and raised his own family. He attended Montana State University (MSU) in Bozeman, Montana, and graduated in 1986 with a Bachelor of Science in Business Management. After college, Mack worked in Bozeman where he met and married his wife, Karen, in 1990. Mack returned to MSU to earn a Construction Engineering degree. Later, he and Karen moved to Texas where Mack worked for Peter Kiewit & Sons construction and engineering firm. While in Texas, Mack and Karen raised their family and welcomed their son, Nathon to their family.

    In 1995, they moved back to Billings and Mack went to work for the family construction company, JTL Group, Inc. Shortly after moving back, their daughter was born. The family moved to Casper, Wyoming in 1998 where Mack became the President and General Manager of JTL Group, Wyoming. In 2002, Mack moved into JTL Group’s main administrative office and worked with his father, Joel, in Billings. JTL Group, Inc. was acquired by MDU Resources Group Inc. in 1999. When Joel retired in 2003, Mack became the President and Regional Manager for Knife River Corp, Inc., an MDU Resources division, until he retired in 2009.

    Mack has been the owner and partner in business ventures over the past 10 years and his experience in the construction field has been wide and varied across airport reconstruction, highways, utilities work, and major industrial plant construction. In 2021 Governor Greg Gianforte appointed Mack to be the Director of the Montana Department of Transportation. Mack proudly served in this role and was asked to be the Chairman of the Committee on Construction for AASHTO. Mack retired in April of 2024 to spend more time with his wife.

    About OnStation

    OnStation is a collaborative digital stationing platform that offers location-based project records from bid to close. Specifically designed for the heavy highway industry, OnStation’s mobile app centralizes communication, boosts productivity, enhances worker safety, and improves project quality. Users benefit from live jobsite stationing, milepost, and LRS capabilities. They can overlay design layers on the project map and communicate via a custom chat platform that organizes and records project events at their locations. OnStation is available on both the Apple App Store and Google Play Store and is supported on all desktop systems.

    Contact

    Jessica Kodrich
    jkodrich@onstationapp.com 

    A photo accompanying this announcement is available at https://www.globenewswire.com/NewsRoom/AttachmentNg/e4dccfb6-c5d1-4af4-851b-79ec1f2b4e36

    The MIL Network –

    January 23, 2025
  • MIL-OSI United Kingdom: expert reaction to Hurricane Milton

    Source: United Kingdom – Executive Government & Departments

    October 9, 2024

    Scientists comment on Hurricane Milton in the Gulf of Mexico. 

    Prof Ilan Kelman, Professor of Disasters and Health, University College London, said:

    “Florida should have been braced for catastrophic impacts from Hurricane Milton, especially storm surge and rainfall flooding. The possible disaster is sadly unsurprising, since Florida sits in the usual hurricane zone and it is now hurricane season. Yet the state permitted building development in dangerous locations and does not always support people who need help over the long-term to be ready for hazards.

    “Human-caused climate change is strengthening hurricanes while reducing their frequency. Hurricane Milton shows exactly the climate change influence we would expect from higher storm intensity.

    “Given Florida’s hurricane history including previous storms in this area in 1848, 1921, and 1946, they should have been much more prepared over the long-term. Planning decisions creating dangers and long-term lack of services to assist people who cannot help themselves for known hazards are all about choices to make disasters.”

    Prof Liz Stephens, Professor in Climate Risks and Resilience, University of Reading, said:

    “The wide area of intense winds and rainfall from Hurricane Milton will mean that many communities in Florida who are still recovering from the impacts of Hurricane Helene will be affected again by this latest storm, even though Milton is expected to make landfall further south.

    “Hurricane Milton is forecasted to track across Florida and out into the North Atlantic Ocean. This means that we are not expecting to see the same flash flooding and mudslide impacts as Helene in areas such as the Appalachian mountains, caused by Helene decaying over land.

    “Rising sea surface temperatures as a result of climate change are fuelling the intensity of hurricanes, and the warmer atmosphere can carry more water. This means that the storms which do form are becoming more impactful.

    “Further research is needed to understand how the risk of consecutive hurricanes is changing, as these clusters of events can greatly stretch resources for emergency preparedness and response.”

    Prof Hannah Cloke, Professor of Hydrology, University of Reading, said:

    “Hurricane winds grab people’s attention, but flooding is probably the biggest concern with Milton. Winds of 150mph can easily destroy buildings and cause injuries and fatalities if people are caught out in the open by flying debris. 

     “There are three types of floods that cause the biggest damage – storm surge causing coastal flooding, flash floods from the extremely heavy rain, and river floods as all that water rushes down channels and onto floodplains. 

     “People’s attention may be turned to the sky, but emergency planners will be worried about what is coming from below.”

    Prof John Marsham, Professor of Atmospheric Science, University of Leeds, said:

    How does climate change impact extreme weather?

    “Weather extremes increase rapidly for even apparently small increases in global temperature – this is true for heatwaves, floods, droughts and intensity of hurricanes.

    Is climate change making hurricanes more common/worse?

    “Many aspects of Helene and Milton are absolutely what we expect from climate change – hurricanes need warm oceans to form, and record-breaking ocean temperatures are fuelling these devastating storms. Warm air holds more water, giving heavier rain and more flooding. Increased sea-levels from climate change give more coastal flooding when hurricanes create a temporary “storm surge” rise in sea level. Finally, climate change can give shorter gaps between extreme events allowing less time to recover – we’re now seeing people affected by Helene now having to prepare for Milton. If we rapidly phase out fossil fuels, we can stop these extremes getting much worse but will have to continue to cope with the new climate we have created and will likely have to cope with rising sea levels for centuries.

    What is particularly worrying about this hurricane?

    “As a climate scientist, and a parent, every extreme weather event is now a reminder of the catastrophe we will face if we do not rapidly phase out fossil fuels. The tragedy is that climate scientists have been warning of this for decades. Rapid action is critical. Most people in the UK want more action on climate change and underestimate how much other people do. We have solutions and rapid action will save trillions.”

    Declared interests:

    Prof Ilan Kelman: No interests to declare

    Prof Liz Stephens: “I also work for the Red Cross Red Crescent Climate Centre”

    Prof John Marsham: “I receive funding from UKRI, FCDO and the Met Office”

    For all other experts, no reply to our request for DOIs was received.

    MIL OSI United Kingdom –

    January 23, 2025
  • MIL-OSI Russia: St. Petersburg Gas Forum 2024: Polytech Showcases Cutting-Edge Developments

    MILES AXLE Translation. Region: Russian Federation –

    Source: Peter the Great St Petersburg Polytechnic University – Peter the Great St Petersburg Polytechnic University –

    From October 8 to 11, the St. Petersburg International Gas Forum 2024 is being held in the Expoforum Convention and Exhibition Centre in St. Petersburg. Russia’s leading technical university and the flagship university of PJSC Gazprom, Peter the Great St. Petersburg Polytechnic University, traditionally participates in the exhibition and scientific-business programme of the forum. This year, SPbPU and the St. Petersburg Branch of the Russian Academy of Sciences presented a joint stand.

    The St. Petersburg International Gas Forum can be called a unique event without exaggeration, because it is not only an exhibition of achievements in the gas industry, but also provides opportunities for a meaningful dialogue between business, government and science. This is necessary to ensure the technological independence of the Russian energy industry, – noted the rector of SPbPU, chairman of the St. Petersburg branch of the Russian Academy of Sciences Andrey Rudskoy.

    Among the innovative developments that forum guests can see at the Polytechnic stand is the installation of selective laser melting with high-temperature heating of the working area “Mercury”, which solves the problems of import preemption in the economy of our country. This is an innovative project, which has no analogues in Russia. The new equipment was created in cooperation with an industrial partner – the company 3DLAM. Thanks to additive metal printing technologies, which Polytechnic is now actively engaged in, it has become possible to manufacture products of the most complex shapes from difficult-to-process alloys. The resulting samples are highly durable and reliable.

    The unit is capable of heating the working area to 1300 degrees for printing new-generation heat-resistant alloys. Joint repair of T32 engine components — the Ladoga gas pumping unit — is currently being discussed.

    In our partnership, we act as an equipment manufacturer, and Polytech acts as a technology center that develops the technology itself, works out modes and prepares technical specifications, according to which we create innovative installations, noted Nikolai Drobchenko, head of the 3DLAM additive technology department.

    Specialists from the research laboratory “Laser and Additive Technologies” of the Institute of Metallurgy and Metallurgy of the St. Petersburg Polytechnic University also demonstrate the mobile laser cladding complex “Nomad” and components of gas turbine engines restored using the laser cladding method.

    “Here, there is a synergy of combining scientific research, technological and production experience,” said Mikhail Kuznetsov, head of the Laser and Additive Technologies Research Laboratory. “And all of this is combined into a new development. In this case, it is a layer-by-layer growth complex with high-temperature heating.”

    Also at the Polytechnic stand, you can get acquainted with the work of virtual demonstration complexes based on VR technologies to study the main actions during maintenance and operation of compressor equipment used at underground gas storage facilities.

    Traditionally, the SPbPU History Museum takes part in the exhibition. Its employees tell visitors to the stand about the Polytechnic gas plant, which produced lighting gas for laboratories.

    SPbPU and SPbB RAS stand: L2, Pavilion G.

    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.

    Please note; This information is raw content directly from the information source. It is accurate to what the source is stating and does not reflect the position of MIL-OSI or its clients.

    http://www.spbstu.ru/media/nevs/partnership/St. Petersburg-gas-forum-2024-polytech-demonstrates-advanced-developments/

    MIL OSI Russia News –

    January 23, 2025
  • MIL-OSI Russia: Dmitry Chernyshenko: The Institute of Intellectual Property is a cross-cutting component of the national innovation system of a technologically developed country

    MILES AXLE Translation. Region: Russian Federation –

    Source: Government of the Russian Federation – An important disclaimer is at the bottom of this article.

    Dmitry Chernyshenko spoke at the plenary session of the XXVIII International Scientific and Practical Conference “IP Era” “Intellectual Property – the Basis of an Innovative Economy: Priorities and Mechanisms of Scientific and Technological Development”

    October 9, 2024

    Dmitry Chernyshenko spoke at the plenary session of the XXVIII International Scientific and Practical Conference “IP Era” “Intellectual Property – the Basis of an Innovative Economy: Priorities and Mechanisms of Scientific and Technological Development”

    October 9, 2024

    Previous news Next news

    Dmitry Chernyshenko spoke at the plenary session of the XXVIII International Scientific and Practical Conference “IP Era” “Intellectual Property – the Basis of an Innovative Economy: Priorities and Mechanisms of Scientific and Technological Development”

    Deputy Prime Minister Dmitry Chernyshenko spoke at the plenary session of the XXVIII International Scientific and Practical Conference “IP Era” “Intellectual Property – the Basis of an Innovative Economy: Priorities and Mechanisms for Scientific and Technological Development”.

    The event participants discussed issues of international scientific and technical cooperation in the field of intellectual property.

    Dmitry Chernyshenko noted that the institute of intellectual property is a cross-cutting component of the national innovation system of each technologically developed country. In Russia, over the past year, strategic goal-setting in the field of scientific and technological development for the next period has been determined.

    “In May, President Vladimir Putin approved a decree on Russia’s national development goals. For the first time in the history of modern Russia, technological leadership has become a national goal. We now have a unique situation, since one of the strategic objectives aimed at achieving this goal is to increase spending on science to 2% of GDP by 2030. Another objective is to increase the share of domestic high-tech goods and services created on the basis of our own development lines by 1.5 times compared to the 2023 level. In this regard, it is important for us not only to increase the volume of scientific research and development, including through extra-budgetary sources, but also to ensure what Rospatent does – timely and seamless transfer of these technologies into products and services in demand by citizens, the state and business,” the Deputy Prime Minister emphasized.

    To make management decisions and track the effective transfer of technologies from science to industry, a unified digital environment for research and development is being formed within the Science and Innovation domain. The first 14 services are already functioning in it, including the Service of Technology Requests from Business and End-to-End Traceability.

    Dmitry Chernyshenko separately noted that in order to respond to global challenges, it is necessary to concentrate all resources around the tasks of technological leadership.

    “According to the instructions of the head of state, each national project of technological leadership should provide for separate federal projects on advanced training of qualified specialists and development of the most important science-intensive technologies. The role of intellectual property here is the proper legal protection of the result and its transfer from scientific reserves, which will be formed within the framework of separate federal projects, to specific products and their entry into industrial production. In this regard, I would like to note the work of Rospatent, which today is not limited to just protecting intellectual property, but is focusing on stimulating scientific, technological, and entrepreneurial breakthroughs,” said the Deputy Prime Minister.

    Today, there are a large number of requests from technology companies for reverse engineering of technologies and products that the companies previously purchased abroad. In the process of reverse engineering, scientists and engineers often manage to improve the properties of technologies and products, thereby creating a qualitatively new result.

    According to Dmitry Chernyshenko, today, only registration in the patent offices of friendly countries where such products are planned for sale can provide proper legal protection for products, especially those with export potential. National patent offices can and should act as methodologists in the proper registration of intellectual property rights.

    The Deputy Prime Minister also recalled that the plenary session was timed to coincide with the 6th meeting of the heads of intellectual property departments of the BRICS countries, and noted the Rospatent project to develop a guide to intellectual property systems in the BRICS countries for entrepreneurs.

    The plenary session was attended by Deputy Minister of Economic Development Maxim Kolesnikov, President of the Eurasian Patent Office (EAPO) Grigory Ivliev, as well as representatives of the intellectual property departments of the Republic of Belarus, China and South Africa. In addition, a greeting was given by the Chairperson of the Federation Council Committee on Science, Education and Culture Lilia Gumerova. The session was moderated by the Head of Rospatent Yuri Zubov.

    In addition, Deputy Prime Minister Dmitry Chernyshenko held a meeting with the management of Rospatent and subordinate organizations. They discussed the role of Rospatent in ensuring Russia’s technological leadership, IT infrastructure in the field of intellectual property, and legal protection of regional brands as a tool for developing tourism in the regions of Russia.

    “It is important to create developments with export potential and a focus on further commercialization. Intellectual property is an important indicator of the country’s technological development, and promising scientific ideas should receive legal protection and enter industrial production as soon as possible. The necessary digital and analytical services have been formed in the Rospatent system to support science and business,” said Rospatent head Yuri Zubov.

    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.

    Please note; This information is raw content directly from the information source. It is accurate to what the source is stating and does not reflect the position of MIL-OSI or its clients.

    http://government.ru/nevs/52948/

    MIL OSI Russia News –

    January 23, 2025
  • MIL-OSI USA: REPS LIEU AND OBERNOLTE INTRODUCE BIPARTISAN LEGISLATION TO JUMPSTART ARTIFICIAL INTELLIGENCE INNOVATION ACROSS THE UNITED STATES

    Source: United States House of Representatives – Congressman Ted Lieu (33 District of California)

    WASHINGTON – House Artificial Intelligence Task Force Co-Chair Congressman Ted Lieu (D-Los Angeles County) and Chair Congressman Jay Obernolte (R-CA) recently introduced the bipartisan AI Grand Challenges Act, which would direct the National Science Foundation (NSF) to establish a program to administer prize competitions to incentivize artificial intelligence research and innovation. Prize competitions have long been used to jumpstart development of emerging technologies, and the AI Grand Challenges Program would ensure AI’s power will be harnessed to benefit the United States. 

    Senators Cory Booker (D-NJ), Mike Rounds (R-SD), and Martin Heinrich (D-NM) introduced companion legislation in the Senate earlier this year. 

    “Artificial intelligence has the power to change our world,” said Congressman Lieu. “We must maintain American leadership in AI research, innovation and implementation while minimizing potential risks associated with the technology. The AI Grand Challenges Act would encourage the next generation of AI researchers and developers through prize competitions to incentivize ambitious, cutting-edge AI development. I am pleased to introduce this bill with AI Task Force Chair Congressman Jay Obernolte and look forward to our continued work to harness the power of AI for the benefit of American families.”

    “The AI Grand Challenges Act will ensure the U.S. will continue to lead in AI research and development across critical sectors such as health, energy, and cybersecurity,” said Congressman Obernolte. “By incentivizing breakthroughs, we are paving the way for transformative advancements that will harnesses the incredible potential of artificial intelligence to solve some of our nation’s most pressing challenges.”

    Congressman Lieu is Co-Chair of the House Bipartisan Task Force on Artificial Intelligence. In 2023, he introduced the first piece of federal legislation written by AI, H.Res.66, which urged Congress to focus on the regulation of this emerging technology. As Vice Chair of the Democratic Caucus, Congressman Lieu has led discussions with top researchers, academics, and industry leaders in AI. He also introduced a bill to study AI applications in health care. Congressman Lieu was named one of Time Magazine’s Most Influential Leaders in AI in 2023, which included 100 individuals from around the world who are advancing conversations on how AI is reshaping the present and our future. 

    READ THE FULL TEXT OF THE BILL HERE

    ###

    MIL OSI USA News –

    January 23, 2025
  • MIL-OSI USA: With Balloon Fiesta Underway, Luján Highlights Wins From FAA Reauthorization Bill to Protect Hot Air Ballooning

    US Senate News:

    Source: US Senator for New Mexico Ben Ray Luján
    Washington, D.C. – With the Albuquerque International Balloon Fiesta underway, U.S. Senator Ben Ray Luján (D-N.M.), a member of the Senate Committee on Commerce, Science, and Transportation, highlighted key priorities that he secured to help protect hot air ballooning in the Federal Aviation Administration (FAA) Reauthorization Act of 2024 that was passed and signed into law in May.
    “The annual Balloon Fiesta is a vital part of New Mexico’s culture and economy that brings thousands of visitors to our state from around the world,” said Senator Luján, a member of the Senate Committee on Commerce, Science and Transportation. “Over the years, I’ve worked to keep New Mexico as the hot air balloon capital of the world and let the balloons fly without disruption. I am proud to have worked with my colleagues during FAA Reauthorization negotiations to protect our cherished tradition of hot air ballooning that is on full display at this year’s Balloon Fiesta.”
    Earlier this year, as part of the FAA Reauthorization Act, Senator Luján secured a provision to require the FAA to consider the unique capabilities of hot air balloons in future regulations. In 2022, Senator Luján and the New Mexico Delegation successfully pushed the FAA to adjust a policy that would have grounded hot air balloon flights and caused major disruptions to the Albuquerque International Balloon Fiesta.

    MIL OSI USA News –

    January 23, 2025
  • MIL-OSI USA: Black Hole Destroys Star, Goes After Another, NASA Missions Find

    Source: NASA

    NASA’s Chandra X-ray Observatory and other telescopes have identified a supermassive black hole that has torn apart one star and is now using that stellar wreckage to pummel another star or smaller black hole, as described in our latest press release. This research helps connect two cosmic mysteries and provides information about the environment around some of the bigger types of black holes.
    This artist’s illustration shows a disk of material (red, orange, and yellow) that was created after a supermassive black hole (depicted on the right) tore apart a star through intense tidal forces. Over the course of a few years, this disk expanded outward until it intersected with another object — either a star or a small black hole — that is also in orbit around the giant black hole. Each time this object crashes into the disk, it sends out a burst of X-rays detected by Chandra. The inset shows Chandra data (purple) and an optical image of the source from Pan-STARRS (red, green, and blue).
    In 2019, an optical telescope in California noticed a burst of light that astronomers later categorized as a “tidal disruption event”, or TDE. These are cases where black holes tear stars apart if they get too close through their powerful tidal forces. Astronomers gave this TDE the name of AT2019qiz.
    Meanwhile, scientists were also tracking instances of another type of cosmic phenomena occasionally observed across the Universe. These were brief and regular bursts of X-rays that were near supermassive black holes. Astronomers named these events “quasi-periodic eruptions,” or QPEs.
    This latest study gives scientists evidence that TDEs and QPEs are likely connected. The researchers think that QPEs arise when an object smashes into the disk left behind after the TDE. While there may be other explanations, the authors of the study propose this is the source of at least some QPEs.
    In 2023, astronomers used both Chandra and Hubble to simultaneously study the debris left behind after the tidal disruption had ended. The Chandra data were obtained during three different observations, each separated by about 4 to 5 hours. The total exposure of about 14 hours of Chandra time revealed only a weak signal in the first and last chunk, but a very strong signal in the middle observation.
    From there, the researchers used NASA’s Neutron Star Interior Composition Explorer (NICER) to look frequently at AT2019qiz for repeated X-ray bursts. The NICER data showed that AT2019qiz erupts roughly every 48 hours. Observations from NASA’s Neil Gehrels Swift Observatory and India’s AstroSat telescope cemented the finding.
    The ultraviolet data from Hubble, obtained at the same time as the Chandra observations, allowed the scientists to determine the size of the disk around the supermassive black hole. They found that the disk had become large enough that if any object was orbiting the black hole and took about a week or less to complete an orbit, it would collide with the disk and cause eruptions.
    This result has implications for searching for more quasi-periodic eruptions associated with tidal disruptions. Finding more of these would allow astronomers to measure the prevalence and distances of objects in close orbits around supermassive black holes. Some of these may be excellent targets for the planned future gravitational wave observatories.
    The paper describing these results appears in the October 9, 2024 issue of the journal Nature. The first author of the paper is Matt Nicholl (Queen’s University Belfast in Ireland) and the full list of authors can be found in the paper, which is available online at: https://arxiv.org/abs/2409.02181
    NASA’s Marshall Space Flight Center manages the Chandra program. The Smithsonian Astrophysical Observatory’s Chandra X-ray Center controls science operations from Cambridge, Massachusetts, and flight operations from Burlington, Massachusetts.
    Read more from NASA’s Chandra X-ray Observatory.
    Learn more about the Chandra X-ray Observatory and its mission here:

    chandra

    https://chandra.si.edu

    This release features an artist’s rendering that illustrates the destructive power of a supermassive black hole. The digital image depicts a disk of stellar material surrounding one such black hole. At its outer edge a neighboring star is colliding with and flying through the disk.
    The black hole sits halfway down our right edge of the vertical image. It resembles a jet black semicircle with a domed cap of pale blue light. The bottom half of the circular black hole is hidden behind the disk of stellar material. In this illustration, the disk is viewed edge on. It resembles a band of swirling yellow, orange, and red gas, cutting diagonally from our middle right toward our lower left.
    Near our lower left, the outer edge of the stellar debris disk overlaps with a bright blue sphere surrounded by luminous white swirls. This sphere represents a neighboring star crashing through the disk. The stellar disk is the wreckage of a destroyed star. An electric blue and white wave shows the hottest gas in the disk.
    As the neighboring star crashes through the disk it leaves behind a trail of gas depicted as streaks of fine mist. Bursts of X-rays are released and are detected by Chandra.
    Superimposed in the upper left corner of the illustration is an inset box showing a close up image of the source in X-ray and optical light. X-ray light is shown as purple and optical light is white and beige.

    Megan WatzkeChandra X-ray CenterCambridge, Mass.617-496-7998mwatzke@cfa.harvard.edu
    Lane FigueroaMarshall Space Flight Center, Huntsville, Alabama256-544-0034lane.e.figueroa@nasa.gov

    MIL OSI USA News –

    January 23, 2025
  • MIL-OSI USA: Department of Environmental Quality Secretary Mary Penny Kelley

    Source: US State of North Carolina

    Headline: Department of Environmental Quality Secretary Mary Penny Kelley

    Department of Environmental Quality Secretary Mary Penny Kelley
    mseets
    Wed, 10/09/2024 – 11:13

    Today, Governor Roy Cooper announced Boards and Commissions appointments.

    Gov. Cooper has appointed the following individuals to the Governor’s Advisory Council on Aging:

    • Adrienne A. Livengood of Winston Salem as a member at-large. Livengood previously served on the Senior Services Board and the Family Services of Forsyth County Board. Livengood has dedicated her time to raising awareness for senior care accessibility.
    • Debra A. Stonecipher of Asheville as a member at-large. Stonecipher is a former Boeing Executive and owner of the Knight House. Stonecipher’s advocacy for families with aging parents led her to participate in the Mayo Aging and Alzheimer’s Study; allowing her to further assist in research efforts to find a cure for the disease.

    Gov. Cooper has appointed the following individuals to the North Carolina Arts Council:

    • Susan W. Woodson of Raleigh as a member at-large. Woodson is an Artist at 5 Points Art Gallery. She has over 30 years of experience in graphic design and founded the Roundabout Art Collective in Raleigh. She is an active member of Moondog Fine Arts.
    • Dr. Paul Keith Baker of Raleigh as a member at-large. Dr. Baker is the Executive Director of the Contemporary Art Museum of Raleigh and a Professor of History at North Carolina Agricultural and Technical State University. Dr. Baker also has ample experience with program development and higher education.
    • Dr. William Henry Curry of Raleigh as a member at-large. Dr. Curry is the Music Director of the Durham Symphony Orchestra. He also has several years of experience as the Resident Conductor and Artistic Director of the North Carolina Symphony.

    Gov. Cooper has appointed the following individual to the North Carolina Auctioneers Commission:

    • John M. Harris of Winston-Salem as a member by the Governor’s discretion. Harris is a Principal Attorney at J. Harris Legal PLLC. He has over nine years of extensive law and government experience.

    Gov. Cooper has appointed the following individual to the Bald Head Island Transportation Authority Board of Trustees:

    • Joseph Patrick Hatem of Southport as a member at-large. Hatem is a native North Carolina resident who served as the Mayor of Southport from 2019 to 2023. He has experience as an Emergency Physician and as the Chairman of the Department of Medicine for J. Arthur Dosher Memorial Hospital.

    Gov. Cooper has appointed the following individual to the North Carolina Employment Security Board of Review:

    • Adam Lockhart Taylor of Raleigh as a representative of employers. Taylor was the Director of Governmental Relations for the North Carolina Office of State Human Resources. His wealth of experience afforded him the opportunity to serve as Chief Deputy and later Assistant Secretary of the Division of Employment Security (DES) before serving as Senior Policy Advisor to the Department of Commerce Division of Workforce Solutions.

    Gov. Cooper has appointed the following individual to the North Carolina Advisory Committee on Cancer Coordination and Control:

    • Melissa H. Smith of Wake as the North Carolina community college system representative. Smith is the Senior State Director of Health Science Programs for the NC Community College System. She previously served as the Dean of Health Sciences at Caldwell Community College and Technical Institute.

    Gov. Cooper has appointed the following individual to the Disciplinary Hearing Commission of the North Carolina State Bar:

    • Scarlett Hargis of Garner as a public member. Hargis serves as a Paralegal to the General Counsel in the Office of the Governor and has been in this role since 2017. Prior to this, she was the Administrative Officer for the Attorney General in the North Carolina Department of Justice.

    Gov. Cooper has appointed the following individual to the North Carolina Council on Educational Services for Exceptional Children:

    • Dr. Bradley S. Stevenson of Charlotte as a representative of a private school. Dr. Stevenson is the Director of Program Administration and Clinical Services of Melmark Carolinas. Dr. Stevenson has experience working as a Behavior Analyst, a Senior Consultant, and an Educational and Behavior Consultant.

    Gov. Cooper has appointed the following individual to the North Carolina Hearing Aid Dealers and Fitters Licensing Board:

    • Anne Morgan Selleck of Durham as a physician preferably specializing in the field of Otolaryngology. Selleck is a Clinical Assistant Professor at the University of North Carolina at Chapel Hill. She has experience as a research coordinator and has a subspecialty certificate in Neurotology.

    Gov. Cooper has appointed the following individual to the Historic Murfreesboro Commission:

    • Craig Lee Dennis of Murfreesboro as a member at-large. Dennis is an art teacher at Riverview Elementary School. He also serves as a Murfreesboro Town Councilman and Fire Commissioner. Additionally, Dennis spends his time as a volunteer for the Murfreesboro Historical Association and serves as the Landscape Committee Chair of the John Wheeler House.

    Gov. Cooper has appointed the following individual to the North Carolina State Historical Records Advisory Board:

    • Melissa A. Lovell of Holly Springs as a member at-large. Lovell has over twenty-five years of experience as a Legal Services Practice Manager and Agency Legal Specialist for the North Carolina Department of Justice.

    Gov. Cooper has appointed the following individual to the North Carolina Human Relations Commission:

    • Kerry M. Wiggins of Winston-Salem as a member at-large. Wiggins is the Boards and Commissions Program Director of the North Carolina League of Conservation Voters Foundation. Previously, Wiggins was a patient advocate at Old Vineyard Behavior Health Services.

    Gov. Cooper has appointed the following individual to the North Carolina Locksmith Licensing Board:

    • Erich Crouch of Greensboro as a public member. Crouch is a former Probation Officer with the North Carolina Department of Adult Corrections, serving the department for 27 years. He has a certification in Homeland Security and ample experience in safety training.

    Gov. Cooper has appointed the following individuals to the North Carolina Commission for Mental Health, Developmental Disabilities and Substance Abuse Services:

    • Carolyn Floyd Robinson of Lumberton as a substance abuse services consumer or an immediate family member of a substance abuse services consumer. Robinson is the Program Director of Borderbelt Behavioral Healthcare LLC and has worked as a substance abuse professional for over 22 years.
    • Dr. Hany A. Kaoud of Winterville as a physician. Dr. Kaoud is the Medical Director and Psychiatrist at Easterseals PORT Health. Prior to this, he was an attending physician at Wayne UNC Health Care and a Research Assistant at California State University.
    • Danny Ray Graves of Charlotte as a member who is a substance abuse services professional. Graves is the Director of Clinical Supervision for the McLeod Addictive Disease Center. He is a certified Clinical Addictions Specialist and a certified Substance Abuse Counselor.
    • Suzanne Mizsur-Porter of Rutherfordton as a substance abuse services family member. Mizsur-Porter is the Executive Director of United Way of Rutherford County. She also served as Creative Director for EMSI Public Relations.
    • Karon F. Johnson of Durham as a developmental disability’s family member. Johnson is a Clinical Assistant Professor at the School of Social Work at the University of North Carolina at Chapel Hill. She is the owner of a Private Therapy Practice and has experience working within the Crisis Unit at the Chapel Hill Police Department.

    Gov. Cooper has appointed the following individual to the Martin Luther King, Jr. Commission:

    • Mildred Christmas of Raleigh as a member at-large. Christmas spent over 17 years as a State Procurement Specialist in the Department of Administration. She also served as the Records Management Analyst for the State Records Center in the Department of Cultural Resources for 14 years.

    Gov. Cooper has appointed the following individual to the NCWorks Commission:

    • Rebecca Irene Axford of Hillsborough as a workforce representative/labor representative. Axford is the International Representative for the International Brotherhood of Electrical Workers Education Department for the state of North Carolina.

    Gov. Cooper has appointed the following individual to the North Carolina State Board of Examiners for Plumbing, Heating and Fire Sprinkler Contractors:

    • Jeffrey Clark Farlow of Greensboro as a plumbing contractor. Farlow is the Executive Vice President at InfraPros, LLC. Farlow is an established leader for Facility Automation and Operations. He has been recognized for guiding the company in Green Building Technology and awarded the Distech Controls International Green Building Award for innovation and work in energy-saving strategies.

    Gov. Cooper has appointed the following individual to the North Carolina Private Protective Services Board:

    • David E. Poston of Shelby as a member who is licensed under 74C-4. Poston is a former Patrol Deputy and Polygraphist/Background Investigator for Clay County’s Sheriff’s Office. He is a licensed private investigator and polygraph examiner who concentrates on defendant criminal case review and pre-trial polygraph testing, employee theft, espionage, and sabotage, as well as pre-employment and family advocacy.

    Gov. Cooper has appointed the following individuals to the North Carolina Real Estate Commission:

    • Patrick H. Bell of Raleigh as a licensed real estate broker. Bell is the Vice President of Land Acquisition Carolinas for The Kolter Group and serves as a board member on eight homeowner associations. He is also a former land acquisition manager and commercial real estate broker.
    • Melvin Alston of Greensboro as a licensed real estate broker. Alston is the President of Alston Realty Group, Inc. He is also the Guilford County Commissioner Board Chair, representing district 8.

    Gov. Cooper has appointed the following individual to the North Carolina Council on Sickle Cell Syndrome:

    • The Honorable Gladys A. Robinson of Raleigh as a member at-large. Senator Robinson is the Deputy Minority Leader of the North Carolina Senate for the State of North Carolina. Senator Robinson also serves on the Southern Regional Education Board.

    Gov. Cooper has appointed the following individuals to the Supplemental Retirement Board of Trustees:

    • Rajinder Singh of Cary as a member experienced in finance and investments. Singh has held various roles as a Global Financial Services Executive throughout his 25-year career. Singh also serves as a director on the boards of Sagen Canada, India Mortgage Guarantee Corporation, and Appalachian Trail Conservancy.
    • Lanier T. McRee of Raleigh as a member experienced in finance and investment who is also a state employee. McRee works as the Assistant State Budget Officer for the North Carolina Office of State Budget and Management. Previously, McRee worked as the principal budget analyst for the North Carolina General Assembly.

    Gov. Cooper has appointed the following individual to the North Carolina Commission on Volunteerism and Community Service:

    • Samantha C. Arrington Sliney of Whispering Pines as a member who is a representative of the military or veterans. Sliney is an attorney advisor for the Department of the Army- Joint Operations Command. She also serves as defense counsel for the New Jersey Air National Guard. Sliney also advocates and leads the Department of the Air Force Women’s Initiatives Team as their Co-Chair.

    ###

    Oct 9, 2024

    MIL OSI USA News –

    January 23, 2025
  • MIL-OSI United Kingdom: Securing Cyberspace: Minister Doughty speech

    Source: United Kingdom – Executive Government & Departments

    Minister Doughty outlined the UK’s commitment to responsible behaviour in cyberspace in a keynote speech at RUSI’s Securing Cyberspace Conference.

    Location:
    London
    Delivered on:
    9 October 2024 (Transcript of the speech, exactly as it was delivered)

    Thank you very much for traveling from near and far. 

    It’s a real pleasure. We’ve got so many leading lights in government, industry, law enforcement, academia and civil society here in one room.  

    And I’m very grateful to RUSI for bringing this together as they so often do.  

    This is a very welcome opportunity to reflect on an important mission for the new government that I’m proud to serve in, and that is, of course, enhancing cyber security and promoting responsible behaviour in cyberspace. 

    You in this room are all of our vital and valid partners in this. 

    And everyone here today has a role to play in shaping the future agenda, bringing diverse perspectives, specialist knowledge and deep expertise. 

    So thank you once again. 

    And I really hope that this conference, which we’ve been proud to support, helps you forge fresh connections and find new ways to collaborate.  

    And we cannot meet at a more pivotal moment in world history – a moment of the most extraordinary change, of risk, and of opportunity. 

    Because from our banks to our electricity grid, from our defence to our hospitals, the online cyber world underpins every aspect of our society. 

    And with every day that passes, we of course, rely on it more for our prosperity and our security. 

    But you hardly need to be told that this brave new world has a dark side -and the years to come will see us walking dangerous and difficult complex paths. 

    And I just reflect in my own life, I got my first email address when I was only 15 or 16 years old.  

    I went to an international school in Canada. It was quite a big chance to connect with some of my classmates from across the world, but my parents were still not used to the system. They were printing out my emails when I sent them home, kept them all in a folder as a physical copy and presented them to me.  

    But today, of course, we’re in that world shaped by Al and quantum, by ever evolving threats and opportunities.  

    And of course, we know that state actors, criminals and others who want to harm us are fighting hard for their share of this space which knows no borders.  

    Those are the threats, but we also have huge opportunities and the question, of course, for all of us is how we embrace the opportunities that cyber brings in every aspect whilst addressing those key challenges. 

    And so I’m grateful for the chance to share some perspectives with you today.  

    I wanted to start by saying that since taking office in July, growth and security have been among the government’s very top priorities and they will remain that way.  

    In a world where we all live and work online, investing in cyber security and promoting responsible behaviour is an essential part of this mission, because fundamentally, and you will all know this, there is no national security, no economic security without cyber security. 

    We cannot fulfil our growth Mission as a government without cyber resilient businesses and supply chains, a Cyber aware workforce and society. 

    And of course, all of those underpinned by strong technical and skills expertise in the cyber sector. 

    This is true for all of us, investing in that security and promoting responsible behaviour has to be a collective endeavour. 

    I wanted to highlight today and reflect on three key themes that will guide our approach as a new government. 

    The first of those is that partnerships are vital for success. 

    When Alan Turing and the codebreakers in Bletchley Park – I have visited and I’m sure many of the you in this room have – they, of course, cracked that Enigma Cipher during the Second World War, sharing those insights with our allies saved countless lives and hastened the end of the war. 

    But of course, today, the world faces a whole new set of threats. 

    Spyware, ransomware, espionage, information manipulation and other forms of interference are causing untold losses and distress to our security and to our economic security.  

    The World Economic Forum estimates that the global cost of cybercrime will reach 24 trillion US dollars by 2027, that’s up from an almost eyewatering 8 trillion in 2022.  

    In the online world, the stakes are higher than ever, and the gloves are well and truly off.  

    So it’s only through solid, respectful, mutual, beneficial partnerships that we can fight back, overcome the challenges we face, and make the most of important opportunities for all our people. 

    It’s a pleasure to see friends from across the diplomatic audience today as well, ready to solve these problems working together with partners and allies across the world.  

    That’s why, from Day One, this new Government has focused on connecting Britain and strengthening relationships with countries around the world, from the Euro-Atlantic to the Global South. 

    That means enhancing our relationships with the EU and our European friends to forge closer cooperation spanning the whole range of issues, including military, economic and cyber, our unshakeable commitment to NATO, the bedrock of our defence. 

    And here I will point out that the UK is playing a leading role in work to deter and respond to cyber threats.  

    And later this year, we will of course host the NATO Cyber Defence conference to galvanize those efforts.  

    We’re also collaborating with many individual countries and partners, for example, in the Western Balkans, a region I’m privileged to know well from many visits.  

    Indeed, in Opposition, I met with young cyber experts in Pristina and discussed their careers, their prospects, and how we can work together as partners.  

    We’re, of course, working together with governments right across the world to bolster defence and counteract threats.  

    And just last month, I was in Moldova where I discussed these issues and partnerships at the Ministry of Defence in Chișinău. 

    And turning to the wider world, particularly our important partnerships in the Global South, our work with Interpol in Africa, across the Indo-Pacific and indeed, Latin America, tackling cybercrime, building closer cross-border partnerships.  

    In Africa, this partnership has helped to smash 20,000 criminal networks and seize illegal funds worth more than 40 million US dollars.  

    Last year, Interpol coordination with cybercrime units in Nigeria, Benin, Cote d’Ivoire saw 300 suspects arrested, 3 million US dollars’ worth of assets ceased and multiple criminal networks dismantled.  

    In the months and years ahead, the UK will continue to play our role at Interpol, an organisation which of course is at the sharp end of the increasingly borderless world of global crime.  

    Secondly, I want to talk about responsible cyber behaviour. 

    In all of our collaborations around the world, we remain committed to the United Nations Framework for Responsible State Behaviour in the use of Information Communication Technologies, but will be guided by our principles when it comes to ensuring safe and responsible use of cyber capabilities. 

    That’s the second important theme of our work overall, and the topic I know you’ll be discussing in detail at this conference, thanks again to RUSI for putting together such a strong and relevant agenda.  

    But for now, I will simply say that for the UK, this is about staying at the forefront of science and technology so we can understand threats and respond appropriately, and helping others do the same. 

    For example, supporting cyber security nonprofit organisations like Shadowserver to share threat data.  

    It’s also about transparency, which is so vital to facilitate cooperation, build trust and reduce the possibility of misinterpretation and escalation.  

    It’s also about inclusion, for example, by bringing stakeholders, including many of you in this room with all their expertise into that global cyber security discussion. A topic I will return to shortly. 

    But it’s also importantly about promoting accountability, because while we here in this room are united in our support for responsible behaviour, we know that not everybody plays by those rules. 

    Sometimes we will need to take firm action, and the UK will continue our important work with partners to hold criminals and others to account.  

    International cooperation is central, as demonstrated in August, when, after significant efforts by many of those in this room, here today, UN member states finalized a new draft Cybercrime Convention.  

    Many of us, of course, have the tools to take domestic action in this area too. 

    Just last week, on 1 October, alongside the United States and Australia, this country sanctioned 16 members of the Russian cybercrime gang, Evil Corp.  

    This group, which truly lives up to its name, has waged a campaign of destructive attacks worldwide for over a decade.  

    They include malware and ransomware attacks against UK health, government and public sector institutions as well as commercial technology companies.  

    Those sanctioned are now subject to asset freezes and travel bans.  

    Alongside our allies, we will continue to crack down on malicious activity and call out criminals like Evil Corp, who seek to underline our prosperity and security.  

    Thirdly, I wanted to stress the importance of a whole of society approach.  

    And as a Member of Parliament, I see how cybercrime, these challenges affect the lives of my constituents on a daily basis, whether it’s in fraud, whether it’s in terrorism, recruitment of individuals. I’ve seen these aspects in the lives of my constituents over the last five years. 

    As this conference demonstrates, we’re taking every opportunity to bring a wide range of expert stakeholders into our work. Because cyber is not, of course, as you all know, just about the technology, it’s about the people who interact with it, people who come from all spheres of society and all parts of the globe 

    That includes those outside the realm of Government, who have huge pools of talent, expertise, innovation and enthusiasm to bring to the table.  

    And we have to make that advantage count through a whole of society approach to cyber. So this government is absolutely committed to work hand in glove with our partners in industry, in the development sector, in academia, in the not-for-profit sector and beyond.  

    And we’ve got an impressive story already to tell here and want to do even more on. Let me just reflect on a few examples. 

    Firstly, as Putin continues to wage an illegal war in Ukraine, we are working with Mandiant, Palo Alto Networks, CloudFlare, BAE systems, along with the government in Kyiv to bolster Ukraine’s resilience to Russian cyber attacks.  

    We’re drawing on world leading expertise from across the public and private sectors to protect Ukraine’s critical infrastructure and vital public services 

    But our partnerships with industry leaders are not just about addressing threats.  

    As the third largest exporter of cyber security services globally, there’s no doubting how important this sector is to our own economy, indeed to all of our economies, we need to stay ahead of the game when it comes to innovation, and as I’ve said, we have huge talent to draw on.  

    We will work with industry to make the most of the opportunities for British businesses, boosting prosperity and sharing our expertise with the world.  

    We’re leading the efforts through our National Cyber Security Centre to test ideas, enhance understanding and to engage with talented individuals from the private sector to shape our approach.  

    Of course, companies also have a crucial role to play in setting out responsible values and principles for their work. We know this is not a straightforward process. 

    So we will work with partners to find solutions to problems like the unregulated market for spyware that’s being used to target journalists and other civil society communities across the globe, violating human rights and ultimately undermining our free and open societies.  

    We’re bringing people together through the Pall Mall process – from states, industry and civil society to tackle the misuse of commercial spyware and other tools.  

    And besides those efforts to turbocharge our economy and shape the rules of the game, we want to work hard to level the playing field for people. 

    We want to be seeing cyber as an inclusive space where everyone can fulfil their potential. 

    That’s why we’re supporting schemes like the Caribbean Experts Fellowship – part of our wide-ranging work with the Commonwealth.  

    That scheme is going to support the brightest minds from across the region to shape the safe and prosperous cyberspace through academic research, opportunities, networking and more.  

    We’re also committed to close the gender gap in cyber because fundamentally, no country can achieve its full potential if it underuses 50% of its resources and talents.  

    And indeed, yesterday, on Ada Lovelace Day, the world celebrated the achievements of women in science, technology, engineering and mathematics, and I want us to celebrate those achievements every day and create fresh opportunities for women in every area of this work.  

    The UK already has some great projects around the world helping smooth the path for a new generation of female cyber experts to make their mark on this world – from our ‘Her Cyber’ project in Albania, which reaches out to girls at an early age through after school clubs and running right through to university level support, to our UN Women in Cyber Fellowship, which is sponsored with partners including Canada, US and Germany, to encourage greater female representation in negotiations in the UN First Committee.  

    So, I’ve gone through three key themes today. I hope they give you some insights to our thinking and direction of travel, as a new government.  

    But to conclude, we are living in a world, as I said at the beginning, that was unimaginable just a few decades ago.  

    It’s a world that’s ripe with opportunity when it comes to cyber, but of course, laden with challenge. 

    I’ve been glad of the opportunity today to be able to set out some of the ways in which the government will make the most of those opportunities, together with you, while meeting challenges head on through partnerships spanning the globe, demonstrating what a responsible approach looks like, and collaborating with those outside the government who have so much to bring to these efforts. 

    That’s how we can ultimately keep our citizens safe, help our economies to flourish, protect our security and stand up for our values.  

    So once again, I want to welcome you all here today to add my support to your efforts today to discuss these important issues, and to give our commitment as a new government to work with all of you as we develop our capabilities to respond to those threats and opportunities in the future.  

    Thank you very much.

    Updates to this page

    Published 9 October 2024

    MIL OSI United Kingdom –

    January 23, 2025
  • MIL-OSI USA: The Bright and Dark Sides of Pacific Salmon Biotransport

    Source: US State of Connecticut

    Each year millions of Pacific salmon make a grand journey from the ocean to their freshwater spawning grounds at the end of their life cycles. This migration has rippling effects through food webs and ecosystems along the way.

    Whether they decompose or are consumed by other animals, these salmon deliver both nutrients and contaminants they have accumulated in their bodies after spending most of their lives growing at sea. A team of researchers from UConn, the University of South Dakota, the U.S. Geological Survey, Natural Resource Consultants, the University of Saskatchewan, the University of Missouri, and Regis University set out to study the transport of these nutrients and contaminants and trends as the salmon community changed over 40 years. Their findings are published in the journal Nature.

    Jess Brandt, assistant professor in UConn’s College of Agriculture, Health and Natural Resources Department of Natural Resources and the Environment and the Center for Environmental Sciences and Engineering, led the project. The study considers the spawning migrations to North America for the five major Pacific salmon species including Chinook, chum, coho, pink, and sockeye salmon. The research team combined estimates of migrating fish biomass for the forty years between 1976 and 2015 with Pacific salmon nutrient and contaminant tissue concentrations from scientific studies and reports.

    Energy and nutrients that travel from one system to another and have positive effects are called ecological subsidies. Contaminants that move alongside nutrients that can have detrimental impacts are referred to as “the dark side of subsidies,” says Brandt.

    “This research is about the ‘bright and dark sides’ of Pacific salmon subsidies,” she says. “We usually study them separately in the context of transport by animals, but nutrients and contaminants go hand-in-hand.”

    To start, the researchers combined the biomass estimates for each species with nutrient and contaminant concentrations to estimate the movements of these materials carried by salmon. Brandt says these movements had not been estimated at the continental scale before, and the magnitudes of materials transported by Pacific salmon were compelling.

    “On average, there were an estimated 119 million Pacific salmon returning to North America each year in the 40-year period of the study. This involved the movement of thousands of tonnes of nutrients and kilograms of contaminants. The fluxes of nutrients by Pacific salmon we report are among the largest fluxes that have been estimated so far for large groups of animals that move materials when they emerge, migrate, or die in large numbers.”

    The second question they address is how changes in the Pacific salmon community over time have impacted nutrient and contaminant transport.

    They found the Pacific salmon community grew substantially over that 40-year period, both in terms of biomass and number of fish. Brandt says the estimated amount of nutrients and contaminants transported in 2015 was 30% higher than in 1976, and the increase in pink salmon biomass during this period accounted for nearly 80% of the increase they observed.

    “We were curious about how shifts in the structure of the Pacific salmon community translated to changes in nutrient and contaminant transport over time,” says Brandt.

    To understand the significance of these questions, it helps to look at some of the aspects of the lives of different Pacific salmon species. Brandt says that where a species feeds on the food chain (called its trophic level), how long it spends in the ocean, and how large it gets, are all important when considering contaminant concentrations. The environmental contaminants included in this study build up in food webs and increase in concentrations from prey to predators, in a process called biomagnification. This means animals higher in the food web accumulate higher concentrations of these contaminants.

    Brandt notes that contaminant concentrations in Pacific salmon are low, overall, relative to many other types of fish. Even still, there are clear differences in contaminant levels among the Pacific salmon species. Pink salmon feed lower on the food web, spend less time at sea, and are small when they return to spawning grounds. By comparison, Chinook salmon feed higher up, spend many years in the ocean, and are the largest of the Pacific salmon species. These differences influence the amounts of contaminants each species transports.

    “That’s where we started thinking about the loading potential of each species – in other words, how much of each chemical a fish carries – and how loadings of nutrients and contaminants compare. We found the higher trophic level fish, specifically Chinook salmon, will carry relatively high ratios of contaminants to nutrients. On the other hand, pink salmon carry more nutrients per contaminant.”

    Despite these differences, pink salmon transported the largest overall amounts of contaminants, and this comes down to sheer numbers, says Brandt,

    “We also asked which species were contributing the most to nutrient and contaminant transport by the Pacific salmon community. Even though pink salmon have the lowest tissue concentrations of contaminants, the entire group of pink salmon contributes the greatest share of contaminants transported to North America because they dominate the community. Their numbers have increased, and even if the concentration of the contaminant hasn’t changed, if more fish are carrying the contaminant, then there’s more contaminant transferred.”

    Finally, the researchers considered the tradeoffs in nutrient and contaminant co-exposure for animals that eat salmon, including people. They compared the benefits of the omega-3 fatty acids people get from eating salmon with the health risks associated with the contaminants included in the study. “The results for each species indicated that salmon consumption brings a net benefit to people,” says Brandt. “We believe this means that there is a net benefit to the ecosystem as well.”

    Studying nutrients and contaminants together gives powerful insight into the environmental impacts of migratory species like salmon.

    “We miss part of the story when we study nutrients and contaminants separately,” Brandt says. “We hope this study leads to future work focused on migratory species as transporters of nutrients and contaminants and the tradeoffs between the two types of inputs for recipient systems at large spatial scales.”

    MIL OSI USA News –

    January 23, 2025
  • MIL-OSI USA: UConn Scholars Consider ‘Historic Firsts’ of 2024 Election

    Source: US State of Connecticut

    It’s rare that any particular event can be confidently predicted to be of major historical significance before it happens, but American presidential elections definitely fit the bill. And while all presidential elections are momentous, each one has unique dynamics and characteristics that influence history in very different ways.

    It was with this in mind that three UConn scholars gathered at the Old State House in Hartford on Tuesday, Oct. 8, to analyze the current presidential contest in terms of historical significance – and what makes this election distinct.

    Christopher Vials, professor of English at UConn, engages in a discussion during the “Historic Firsts: The 2024 Presidential Election” forum at the Old State House in Hartford on Oct. 8, 2024. (Sydney Herdle/UConn Photo)

    One of the most striking differences between this election and every previous presidential campaign is that a major party nominee – Vice President Kamala Harris – is a woman of color. Even more remarkable, the scholars said, is the way she came to win the Democratic Party’s nomination – being endorsed by President Joe Biden after his unprecedented decision to drop out of the race just weeks before the party’s nominating convention in August.

    “What I will never forget, especially as a political scientist, is the way she came to be the Democratic nominee,” said Evelyn Simien, professor of Political Science, Director of the Africana Studies Institute, and author of “Historic Firsts: How Symbolic Empowerment Changes U.S. Politics (Oxford University Press, 2016).”

    Manisha Sinha, the James L. and Shirley A. Draper Chair in American History and author of “The Slave’s Cause: A History of Abolition (Yale University Press, 2017)” and “The Rise and Fall of the Second American Republic: Reconstruction, 1860-1920 (Liveright, 2024),” agreed that the circumstances of Harris’ nomination make the 2024 election unique.

    “This is probably one of the first times we’ve had a presidential nominee so late in the game who has been able to step up so quickly,” she said.

    Another distinctive factor of this election, argued Christopher Vials, professor of English and author of “Haunted by Hitler: Liberals, the Left, and the Fight Against Fascism in the United States (University of Massachusetts Press, 2014),” is that “new taboos continue to be broken” in political rhetoric surrounding the race.

    Pointing to an interview the pundit Tucker Carlson conducted in September with a far-right podcaster notorious for defending the Third Reich and blaming Winston Churchill for World War II, Vials said, “Tucker Carlson is nodding his head, and then Elon Musk tweets about how that was a fabulous interview. They’re sort of breaking the Hitler taboo now.”

    One concern all three scholars shared was the possibility of low voter turnout, especially in states like Connecticut, where the presidential race is not expected to be competitive.

    “A lot of people become a little blasé about elections; they think noting changes, they think their vote doesn’t count, and that can open the door to authoritarian outcomes in elections,” Sinha said.

    Simien said she reminds her students that the right to vote has only, in historical terms, recently been won by all Americans regardless of race or gender, and shouldn’t be taken for granted.

    “Younger voters owe a debt to older generations, people who have sacrificed life and limb so that we can have the right to cast a vote in American elections,” she said.

    Vials noted the importance of elections for state and local offices, pointing out that decisions made in city hall or Hartford often have immediate, direct consequences in daily life.

    “State elections affect your lives a lot; they determine whether social services are going to be provided, whether universities are going to be funded, tax rates, who gets taxed – those are things that affect people’s lives every day, apart from the federal election,” he said.

    Connecticut residents will be able to vote early for the first time this year: balloting begins on October 21 and runs for 14 days. 

    The forum at the Old State House was Sponsored by the UConn American Studies Program, the Department of Critical and Social Inquiry, the English Department, The Africana Studies Institute, the History Department, and the Department of Political Science at UConn.

    A video recording of the discussion can be viewed on YouTube.

    MIL OSI USA News –

    January 23, 2025
  • MIL-OSI Canada: Competitive compensation for resident physicians

    Source: Government of Canada regional news

    [embedded content]

    Alberta’s government, in partnership with Alberta Health Services (AHS), the University of Alberta, University of Calgary and the Professional Association of Resident Physicians of Alberta has reached a four-year agreement that provides competitive and fair-market compensation for physicians in training.

    The negotiated agreement provides wage increases of three per cent in each of the first two years, and two per cent in each of the last two years. It also includes market adjustments that put Alberta on par with other western Canadian medical schools.

    Ensuring resident physicians receive competitive, fair-market compensation while they train and provide services across the province will help stabilize and strengthen acute health care today while bringing medical students and ultimately more physicians to the province to support the province’s future health needs.

    “Alberta’s government is grateful for all the hard work resident physicians put in as they complete their training. We are pleased to see that a new agreement has been reached and look forward to more physicians calling Alberta home.”

    Adriana LaGrange, Minister of Health

    “We are extremely grateful to all of our resident physicians, who play a vital role in caring for Albertans and supporting our front-line physicians and health care teams. This agreement will help us recruit medical students and encourage them to practise in this province.”

    Athana Mentzelopoulos, president and CEO, AHS

    Rural and Remote Family Medicine Resident Physician Bursary Pilot Program

    The agreement builds on actions Alberta’s government is taking to make the province a more attractive place for medical students and resident physicians to study and practise. On Oct. 3, Alberta’s government announced measures to improve health care in rural and remote communities through the new Rural and Remote Family Medicine Resident Physician Bursary Pilot Program. The bursary program is part of the province’s Rural Health Action Plan.

    The pilot program will provide up to $8 million annually for the next two years to medical students in their final year of an undergraduate medical program when they are matched with a family medicine residency program at the University of Alberta or University of Calgary, or to residents currently completing a family medicine residency at either university regardless of their year of study. In return, bursary recipients will commit to delivering comprehensive patient care in eligible communities for three years after completing their residency. 

    “With this agreement, Alberta strengthens its position as an attractive destination for resident physicians across Canada. By enhancing compensation, training and working conditions, we ensure Alberta recruits and retains the brightest medical talent to serve our communities and shape the future of health care.”

    Dr. Pauwlina Cyca, president, Professional Association of Resident Physicians of Alberta (PARA)

    “The University of Alberta is pleased collaborations with our partners have resulted in an agreement that reflects the critical impact resident physicians make in our health care system so all Albertans receive the care they need.” 

    Brenda Hemmelgarn, dean and vice-provost, College of Health Sciences, and dean, faculty of medicine & dentistry, University of Alberta

    “Remuneration, respect, retention and recruitment of rural generalists are key to elevating rural hospitals to becoming rural centres of excellence. With this agreement and bursary pilot program, the Alberta government is recognizing rural health as being different, requiring separate and unique solutions for our communities that are mutually beneficial in enhancing the health of rural Albertans.”

    Dr. Rithesh Ram, president, section of rural medicine, Alberta Medical Association

    Quick facts

    • Resident physicians have graduated medical school but are completing post-graduate training in a residency program to obtain their licence to practise. With residency programs requiring an additional two to seven years of post-graduate training, most resident physicians spend more than 10 years training to become fully licensed physicians and surgeons.
    • The Professional Association of Resident Physicians of Alberta represents more than 1,660 resident physicians in Alberta.
    • The current agreement between AHS, the University of Alberta, University of Calgary and the association ended on June 30, 2024.
    • The resident physician agreement is funded by Alberta Health through a grant to AHS and the universities.

    Related information

    • Postgraduate medical education (AHS)

    Related news

    • Improving health care in rural and remote Alberta (Oct. 3, 2024)

    Multimedia

    • Watch the news conference

    MIL OSI Canada News –

    January 23, 2025
  • MIL-OSI Global: Fix the climate or appease the fossil fuel industry – we can’t do both

    Source: The Conversation – UK – By Jack Marley, Environment + Energy Editor, UK edition

    Britain ended more than 140 years of coal power when it closed its last generator in September.

    Coal emits more heat-trapping gas to the atmosphere than any other fossil fuel, so its demise as a source of electricity is an unalloyed good for the climate. Yet, with another announcement a week later, the UK government has helped extend the reign of fossil fuels well into the 21st century.



    This roundup of The Conversation’s climate coverage comes from our award-winning weekly climate action newsletter. Every Wednesday, The Conversation’s environment editor writes Imagine, a short email that goes a little deeper into just one climate issue. Join the 35,000+ readers who’ve subscribed.


    Less than six months from polling day, the UK Labour party (then the official opposition) scrapped a campaign commitment to provide an annual stimulus of £28 billion (US$36.6 billion) for green industries.




    Read more:
    Labour’s £28 billion green investment promise could be watered down – here’s why


    Six billion pounds shy of this figure will now be raised over 25 years, Keir Starmer’s Labour government has revealed, but for a specific purpose: carbon capture and storage.

    “The technology works by capturing CO₂ as it is being emitted by a power plant or another polluter, then storing it underground,” says Mark Maslin, a professor of natural sciences at UCL.

    The Guardian reports that oil companies BP and Equinor will invest in a cluster of carbon capture and storage installations in Teesside, north-east England. Eni, an Italian oil company, is expected to develop sites in north-west England and north Wales. In each case, emissions will probably be pumped via gas pipes beneath the seabed.

    Starmer anointed “a new era” for green jobs when announcing this funding, but experts claim he is actually offering symbolic and strategic support to climate-wrecking energy sources that have dominated for centuries.

    A new error

    “This announcement represents a massive bet on a still unproven technology, and will lock the UK into fossil fuel dependence for decades to come,” Maslin says.




    Read more:
    The UK’s £22 billion bet on carbon capture will lock in fossil fuels for decades


    “The Climate Change Act mandates the UK should achieve net zero emissions by 2050, yet this will be impossible if carbon capture leads to the UK building new gas power stations instead of wind and solar farms.”

    Our ability to capture all this carbon is not guaranteed.
    DimaBerlin/Shutterstock

    Maslin was one of several scientists who wrote to energy secretary Ed Miliband criticising the plans. As he sees it, the government would not fund these projects if it did not see a future for fossil fuels beyond the middle of this century, by which time scientists have said our interference in the climate must end.

    The message is clear: expensive imports of natural gas (essentially methane, a potent greenhouse gas) are here to stay. Even successful deployment of carbon scrubbers at the point of burning this gas would not erase its climate impact, Maslin says, as it leaks at all stages of its production and use.

    But Maslin also doubts carbon capture and storage can siphon off the emissions of gas-fired power plants without adding to climate change. This is why climate scientists often describe carbon capture and storage as an unproven technology for decarbonising electricity and heavy industry: most of its applications have been in natural gas processing facilities where CO₂ is extracted for commercial uses.

    “The track record of adding carbon capture to power plants is much worse, with the vast majority of projects abandoned,” Maslin explains.

    More damning still, almost 80% of all the CO₂ captured by existing installations has been reinjected into oil fields – to pump more oil.

    Could carbon capture and storage tech turn natural gas into zero-carbon hydrogen, as some hope? Again, Maslin is dubious. Water is a cleaner source for hydrogen and using this fuel to heat homes or decarbonise factories is a second-rate solution compared with renewable electricity, he says.

    The fruits of appeasement

    Maslin and his co-signatories say that carbon capture and storage should be limited to reducing emissions from existing fossil power plants or steel furnaces while these emission sources are rapidly phased out.

    Marc Hudson at the University of Sussex is a historian of climate politics and policy in Australia, the US, UK and internationally. He has encountered policy proposals for carbon capture dating back to the 1970s and in his view, their overwhelming effect has been to prolong the use of fossil fuels by justifying investment in their expansion.




    Read more:
    Relying on carbon capture and storage may be a dangerous trap for UK industry


    “It’s the equivalent of smoking more and more cigarettes each day and gambling that a cure for cancer will exist by the time you need it,” he says.




    Read more:
    Cumbria coal mine: empty promises of carbon capture tech have excused digging up more fossil fuel for decades


    When trying to explain why rational climate policies like the mass insulation of draughty homes tends to lose out to investment in carbon capture and storage, Nils Markusson, a lecturer in environmental politics at Lancaster University, found something similar:

    “Home insulation does nothing to shield the profits of fossil fuel companies or landlords in the large and growing private rental sector,” he says.




    Read more:
    Does carbon capture and storage hype delay emissions cuts? Here’s what research shows


    In other words, appeasing the fossil fuel industry is a proviso of policies drafted to address climate change. This limitation has also infiltrated scientific assessments of the climate.

    A new report shows that “overshoot” scenarios – that is, projections of future climate change which accept the global target of 1.5°C will be at least temporarily breached – are rife in mainstream climate science.

    This is despite evidence of the permanent damage such a breach would cause – and our doubtful ability to reverse warming once it has exceeded these dangerous levels using speculative carbon removal technology.

    There is not enough land or energy to rapidly restore the carbon we have emitted.
    Oksana Bali/Shutterstock

    What has led us here? Comprehending the climate crisis and its solutions on terms favourable to the fossil fuel industry say Wim Carton and Andreas Malm, political ecologists at Lund University.

    “Avoiding climate breakdown demands that we bury the fantasy of overshoot-and-return and with it another illusion as well: that the Paris targets can be met without uprooting the status-quo.




    Read more:
    How mainstream climate science endorsed the fantasy of a global warming time machine


    “One limit after the other will be broken unless we manage to strand the necessary fossil assets and curtail opportunities for continuing to profit from oil and gas and coal.”

    – ref. Fix the climate or appease the fossil fuel industry – we can’t do both – https://theconversation.com/fix-the-climate-or-appease-the-fossil-fuel-industry-we-cant-do-both-240694

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI Global: Google Deepmind founder shares Nobel prize in chemistry for AI that unlocks the shape of proteins

    Source: The Conversation – UK – By Matthew Addicoat, Senior Lecturer in Functional Materials, Nottingham Trent University

    The 2024 Nobel prize in chemistry has been awarded to three scientists for their work on describing and predicting proteins with the help of computers. One half of the prize goes to David Baker from the University of Washington in the US “for computational protein design”, with the other half jointly awarded to Demis Hassabis and John M. Jumper, both from Google Deepmind, UK, “for protein structure prediction”.

    Using computers to carry out protein design and for predicting protein structures are two sides of the same coin. They are separately very powerful – and combined, even more so.

    Proteins are the building blocks of life, building and powering our muscles and organs. Proteins are molecular machines: they read and copy our DNA to make new cells, and pump ions (electrically charged atoms or groups of atoms) into and out of our cells, so these always have what they need to work properly. Proteins act as sensors, detecting what’s in their environment. They also activate our immune systems.

    The molecular building blocks of proteins are amino acids. These connect, one end to another, like letters joining to form a word. Exactly like a word, scientists give a letter to each amino acid, and these can spell out any given protein.

    Just having that protein sequence – the “word” – isn’t enough, though. It’s the three-dimensional shape of the protein that determines how it works. So, if we want to make a protein for some purpose, we need a way to determine what its three-dimensional shape will be from the amino acid sequence alone. This is protein structure prediction.

    Some proteins can be prepared in such a way that their structure can be determined by X-ray, but most cannot. This is why computational structure prediction is vitally important.

    It is still an extraordinarily difficult problem. Even a small protein, of around 100 “letters” or amino acids, has an impossibly high number of possible ways it can be arranged in three dimensions. To visualise this, imagine arranging strands of cooked spaghetti in a bowl.




    Read more:
    Nobel Prize in physics spotlights key breakthroughs in AI revolution − making machines that learn


    For this reason, until the last decade, computational structure prediction had very low accuracy – less than 50%, in fact. Then, in 2020, Hassabis and Jumper developed an AI tool called AlphaFold2. This can predict the three-dimensional structure of a protein, using only the sequence of letters, with over 90% accuracy.


    Nobelprize.org, CC BY-SA

    To make such a leap in accuracy, AlphaFold2 uses deep learning and neural networks. Deep learning is a computer-based approach that simulates the way the human brain makes decisions. Neural networks mimic the human brain’s structure and function to process data.

    AlphaFold2 also makes use of massive databases of known protein structures and sequences. The neural network correlates the known three-dimensional shapes with the amino acid sequence. It can then derive rules for what shape a given sequence – the “letters” – will adopt.

    The opposite problem, computational protein design, can be summed up by the following question: “I want a protein with this three-dimensional shape; what is the sequence that gives me that shape?”

    This challenge was actually solved first. In 2003, Baker wrote a computer program called Rosetta that begins with the desired three-dimensional structure, and produces the amino acid sequence that will give that structure. It uses the idea that the three-dimensional structure of the entire protein can be built from the structures of small fragments.




    Read more:
    AI system can predict the structures of life’s molecules with stunning accuracy – helping to solve one of biology’s biggest problems


    Applying the science

    Computational protein design has many applications. Proteins have been designed to bind and inactivate viruses, to detect drugs like fentanyl, and even to degrade plastic in the environment.

    So, why has this prize been awarded for these advances now? Protein design and prediction are both inherently complex problems. There is no way to shortcut the large number of possible structures. But the rapid rise in the capabilities and use of artificial intelligence methods has given us a way to address this complexity. AI can efficiently derive correlations from millions of protein structures.

    The pace of development in AI approaches is highlighted by this year’s Nobel prize in physics, which was awarded for the development of neural networks.

    The twin methods of computational protein design and computational protein structure prediction are now real tools, used by millions of scientists worldwide. Proteins to counter pandemic viruses can now be designed in a matter of weeks.

    It therefore wouldn’t be surprising if we see many other Nobels in future being awarded for breakthroughs that use the power of artificial intelligence.

    Matthew Addicoat receives funding from EPSRC and the Royal Society.

    – ref. Google Deepmind founder shares Nobel prize in chemistry for AI that unlocks the shape of proteins – https://theconversation.com/google-deepmind-founder-shares-nobel-prize-in-chemistry-for-ai-that-unlocks-the-shape-of-proteins-240921

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI Global: How mainstream climate science endorsed the fantasy of a global warming time machine

    Source: The Conversation – UK – By Wim Carton, Associate Professor of Political Ecology, Lund University

    When the Paris agreement on climate change was gavelled into being in December 2015, it briefly looked like that rarest of things: a political victory for climate activists and delegates from the poorest regions of the world that, due to colonisation by today’s wealthy nations, have contributed little to the climate crisis – but stand to suffer its worst ravages.

    The world had finally agreed an upper limit for global warming. And in a move that stunned most experts, it had embraced the stretch target of 1.5°C, the boundary that small island states, acutely threatened by sea-level rise, had tirelessly pushed for years.

    Or so, at least, it seemed. For soon, the ambitious Paris agreement limit turned out to be not much of a limit at all. When the Intergovernmental Panel on Climate Change (or IPCC, the world’s foremost body of climate experts) lent its authority to the 1.5°C temperature target with its 2018 special report, something odd transpired.

    Nearly all modelled pathways for limiting global heating to 1.5°C above pre-industrial levels involved temporarily transgressing this target. Each still arrived back at 1.5°C eventually (the deadline being the random end point of 2100), but not before first shooting past it.

    Scientists responsible for modelling the response of Earth’s climate to greenhouse gas emissions – primarily caused by burning fossil fuels – called these “overshoot” scenarios. They became the dominant path along which mitigating climate change was imagined to proceed, almost as soon as talk of temperature limits emerged.

    De facto, what they said was this: staying below a temperature limit is the same as first crossing it and then, a few decades hence, using methods of removing carbon from the atmosphere to dial temperatures back down again.

    From some corners of the scientific literature came the assertion that this was nothing more than fantasy. A new study published in Nature has now confirmed this critique. It found that humanity’s ability to restore Earth’s temperature below 1.5°C of warming, after overshooting it, cannot be guaranteed. Many impacts of climate change are essentially irreversible. Those that are might take decades to undo, well beyond the relevant horizon for climate politics. For policy makers of the future, it matters little that temperatures might eventually fall back again; the impacts they will need to plan for are those of the overshoot period itself.

    Not coming back: tropical coral reefs face permanent destruction.
    Sabangvideo/Shutterstock

    The rise of overshoot ideology

    Even if global average surface temperatures are ultimately reversed, climate conditions at regional levels might not necessarily follow the global trend and might end up different from before. Delayed changes in ocean currents, for instance, could mean that the North Atlantic or Southern Ocean continue warming while the rest of the planet does not.

    Any losses and damages that accumulate during the overshoot period itself would of course be permanent. For a farmer in Sudan whose livestock perishes in a heatwave that would have been avoided at 1.5°C, it will be scant consolation to know that temperatures are scheduled to return to that level when her children have grown up.

    Then there is the dubious feasibility of planetary-scale carbon removal. Planting enough trees or energy crops to make a dent in global temperatures would require whole continents of land. Direct air capture of gigatonnes of carbon would consume prodigious amounts of renewable energy and so compete with decarbonisation. Whose land are we going to use for this? Who will shoulder the burdens for all this excess energy use?

    If reversal cannot be guaranteed, then clearly it is irresponsible to sanction a supposedly temporary overshoot of the Paris targets. And yet this is exactly what scientists have done. What compelled them to go down this dangerous route?

    Our own book on this topic (Overshoot: How the World Surrendered to Climate Breakdown, published last week by Verso) offers a history and critique of the idea.

    When overshoot scenarios were summoned into being in the early 2000s, the single most important reason was economics. Rapid, near-term emissions cuts were deemed prohibitively costly and so unpalatable. Cost optimisation mandated that they be pushed into the future to the extent possible.

    The models for projecting possible mitigation trajectories had these principles written into their code and so for the most part could not compute “low” temperature targets like 1.5 or 2°C. And because modellers could not imagine transgressing the deeply conservative constraints that they worked within, something else had to be transgressed.

    One team stumbled upon the idea that large-scale removal of carbon might be possible in the future, and so help reverse climate change. The EU and then the IPCC picked up on it, and before long, overshoot scenarios had colonised the expert literature. Deference to mainstream economics yielded a defence of the political status quo. This in turn translated into reckless experimentation with the climate system. Conservatism or fatalism about society’s capacity for change flipped into extreme adventurism about nature.

    Time to bury the time machine

    Just as the climate movement scored an important political victory, compelling the world to rally behind an ambitious temperature limit, an influential group of scientists, amplified by the world’s most authoritative scientific body on the subject, effectively helped water it down. When all is said and written about the post-Paris era, this surely should stand as one of its greatest tragedies.

    By conjuring up the fantasy of overshoot-and-return, scientists invented a mechanism for delaying climate action and unwittingly lent credibility to those (and they are many) who have no real interest in reigning in emissions here and now; who will seize on any excuse to keep the oil and gas and coal flowing just a little longer.

    A stable climate is not compatible with rising oil profits.
    Igor Hotinsky/Shutterstock

    The findings of this new paper make it perfectly clear: There is no time machine waiting in the wings. Once 1.5°C lies behind us, we must consider that threshold permanently broken.

    There then remains only one road to ambitious mitigation of climate change, and no amount of carbon dioxide removal can absolve us of its inconvenient political implications.

    Avoiding climate breakdown demands that we bury the fantasy of overshoot-and-return and with it another illusion as well: that the Paris targets can be met without uprooting the status-quo. One limit after the other will be broken unless we manage to strand fossil fuel assets and curtail opportunities for continuing to profit from oil and gas and coal.

    We will not mitigate climate change without confronting and defeating fossil fuel interests. We should expect climate scientists to be candid about this.



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

    Get our award-winning 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 35,000+ readers who’ve subscribed so far.


    Wim Carton receives funding for his work on carbon removal from the Swedish Research Council for Sustainable Development (Formas), the Swedish Energy Agency, the Marianne and Marcus Wallenberg Foundation, and the Independent Research Fund Denmark (DFF).

    Andreas Malm receives funding for his work on carbon removal from the Swedish Research Council for Sustainable Development (Formas).

    – ref. How mainstream climate science endorsed the fantasy of a global warming time machine – https://theconversation.com/how-mainstream-climate-science-endorsed-the-fantasy-of-a-global-warming-time-machine-225597

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI USA: NASA-Funded Study Assesses Pollution Near Los Angeles-Area Warehouses

    Source: NASA

    Satellite-based data offers a broad view of particulate air pollution patterns across a major West Coast e-commerce hub.
    As goods of all shapes and sizes journey from factory to doorstep, chances are they’ve stopped at a warehouse along the way — likely several of them. The sprawling structures are waypoints in the logistics networks that make e-commerce possible. Yet the convenience comes with tradeoffs, as illustrated in a recent NASA-funded study.
    Published in the journal GeoHealth, the research analyzes patterns of particulate pollution in Southern California and found that ZIP codes with more or larger warehouses had higher levels of contaminants over time than those with fewer or smaller warehouses. Researchers focused on particulate pollution, choosing Southern California because it is a major distribution hub for goods: Its ports handle 40% of cargo containers entering the country.
    The buildings themselves are not the major particulate sources. Rather, it’s the diesel trucks that pick up and drop off goods, emitting exhaust containing toxic particles called PM2.5. At 2.5 micrometers or less, these pollutants can be inhaled into the lungs and absorbed into the bloodstream. Although atmospheric concentrations are typically so small they’re measured in millionths of a gram per cubic meter, the authors caution that there’s no safe exposure level for PM2.5.
    “Any increase in concentration causes some health damage,” said co-author Yang Liu, an environmental health researcher at Emory University in Atlanta. “But if you can curb pollution, there will be a measurable health benefit.”

    Growing Air Quality Research
    Particulate pollution has been linked to respiratory and cardiovascular diseases, some cancers, and adverse birth outcomes, including premature birth and low infant birth weight.
    The new study is part of a broader effort funded by the NASA Health and Air Quality Applied Sciences Team to use satellite data to understand how air pollution disproportionately affects underserved communities.
    As the e-commerce boom of recent decades has spurred warehouse construction, pollution in nearby neighborhoods has become a growing area for research. New structures have often sprouted on relatively inexpensive land, which tends to be home to low-income or minority populations who bear the brunt of the poor air quality, Liu said.
    Another recent NASA-funded study analyzed satellite-derived nitrogen dioxide (NO2) measurements around 150,000 United States warehouses. It found that concentrations of the gas, which is a diesel byproduct and respiratory irritant, were about 20% higher near warehouses.
    Distribution Hub
    For the GeoHealth paper, scientists drew on previously generated datasets of PM2.5 from 2000 to 2018 and elemental carbon, a type of PM2.5 in diesel emissions, from 2000 to 2019. The data came from models based on satellite observations, including some from NASA’s MODIS (Moderate Resolution Imaging Spectroradiometer) and ASTER (Advanced Spaceborne Thermal Emission and Reflection Radiometer) instruments.
    The researchers also mined a real estate database for the square footage as well as the number of loading docks and parking spaces at nearly 11,000 warehouses across portions of Los Angeles, Riverside, and San Bernardino counties, and all of Orange County.
    They found that warehouse capacity correlated with pollution. ZIP codes in the 75th percentile of warehouse square footage had 0.16 micrograms per cubic meter more PM2.5 and 0.021 micrograms per cubic meter more elemental carbon than those in the 25th percentile.
    Similarly, ZIP codes in the 75th percentile of number of loading docks had 0.10 micrograms per cubic meter more PM2.5 and 0.014 micrograms per cubic meter more elemental carbon than those in the 25th percentile. And ZIP codes in the 75th percentile of truck parking spaces had 0.21 micrograms per cubic meter more PM2.5 and 0.021 micrograms per cubic meter more elemental carbon than those in the 25th percentile.
    “We found that warehouses are associated with PM2.5 and elemental carbon,” said lead author Binyu Yang, an Emory environmental health doctoral student.
    Although particulate pollution fell from 2000 to 2019 due to stricter emissions standards, the concentrations in ZIP codes with warehouses remained consistently higher than for other areas.
    Researchers also found that the gaps widened in the holiday shopping season, up to 4 micrograms per cubic meter — “a significant difference,” Liu said.
    Satellites Provide Big Picture
    Satellite observations, the researchers said, were essential because they provided a continuous map of pollution, including pockets not covered by ground-based instruments.
    It’s the same motivation behind NASA’s TEMPO (Tropospheric Emissions: Monitoring of Pollution) mission, which launched in April 2023 and measures air pollution hourly during daylight over North America. The release of TEMPO’s first maps showed higher concentrations of NO2 around cities and highways.
    Meanwhile, NASA and the Italian Space Agency are collaborating to launch the MAIA (Multi-Angle Imager for Aerosols) in 2026. It will be the first NASA satellite mission whose primary goal is to study health effects of particulate pollution while distinguishing between PM2.5 types.“This mission will help air quality managers and policymakers conceive more targeted pollution strategies,” said Sina Hasheminassab, a co-author and science systems engineer at NASA’s Jet Propulsion Laboratory in Southern California. Hasheminassab, like Liu, is a member of the MAIA science team.
    News Media Contacts
    Andrew Wang / Jane J. LeeJet Propulsion Laboratory, Pasadena, Calif.626-379-6874 / 818-354-0307andrew.wang@jpl.nasa.gov / jane.j.lee@jpl.nasa.gov
    2024-134

    MIL OSI USA News –

    January 23, 2025
  • MIL-OSI Global: Ultra-processed foods: we have the technology to turn them from foe into friend

    Source: The Conversation – UK – By David Benton, Professor Emeritus (Human & Health Sciences), Medicine Health and Life Science, Swansea University

    Ultra-processed foods can be cheap, convenient and they usually taste good. PeopleImages.com – Yuri A/Shutterstock

    Ultra-processed foods are the latest nutritional villains, associated with several diseases of the modern world, from obesity to heart disease. However, many nutritionists question whether the term “ultra-processed” does any more than create confusion. It only considers the way food is produced, ignoring other important factors like calories and nutrients.

    My work suggests that instead of being viewed as the problem, ultra-processed foods could actually be part of the solution. With advances in food science, we have the technology to create low-calorie, nutritious and affordable processed foods.

    There is no consensus about how ultra-processed foods should be defined. But a common approach was proposed by the nutrition and public health scholar, Carlos Monteiro. He coined the term about 15 years ago, defining foods that undergo significant industrial processing and often contain multiple added ingredients. In Portugal, ultra-processed food make up about 10% of the average diet, whereas in Germany it’s 46%, the UK 50% and in the US 76%.

    Ultra-processed foods three major advantages – they are cheap, convenient and they usually taste good. Their affordability in particular is an important factor.

    Producing food in bulk reduces costs. For instance, the Heinz factory in Wigan is the largest baked bean factory in the world. It produces 3 million cans of baked beans a day, ensuring they are widely available and affordable.

    In 1961, scientists in Chorleywood, Hertfordshire developed a new method for making bread. Today, more than 80% of loaves in Britain are produced this way. These loaves are softer, last longer and cost less than traditional bread.

    The affordability of ultra-processed food makes them a staple for many, particularly people on lower incomes. As around 30% of children in the UK live in poverty, calls to remove such foods from diets need to address how poorer families will be able to afford fresher and more nutritious food. Current ultra-processed foods may not offer a perfect diet, but they do provide calories when money is scarce.




    Read more:
    Ultra-processed foods: here’s what the evidence actually says about them


    Convenience is another notable benefit of ultra-processed food. Preparing meals from scratch can be time-consuming, involving buying ingredients, cooking and cleaning up afterwards. Ultra-processed foods offer a shortcut, saving valuable time. This is especially important for parents trying to balance jobs and family life. For those with busy lives who are working long hours, time is a luxury that ultra-processed food can help reclaim.

    Finally, ultra-processed foods are designed to be tasty. We’re genetically inclined to be attracted to sweet and fatty foods. Having a pleasant taste is one of the reasons we select our food.

    This convenience, affordability and taste come at a cost, however, as ultra-processed foods are often high in sugar, salt and saturated fats, while lacking in fruits, vegetables and essential nutrients.

    Are all ultra-processed foods bad for us?

    It’s not always clear if it’s the “ultra-processed” nature of these foods or their high calorie and low nutrient content that causes health issues. Nutrition is more complex than just considering how food is processed. We also need to consider calories, fibre, vitamins, minerals and other essential nutrients.

    For example, while baked beans are considered ultra-processed, they’re also high in fibre – something often missing from UK diets – low in fat and calories, and a good source of plant-based protein.

    Inside the world’s largest baked bean factory in Wigan.

    Some studies suggest that many health problems linked to ultra-processed food, like obesity and diabetes, may be caused by excess calorie consumption rather than the processing itself. When people cut out ultra-processed foods, they often end up eating fewer calories, which could explain the health benefits they experience.

    The link between ultra-processed foods and poverty suggests that many of the health issues linked to ultra-processed food may be caused by factors associated with poverty itself. Poor nutrition is often just one part of a wider picture that includes limited access to healthcare, higher stress levels and fewer opportunities for physical activity – all of which can contribute to poor health.

    Can ultra-processing be used for good?

    Ultra-processing has been used to fortify foods in the UK for decades. For example, the Bread and Flour Regulations 1998 requires certain nutrients like calcium, iron, thiamine (vitamin B1) and niacin (vitamin B3) to be added to any non-wholemeal flour. This fortification plays an important role in public health, providing around 35% of calcium intake, 31% of iron and 31% of thiamine to the average UK diet. Without these added nutrients, the risk of deficiencies would rise.

    The UK government took a further step in 2022 by requiring folic acid be added to flour. It was a move aimed at preventing birth defects such as spina bifida, where a baby’s spine and spinal cord doesn’t develop properly in the womb, and anencephaly, where a baby is born without parts of the brain and skull.

    Breakfast cereals, often criticised for their sugar content, can also boost the intake of essential nutrients like vitamins B2, B12, folate and iron. Some experts would like to see mandatory food fortification be extended much further.

    Food scientists are exploring other ways to make ultra-processed foods healthier. One approach involves reducing sugar by making it taste sweeter more quickly, which means less sugar is needed to achieve the same taste.

    Another is using scientific techniques to increase the speed at which salt is released from food. Similarly, this results in it being tasted more quickly, leading to lower consumption.

    Other innovations to lower the calories in foods by changing the recipe include creating creamy, low-calorie sauces without dairy, or plant-based burgers that are virtually indistinguishable from their meat counterparts, but have fewer calories.

    These types of innovations show that ultra-processing doesn’t necessarily mean unhealthy and calorie-dense food – it’s about the choices made in production. If scientists focus on creating affordable, nutritious ultra-processed foods, they could become part of the solution to the obesity crisis, rather than the enemy.

    I have never had funding that has anything to do with ultra-processed foods. However, I have worked on other aspects of nutrition and have worked with the likes of Novartis, Danone, Yakult, Beneo and Pepisco. Much of my work has been on micro-nutrients or the glycaemic response to carbohydrate. 

    – ref. Ultra-processed foods: we have the technology to turn them from foe into friend – https://theconversation.com/ultra-processed-foods-we-have-the-technology-to-turn-them-from-foe-into-friend-239683

    MIL OSI – Global Reports –

    January 23, 2025
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