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Category: Transport

  • MIL-OSI Global: Will mummy make it better? The curious case of mummified remedies in early modern medicine

    Source: The Conversation – UK – By Michelle Spear, Professor of Anatomy, University of Bristol

    Andrea Izzotti/Shutterstock

    The history of medicine is filled with remedies that, viewed through a modern lens, seem perplexing, misguided or downright macabre. Among these is “mumia” — a medicinal substance derived from mummified human remains.

    From the 12th to the 17th century, physicians across Europe prescribed powdered mummy as a cure-all for ailments ranging from internal bleeding and broken bones to epilepsy and melancholia.

    Once regarded as a potent elixir infused with the life force of the ancients, mumia was a staple in apothecaries, sought after by the wealthy and recommended by the learned. Yet, as medical knowledge evolved, so too did attitudes toward this unusual remedy, and by the 18th century, it had largely faded into obscurity.

    The belief in mumia’s healing power was deeply rooted in prevailing medical theories of the time. One such theory was the doctrine of signatures, which held that natural substances resembled the ailments they were meant to cure.

    Mummified flesh, preserved for centuries, seemed an obvious candidate for treating decay, wounds and internal deterioration. Another influential idea was vitalism, the notion that life force could be transferred from one body to another, particularly from a preserved human to a living patient.

    Adding to this was the European fascination with the medical traditions of the Islamic world. Arabic physicians such as Avicenna had described the therapeutic use of bitumen – a naturally occurring tar-like substance also called mūmiyā – that had medicinal applications in wound healing.

    When these texts were translated into Latin, European scholars mistakenly conflated mūmiyā with Egyptian mummies, assuming that the embalmed dead were imbued with similar restorative properties. The result was a booming trade in ground-up human remains, with mummies sourced from Egyptian tombs, grave robbers and even local execution sites.

    Grave robbers got in on the racket.
    David Leshem/Shutterstock

    Mumia was prescribed for an astonishing array of conditions. Physicians believed it could speed up healing, prevent infection and even cure epilepsy. Ingested in powdered form or mixed into tinctures, it was recommended for internal bleeding, strokes and tuberculosis. Some suggested it could ward off melancholy or restore youthful vitality, making it a popular remedy among the European elite.

    Apothecaries stocked mummy powder alongside other human-derived medicines such as powdered skull (cranium humanum) and distilled human fat (axungia hominis).

    The more ancient the remains, the more potent they were thought to be. However, as the demand for mumia outstripped the supply of genuine Egyptian mummies, opportunistic traders turned to more recent corpses – some even resorting to robbing the gallows to meet the market’s needs.

    Eventual decline

    Despite its widespread use, mumia was not without its detractors. By the 16th century, some physicians began to question both its efficacy and its ethical implications. The Swiss physician Paracelsus (1493–1541) argued that only fresh human remains – not ancient, embalmed flesh – had medicinal value, while others dismissed the practice as nothing more than superstition.

    The growing emphasis on empirical science in the 17th and 18th centuries further eroded faith in mumia. As anatomy and pathology advanced, the idea that centuries-old preserved tissue could heal the living seemed increasingly implausible. At the same time, public attitudes toward human remains began to shift.

    The rise of Egyptology and archaeological interest in mummies reframed them as historical artefacts rather than medical commodities, making their consumption distasteful even to those who had once sworn by their healing properties.

    By the early 18th century, mumia had largely disappeared from medical practice, relegated to the annals of history as an example of medicine’s sometimes gruesome past.

    Mumia’s decline serves as a reminder of how medical knowledge evolves, shedding once-revered treatments in favour of evidence-based approaches. Yet, while medicinal cannibalism may seem shocking today, the pursuit of miraculous cures continues. From stem cell therapies to longevity supplements, the desire to harness the essence of life itself persists – albeit with more scientific rigour.

    Looking back at the use of mummified medicine, we are reminded that the boundary between science and superstition is not always as clear as we might like to believe.

    Michelle Spear 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. Will mummy make it better? The curious case of mummified remedies in early modern medicine – https://theconversation.com/will-mummy-make-it-better-the-curious-case-of-mummified-remedies-in-early-modern-medicine-247727

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: How we revealed the life story of PG Tips chimp – written in her bones

    Source: The Conversation – UK – By Stuart Black, Associate Professor, Department of Archaeology, University of Reading

    Chimpanzees helped to make PG Tips tea famous with their iconic TV ads in the 1970s. But what happened to these animals afterwards? Our new study, using techniques previously used only on human remains, reveals the fascinating life story of Choppers, a celebrity chimpanzee, also known as Ada Lott from the PG Tips ads.

    Zoos have transformed over the last century. They once focused on entertainment, but in the UK zoos now have a greater emphasis on education, conservation, research and welfare. And our new study, led by experts at National Museums Scotland, shows how these changes are written on Choppers’ body.

    Choppers died aged 46 in 2016, which is close to the average age for a wild or captive chimpanzee. Following her death, Choppers was donated to the National Museums of Scotland, which enabled an analytical investigation into her life through her remains. Researchers from across the UK created the most comprehensive osteobiography of a zoo animal by bringing together archival, chemical and metric analyses.

    Osteobiography involves the analysis of bones and other tissue. It is more commonly used in archaeology to reconstruct the life stories of ancient human subjects, such as Richard III, identifying where and how they lived in remarkable detail.

    As a celebrity, Choppers’ life has been extensively documented. This combination of
    archival material and osteobiographical analysis provides one of the most complete
    assessments of the life of an animal in zoo care.

    The findings of our study paint a rich picture of Choppers’ key life events, including evidence of injuries sustained when she was poached from the wild at just six weeks old. Choppers had a broken right arm, which seemed to have healed badly. Her lower arm bones were bowed and much shorter than her left side. She seems to have not been able to bear much weight on this arm, which likely contributed to joint disease here and elsewhere in her skeleton.

    It is also likely that many, if not all, of her social group were killed in her capture. The physical trauma would impact her throughout her life, impairing her movement and exacerbating degenerative issues associated with old age.

    Analysis of Choppers’ tooth enamel indicates a geographical and dietary shift between the ages of three and four, coinciding with her relocation to the UK from Sierra Leone. In the following three years she played the grandmother character in the PG Tips adverts, which ran in the UK throughout the 70s and 80s and featured a family of tea drinking chimps.

    A collection of PG Tips adverts using chimpanzees.

    The long-running ads helped PG Tips become the market leader of tea in Britain for 35 years. Her performance career was short, ending before the onset of puberty, and Choppers probably retired at around the age of six or seven. In part this is due to behavioural change as adult chimpanzees become less predictable, but also as a result of human perceptions of the cuteness of adult chimpanzees compared to infants.

    Choppers transitioned from a relatively active life with high levels of direct interaction with humans, to a sedentary life with two companion chimpanzees, Noddy and Brooke, who were also retired from the entertainment industry. She was cared for by Twycross Zoo in Leicestershire for the rest of her life.

    Choppers’ upper jaw was significantly elongated compared with wild chimpanzees, reflecting an early diet of sugary soft fruit, but also of her performance diet that mimicked that of humans. The PG Tips advertisements followed on from a longstanding trope in the mid-20th century of chimpanzees participating in tea parties, eating cake, drinking “tea” and apeing human behaviour. The chimpanzees drank fruit juice or milk rather than tea during tea parties and advertisements.

    In recent years there has been a shift towards tougher, less sugary vegetables in the diets of zoo primates, which is leading to improvements in their health and behaviour.

    Later in life, Choppers was housed for a time with another chimpanzee, Bobby. Together they had one daughter, Holly.

    Across the world today, there is considerable variation in zoo regulation, management and welfare. Despite accreditation of zoos and improved regulation, the illegal trafficking of chimpanzees and other primates into private collections and disreputable zoos continues. Choppers’ story is testament to the many thousands of chimpanzees that were (and still are) forcibly extracted from the wild for zoos, circuses, laboratories and private collections.

    Choppers was not an unusual chimpanzee, but her story is an individual one, which resonates with human attitudes towards wildlife, zoos, entertainment, welfare and quality of life.

    Stuart Black receives funding from The Wellcome Trust, UKRI and other research councils.

    David Cooper has received funding from The Wellcome Trust.

    Juliette Waterman received funding from the Wellcome Trust while this research was carried out.

    – ref. How we revealed the life story of PG Tips chimp – written in her bones – https://theconversation.com/how-we-revealed-the-life-story-of-pg-tips-chimp-written-in-her-bones-252224

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: Three graphic novels that address the history of slavery – and commemorate resistance

    Source: The Conversation – UK – By Dominic Davies, Senior Lecturer in English, City St George’s, University of London

    Millions of people were abducted from west Africa and forcibly trafficked to the Americas over the 400 years of the transatlantic slave trade, from the 15th to the 19th century.

    Slavery treated these people as forms of property. It forced them, with brutal violence, to work on plantations producing commodities such as cotton and coffee, sugar and tobacco. Their labour powered the world economy for several centuries.

    While common understanding of this history has improved, less frequently remembered are those who spearheaded resistance against slavery. Revolutionary uprisings led by enslaved people themselves, as well as actions by radical groups such as Quakers and mutinous pirates, challenged slavery long before William Wilberforce and Britain’s abolition movement.

    Now, an increasingly popular genre of the graphic novel is building public awareness and memory of these movements. Composing its stories of the past from framed documents, fragmented images and scraps of text, the form of the graphic novel resembles an archive. It is therefore well-placed to bring forgotten histories to life and to reflect on how those histories were recovered.


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    Here are three recent graphic novels that can help us to remember resistance against slavery. They follow in the footsteps of historian Rebecca Hall’s collaboration with artist Hugo Martínez, Wake: The Hidden History of Women-Led Slave Revolts (2021), which I would also strongly recommend.

    1. Toussaint Louverture: The Story of the Only Successful Slave Revolt in History

    By C.L.R. James, Nic Watts, and Sakina Karimjee (2023)

    In the early 1930s, the anti-colonial historian, C.L.R. James, wrote a play about the 1791 Haitian Revolution and its leader, Toussaint Louverture.

    It dramatised the story of the only successful slave revolt in history, when 100,000 slaves rose up against their white masters and eventually secured independence after almost 15 years of struggle.

    James’s play was performed only twice in 1936, with the great African American actor Paul Robeson in the title role. The script was then lost for several decades, until 2005, when the historian Christian Høgsberg discovered a copy in the archives at the University of Hull and published a new edition of the play.

    In 2012, graphic artist, Nic Watts and theatre practitioner, Sakina Karimjee, decided to bring James’s play back to life – not on the stage, but in the pages of a graphic novel.

    James, who died in 1989, might not have guessed that he would one day be a co-creator of a graphic novel. But he would surely have been impressed with Toussaint Louverture, which takes readers through the Haitian Revolution in almost 300 thrilling pages.

    The graphic novel uses its uniquely spatial medium to map the connections between the French Revolution, which proclaimed universal rights for all men, and the slave uprising in Haiti, which sought to realise those rights in France’s colonies. It is packed with powerful symbols and imagery that build a rich picture of the strategies and tactics that led to the uprising’s eventual victory.

    2. Prophet Against Slavery: Benjamin Lay, A Graphic Novel

    By David Lester, edited by Paul Buhle and Marcus Rediker (2023)

    Historian Marcus Rediker has devoted his career to uncovering early histories of resistance against slavery and sharing them in compelling and accessible formats.

    In 2021 he teamed up with the illustrator, David Lester, and longtime graphic historian, Paul Buhle, to translate this work into graphic novels.

    The first, Prophet Against Slavery, takes readers back to a Quaker meeting house in the early 1700s. In its dramatic opening scene, Benjamin Lay disrupts the meeting with a piece of performance theatre. He appears to stab his own arm in protest against slavery, though we later learn that the spouting blood was in fact “red pokeberry juice”.

    Lay was an innovator of performance protest, and he developed the strategy of boycotting commodities produced by slave labour. As Prophet Against Slavery details, he was one of the earliest and most outspoken abolitionists, campaigning for the end of the transatlantic slave trade almost a century before Wilberforce.

    He was also a pioneer of veganism and an advocate for animal rights. Lay saw the parallels between early capitalism’s enclosure of common land in England and slavery’s enclosure of people’s bodies in the US. The claustrophobic borders of Lester’s graphic novel dramatise these acts of property making, even as they document Lay’s stubborn attempts to liberate the oppressed from bondage.

    The enslaved themselves do not have a voice in Prophet Against Slavery. But Lester uses powerful charcoal sketches and image-only panels to make sure their presence is never forgotten.

    These haunting images remind readers of the human cost of slavery without presuming to speak for those whose voices have been excluded from the written archive.

    3. Under the Banner of King Death: Pirates of the Atlantic, A Graphic Novel

    By David Lester and Marcus Rediker (2023)

    Rediker and Lester teamed up again for Under the Banner of King Death. The title refers to the skull and cross bones flag that flies on the masts of pirate ships.

    But this is not your conventional story of evil pirates drinking rum and hunting for gold (although there is some of that). It is rather a portrait of the pirate ship as a space of self-determination and political freedom at a time when, as Rediker puts it, “poor people had no democratic rights anywhere in the world”.

    The graphic novel tells the story of John Gwin, an African-American man who escaped from slavery in South Carolina. After being kidnapped by the Royal African Company to labour on a slaving ship, he decides to resist. He rallies his shipmates, liberates the Africans below deck, and leads a mutiny to overthrow Skinner, the tyrannical captain.

    With Skinner deposed, the pirates establish a commune at sea: “A world turned upside down,” as Gwin calls it. “All captains and officers elected. All tars [sailors] treated as brothers. No tyranny of the lash.” There is no hierarchy on this ship. Instead, they return to west Africa and begin breaking people out of slave castles along the coast.

    Lester’s pen-and-ink sketches and frantic page layouts capture the scattergun nature of pirate life in the 17th century. It was a dangerous existence. Such was the threat posed by pirates to the ruling order that the British Navy worked quickly to capture them and make an example. Under the Banner of King Death starts and ends with hanging scenes, where pirates were put to death in public.

    But while the British state could hang the pirates, it couldn’t kill their idea of freedom from slavery. Lester and Rediker recover this history and remind us of the revolutionary spirit that the skull and cross bones flag once represented.

    These graphic novels commemorate new histories of resistance to the slave trade, while also reminding us of the historiographic work that must be put into recovering and retelling them, now and in the future.

    Dominic Davies 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. Three graphic novels that address the history of slavery – and commemorate resistance – https://theconversation.com/three-graphic-novels-that-address-the-history-of-slavery-and-commemorate-resistance-251740

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: Facing annexation threats, should Canadians lament for a nation — like George Grant did in 1963?

    Source: The Conversation – Canada – By David Edward Tabachnick, Professor of Political Science, Nipissing University

    A decades-old lament for Canada is back on some Canadians’ minds as United States President Donald Trump makes repeated annexation threats.

    Canadian political philosopher George Grant’s Lament for a Nation was published in 1965 — the same year Canada’s iconic Maple Leaf flag was first unfurled on the Peace Tower on Parliament Hill — and unexpectedly inspired many Canadians to feel a sudden sense of pride and confidence that their country could and must stand up to its giant imperialistic neighbour to the south.

    Sixty years later, there are calls to “Bring Back Grumpy George” and renew his decades-old warning. There are also attempts to understand Grant’s continued relevance in the 21st century, as well as new volumes on his work.

    Canadian nationalist movement of 70s

    On the face of it, Grant’s slim volume may seem the perfect tonic for what ails Canada today. Consider that William Christian, Grant’s biographer, called its publication “one of the most significant factors in creating the Canadian nationalist movement of the 1970s” while esteemed journalist Charles P.B. Taylor dubbed it “a Bible for younger nationalists.”

    It “is the sun under which a generation of Canadian nationalists warm themselves,” Andrew Potter writes in his introduction to the 40th anniversary edition of Grant’s most famous work, “but it also casts the long dark shadows in which they must operate.”

    One need only wade a little into the volume to see those “the long dark shadows.” The subtitle to Grant’s book says it all: The Defeat of Canadian Nationalism. So, far from being a call to arms, Lament for a Nation was, as Grant put it, a “cry out at the death or at the dying of something loved…[to mourn] the end of Canada as a sovereign state.”

    In other words, Lament was never intended to whip Canadians into a nationalist fervour, but to spell out Canada’s unfortunate and inevitable disappearance as a nation.

    ‘Blending into the (U.S.) empire’

    By this logic, the next six decades of failed strategies to diversify the Canadian economy and stillborn plans to grow its military are symptoms of a disease that had already killed the patient; Canada is the zombie nation, an apparently democratic electoral system without real substance. Grant wrote:

    “Canada has ceased to be a nation, but its formal political existence will not end quickly. Our social and economic blending into the empire will continue apace, but political union will probably be delayed. Some international catastrophe or great shift of power might speed up this process.”

    For Grant, Canada’s original death knell was acquiescence to American demands that it accept their nuclear weapons on its soil. While Canada had both the technical ability and practical capacity to build its own bombs after the Second World War, leaders decided against it.

    Jack Mackenzie, first president of Atomic Energy Control Board, explained in a 1953 address: “Canada is the only country in the world with sizeable atomic energy establishments where no bombs are being made, and where all the thinking and planning is focused on peacetime aspects.”

    But in the context of the Cold War, this principled choice was viewed as a sign of weakness by Americans, who worried about Soviet bombers travelling unrestricted over the Arctic.

    Defence crisis

    This worry led to the so-called defence crisis that dominated the federal 1963 election campaign, fought between Conservative Prime Minister Diefenbaker and Liberal Lester B. Pearson.

    A beleaguered Diefenbaker had cancelled the vaunted Avro Arrow program a few years earlier, hesitated to commit the Navy to participate in the blockade of Cuba and then balked at accepting American warheads for the BOMARC interceptor missiles designed to stop those bombers.

    The pugnacious Pearson was once a champion of non-proliferation and had shocked his supporters during his infamous Scarborough speech when he announced his surprising agreement that U.S. nukes had to be deployed on Canadian soil in the name of our “commitments for Canada in continental and collective defence,” including NORAD and NATO.

    For Grant, Diefenbaker’s defeat to Pearson was a stake through the heart of the Canada from which it would never recover. In 1963, the Royal Canadian Air Force delivered a shipment of nuclear warheads to the BOMARC missile site near RCAF Station North Bay, Ont., just up the road from where I write today.

    End of Canadian nationalism?

    A few years before his passing in 1988, Grant made it clear in a 1985 interview with Lawrence (Larry) Schmidt, a theologian and a scholar of Grant’s work, that “people have read a little book I wrote called Lament for a Nation wrongly. I was talking about the end of Canadian nationalism. I was saying that this is over and people read it as if I was making an appeal for Canadian nationalism. I think that is just nonsense. I think they just read it wrongly.”

    Today, Canadian economic well-being and security are no more in Canada’s control then they were in 1965. Trump is merely saying the quiet part out loud in his craven desire to make Canada the 51st state.

    Was Grant wrong?

    But, as it turns out, Grant was wrong. Canada is not the zombie nation. It may have been in a bit of daze for the last while, but Canadians have their elbows up again.




    Read more:
    Why Gordie Howe’s elbows are Canada’s answer to Donald Trump


    Now out of a stupor, Canadians are reviewing the wisdom of purchasing F-35s, buying new radar systems to assert our sovereignty over the Arctic and attempting to drop interprovincial trade barriers.

    Mind you, this is nothing new. In the face of American disapproval, Canada trades with Cuba, claims the Northwest Passage as its internal waters and negotiated a successful Acid Rain Treaty. Canada led the charge to ban the use of land mines and refused to participate in the American missile shield plan.

    Canada didn’t send its young men to die in the jungles of Vietnam and refused to participate in the ill-conceived Iraq War. And it still protects its fresh water and health care.

    New policy for common cause

    Still, rather than merely reacting to American insults and pressures, Canada is long overdue to develop contemporary and responsive policy, the very thing Grant thought would allow Canada to become and stay a sovereign country, at least for a while.

    As writer and historical researcher Mark Wegierski notes, this could unite conservatives and progressives in common cause.

    While Canadians may be divided at times, they need to use this moment of unity to make sure Canada stays alive and kicking.

    David Edward Tabachnick 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. Facing annexation threats, should Canadians lament for a nation — like George Grant did in 1963? – https://theconversation.com/facing-annexation-threats-should-canadians-lament-for-a-nation-like-george-grant-did-in-1963-252337

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Africa: World Water Day 2025: Preserving Africa’s Water Resources (By Mtchera Johannes Chirwa and Anthony Nyong)

    Source: Africa Press Organisation – English (2) – Report:

    ABIDJAN, Ivory Coast, March 24, 2025/APO Group/ —

    By Mtchera Johannes Chirwa, Director for Water Development and Sanitation, and Anthony Nyong, Director for Climate Change and Green Growth, African Development Bank Group (www.AfDB.org).

    Each year, World Water Day highlights the pressing challenges surrounding global water resources and the actions needed to address them. Nowhere is this more critical than in Africa, where nearly 1.4 billion people live, a number expected to rise to 2.5 billion by 2050. On the continent, approximately 411 million people – almost one-third of the total population – lacked basic drinking water services as of 2020. In Sub-Saharan Africa alone, about 387 million people struggle daily without access to safe water.

    Africa is home to vital natural water towers, including mountains and glaciers that play a key role in water security and climate resilience. However, these resources are under serious threat. Glaciers in the Rwenzori Mountains, Mount Kenya, the Virunga Mountains, and Mount Kilimanjaro are shrinking at an alarming rate and are expected to vanish entirely by 2050, jeopardizing water supplies for millions of people. On this World Water Day, the urgency to protect what remains and to collaborate on securing water resources for future generations has never been greater.

    Water is fundamental to Africa’s socioeconomic development. The International High-Level Panel on Water Investments for Africa estimates that Sub-Saharan Africa loses 5% of its GDP annually – equivalent to $170 billion per year – due to poor water infrastructure. Yet, investing in water security offers enormous returns. According to the African Union, every dollar invested in water and sanitation generates at least seven dollars in benefits across health, education, food security, and environmental protection.

    Climate change amplifies water scarcity, disrupting hydrological cycles, altering rainfall patterns, and reducing water availability for crops, livestock, and pasture. This directly threatens food and nutritional security across the continent. Addressing these challenges requires both practical solutions and strong policy frameworks. Integrated water management plans focused on river basins and catchments are essential for optimizing water use, while investing in resilient infrastructure ensures reliable access, particularly in regions prone to floods and droughts. Water-saving practices, such as rainwater harvesting and wastewater reuse, can help maximize available resources. Restoring natural ecosystems, including riverbanks and wetlands, plays a crucial role in safeguarding water sources. Nature-based solutions, such as afforestation and ecosystem restoration, are equally important in strengthening water resilience and helping landscapes adapt to climate change.

    Policy measures must complement these practical interventions. Strengthening water management laws and regulations is crucial for long-term success. Establishing and training local water management committees enhances coordination and decision-making, while improved weather monitoring and early warning systems help communities prepare for and respond to climate shocks more effectively.

    The African Development Bank has placed water security and climate resilience at the center of its Ten-Year Strategy (2024–2033) (apo-opa.co/420gbm3), aligning with the Africa Water Vision 2025 and the 2030 Agenda for Sustainable Development. Recognizing that water security is a cornerstone of progress across all sectors, the Bank invests approximately $2.8 billion annually to build resilience.

    To further accelerate climate action, it has established the Climate Action Window (apo-opa.co/4iSKTEr) under the African Development Fund, aiming to mobilize between $4 billion and $8 billion for climate-focused initiatives. Seventy-five percent of these funds are allocated to climate adaptation, with significant investments dedicated to water infrastructure. During the first call for proposals in December 2023, nine water-focused projects, totaling approximately $72 million, were selected to enhance investment in water infrastructure and sanitation. An additional 12 projects, amounting to $98 million, address multiple sectors, including water access for agriculture, improving the resilience of water systems, and strengthening climate information and early warning systems.

    Currently, the Bank manages 121 active water operations, including six multinational and regional projects valued at approximately $6 billion – all are based on climate-informed designs. The African Water Facility (www.AfricanWaterFacility.org), hosted and managed by the African Development Bank, also plays a pivotal role in ensuring that water sector projects are designed with sustainability and climate resilience in mind. In Kenya, the Bank-funded Kenya Towns Sustainable Water Supply and Sanitation Program (apo-opa.co/4kYg0Ao) has significantly improved access to water supply across 19 towns, while wastewater management services have been expanded in 17 towns, benefitting more than three million people. The program incorporates solar energy to reduce water production and distribution costs. The Othaya Sewerage Wastewater Treatment Project, as part of this initiative, promotes waste reuse for energy and agriculture through the production of cooking briquettes and organic fertilizer.

    In Ethiopia and South Sudan, the Bank’s Climate Proof Water for Food Project is designed to enhance adaptation and resilience for approximately 211,000 people in Ethiopia’s Gambella region and South Sudan’s Unity State. This initiative includes the construction and rehabilitation of four solar-powered water supply systems and integrated flood management measures to support the transition to climate-smart agriculture.

    Tackling Africa’s water security and climate challenges requires strategic planning, investment in resilient infrastructure, and policies that integrate climate adaptation into water management frameworks. The African Development Bank’s ongoing initiatives demonstrate that placing water at the heart of climate action – by investing in resilient infrastructure, restoring ecosystems, and strengthening governance – is crucial in mitigating the impact of climate change and preserving the continent’s water resources for future generations.

    MIL OSI Africa –

    March 25, 2025
  • MIL-OSI Africa: World Health Organization (WHO) calls for renewed commitment to eradicate tuberculosis

    Source: Africa Press Organisation – English (2) – Report:

    Download logo

    On World Tuberculosis Day, March 24, the World Health Organization (WHO) encourages Member States to step up their commitment and investments to accelerate progress in the fight against tuberculosis (TB) and safeguard public health.

    In 2023, TB regained its dismal title as the leading cause of death from a single infectious agent. The WHO African Region is particularly affected, with 2.5 million new cases and 404,000 deaths – equivalent to one life lost every 78 seconds.

    Dr. Nzuzi Katondi, WHO TB officer in Angola, said that the WHO congratulates the Angolan government for its dedicated efforts to eliminate TB and encourages it to continue accelerating initiatives and to quickly adopt the new WHO recommendations to end the suffering and deaths of Angolan citizens due to TB.

    “The coverage of TB services in Angola has seen a remarkable improvement from 2018 to 2023, thanks to WHO’s support in the implementation and revision of the National TB Control Strategic Plan (PEN TB) 2018-2022 and the development of the new TB Strategic Plan (PEN TB 2023-2027),” said Dr. Katondi. He added: “WHO strongly encourages the government to accelerate crucial actions to end TB and safeguard public health. This includes expanding rapid diagnosis and treatment services into communities, systematizing screening, ensuring patient-centered TB care, and strengthening the primary health care network.”

    Despite the ongoing efforts, Angola remains one of the 20 countries most affected by TB worldwide, with an annual average of more than 65,000 new cases over the last five years. This underlines the urgent need to strengthen joint action to overcome the persistent challenges in the fight against TB and protect the health of the population.

    To strengthen initiatives against TB and end the suffering of families, the WHO calls on governments to implement five key measures: (a) closing the TB funding gap by increasing national investments, (b) strengthening surveillance and data systems to improve case detection and treatment outcomes, (c) expanding access to rapid diagnostic tools and innovative treatment regimens, (d) engaging communities to ensure patient-centered TB care, and (e) addressing the social determinants of TB, including poverty, malnutrition and inadequate access to healthcare.

    TB is one of the world’s deadliest infectious diseases, but it can be prevented and cured. At the second United Nations high-level meeting on tuberculosis in September 2023, world leaders reaffirmed their commitment to ending the tuberculosis epidemic by 2030. The WHO, therefore, encourages high-level leadership, increased investment, the adoption of innovations, accelerated action, and multisectoral and cross-country collaboration to combat the tuberculosis epidemic and realize the commitments made. 

    “The coverage of TB services in Angola has seen a remarkable improvement from 2018 to 2023, thanks to WHO’s support in the implementation and revision of the National TB Control Strategic Plan (PEN TB) 2018-2022 and the development of the new TB Strategic Plan (PEN TB 2023-2027),” said Dr. Katondi. He added: “WHO strongly encourages the government to accelerate crucial actions to end TB and safeguard public health. This includes expanding rapid diagnosis and treatment services into communities, systematizing screening, ensuring patient-centered TB care, and strengthening the primary health care network.”

    Despite the ongoing efforts, Angola remains one of the 20 countries most affected by TB worldwide, with an annual average of more than 65,000 new cases over the last five years. This underlines the urgent need to strengthen joint action to overcome the persistent challenges in the fight against TB and protect the health of the population.

    Distributed by APO Group on behalf of World Health Organization (WHO) – Angola.

    MIL OSI Africa –

    March 25, 2025
  • MIL-OSI United Kingdom: SIA gathers leaders of top security businesses for action on labour exploitation

    Source: United Kingdom – Executive Government & Departments

    Press release

    SIA gathers leaders of top security businesses for action on labour exploitation

    The SIA invited senior representatives from the private security industry to discuss ways that they and the regulator could combat labour exploitation together.

    On 20 March 2025 the Security Industry Authority brought together senior leaders from the 30 largest private security businesses to discuss labour exploitation. This summit followed a similar event in December 2024, at which the 20 largest businesses were represented.

    These events form part of Operation EMPOWER, which is the SIA’s response to labour exploitation. EMPOWER involves a dedicated multi-disciplinary team that includes intelligence specialists and criminal investigators working closely with HMRC. The event was intended to build on work started in December with a wider range of voices from the industry.

    Michelle Russell, SIA Chief Executive, welcomed the delegates and said:

    This meeting comes at an important time for the private security industry and the SIA, where strategic engagement and partnership between the regulator and the industry can deliver positive change. Together we can make a significant difference, strengthening the regulatory regime, rooting out criminality and improving public trust and confidence in the delivery of private security services.

    Paul Fullwood, SIA Director of Inspections and Enforcement, said:

    We have a shared responsibility to do the right thing. Collaboration and a change in culture is the key to this. The harm to individuals from labour exploitation is unacceptable; for every corrupt and criminal action carried out to maximise profit, there is likely to be a victim who is being deprived of their rights. ​We are very keen to engage, and very glad to have influential voices from the private security industry here with us. The solution to many of these problems can be found in this room – however, we will be engaging further across the UK private security industry.

    The SIA asked delegates to consider 2 questions in particular:

    1. What are the top 10 things that are broken or that prevent the UK private security industry from tackling labour exploitation effectively?
    2. What are the top 10 actions that the private security industry or the SIA can do to address labour exploitation across the UK private security industry?

    Topics under discussion included: the criminal gains to be made from non-compliant behaviour; issues raised by sub-contracting; educating buyers about the part they play in preventing labour exploitation; the SIA’s new business approval scheme (which is scheduled to replace the existing Approved Contractor Scheme); improvements in data-sharing between the SIA and the private security industry.

    The summit closed with a commitment from all present to work in partnership to start developing key workstreams based on the discussions and put industry names to actions to take forward. The SIA is planning further engagement to capture the expertise and knowledge from others across the UK private security industry.

    Further information

    The SIA is the organisation responsible for regulating the private security industry in the UK, reporting to the Home Secretary under the terms of the Private Security Industry Act 2001. The SIA’s main duties are the compulsory licensing of individuals undertaking designated activities and managing the voluntary Approved Contractor Scheme (ACS).

    For further information about the SIA or to sign up for email updates visit www.gov.uk/sia. We also post articles and updates on WordPress. The SIA is on LinkedIn, Facebook (Security Industry Authority) and X (@SIAuk).

    For media enquiries only, please contact  media.enquiries@sia.gov.uk.

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    Updates to this page

    Published 24 March 2025

    MIL OSI United Kingdom –

    March 25, 2025
  • MIL-OSI United Nations: Secretary-General’s remarks to the Security Council – Advancing Adaptability in UN Peace Operations: responding to new realities [bilingual, as delivered; scroll down for all-English and all-French versions]

    Source: United Nations secretary general

    Mr. President, Excellencies,
     
    I thank the government of Denmark for convening this high-level discussion.

    United Nations peace operations safeguard people and communities in some of the most desperate places on earth. 

    These operations comprise both peacekeeping operations and special political missions.

    Their work ranges from early warning to preventive diplomacy…

    From peacemaking to verifying peace agreements to protecting civilians…

    From negotiating ceasefires to helping parties implement them on the ground…

    To electoral support and observer missions.

    Collectively, these operations represent a critical tool at this Council’s disposal to maintain international peace and security in a variety of contexts.

    Since the first special political mission and peacekeeping operation were deployed in 1948, our peace operations have grown, adapted and evolved.

    Time and again, they allow us to mount tailored responses that have saved lives, reduced violence, prevented the expansion and spillover of deadly conflicts, and stopped atrocities.

    Peace operations are designed not only to be an effective example of multilateralism in action — but a cost-effective one.

    At their best, they show how when the UN comes together to address challenges, the burden is diminished on individual countries alone.  

    But as we all know, peace operations face serious barriers that demand new approaches.

    Wars are becoming more complex and more deadly. 

    They last longer, and are more enmeshed in global and regional dynamics. 

    Negotiated settlements have been harder to achieve.

    Meanwhile, our peace operations are confronted with a complex interplay of threats — many of which do not respect national borders.

    Terror and extremist groups, organized crime, the weaponization of new technologies, and the effects of climate change are all testing our capacities to respond.

    And, I regret to say, geopolitical divisions are undermining peace.

    The bilateral and multilateral arrangements that — for decades — have managed tensions and maintained stability are eroding.  

    Violations of international law, human rights and the UN Charter are rampant — seemingly without consequence.

    Trust is in short supply among — and within — countries and regions.

    All of these challenges and more throw fuel on the fires of conflict.

    Meanwhile, our peace responses are struggling.  

    We see a persistent mismatch between mandates and available resources.

    And we see increasing differences of views — including in this Council itself — around how peace operations should work, under what circumstances, with what mandates they should be deployed, and for how long.

    Excellencies,

    This is a grim diagnosis, but we must face facts.

    The good news is that, through the Pact for the Future, Member States committed to working to adapt peace operations for the future.

    This is an important opportunity to gain a shared understanding of what makes peace operations successful …

    What is hindering their effectiveness …

    And what new models we can use to make them more adaptable, flexible and resilient — while recognizing the limitations in situations where there is little or no peace to keep. 

    My recent proposals to you in the context of Haiti are a good example.

    We must keep working for a political process — owned and led by the Haitian people — that restores democratic institutions through elections.

    And the UN has a clear role to play in supporting stability and security, while addressing the root causes of the appalling crisis.

    The UN stands ready to assume the responsibility of the logistical and operational expenditures — including transportation, medical capabilities and support for the national police — that can support an enhanced international force by Member States that is able to confront the gangs in Haiti and create conditions for peace.   

    And the salaries of the force are paid through the trust fund that already exists.

    This is a good example of how we can design a tailored and collective approach to peace operations in an extremely complex and dangerous environment. 

    Other examples of adapting our peace operations include UNIFIL, which recently developed an adaptation plan to support the parties to uphold their obligations under resolution 1701…

    And our operations in Abyei, Sudan, where we reconfigured our peace operations into a multinational force.

    We also increasingly see the enormous benefits of strengthening cooperation with regional and subregional organizations.

    Security Council resolution 2719 is an important example.

    This breakthrough has lifted our partnership with the African Union to a new level as we work to establish peace enforcement missions under the responsibility of the African Union, supported by the United Nations.

    We are now working actively across our two Secretariats to meet the vision of the resolution, and I urge Council Members to fully support this work.

    Excellencies,

    It’s time to build on these examples and continue adapting our peace operations for current and future challenges. 

    Work is now underway to review all forms of peace operations, as requested by Member States in the Pact for the Future.

    The review will aim to critically examine these tools and propose concrete recommendations to make them fit for today.

    This will include extensive consultations with Member States and others to inform — and inspire — recommendations.

    The review will build on the analysis presented in the New Agenda for Peace.

    It will be informed by the first comprehensive study of the history of special political missions in the 80 years of the United Nations, which will be released soon.

    And it will reflect the Pact’s call to ensure that peace operations engage at the earliest possible stage in planning transitions with host countries, UN Country Teams and local and regional groups.

    The review also aligns with the Pact’s call to this Council to ensure that peace operations are guided by clear and sequenced mandates that are realistic and achievable — with viable exit strategies and transition plans.

    And it will draw on the discussions taking place in preparation for the Peacekeeping Ministerial in Berlin in May focusing on the future of peacekeeping.

    Excellences,

    Tout au long de l’étude, nous mènerons des consultations approfondies afin de recueillir un éventail de vues aussi large que possible et de bénéficier d’une expertise mondiale.

    Celle des États Membres, des pays hôtes, des pays fournisseurs de contingents ou de personnel de police et des contributeurs financiers…

    Celle des organisations régionales, de la société civile et des milieux universitaires, ainsi que de nos propres hauts responsables et experts des opérations de paix des Nations Unies et du Secrétariat.

    Bien entendu, l’étude contribuera à éclairer les efforts que nous déployons dans le cadre de l’initiative ONU80, afin de dégager des gains d’efficacité et des améliorations dans tous nos axes de travail – compte tenu des défis persistants de financement auxquels notre Organisation est confrontée.

    Excellences,

    Le débat public d’aujourd’hui est une occasion précieuse pour le Conseil de partager toute idée et point de vue qui pourrait contribuer à l’étude.

    J’invite tous les États Membres à apporter leur pierre à l’édifice.

    Et j’appelle ce Conseil à continuer à œuvrer pour surmonter les divisions et les désaccords entourant les opérations de paix, et bâtir le soutien politique unifié et cohérent dont nos opérations de paix – et les femmes et les hommes qui les mènent – ont tant besoin.

    Je vous remercie.

    ***
    All-English

    Mr. President, Excellencies,
     
    I thank the government of Denmark for convening this high-level discussion.

    United Nations peace operations safeguard people and communities in some of the most desperate places on earth. 

    These operations comprise both peacekeeping operations and special political missions.

    Their work ranges from early warning to preventive diplomacy…

    From peacemaking to verifying peace agreements to protecting civilians…

    From negotiating ceasefires to helping parties implement them on the ground…

    To electoral support and observer missions.

    Collectively, these operations represent a critical tool at this Council’s disposal to maintain international peace and security in a variety of contexts.

    Since the first special political mission and peacekeeping operation were deployed in 1948, our peace operations have grown, adapted and evolved.

    Time and again, they allow us to mount tailored responses that have saved lives, reduced violence, prevented the expansion and spillover of deadly conflicts, and stopped atrocities.

    Peace operations are designed not only to be an effective example of multilateralism in action — but a cost-effective one.

    At their best, they show how when the UN comes together to address challenges, the burden is diminished on individual countries alone.  

    But as we all know, peace operations face serious barriers that demand new approaches.

    Wars are becoming more complex and more deadly. 

    They last longer, and are more enmeshed in global and regional dynamics. 

    Negotiated settlements have been harder to achieve.

    Meanwhile, our peace operations are confronted with a complex interplay of threats — many of which do not respect national borders.

    Terror and extremist groups, organized crime, the weaponization of new technologies, and the effects of climate change are all testing our capacities to respond.

    And, I regret to say, geopolitical divisions are undermining peace.

    The bilateral and multilateral arrangements that — for decades — have managed tensions and maintained stability are eroding.  

    Violations of international law, human rights and the UN Charter are rampant — seemingly without consequence.

    Trust is in short supply among — and within — countries and regions.

    All of these challenges and more throw fuel on the fires of conflict.

    Meanwhile, our peace responses are struggling.  

    We see a persistent mismatch between mandates and available resources.

    And we see increasing differences of views — including in this Council itself — around how peace operations should work, under what circumstances, with what mandates they should be deployed, and for how long.

    Excellencies,

    This is a grim diagnosis, but we must face facts.

    The good news is that, through the Pact for the Future, Member States committed to working to adapt peace operations for the future.

    This is an important opportunity to gain a shared understanding of what makes peace operations successful …

    What is hindering their effectiveness …

    And what new models we can use to make them more adaptable, flexible and resilient — while recognizing the limitations in situations where there is little or no peace to keep. 

    My recent proposals to you in the context of Haiti are a good example.

    We must keep working for a political process — owned and led by the Haitian people — that restores democratic institutions through elections.

    And the UN has a clear role to play in supporting stability and security, while addressing the root causes of the appalling crisis.

    The UN stands ready to assume the responsibility of the logistical and operational expenditures — including transportation, medical capabilities and support for the national police — that can support an international force established by Member States that is able to confront the gangs in Haiti and create conditions for peace.   

    And the salaries of the force are paid through the trust fund that already exists.

    This is a good example of how we can design a tailored and collective approach to peace operations in an extremely complex and dangerous environment. 

    Other examples of adapting our peace operations include UNIFIL, which recently developed an adaptation plan to support the parties to uphold their obligations under resolution 1701…

    And our operations in Abyei, Sudan, where we reconfigured our peace operations into a multinational force.

    We also increasingly see the enormous benefits of strengthening cooperation with regional and subregional organizations.

    Security Council resolution 2719 is an important example.

    This breakthrough has lifted our partnership with the African Union to a new level as we work to establish peace enforcement missions under the responsibility of the African Union, supported by the United Nations.

    We are now working actively across our two Secretariats to meet the vision of the resolution, and I urge Council Members to fully support this work.

    Excellencies,

    It’s time to build on these examples and continue adapting our peace operations for current and future challenges. 

    Work is now underway to review all forms of peace operations, as requested by Member States in the Pact for the Future.

    The review will aim to critically examine these tools and propose concrete recommendations to make them fit for today.

    This will include extensive consultations with Member States and others to inform — and inspire — recommendations.

    The review will build on the analysis presented in the New Agenda for Peace.

    It will be informed by the first comprehensive study of the history of special political missions in the 80 years of the United Nations, which will be released soon.

    And it will reflect the Pact’s call to ensure that peace operations engage at the earliest possible stage in planning transitions with host countries, UN Country Teams and local and regional groups.

    The review also aligns with the Pact’s call to this Council to ensure that peace operations are guided by clear and sequenced mandates that are realistic and achievable — with viable exit strategies and transition plans.

    And it will draw on the discussions taking place in preparation for the Peacekeeping Ministerial in Berlin in May focusing on the future of peacekeeping.

    Excellencies,

    Throughout, we will hold extensive consultations to capture as wide a spectrum of views as possible and to benefit from worldwide expertise.

    From Member States, host States, troop- and police-contributing countries and financial contributors…

    To regional organizations, civil society and academia, and our own leaders and experts within UN peace operations and the Secretariat.

    And the review will, of course, help inform our efforts through our UN@80 initiative, to find efficiencies and improvements across our work in light of the continued funding challenges we face as an organization.  

    Excellencies,

    Today’s open debate provides a vital opportunity for the Council to share perspectives and ideas to inform the review process.

    I urge all Members to support it.

    And I call on this Council to continue working to overcome divisions and disagreements around peace operations, and build the unified and consistent political support our peace operations — and the women and men who conduct them — need and deserve.

    Thank you.

    ***
    All-French

    Monsieur le Président, Excellences,

    Je remercie le Gouvernement danois d’avoir organisé ce débat de haut niveau.

    Les opérations de paix des Nations unies protègent les personnes et les communautés dans certains des endroits les plus éprouvés de la planète. 

    Ces opérations comprennent à la fois les opérations de maintien de la paix et les missions politiques spéciales.

    Leur travail va de l’alerte rapide à diplomatie préventive…

    Du rétablissement de la paix à la vérification de l’application des accords de paix et de la protection des civils…

    De la négociation de cessez-le-feu au soutien de leur mise en œuvre par les parties sur le terrain…

    Ou encore aux missions d’observation et d’appui électoral.

    Prises ensemble, ces opérations dotent le Conseil d’un outil essentiel pour maintenir la paix et la sécurité internationales dans divers contextes.

    Depuis le déploiement de la première mission politique spéciale et de la première opération de maintien de la paix en 1948, nos opérations de paix se sont développées, adaptées et transformées.

    Elles nous permettent régulièrement d’intervenir de façon ciblée pour sauver des vies, réduire la violence, enrayer l’élargissement et le débordement de conflits meurtriers, et mettre fin à des atrocités.

    Les opérations de paix sont conçues pour démontrer non seulement l’efficacité du multilatéralisme en action mais aussi son intérêt en termes de coûts.

    Dans le meilleur des cas, elles montrent qu’il est possible d’alléger le fardeau qui pèse sur chaque pays individuellement lorsque les Nations Unies se rallient pour agir.

    Toutefois, comme nous le savons tous, les opérations de paix se heurtent à des obstacles de taille, et de nouvelles approches s’imposent.

    Les guerres deviennent plus complexes et plus meurtrières.

    Elles durent plus longtemps et sont davantage imbriquées dans des dynamiques mondiales et régionales.

    Il est plus difficile de parvenir à des règlements négociés.

    Parallèlement, un entrelacs complexe de menaces, dont beaucoup transcendent les frontières nationales, se dresse face aux opérations de paix.

    Les groupes terroristes et extrémistes, la criminalité organisée, la militarisation des nouvelles technologies et les effets des changements climatiques sont autant de phénomènes qui mettent à l’épreuve nos capacités d’intervention.

    Et – je suis navré de le constater – les divisions géopolitiques sapent la paix.

    Les accords bilatéraux et multilatéraux qui, pendant des décennies, avaient permis de maîtriser les tensions et de préserver la stabilité s’érodent.

    Les violations du droit international, des droits humains et de la Charte des Nations Unies sont légion – sans que cela ne porte à conséquence, semble-t-il.

    La confiance se fait rare entre les pays, entre les régions, et à l’intérieur de ceux-ci.

    Tous ces dangers, et bien d’autres encore, attisent la flamme des conflits.

    De notre côté, nos interventions en faveur de la paix sont à la peine.

    Nous constatons une asymétrie persistante entre les mandats confiés et les ressources disponibles.

    Et nous constatons des divergences de vues de plus en plus marquées – y compris au sein même de ce Conseil – sur les modalités de fonctionnement des opérations de paix, les circonstances justifiant leur déploiement, la teneur de leur mandat et leur durée.

    Excellences,

    Le diagnostic peut paraître sombre, mais il correspond à la réalité.

    La bonne nouvelle est que les États Membres se sont engagés dans le Pacte pour l’avenir à adapter les opérations de paix pour l’avenir.

    Voilà une occasion privilégiée de dégager une réponse commune aux questions suivantes : quelles sont les conditions de réussite des opérations de paix ?

    Quels obstacles se dressent sur le chemin ?

    Et quels nouveaux modèles nous pouvons appliquer afin de les rendre plus adaptables, plus souples et plus résilientes – tout en reconnaissant les cas limites où l’on sait qu’il y a peu ou pas de paix à maintenir.

    Les propositions que je vous ai faites récemment dans le contexte d’Haïti en sont une bonne illustration.

    Nous devons continuer d’œuvrer en faveur d’un processus politique – maîtrisé et conduit par le peuple haïtien – qui rétablisse les institutions démocratiques par la voie électorale.

    L’ONU a un rôle clair à jouer pour appuyer la stabilité et la sécurité, tout en s’attaquant aux causes profondes de cette crise effroyable.

    L’ONU est prête à assumer la responsabilité des dépenses logistiques et opérationnelles – y compris le transport, les capacités médicales et le soutien envers la police nationale – qui peuvent appuyer une force internationale renforcée par les États membres, qui soit capable de faire face aux gangs en Haïti et de créer les conditions de la paix.

    Les salaires de la force quant à eux sont couverts par le fonds d’affectation spéciale qui existe déjà.

    Nous avons là un bon exemple de la manière dont nous pouvons concevoir une approche adaptée et collective des opérations de paix dans un environnement extrêmement complexe et dangereux.

    Parmi les autres exemples d’adaptation de nos opérations de paix, citons la FINUL, qui a récemment élaboré un plan d’adaptation pour aider les parties à respecter les obligations que leur fait la résolution 1701.

    On peut également évoquer nos opérations à Abyei, au Soudan, où nous avons reconfiguré nos opérations de paix en une force multinationale.

    Nous prenons également de plus en plus la mesure des avantages considérables que présente le renforcement de la collaboration avec les organisations régionales et sous-régionales.

    La résolution 2719 du Conseil de sécurité revêt une importance certaine à cet égard.

    Cette avancée a porté notre partenariat avec l’Union africaine à un niveau supérieur, alors que nous œuvrons à la mise en place de missions d’imposition de la paix sous la responsabilité de l’Union africaine, avec le soutien des Nations unies.

    Nos deux Secrétariats travaillent désormais activement à concrétiser la vision énoncée dans la résolution, et j’invite les membres du Conseil à y apporter leur plein concours.

    Excellences,

    Il est temps de s’inspirer de ces exemples et de continuer à adapter nos opérations de paix aux défis actuels et futurs. 

    Des travaux sont en cours pour réexaminer toutes les formes d’opérations de paix, comme l’ont demandé les États Membres dans le Pacte pour l’avenir.

    L’objectif est de procéder à un examen critique de ces outils et de proposer des recommandations concrètes afin de les adapter au monde d’aujourd’hui.

    Il s’agira notamment de mener des consultations approfondies avec les États Membres et d’autres parties prenantes afin de nourrir – et d’inspirer – ces recommandations.

    L’étude fera fond sur l’analyse présentée dans le Nouvel Agenda pour la paix.

    Elle prendra pour appui l’étude d’ensemble de l’histoire des missions politiques spéciales, la première effectuée en 80 ans d’existence de l’ONU, qui sera publiée prochainement.

    Elle se fera aussi l’écho de l’appel lancé dans le Pacte pour veiller à ce que les opérations de paix s’engagent le plus tôt possible dans la planification des transitions avec les pays hôtes, l’équipe de pays des Nations Unies et les groupes locaux et régionaux.

    L’étude s’inscrit également dans le sillage de la demande qui est adressée au Conseil dans le Pacte pour que les opérations de paix soient guidées par des mandats clairs et séquencés, réalistes et réalisables, ainsi que des stratégies de sortie et des plans de transition viables.

    Elle s’appuiera enfin sur les discussions qui se tiennent en préparation de la Conférence ministérielle sur le maintien de la paix qui aura lieu à Berlin en mai et qui sera consacrée à l’avenir du maintien de la paix.

    Excellences,

    Tout au long de l’étude, nous mènerons des consultations approfondies afin de recueillir un éventail de vues aussi large que possible et de bénéficier d’une expertise mondiale.

    Celle des États Membres, des pays hôtes, des pays fournisseurs de contingents ou de personnel de police et des contributeurs financiers…

    Celle des organisations régionales, de la société civile et des milieux universitaires, ainsi que de nos propres hauts responsables et experts des opérations de paix des Nations Unies et du Secrétariat.

    Bien entendu, l’étude contribuera à éclairer les efforts que nous déployons dans le cadre de l’initiative ONU80, afin de dégager des gains d’efficacité et des améliorations dans tous nos axes de travail – compte tenu des défis persistants de financement auxquels notre Organisation est confrontée.

    Excellences,

    Le débat public d’aujourd’hui est une occasion précieuse pour le Conseil de partager toute idée et point de vue qui pourrait contribuer à l’étude.

    J’invite tous les États Membres à apporter leur pierre à l’édifice.

    Et j’appelle ce Conseil à continuer à œuvrer pour surmonter les divisions et les désaccords entourant les opérations de paix, et bâtir le soutien politique unifié et cohérent dont nos opérations de paix – et les femmes et les hommes qui les mènent – ont tant besoin.

    Je vous remercie.
     

    MIL OSI United Nations News –

    March 25, 2025
  • MIL-OSI Security: Eleven Defendants Sentenced in Connection with Cleveland Drug Trafficking Organization

    Source: Federal Bureau of Investigation (FBI) State Crime Alerts (c)

    Eleven defendants were charged in connection with a drug trafficking organization that transported suitcases stuffed with illegal drugs from California to Ohio.

    MIL Security OSI –

    March 25, 2025
  • MIL-OSI United Kingdom: Pool and gym solar switch-on

    Source: City of Sunderland

    Heating for swimmers and gym users is now being boosted with solar panels.

    Visitors to Hetton Pool and Wellness Centre are now benefiting from more than 430 roof mounted solar panels that are helping keep energy bills down and lowering the city’s carbon footprint.

    Opened in 2010, the pool, gym and studio facilities at Bernard Park receives between 5,000 and 6,000 visits per week.

    This installation is expected to save around £35,000 in operating costs and 30 tonnes of carbon dioxide per annum.

    Work on installing the panels was completed over the winter following planning approvals in autumn last year. After tests, the panels are now generating power during daylight hours to heat the 25 metre pool and help meet the centre’s power needs from lighting to gym equipment.

    Funding for the project came from a national Sport England grant of £226,00 via the Sport England Swimming Pool Support Fund. The funding was targeted at easing the financial pressures that councils and leisure operators have been facing because of recent rises in energy and general operating costs.

    The City Council’s Cabinet Member for Environment, Transport and Net Zero, Councillor Lindsey Leonard said: “This is great news for centre users and residents across our city. Thanks to Sport England for the initial grant and thanks to staff at the City Council and Everyone Active who have seen this project through we are already seeing the benefits.

    “As a council we’ve already installed solar panels in car parks and depots, we have LED lights in buildings, more energy efficient street lighting and we have an ongoing programme of identifying and installing more energy efficiency measures as we invest to save, wherever possible, to help lower our carbon footprint and save on our energy bills.”

    The latest technology for solar panels allows them to operate on overcast days as they capture diffused light. In direct sunlight, panels operate at 100 per cent.

    Cllr Leonard added: “By taking these steps we can make a real difference as we continue to work hard together towards our goal of becoming carbon neutral as a Council by 2030 and as a city by 2040.”

    The City Council was one of 264 local authorities that received funding for investing in panels, LED lights or other energy saving improvements aimed at improving the efficiency of public facilities with swimming pools.

    The council’s leisure service partner is Everyone Active and alongside Hetton, it oversees the Sunderland Aquatic Centre, Silksworth Community Pool Tennis and Wellness Centre and the Raich Carter Centre in Hendon.

    Everyone Active’s Contract Manager Ian Bradgate said: “Reducing the centre’s carbon footprint is the key aim of this project and we are delighted to play our part in that. Everyone Active will continue to work with the council to achieve their Net Zero ambitions, as part of our own Net Zero Strategy.”

    Lisa Dodd-Mayne, Executive Director – Place at Sport England added: “Swimming pools and leisure centres are vital community resources and are enormously important in helping people to be physically active.

    “Sport England is proud of the role we play in supporting these facilities. The investment from the Government’s Swimming Pool Support Fund at Hetton Pool and Wellness Centre will help improve energy efficiency and enable the centre to be more environmentally and financially sustainable so it remains available for future generations to enjoy.”

    MIL OSI United Kingdom –

    March 25, 2025
  • MIL-OSI Russia: HSE has launched a competitive selection process for the Russian Postdoc Program

    Translartion. Region: Russians Fedetion –

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

    The Higher School of Economics invites researchers to take part in Program for attracting Russian postdocsThis year, 106 vacancies are available for candidates at the university’s Moscow campuses, Saint Petersburg, Perm And Nizhny NovgorodApplications will be accepted until May 16.

    The Russian Postdocs Program is aimed at attracting colleagues who have received a candidate of science or PhD degree to HSE. The competition is open to researchers under 39 years of age who have not previously worked or studied in HSE postgraduate studies.

    The program is aimed at retaining personnel in science and strengthening the practice of inter-university exchange. Winners of the competitive selection are employed as HSE research fellows for one year with the possibility of extending for a second year. They work on a research project and are involved in expanding the research agenda of departments. Colleagues can also, if they wish, teach and participate in expert-analytical projects. The postdoc will be provided with a workplace, access to information resources, databases and electronic subscriptions of HSE, as well as participation in scientific and educational events and programs for scientific advancement and career development.

    Each applicant can choose to participate in one or two projects, indicating the priority option. The full list of vacancies is published on the website of the Russian Postdocs Attraction Program. To submit an application, you must fill out form.

    Today, there are more than 50 postdocs from different regions and cities of Russia working at HSE. The program implements the practice of consultations with current participants. Online meetings are held every Wednesday at 12:00 and 17:00 Moscow time. You can ask all your questions by filling out application.

    “The program to attract Russian postdocs has allowed our still young and small laboratory to expand its research capabilities,” says Robert Sandlersky, head of International Laboratory of Landscape Ecology Faculty of Geography and Geoinformation Technologies HSE University. — The postdoc attracted under the program acquired many new skills in his first year of work that are useful for our research. The knowledge acquired at HSE allowed him to formulate his own research direction in the second year of the program, which is especially valuable for our small team. With the help of our postdoc, we organized and conducted a student expedition to his native region, Buryatia, and implemented the research project “Geoinformation support for recreational activities in Tunkinsky National Park”. Thus, the Russian Postdoc Attraction Program allowed us to expand the geography of our research and involve students in it. I am pleased to plan the next research project, for which we can attract a new active postdoc.”

    “The program for attracting Russian postdocs is a great opportunity to be involved in the activities of the best university in Russia! I am glad that I took a risk and applied for the competitive selection,” shared Anastasia Ustyuzhantseva, postdoc, research fellow Department of Operations Management and Logistics. — A wide range of professional and personal growth trajectories, English courses for any level of training, advanced training in relevant areas, work in world-class research teams — this is only a small part of what participation in the program provides. I began to look at many things in a new way, made useful contacts, and was able to concentrate on truly important professional tasks.”

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

    MIL OSI Russia News –

    March 25, 2025
  • MIL-OSI USA: Distinguished Scientist Award Goes to UConn’s Dr. David C. Steffens

    Source: US State of Connecticut

    Dr. David C. Steffens is the 2025 recipient of the Distinguished Scientist Award from the American Association for Geriatric Psychiatry.

    Steffens, professor and chair of the Department of Psychiatry at UConn School of Medicine, was named the winner of this lifetime achievement award during the annual meeting of the American Association for Geriatric Psychiatry on March 14 in Phoenix, Arizona.

    Steffens was honored with the Distinguished Scientist Award for his career of scientific accomplishments in the field of geriatric psychiatry, as well as his mentoring of the next generation of researchers.

    The AAGP is a national association representing and serving its members and the field of geriatric psychiatry. AAGP promotes the mental health and well-being of older people through professional education, public advocacy, and support of career development for clinicians, educators, and researchers in geriatric psychiatry and mental health.

    “I am humbled that my colleagues nominated me and that I was selected for this honor,” shared Steffens whose work focuses on mood and cognitive disorders in older adults. For over two decades he has been continuously funded by The National Institute of Mental Health (NIMH) and other NIH institutes.

    Steffens has served as chair of the Department of Psychiatry at UConn since 2012. He joined UConn after more than 20 years at Duke University School of Medicine, where he had served as a professor of psychiatry, vice chair for education and division chief of Geriatric Psychiatry in the Department of Psychiatry and Behavioral Sciences. He is the past president of the American Association for Geriatric Psychiatry, has authored more than 350 peer-reviewed papers and is the primary editor of the leading textbook in geriatric psychiatry. Steffens also has considerable experience in medical education and mentoring undergraduate and graduate students, medical students, resident physicians, post-doctoral fellows and junior faculty.

    Steffens is graduate of Rice University and the University of Texas, Houston Health Science Center School of Medicine, and he completed his internship and residency in psychiatry at Duke.

    MIL OSI USA News –

    March 25, 2025
  • MIL-OSI: Orange Bank & Trust Promotes Two Officers to Support the Growth of Orange Wealth Management

    Source: GlobeNewswire (MIL-OSI)

    MIDDLETOWN, N.Y., March 24, 2025 (GLOBE NEWSWIRE) — Orange Bank & Trust Company (the “Bank”), the banking subsidiary of Orange County Bancorp, Inc. (the “Company” – Nasdaq: OBT), is pleased to announce the promotion of two officers to support the ongoing expansion of Orange Wealth Management. Carla Alfieri has been promoted to Senior Vice President, Director of Private Banking and Jacqueline Weimmer will serve as Director of Trust Services.

    As Senior Private Banking Officer, Alfieri will lead the Bank’s private banking division, focusing on managing relationships with high-net-worth clients. She will oversee the development of personalized financial solutions, identify new opportunities to grow the sector and implement strategic plans to enhance the private banking client experience. The Bank’s northern private banking and southern private banking departments will report directly to Alfieri.

    Alfieri joined the Bank in 1988 as part of the Branch staff, advancing through numerous supervisory, management, and AVP positions including Senior Customer Service Representative, Assistant Branch Manager, AVP and Branch Manager, AVP and Business Development Officer, Corporate Training and Development Specialist, and most recently, VP and Senior Private Banker. She began working in Private Banking in 2018 and has played a significant role in the creation and success of the service, which now has more than 700 clients.

    In her new role as Director, Weimmer will oversee the Trust Services division with a focus on business development efforts. She will manage client relationships and provide strategic direction to the Bank’s comprehensive trust and estate planning solutions, ensuring clients’ intentions are implemented effectively and efficiently. The Bank’s Special Needs Trust (SNT), Trust & Estates and Trust Operations departments will report directly to Weimmer.

    She joined the Bank’s Trust Services Department in 2023 as First Vice President, Trust Officer, and Manager of the SNT and Guardianship Department in Mount Vernon. Weimmer previously worked for Comerica Bank in New York City, where she was Vice President and National Manager of the Special Needs Solutions Team. She has extensive experience with the intricacies of SNT administration and has focused her career on trust and estate planning for individuals with disabilities. She also has broad experience in managing personal trust accounts. She is a court-appointed Special Advocate for children in the foster care system and sits on the board of Care Point Health at Bayonne Hospital.

    “We are delighted to welcome Carla and Jacqueline to their new roles as part of Orange Wealth Management,” said David Dineen, EVP, Senior Managing Director of Orange Wealth Management. “They have each demonstrated exceptional leadership and dedication to our clients. We know their expertise and commitment will continue to drive our mission of providing personalized, high-quality services.”

    About Orange County Bancorp Inc.
    Orange County Bancorp, Inc. is the parent company of Orange Bank & Trust Company and Hudson Valley Investment Advisors, Inc. Orange Bank & Trust Company is an independent bank that began with the vision of 14 founders over 130 years ago. It has grown through ongoing innovation and an unwavering commitment to its community and business clientele to 2.5 billion in total assets. Hudson Valley Investment Advisors, Inc. is a Registered Investment Advisor in Goshen, NY. It was founded in 1996 and was acquired by the Company in 2012. In recent years, Orange Bank & Trust has added branches in Rockland, Westchester and the Bronx.

    Contact:
    Candice Varetoni
    AVP Marketing Officer
    cvaretoni@orangebanktrust.com
    Orange Bank & Trust Company

    The MIL Network –

    March 25, 2025
  • MIL-OSI Global: 1.5 million-year-old bone tools discovered in Tanzania rewrite the history of human evolution

    Source: The Conversation – Africa – By Jackson K Njau, Associate professor, Indiana University

    The ancestors of humans started making tools about 3.3 million years ago. First they made them out of stone, then they switched to bone as a raw material. Until recently, the earliest clear evidence of bone tool making was from sites in Europe, dated to 400,000 years ago. But archaeologists have now found and dated bone tools in Tanzania that are a million years older.

    The tools are made from the bones of large animals like hippos and elephants, and have been deliberately shaped to make them useful for butchering large carcasses.

    The discovery of bone implements that are the oldest ever found, by far, casts light on human evolution. It shows that our hominin ancestors were able to think about and make this technology a lot earlier than anyone realised.

    I am a scientist who co-directs a multidisciplinary research project team at the Olduvai Gorge in Tanzania, focusing on hominin evolution. Our project’s main goal has been to investigate the changes in hominin technology and behaviour that happened between 1.66 million and 1.4 million years ago.

    We’re interested in this time period because it marks a pivotal change in human technology, from the rudimentary stone knives and cores of the Oldowan culture to the more advanced crafted stone handaxes of the Acheulean culture.

    We found the Olduvai bone tools in 2018 and recently described them in the journal Nature. They show that by 1.5 million years ago, our ancestors (Homo erectus) had already developed the cognitive abilities required to transfer skills from making stone tools to making bone tools.

    This leap in human history was a game-changer because it allowed early hominins to overcome survival challenges in landscapes where suitable stone materials were scarce.

    Tools at Olduvai

    Olduvai Gorge is a Unesco World Heritage site. It became well known in 1959 through the pioneering work of palaeontologists Louis and Mary Leakey, whose discoveries of early human remains reshaped our understanding of human evolution. The site offers an unparalleled window into human history, spanning nearly 2 million years.




    Read more:
    Finds in Tanzania’s Olduvai Gorge reveal how ancient humans adapted to change


    Aside from fossilised bones, it has yielded the most detailed record of stone tool cultures in the world. It has documented the evolution from the simple chopping tools and stone knives of the Oldowan industry (about 2 million years ago) to the more advanced Acheulean tools (1.7 million years ago), such as handaxes, cleavers, picks and spheroids and then on – through arrowheads, points and blades (about 200,000 years ago) to the micro-blades of the Later Stone Age (about 17,000 years ago).

    All these tools provide a glimpse into the ingenuity and cultural advancements of our early ancestors.

    And now the picture has new detail.

    Our team uncovered 27 ancient bone tools during excavations at the T69 Complex, FLK West site at Olduvai. We know how old they are because we found them securely embedded underground where they had been left 1.5 million years ago, along with thousands of stone artefacts and fossilised bones. We dated them using geochronological techniques.

    Unlike stone, bone shafts crack and break in a way that allows the systematic production of elongated, well-shaped artifacts. Flaking them by hitting them with another object – a process called knapping – results in pointed tools that would be ideal for butchering, chopping and other tasks.

    The knapped tools we found were made from large shaft fragments that came from the limb bones of elephants and hippos, and were found at hippo butchery sites. Hominins likely brought elephant bones to the site on a regular basis, and obtained limb bones from butchered hippos at the site itself.

    What Homo erectus knew

    The find shows that 1.5 million years ago, Homo erectus could apply knapping skills to bone. Homo erectus, regarded as the evolutionary successor to the smaller-brained Homo habilis, left a lasting imprint on history. Its fossils, found at Olduvai, offer a glimpse into a span of about a million years, stretching from 1.5 million to roughly 500,000 years ago.

    Now we know that these hominins not only understood the physical properties of bones but also knew about skeletal anatomy. They could identify and select bones suitable for flaking. And they knew which animals had skeletons large enough to craft reliable tools after the animals’ death.




    Read more:
    Large mammals shaped the evolution of humans: here’s why it happened in Africa


    We don’t know exactly why they chose bones as a raw material. It may have been that suitable stone material was scarce, or they recognised that bones provided a better grip and were more durable.

    Why haven’t such old bone tools been found before? The answer is likely that they are destroyed by weathering, abrasion from water transport, trampling and scavenger activity. Organic materials don’t always get time to fossilise. Also, analysts were not used to looking for bone tools among fossils.

    This discovery will likely encourage researchers to pay closer attention to the subtle signs of bone knapping in fossil assemblages. This way we will learn more about the evolution of human technology and behaviour.

    Jackson K Njau 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. 1.5 million-year-old bone tools discovered in Tanzania rewrite the history of human evolution – https://theconversation.com/1-5-million-year-old-bone-tools-discovered-in-tanzania-rewrite-the-history-of-human-evolution-251826

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Europe: Statement by President Meloni on 81st anniversary of Fosse Ardeatine massacre

    Source: Government of Italy (English)

    Vai al Contenuto Raggiungi il piè di pagina

    24 Marzo 2025

    The events of March 24th 81 years ago left one of the deepest wounds ever to be inflicted on Rome and on the whole of Italy. The Fosse Ardeatine massacre, carried out by occupying Nazi troops in retaliation for the Via Rasella attack by partisans in Rome, is one of the most painful episodes in our nation’s history, and it is the primary duty of institutions, at all levels, to tell the story of what happened and pass the memory of those events on, especially to the younger generations. Today, we pay tribute to the 335 victims of that unspeakable massacre and reaffirm our commitment to safeguarding and protecting the values of freedom and democracy on which our Republic is founded. 

    [Courtesy translation]

    MIL OSI Europe News –

    March 25, 2025
  • MIL-OSI Security: Three guilty of conspiracy to murder following Woodford Green shooting in 2019

    Source: United Kingdom London Metropolitan Police

    Three men who shot a rival in his own home in east London have been convicted following a meticulous investigation that saw a combination of forensic and data-based evidence prove their guilt.

    Daniel Kelly, along with brothers Stewart and Louis Ahearne, were found guilty of conspiracy to murder at the conclusion of a trial at the Old Bailey on Monday, 24 March.

    The jury heard evidence that Kelly and the Ahearnes carried out the shooting in Woodford Green on 11 July 2019 after weeks of careful planning, including surveillance of their intended target after putting a tracking device on the car he used so they could follow his movements.

    On the night of the shooting, the three travelled from their homes in southeast London to Woodford Green using a car that had been hired two days earlier by Stewart Ahearne.

    While he waited in the car which was parked in Worcester Avenue, Kelly and Louis Ahearne snuck into a garden of a house on the street which overlooked the back garden of their target’s house in Malvern Drive. At around 23:09hrs, six shots were fired through the back doors and windows of the house in Malvern Drive, at least one of which struck their target – a man who was aged 45 at the time – who was standing in the kitchen.

    Kelly and Ahearne fled back to the waiting car which drove away, leaving their victim fighting for his life.

    Police and the London Ambulance Service attended. The victim was taken to hospital for emergency surgery that while saving his life would leave him permanently paralysed. Detectives secured the scene and began to piece together what had happened.

    Over the course of the coming weeks, several vital evidential breakthroughs took place.

    Following a forensic analysis of the victim’s house and garden area, DNA profiles were recovered from a fence area of the adjoining property in Worcester Avenue where the two suspects had fired the shots from. These profiles provided matches for both Kelly and Louis Ahearne.

    Bullet casings found in the garden, and bullets found inside the address that had missed their target enabled detectives to establish the firearm used was a Glock SLP handgun. A search of Kelly’s address carried out in late August 2019 recovered a laser sight that was compatible with this weapon.

    CCTV analysis of the area surrounding Malvern Drive picked up the car driven by Stewart Ahearne – this provided a vehicle registration number which detectives were able to use to confirm this was a hire car. After tracking down the venue it was hired from, the company were able to confirm Stewart Ahearne’s details as the vehicle’s hirer.

    Using various techniques including ANPR and CCTV cameras, detectives pieced together the movements of the car after it was hired on 9 July 2019 in Dartford. Detectives subsequently established that the car had been used to commit a burglary at an address in Sevenoaks, Kent that same evening.

    It was confirmed the car had travelled from southeast London where the three suspects were based, up to the Woodford Green area on both the 10 and 11 July prior to the trip to carry out the shooting.

    On the 10 July, the defendants undertook a journey tracking a car known to be used by the victim. The court heard how the defendants had fitted a tracking device to the victim’s vehicle. Using an iPad, which was subsequently thrown into the River Thames but later recovered by officers, to track the car’s movements, the suspects now knew when and where their target would be.

    Detectives also used phone data from devices attributed to Kelly and the Ahearnes to help track their movement both before and after the shooting. Marrying this up with camera footage from ANPR and CCTV, they could map the hire car following the victim’s car prior to the shooting.

    Following the shooting, Stewart Ahearne returned the car to the hire company on 12 July. Even though it was subsequently re-hired, by 17 July officers had established it had been used by the suspects and traced it to Birmingham Airport. The car was forensically analysed and Kelly’s fingerprints were found on two places in the vehicle.

    By October 2019, detectives were in a position to start making arrests. Between 30 October 2019 and 23 January 2020, all three suspects were arrested. All denied their involvement but the evidence that detectives had diligently compiled meant the three were charged.

    Detectives continued to pursue all lines of enquiry and by piecing together the movements of Kelly and the Ahearnes an iPad used by Kelly to track the movements of the victim was recovered from the River Thames in 2024.

    During the intervening period, the Met investigation team worked as part of a joint investigation with law enforcement teams from Switzerland. A burglary of the Museum of Far Eastern Arts had occurred in Geneva a month prior to this shooting with items of historical value stolen.

    The court heard how elements of that offending echoed this shooting, including the use of a Renault Captur hire vehicle.

    A Ming dynasty vase stolen in the burglary was recovered by the investigation team in London in October 2020.

    Stewart and Louis Ahearne were extradited to Switzerland, they stood trial and were convicted in January 2024. Both were subsequently returned to the United Kingdom on extradition to be tried for this incident.

    Detective Superintendent Matt Webb who led the investigation said:

    “The court heard how the defendants, hardened organised criminals, acted together in a well-planned and orchestrated manner to shoot their victim. It is only for the intervention of police first responder and medical professionals that the victim wasn’t killed. This attack may look like the plot to a Hollywood blockbuster but the reality is something quite different. This was horrific criminality. The court heard how this was a clear and defined attempt to take a man’s life with those responsible making significant efforts to ensure this was successful.

    “This conviction follows a number of years of investigation, I would like to thank our criminal justice partners and the investigation team for their diligence and tenacity in the attempt to bring those responsible to justice. The message here to those engaging in serious and organised crime is one I want to make very clear – the Metropolitan Police will not tolerate serious violence and the use of firearms in our communities; we will leave no stone unturned in bringing you to justice.

    “Daniel Kelly, Louis and Stewart Ahearne will now undoubtedly face significant custodial sentences and I hope this time at His Majesty’s pleasure provides them the opportunity to reflect on their criminality and the impact it has on society.”

    = The three defendants were found guilty of conspiracy to murder and were remanded in custody ahead of sentencing at the Old Bailey on a date to be confirmed:

    Daniel Kelly – 46 (26.10.78) of no fixed address;
    Stewart Ahearne – 46 (21.08.78) of no fixed address;
    Louis Ahearne – 36 (02.12.88) of no fixed address.

    MIL Security OSI –

    March 25, 2025
  • MIL-OSI: BYDFi Officially Launches Nillion Token, Opening NIL/USDT Spot Trading

    Source: GlobeNewswire (MIL-OSI)

    SINGAPORE, March 24, 2025 (GLOBE NEWSWIRE) — Global crypto exchange BYDFi officially announces the launch of the Nillion token (NIL). Users will be able to trade the NIL/USDT spot pair, marking the first appearance of Nillion’s native token on the platform and accelerating the adoption of privacy-preserving computation across various industries.

    Nillion: Humanity’s first blind computer

    In today’s fast-evolving digital world, the risks of data breaches and personal information misuse are escalating. High-profile data scandals, such as the Cambridge Analytica incident, have exposed significant privacy vulnerabilities in modern society. As artificial intelligence (AI) technology becomes increasingly prevalent, safeguarding personal data privacy is now more critical than ever.

    Nillion addresses this challenge with innovative solutions. As humanity’s first “blind computer,” Nillion leverages privacy-enhancing technologies (PETs) such as Multi-Party Computation (MPC), Homomorphic Encryption, and Zero-Knowledge Proofs (ZKPs) to ensure that data remains private and secure throughout its transmission and processing. These groundbreaking technologies resolve the inherent conflict between privacy protection and efficiency in blockchain technology, enabling privacy-preserving applications across AI, DeFi, and data storage industries without exposing raw data.

    Strategic Partnerships and Innovative Applications of Nillion

    Nillion’s technology has already gained recognition from several leading industry projects, forming strategic partnerships with companies like Meta, Virtuals Protocol, and Ritual. These partnerships span key areas such as AI privacy computation, decentralized inference, and medical data governance. Nillion’s network has surpassed 500,000 validation nodes, showcasing its robust ecosystem growth.

    Nillion’s innovative technology has substantial potential in the following areas:

    • Privacy AI: Enabling compliant medical imaging analysis and financial fraud detection model training.
    • Web3 Finance: Providing an off-chain data privacy computation layer for decentralized finance (DeFi) protocols, ensuring privacy for transactions and data processing.
    • Enterprise Applications: Assisting enterprises in building secure, GDPR-compliant data collaboration networks, enhancing data governance.

    NIL Token: The Core Utility Token of Nillion’s Ecosystem

    As the core utility token of the Nillion network, $NIL is used to pay for computation services, data storage fees, transaction costs, and serves key roles in ecosystem governance, node incentives, and network resource consumption. $NIL has secured strategic investments from top-tier institutions such as Binance Labs and Hashkey Capital, providing a strong financial foundation for its growth.

    BYDFi Brings Rewarding Benefits and Easy Deposit Options

    As one of the first exchanges to list the NIL token, BYDFi is offering substantial rewards to new users, with the opportunity to claim up to 8100 USDT in bonuses. Additionally, BYDFi features a convenient “Buy Crypto” option, enabling users to quickly purchase Nillion (NIL) via credit cards, debit cards, Google Pay, Apple Pay, or by using their wallet balance for trading. BYDFi supports fiat deposits from over 150 countries and regions worldwide, making it easier for global users to participate in the NIL token trading.

    About BYDFi

    Founded in 2020, BYDFi is recognized as one of the top 10 best crypto exchanges globally by Forbes, trusted by over 1,000,000 users worldwide. Its upcoming product, “MoonX,” is a specialized memecoin trading tool designed for Degen traders. MoonX offers over 500,000 trading pairs, combined with smart trading tools, comprehensive market analysis, and advanced tech architecture to help users track smart money and target the next 1000x memecoin. BYDFi is committed to providing every user with a world-class crypto trading experience. BUIDL Your Dream Finance.

    • Official Website: https://www.bydfi.com
    • Customer Support: CS@bydfi.com
    • Business Inquiries: BD@bydfi.com
    • Media Inquiries: media@bydfi.com

    Twitter( X )| LinkedIn| Facebook | Telegram| YouTube

    The MIL Network –

    March 25, 2025
  • MIL-OSI Economics: Lossless audio and ultra-low latency audio come to AirPods Max

    Source: Apple

    Headline: Lossless audio and ultra-low latency audio come to AirPods Max

    March 24, 2025

    UPDATE

    Lossless audio and ultra‑low latency audio come to AirPods Max

    Next month, AirPods Max will become the only :br(m)::br(l)::br(xl):headphones that enable musicians to both create and :br(m)::br(l)::br(xl):mix in Personalized Spatial Audio with head tracking

    Next month, a new software update will bring lossless audio and ultra-low latency audio to AirPods Max, delivering the ultimate listening experience and even greater performance for music production. With the included USB-C cable, users can enjoy the highest-quality audio across music, movies, and games, while music creators can experience significant enhancements to songwriting, beat making, production, and mixing.

    Highest-Quality Audio

    With this update, AirPods Max will unlock 24-bit, 48 kHz lossless audio, preserving the integrity of original recordings and allowing listeners to experience music the way the artist created it in the studio. Lossless audio also extends to Personalized Spatial Audio to deliver a more sonically accurate, uncompressed, and immersive experience, and users can enjoy more than 100 million songs in lossless audio with Apple Music.

    Elevated Music Production

    Lossless audio and ultra-low latency audio enable music creators to fully utilize AirPods Max throughout their entire professional workflow on Logic Pro and other music creation apps. Using the USB-C cable, AirPods Max will become the only headphones that enable musicians to both create and mix in Personalized Spatial Audio with head tracking.1 By delivering lossless, high-resolution digital audio with low latency, artists can seamlessly record and mix with AirPods Max without compromising fidelity.

    Immersive Gameplay and Livestreaming

    Gamers and livestreamers can also benefit from ultra-low latency audio, which significantly lowers lag time, and is on par with the native built-in speakers on Mac, iPad, and iPhone. With no response delay, gameplay and livestreaming become reliably smooth and even more immersive for users.

    Pricing and Availability

    • Lossless audio and ultra-low latency audio will be available in April as a free firmware update with iOS 18.4, iPadOS 18.4, and macOS Sequoia 15.4 for AirPods Max with USB-C.
    • AirPods Max are currently available for $549 (U.S.) in five colors — midnight, starlight, blue, purple, and orange — from apple.com/store, in the Apple Store app, and through Apple Authorized Resellers.
    • USB-C to 3.5 mm audio cable will be available today for $39 (U.S.) from apple.com/store, in the Apple Store app, and through Apple Authorized Resellers. It can be used to connect AirPods Max to 3.5 mm audio sources, like the audio-out port on an airplane. Users can also connect their iOS or iPadOS device to 3.5 mm audio ports, like audio-in ports on car stereos or other speakers.
    1. AirPods Max users can create and mix in Personalized Spatial Audio when using Logic Pro for Mac. iPhone with TrueDepth camera is required to create a personal profile for Spatial Audio, which will sync across Apple devices running the latest operating system software, including iOS, iPadOS, macOS, and tvOS.

    Press Contacts

    Emily Ewing

    Apple

    e_ewing@apple.com

    Apple Media Helpline

    media.help@apple.com

    MIL OSI Economics –

    March 25, 2025
  • MIL-OSI Economics: India: Financial Sector Assessment Program, 2024

    Source: Reserve Bank of India

    The Financial Sector Assessment Program (FSAP), a joint program of the International Monetary Fund (IMF) and the World Bank (WB), undertakes a comprehensive and in-depth analysis of a country’s financial sector. Since September 2010 the exercise has become mandatory for jurisdictions with systemically important financial sectors. Currently, it is mandatory for 32 jurisdictions including India, every five years, and for another 15 jurisdictions every ten years. Last FSAP for India was conducted in 2017 and the Financial System Stability Assessment (FSSA) report was published by IMF on 21st December, 2017.

    2. IMF released the latest India-FSSA report on their websites on February 28, 2025, based on the assessment carried out during 2024, while WB’s Financial Sector Assessment (FSA) report is due for publication.

    3. India welcomes assessment of the Indian financial system undertaken by the joint IMF-World Bank team conforming to the highest international standards.

    4. IMF’s FSSA report highlights that India’s financial system has become more resilient and diverse since the last FSAP in 2017, driven by rapid economic growth. Financial Sector in India has shown recovery from various distress episodes of 2010s and withstood the pandemic well. In terms of evolution of financial sector landscape, Non-Banking Financial Intermediaries (NBFI) sector has become diverse but more interconnected. Banks and Non-Banking Financial Companies (NBFCs) have sufficient aggregate capital to support moderate lending even in severe macrofinancial scenarios.

    5. On regulation and supervision of NBFCs, IMF acknowledged India’s systematic approach for prudential requirements of NBFCs with scale based regulatory framework. IMF appreciated India’s approach on introduction of bank-like Liquidity Coverage Ratio (LCR) for large NBFCs. For supervision of banks, IMF suggested strengthening credit risk management through IFSR 9 adoption and upgrading supervision over individual loans, collateral valuation, connected borrower groups, large exposure limits, and related-party transactions.

    6. IMF acknowledges that the regulatory framework in securities markets has been enhanced in line with international practice to manage and prevent emerging risks. Notable improvements include establishing the Corporate Debt Market Development Fund (CDMDF), introducing swing pricing and liquidity requirements for bond mutual funds. The regulatory scope has also been expanded over emerging areas such as sustainability and investor protection measures for fast-growing equity derivatives products.

    7. IMF has stated that public digital infrastructures have significantly improved retail financial inclusion and recommended that financially underserved sectors’ access to credit can be enhanced by strengthening legal, tax, and informational infrastructures for asset-based and digital lending.

    8. The FSSA report acknowledges that India’s insurance sector is strong and growing, with a significant presence in both life and general insurance. The sector has remained stable, supported by better regulations and digital innovations. The report notes India’s progress in improving oversight, risk management and governance and suggests further steps toward riskbased solvency / supervision frameworks and stronger group supervision. It acknowledged transition plans towards risk-based approach in the insurance sector. This reflects India’s commitment to global best practices and a resilient insurance sector.

    9. IMF recommends that financial stability should be the primary objective of the macroprudential authorities.

    10. In terms of emerging risks, cybersecurity, climate change and system-wide contagion need attention. Financial stability risks from climate change appear manageable but warrant careful monitoring. The assessment suggested enhanced data coverage with better granularity for mapping climate-related financial risks.

    11. IMF also analysed cyber security framework in banking sector, Financial Market Infrastructure (FMI), Critical Information Systems, and other relevant players in securities market. IMF found that Indian authorities have advanced cybersecurity risk oversight, especially for banks. However, IMF stated that extensive cybersecurity crisis simulations and stress tests for banks could be expanded for cross-sectoral and market-wide events to further strengthen cybersecurity resilience.

    12. The recommendations in case of India FSAP are mainly focussed on bringing about further improvements in the structure and functioning of the financial system and many of the detailed recommendations are in conformity with the concerned authorities’/regulators’ own developmental plans. India remains committed to adoption of internationally accepted standards and best practices in a phased manner, attuned to domestic needs and economic conditions, wherever necessary.

    The FSSA released by IMF can be accessed at:

    (https://www.imf.org/en/Publications/CR/Issues/2025/02/28/India-Financial-Sector-Assessment-Program-Financial-System-Stability-Assessment-562815)

    (Puneet Pancholy)  
    Chief General Manager

    Press Release: 2024-2025/2449

    MIL OSI Economics –

    March 25, 2025
  • MIL-OSI Global: Nigerian journalists are harassed by the public, the state and paid ‘data boys’ – what must change

    Source: The Conversation – Africa – By Temple Uwalaka, Lecturer in Communication and Media Studies, University of Canberra

    Death threats, kidnapping, unlawful detention, torture and assassination are some of the crimes being committed against journalists in Nigeria, according to a recent report. Another recent report details how the police and politicians are responsible for 70% of these harassment cases.

    They point to the increased level of threats that Nigerian journalists endure in their fourth estate role, serving as the voice of the people and holding government to account.

    This isn’t new. The harassment of journalists is baked into Nigerian history. But today journalists are also attracting online threats and harassment from members of the public.

    I teach and research media and politics, with a focus on online journalism in Nigeria. What’s clear is that the digital age has brought with it a complex relationship not just between journalists and the state, but also with citizens.

    All these parties need to turn down the heat, in the interests of free and fair information, particularly in a young democracy like Nigeria.

    A long history of violence

    The history of Nigerian journalism is characterised by violence from British colonial powers, from 1859 when the first newspaper was established, and also from indigenous politicians. There’s always been a suspicion that a free press could empower ordinary citizens and cause a shift in the power base.

    This isn’t unfounded. Journalism contributed to ending colonialism. But, after independence in 1960, the political class feared that an unfettered press would be difficult to control. Particularly when the country came under oppressive military rule from 1966 to 1999.

    There was always a fair amount of goodwill towards the press from citizens. But the ownership and control of major media houses by prominent Nigerian politicians, alongside the rise of social media, has changed the picture.

    The public used to act as the buffer for journalists, defending them from the attacks of government officials. Now some Nigerians have joined in attacking and harassing journalists in Nigeria.

    Online harassment

    We know that journalists in Nigeria under-report the harassment they receive. Many don’t view acute forms of harassment – verbal abuse, online disrespect and maltreatment – as an issue. One of our studies found they regard this as mere online banter, verbal sparring and attention seeking. But dismissing harassment doesn’t make it go away or stop. It just makes it worse in frequency and form.




    Read more:
    Threats to press freedom are taking on different forms across Africa


    Our studies indicate that online harassment of journalists is prevalent and escalating. This type of harassment is usually sustained and it often moves from one social media platform to another.

    In some cases, it spills from online to offline. The burning of the Television Continental station in Lagos in 2020 is just one example. The harassment is usually personal. Threats to the lives and safety of journalists are becoming common.

    Data Boys and corruption

    Nigerian journalists have reported that the harassers particularly target investigative and political reports, as well as perceived unethical conduct by journalists.

    The result is that political reporting is becoming difficult. A critical report about a politician makes the journalist an enemy of the politician. The politician will then unleash their supporters and paid influencers (known as “Data Boys”) to harass and hassle the journalist.

    The Data Boys phenomenon as we know it today began during Nigeria’s 2015 general elections. Data Boys are groups of young people on a politician’s payroll. They help to promote the politician’s image online and generally do their bidding. The politician sends them money to buy internet data and shares promotional “news” about themself. The Data Boys are also paid to attack any perceived enemy of the politician.

    It’s an increasingly successful political tactic in Nigeria. As a result, journalists have started censoring themselves.

    Data Boys aside, we asked ordinary Nigerians who reported engaging in online harassment why they picked on journalists. They indicated that perceived journalistic malpractice was their main reason. They accused journalists of being part of the problem because they believed many were corrupt and in the pay of politicians. Adding fuel to the fire is that Nigerian politicians are also often media owners.

    Some solutions

    One of the reasons that a culture of harassment continues is the failure of law enforcement. Those who harass journalists are not made to account for their actions. Strengthening harassment laws in Nigeria would give law enforcement the tools needed to curb it.

    There are no explicit laws around online harassment in Nigeria, just sexual and physical assault laws. This has to change if journalists are to be protected. All respondents in our studies, both journalists and the public, highlighted the law as a cardinal factor to fight harassment.

    Another solution is that journalists need to be accountable, transparent and ethical. Journalists themselves have raised these concerns about their profession.

    Yet in our studies journalists did not highlight transparency or an improved code of conduct as ways to improve the harassment situation in Nigeria.




    Read more:
    Western media outlets are trying to fix their racist, stereotypical coverage of Africa. Is it time African media did the same?


    Their detachment can come off as arrogant and has the potential to worsen hostility towards them. All the suggested solutions to online harassment made by journalists in our studies were external to them, like media sensitisation campaigns, improved workplace security and proper punishment for offenders. Their attitudes, we found, could be misconstrued as lacking self-reflection or empathy.

    Journalists, their harassers and politicians will all need to make changes or be brought to book if the problem is to be solved. Until then, online harassment is harming journalism as a profession in Nigeria. And this has the potential to have a negative impact on democracy.

    Temple Uwalaka 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. Nigerian journalists are harassed by the public, the state and paid ‘data boys’ – what must change – https://theconversation.com/nigerian-journalists-are-harassed-by-the-public-the-state-and-paid-data-boys-what-must-change-252100

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: How political leaders communicate climate policy should be a defining factor this election

    Source: The Conversation – Canada – By Andrew Heffernan, Climate Associate at the Information Integrity Lab and Adjunct Professor in Political Studies, L’Université d’Ottawa/University of Ottawa

    Prime Minister Mark Carney has called an April 28 federal election, setting the stage for a campaign where climate policy could be a central issue.

    The current iteration of Canada’s consumer carbon rebate is dead — which many view as a casualty of effective communication — yet climate policy remains a pressing topic for voters and a major battleground for political leaders.




    Read more:
    The Canada Carbon Rebate is still widely misunderstood — here’s why


    As Canada grapples with intensifying climate-related challenges, the next government will not only need to implement evidence-based policies to meet international climate commitments, but also effectively communicate its vision to voters.

    The public remains concerned about environmental issues, yet many are worried that bold climate policies have damaged the economy. This tension between environmental responsibility and economic growth will shape how each party formulates and communicates their climate policies in the upcoming campaign.

    The Liberals: Navigating the middle ground

    For Carney and the Liberal Party, the challenge is twofold. First, the Liberals must present a new climate plan after the collapse of the consumer carbon rebate, which has faced widespread public opposition in recent years.

    While the new Liberal leader has already terminated the the carbon rebate, it still remains unclear what exactly his comprehensive climate plan will look like. Carney’s website states that his strategy will: “Provide incentives for consumers. Put more of the burden on big polluters. And help us build the strongest economy in the G7.”




    Read more:
    Big government, big trouble? Defending the future of Canada’s climate policy


    This suggests his climate policy will hinge more on positive incentives for consumers to invest in sustainable approaches rather than putting a cost on polluting.

    While the carbon rebate initially enjoyed broad support as a key tool for reducing emissions, it has become a lightning rod for political controversy.

    Climate change is no longer just an environmental issue; it’s increasingly seen as a matter of economic survival, with green energy jobs and clean technologies representing an opportunity for Canada to position itself as a global leader in the sector.

    Carney will have to make a convincing case that his policy will create jobs, stimulate innovation and provide a clear path toward a greener, more sustainable economy.

    Failing to do so could lead to the loss of centrist and moderate voters, some of whom are wary of the perceived economic risks of aggressive climate action.

    The Conservatives: Axing the rebate isn’t enough

    On the opposite end of the political spectrum, federal Conservative Leader Pierre Poilievre has made axing the carbon rebate a central part of his platform.

    Framing the carbon rebate as an economic penalty, Poilievre has played into populist sentiments by promising to “axe the tax” and relieve financial pressures on Canadian families and businesses.

    However, even if the Conservatives are successful in eliminating the carbon rebate, they still face the challenge of needing a comprehensive climate policy that lowers emissions and meets Canada’s Paris Agreement targets. Poilievre has said he would not withdraw Canada from the accord, but he hasn’t addressed how he would meet Canada’s commitments.

    Poilievre’s populist rhetoric may resonate with voters who feel economically squeezed, but it’s unlikely to be enough to win over voters concerned about the climate crisis — especially as he has voted against environmental and climate action in Parliament over 400 times in his career, a point his opponents will be sure to raise repeatedly.

    For the Conservatives, the real challenge will be how to present a climate policy that appeals to both economic conservatives, who prioritize fiscal responsibility, and environmental conservatives, who are concerned about the future of the planet.

    Poilievre will need to clearly articulate how his policies will preserve Canada’s environmental future without stifling economic growth or inflating costs for the average Canadian.

    NDP and Green Party

    A key piece of the future of climate policy in Canada will be the NDP and Green Party, who are generally considered left-of-centre parties alongside the governing Liberals.

    The NDP, which can siphon progressive votes away from the Liberals — which sometimes benefits Conservatives — have been clear as mud when it comes to their climate policy for the next election.

    NDP leader Jagmeet Singh rescinded his party’s long-standing support for the Liberal carbon rebate in April 2024, but has not yet said what his party would put in its place.

    Meanwhile, the Green Party, which has historically played a less significant role in electoral outcomes in terms of vote splitting, has generally maintained its support for the carbon rebate. Its website suggests the party supports the polluter-pays principle. However, the Greens have yet to take a clear stance on the shifting climate grounds on which this election could partially be fought.

    Political communication the key to success

    In the coming years, the future of climate policy in Canada will be less about crafting the perfect policy and more about crafting a message that addresses how people are feeling.

    The Liberal Party has been open about the demise of the carbon rebate being a combination of a lack of their own effective communication strategy, mixed with harmful disinformation campaigns that led to the demise of their signature climate policy.

    For the Liberals, Conservatives, NDP and Greens alike, the road to effective climate policy will lie in this communication. Political leaders will need to balance ambition and pragmatism, ensuring their policies align with Canadians’ economic interests.

    With 71 per cent of Canadians suggesting they want the next government to do more to address climate change, leaders who can articulate a vision for a sustainable, prosperous future while addressing the immediate concerns of Canadians will be the ones who have the best chance of winning the public’s trust — and the next election.

    Andrew Heffernan is affiliated with the Liberal Party of Canada.

    – ref. How political leaders communicate climate policy should be a defining factor this election – https://theconversation.com/how-political-leaders-communicate-climate-policy-should-be-a-defining-factor-this-election-251990

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: How to have conversations with people who fall for misinformation this election campaign

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

    Canadians head to the polls on April 28. Like other recent general elections, both in Canada and around the world, this federal election campaign is sure to be characterized by polarized misinformation.

    We all have someone in our families or social circles who has political opinions grounded in false or misleading information. Whether the source of that information is Russian bots on social media, high-profile podcasters or Fox News, it’s easy to dread election-time conversations as misinformation strains our most important relationships.

    But perhaps we can approach these conversations as an opportunity to push back against growing polarization in our communities.

    My research shows that polarization and misinformation often go hand in hand, and when they do, the information being spread is strongly resistant to being corrected by way of evidence.

    But when we truly begin to listen to the people who believe misinformation, we can often help counter false claims. So in this upcoming election, how can we push back against election misinformation when we hear it? Let’s examine some strategies.




    Read more:
    5 expert tips to protect yourself from online misinformation


    The role of anxiety

    Most people think that others who believe misinformation will change their minds if provided with the right evidence, but that’s simply not true.

    People have good reasons for not wanting to change their minds, even when confronted with contradictory facts. One of the key personality traits linked to the belief in misinformation turns out to be anxiety. This can manifest in ways that resist correction.

    For example, most of us feel anxious when we have to hold two conflicting beliefs at the same time. So if we already believe misinformation and are confronted with evidence to the contrary, we may reject the evidence to avoid the dissonance of managing both beliefs.

    Additionally, people might believe something because others in their social group believe it, meaning there is social anxiety associated with rejecting the group’s belief, even if it’s wrong.

    Finally, anxiety about the future can drive people to accept misinformation that helps to relieve those fears.

    Taken together, this means that correcting political misinformation, which involves all three of the above triggers — self, social and future anxiety — cannot be accomplished solely by providing evidence. We need to mitigate these anxieties while engaging in gentle correction since outright correcting can make the anxieties worse.

    The ‘AIMS’ method

    Motivational interviewing is a proven method of pushing back against another type of polarizing misinformation: health misinformation.

    One particular approach to motivational interviewing, known as the AIMS method, has been successfully tested in Canada for countering vaccine misinformation.

    AIMS stands for Announce, Inquire, Mirror and Secure. It provides a way to address misinformation while building the sort of connection and trust that people need to reduce the anxiety that is the trigger for believing misinformation in the first place.

    The first step, Announce, is where the topic is approached. In the medical world, this usually occurs when a doctor announces that it’s time for a vaccine, but in the world of political misinformation, the announcement doesn’t have to come from a professional.

    Instead, Announce can occur when the person you are talking to announces a piece of political misinformation, like the claim that the government is vaccinating people for the purposes of controlling the population. Announce is basically where the process of addressing misinformation begins.

    Inquire is the step where motivational interviewing really begins to differ from a conventional approach of simply providing evidence to back up a false claim. In this second step, it’s important to ask questions, and approach the misinformation with a sense of curiosity.

    Basically, as you probe more and more deeply, you’re trying to understand the anxieties that are driving the misinformation belief.

    As you ask questions, you begin to also engage in the third step, Mirror. Mirroring means checking in, and repeating what you’re hearing so that the person you are talking to recognizes they’re being heard. At this stage, you can begin to introduce pieces of evidence that disprove the claims being made, but only after you truly understand the person’s concerns and can reflect them back.

    It’s also important to manage how you introduce contradictory evidence. It must be done with compassion and a gentle but reassuring manner.

    Finally, when all the concerns have been addressed, you can begin the final step, which is to Secure trust. Here you can follow up on the announcement that sparked the discussion — the original piece of misinformation — and see if the person you’re talking to now feels differently than they did before.

    Importantly, you may not be successful at securing this step in just one conversation, but if you have conducted the other steps properly, you will have built important trust that, over time, is more likely to help you counter future misinformation with the person you’re talking to.

    Preserving relationships

    Combating any misinformation, and especially political misinformation, is not a quick or easy process. It may have to take place in repeated discussions over a long period of time.

    Political misinformation is particularly difficult to counter because political views are often tied deeply to people’s self-identity, and also because political misinformation is often shared within social groups.

    But if you engage in motivated interviewing this election season, you may make a small difference. At the very least, you will help to preserve relationships with friends and loved ones that are often frayed when political misinformation enters the picture.

    Jaigris Hodson is funded through the Social Sciences and Humanities Research Council of Canada’s Canada Research Chairs Program.

    – ref. How to have conversations with people who fall for misinformation this election campaign – https://theconversation.com/how-to-have-conversations-with-people-who-fall-for-misinformation-this-election-campaign-252667

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: Egg prices soar as outdated supply chains crack under pressure

    Source: The Conversation – USA – By Jack Buffington, Associate Professor of Practice in Supply Chain Management, University of Denver

    Experts predict that egg prices will keep climbing in 2025. Lindsey Nicholson/UCG/Universal Images Group via Getty Images

    There may be no kitchen table issue in America more critical than the price of food.

    So when the price of eggs rose over 40% from 2024 to 2025, it became a headline news story in Colorado and across the nation.

    Public officials and the media blamed high egg prices on bird flu outbreaks and said containing the outbreak in supply chains would lower prices. In early March 2025, egg prices fell in the U.S., but these trends are likely to reverse due to higher seasonal demand during Easter and Passover.

    Rising prices and market volatility have led to food costs climbing to 11.4% of American’s disposable income, the largest percentage since 1991.

    Arresting these rising costs, as I argue in my 2023 book, means reinventing supply chains to address the growing supply, demand and price volatility that has created uncertainty for consumers since the COVID-19 pandemic of 2020.

    I have described global supply chains, and supply chains in the U.S. in particular, as “efficiently broken.” By this I mean that they aspire to offer low prices from economies of scale but lack sufficient resiliency to create stability.

    Without addressing the systemic weaknesses in supply chains, I believe major health and economic disruptions will continue to happen in Colorado, nationally and around the world.

    Cage-free eggs

    Colorado faces a double whammy where egg prices are concerned.

    It’s one of nine states with a cage-free egg mandate, which requires all eggs sold in the state to come from cage-free facilities. The regulation has been shown to increase the price of eggs by as much as 50%.

    Over the past two decades, cage-free egg laws have been passed in states as consumers have grown more concerned with the welfare of farm animals. What that means varies from state to state because the term cage-free isn’t regulated by a federal agency. In Colorado, egg-laying hens must be housed in a cage-free system and must have a minimum of 1 square foot of usable floor space per hen.

    Colorado is the 28th largest egg producer in the U.S., far behind Midwestern states such as Iowa, Indiana and Ohio, but it has a few large producers such as Morning Fresh Farms, as well as smaller ones such as the Colorado Egg Producers Association, a collection of seven family-owned farms.

    Colorado’s cage-free egg law went into effect in January 2025 – around the same time that consumers noticed bare egg shelves at their supermarkets. Many consumers and some elected Republicans in Colorado blamed the cage-free law.

    Nevada is pulling back on its cage-free egg mandate to deal with the challenge of unaffordable egg prices.

    But cage-free laws are not the main driver of increasing egg prices, as I’ve noted in my research. Like many others, the egg supply chain needs to be reinvented to balance price, scale, resiliency and stability.

    Supply chain issues

    What is driving up the prices of eggs and other consumer goods is the concentration of producers. The COVID-19 pandemic revealed just how vulnerable prices and supply chains are.

    Five years ago this month, when the pandemic started, many products became unavailable and more expensive.

    In 2022, a major product recall of Similac led to a baby formula shortage in the U.S. The baby formula market is highly concentrated, with four companies responsible for approximately 90% of the domestic market. A large-scale facility that produced the baby formula was found to have unsanitary conditions and contaminated products. Pulling this one facility offline at the same time the nation was coping with pandemic-related supply chain issues led to the shortage.

    Supply chain issues led to a U.S. shortage of baby formula in 2022.
    Lindsey Nicholson/UCG/Universal Images Group via Getty Images

    Then at the beginning of 2024, supplies of insulin ran short due to production issues at Eli Lilly, one of the three companies responsible for over 90% of the U.S. insulin market.

    And in the second half of 2024, hospitals couldn’t get enough IV fluid due to damage caused by Hurricane Helene to a Baxter factory in North Carolina that manufactures approximately 60% of IV fluids in the U.S. This factory had been relocated to North Carolina from Puerto Rico due to the supply impact from Hurricane Maria that damaged the island in 2017.

    In all of these cases, the supply chain was easily interrupted due to a reliance on a few large producers. In 2025, bird flu and eggs are just another example of America’s “efficiently broken” supply chain.

    Bird flu and cost of eggs

    In the U.S., the top five egg producers are responsible for 40% of hens, with Mississippi-based Cal-Maine Foods alone responsible for 13% of total U.S. production.

    An average-sized production facility in the U.S. can house 75,000 to 500,000 hens. Large facilities can house over 4 million. The mass production of eggs from these facilities means eggs are, in stable times, cost effective for the American consumer. Prior to the COVID-19 pandemic, eggs in the U.S. never surpassed $3 a dozen, and it was an affordable food solution compared with processed foods.

    But this scale and efficiency comes at the price of resiliency during something like a bird flu outbreak. Larger farms create a higher risk of viral outbreak, which leads to the need for culling millions of birds and a heightened risk of viral replication and mutation.

    The solution may increase prices

    Policymakers want to reduce the spread of disease at American egg factories to mitigate the spread of bird flu. But these measures are expensive.

    Factory farms increase the potential for viruses to spread rapidly and even mutate. Therefore, bird flu is a more serious precursor of supply chain disruption than a hurricane or product recall because it has the potential to create a public health crisis.

    One solution to limit the spread of bird flu is to regulate the number of hens allowed in a single facility. This would lead to smaller and more farms across the U.S., but also higher consumer prices.

    This solution would mirror other countries such as Canada, where the average facility size is much smaller than in the U.S. and eggs and poultry cost significantly more. That’s why – under the terms of the United States-Mexico-Canada Agreement – Canada has quota and tariff protection from American companies flooding its market with eggs and poultry that would cost consumers two to three times less.

    Yet in March 2025, the price of eggs in Canada is 50% cheaper than eggs in the U.S. because the country has not suffered the same damages from bird flu.

    Following Canada’s lead wouldn’t result in egg prices as low as giant factory farms, but it would protect American consumers from the periodic price shocks caused by disease or localized weather events that disrupt supplies.

    Despite the threat of a public health crisis, American consumers don’t want to pay more for eggs – and their leaders have promised they won’t have to.

    Read more of our stories about Colorado.

    Jack Buffington 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. Egg prices soar as outdated supply chains crack under pressure – https://theconversation.com/egg-prices-soar-as-outdated-supply-chains-crack-under-pressure-251425

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: Who gets to brand Puerto Rico: Its tourism agency or its biggest star?

    Source: The Conversation – USA – By Carlos A. Suárez Carrasquillo, Associate Instructional Professor in Political Science, Center for Latin American Studies, University of Florida

    The Puerto Rican rapper Bad Bunny is one of the biggest stars of the music world. After becoming Spotify’s most-streamed artist for three years in a row – the first and only artist ever to do so – he sold out all 49 dates of his 2024 U.S. tour, netting US$211 million.

    Earlier this year, after Bad Bunny co-hosted “The Tonight Show with Jimmy Fallon” and announced a 21-show residency in Puerto Rico, the recently reelected mayor of San Juan, Miguel Romero, quipped that the artist had done a better job of promoting Puerto Rico than the island’s official destination marketing organization.

    That agency, Discover Puerto Rico, was founded in 2017 to market the island to both tourists and investors. Established during the administration of Gov. Ricardo Rosselló, it was part of a broader effort to professionalize Puerto Rico’s place branding and underscored the importance of tourism to the island’s economy.

    As a scholar of Puerto Rican politics and place branding – and a native Puerto Rican – I think this case study raises interesting public policy questions: Who gets to brand Puerto Rico? Why does it matter if a place has a brand anyway? And if political leaders are dissatisfied with an agency whose sole purpose is to market the island, what comes next?

    It’s not just a place – it’s a brand

    Historically, place-branding campaigns have been led by governments seeking to attract tourism and investment. One of the most iconic examples was the “I Love New York” campaign, launched in 1977 as a collaboration between New York City and private partners. Similar public-private models became more common in the decades that followed.

    Puerto Rico has seen various branding efforts over the years. Early boosterism efforts emerged during the first half of the 20th century, and in 1970, the Puerto Rico Tourism Company was created to promote the island as a
    tourist destination. By the 1990s, many Puerto Rican municipalities had begun adopting different place branding strategies.

    During Puerto Rico’s deepening fiscal crisis in the 2010s, branding efforts remained a bipartisan priority. But the two dominant political parties – the pro-territory Partido Popular Democrático, and the pro-statehood Partido Nuevo Progresista – each rebranded the island every time a new administration took office, raising concerns about consistency. The last major government-led initiative before Discover Puerto Rico was the “Isla Estrella” campaign, which included a sponsorship deal with Spain’s Sevilla FC soccer team.

    The ‘Discover Puerto Rico’ era

    In 2017, Discover Puerto Rico took control over the island’s place-branding efforts. However, its performance has been polarizing, with critics pointing to significant blunders. For example, an early ad in its “Live Boricua” campaign sparked backlash for featuring a family that didn’t look like most Puerto Ricans.

    Beyond its marketing blunders, Discover Puerto Rico has struggled to navigate Puerto Rico’s politically charged place-branding landscape. In fact, it has been contested from the start, and remains so, as recently elected Gov. Jennifer González evaluates its future. It remains unclear to what extent efficiency and economic development will serve as the main criteria for evaluating its success, and to what extent party politics will influence the decision-making process.

    Just a day before Mayor Romero made his remark about Bad Bunny, Discover Puerto Rico’s CEO, Brad Dean, resigned, taking a similar role in St. Louis. Dean has argued that during his tenure, Discover Puerto Rico has driven significant increases in tourism and tourism spending. While these self-reported figures suggest success, they don’t address a critical issue – the long-standing political controversy surrounding Puerto Rico’s branding.

    Pop culture carries the weight

    At the same time the future of Discover Puerto Rico remains uncertain, the island has gained unparalleled international attention thanks to popular music.

    Reggaetón, an urban genre that originated in Puerto Rico in the 1990s, has amassed a massive global fan base, extending beyond Puerto Rico and Latin America to the rest of the world. In 2017, Daddy Yankee and Luis Fonsi’s video for the worldwide hit “Despacito” turned La Perla, a working-class barrio in Old San Juan, into a magnet for tourists from all over the world.

    “Despacito” prompted a surge of visits to La Perla, as the French news agency AFP noted.

    More recently, in January 2025, Bad Bunny released his latest album, “Debí Tirar Más Fotos,” which taps into traditional Puerto Rican music genres such as bomba, plena and música jíbara that aren’t usually associated with reggaetón. It charted at No. 1. Bad Bunny also announced a Puerto Rico-exclusive concert series, with some dates reserved for locals and others open to fans worldwide.

    The success of Puerto Rican reggaetón artists raises an important question: Why have these organic cultural movements been so effective – perhaps even more so than the official expert-driven place-marketing agency – in promoting Puerto Rico as a brand?

    I think the answer probably lies in authenticity. Unlike government-led initiatives, reggaetón’s global appeal stems from its cultural resonance and emotional connection with audiences worldwide, regardless of politics.

    At this critical juncture for the island’s tourism agency, perhaps Discover Puerto Rico should rebrand itself as “Discover the Birthplace of Reggaetón.”

    Carlos A. Suárez Carrasquillo 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. Who gets to brand Puerto Rico: Its tourism agency or its biggest star? – https://theconversation.com/who-gets-to-brand-puerto-rico-its-tourism-agency-or-its-biggest-star-248825

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: National monuments have grown and shrunk under US presidents for over a century thanks to one law: The Antiquities Act

    Source: The Conversation – USA – By Monica Hubbard, Associate Professor of Public Policy and Administration, Boise State University

    Over 730,000 people visit Colorado National Monument each year. It was established in 1911 under the Antiquities Act. Gordon Leggett, CC BY-SA

    America’s public lands, from its majestic national parks to its vast national forests, are at the heart of the country’s identity.

    They cover more than a quarter of the nation and large parts of the West. Some are crisscrossed by hiking trails and used by hunters and fishermen. Ranchers graze cattle on others. In many areas, the government earns money through oil, gas, timber and mining leases.

    These federally managed public lands have long enjoyed broad bipartisan support, as have moves to turn them into protected national parks and monuments. Research consistently shows that a majority of Americans want their congressional representatives to protect public access to these lands for recreation. One avenue for protection is the creation of national monuments.

    But the status of national monuments can change.

    Presidents have expanded and contracted national monuments, as the U.S. saw with Bears Ears National Monument in Utah over the course of the past three presidencies. The rules for the use and maintenance of various public lands can also change, and that can affect surrounding communities and their economies.

    The U.S. is likely to see changes to public lands again under the second Trump administration. One of the new administration’s early orders was for the Department of Interior to review all national monuments for potential oil and gas drilling and mining. At least two national monuments that President Joe Biden created in California are among the new administration’s targets.

    The avenue for many of these changes is rooted in one century-old law.

    The power and vagary of the Antiquities Act

    The Antiquities Act of 1906, signed into law by President Theodore Roosevelt, gave Congress or the president the authority to establish national monuments on federal land as a means of protecting areas for ecological, cultural, historical or scientific purposes.

    From Theodore Roosevelt on, 18 of the 21 presidents have used the Antiquities Act to create, expand or contract national monuments through a presidential proclamation.

    By using the Antiquities Act to create, expand or reduce national monuments, presidents can avoid an environmental impact statement, normally required under the National Environmental Policy Act, which also allows for public input. Supporters argue that forgoing the environmental impact statement helps expedite monument creation and expansion. Critics say bypassing the review means potential impacts of the monument designations can be overlooked.

    The Antiquities Act also offers no clarity on whether a president can reduce the amount of area protected by prior presidents. The act simply states that a president designates “the smallest area compatible with the proper care and management of the objects to be protected.” This has led to the shifting of national monument boundaries based on the priorities of each administration.

    The Citadel Ruins are the remains of Anasazi cliff dwellings at Bears Ears National Monument in Utah.
    Bob Wick/Bureau of Land Management via Wikimedia Commons

    An example is Bears Ears, an area of Utah that is considered significant to several tribes but also has uranium, gas and oil resources. In 2016, President Barack Obama designated Bears Ears a national monument. In 2017, President Donald Trump signed a proclamation reducing Bears Ears by 80% of its total designated size. The monument’s size and scope shifted a third time when President Joe Biden reestablished Bears Ears to the boundaries designated by Obama.

    In the span of just over five years, the monument was created, reduced, then restored to the original monument designation.

    The uncertainty about the long-term reliability of a designation makes it challenging for federal agencies to manage the land or assure Indigenous communities that the government will protect cultural, historical and ecological heritage.

    Public lands can be economic engines

    National parks and monuments can help fuel local economies.

    A 2017 study by Headwaters Economics, a nonprofit research group, found that Western rural counties with more public land have had greater economic growth, including in jobs and personal income, than those with little public land. National monuments can also benefit neighboring counties by increasing population, income and employment opportunities.

    Even small national monuments provide economic benefits for their surrounding communities. Visitors to Fort Stanwix National Monument in Rome, N.Y., spent $5.3 million in nearby communities in 2023, according to a National Park Service report.
    National Park Service via Wikimedia Commons

    While many counties adjacent to public lands may be dependent on natural resource extraction, the establishment of a national monument can open up new opportunities by expanding tourism and recreation. For example, four national parks and monuments in southeastern Utah, including Natural Bridges, drew about 2.4 million visitors who spent nearly US$400 million in surrounding communities.

    However, when there is uncertainty over whether public lands will remain protected, communities may be hesitant to invest in that future, not knowing whether it will soon change.

    What Congress and the courts could do

    There are a few ways to increase the certainty around the future of national monuments.

    First, lawsuits could push the courts to determine whether the president has the authority to reduce national monuments. Since the Antiquities Act doesn’t directly address presidential authority to reduce monument size, that’s an open question.

    Advocacy groups sued the government over Trump’s authority to shrink Bears Ears National Monument, but their cases were put on hold after Biden expanded the monument again. The U.S. Supreme Court declined to hear other cases in 2024 that argued that a president’s authority to declare and expand national monuments should be far more limited under the law.

    Second, Congress could permanently protect designated national monuments through legislation. That would require presidential approval, and the process would likely be slow and cumbersome. Creating White Clouds Wilderness in Idaho, for example, took decades and a public campaign to have it designated a national monument before Congress approved its wilderness designation.

    Third, Congress could take new steps to protect public lands. For example, a bipartisan bill titled Public Lands in Public Hands Act could block privatization of public lands and increase and maintain access for recreation. One of the bill’s lead sponsors is U.S. Rep. Ryan Zinke, a Republican from Montana who served as Interior secretary during the first Trump administration. Whether the bill will pass and gain the president’s approval remains to be seen.

    Public lands have widespread support

    The Antiquities Act has led to the creation of 163 terrestrial and marine monuments and subsequently the protection of land and waters that hold cultural, scientific or historic significance.

    These monuments tend to have broad support. During the first Trump administration, there were over 650,000 public comments on Trump’s review of national monument creation. An analysis found that 98% of the comments expressed broad support for both the creation and expansion of national monuments.

    Gold Butte National Monument covers nearly 300,000 acres of remote and rugged desert landscape in southeastern Nevada and is popular with hikers.
    Bureau of Land Management

    Public lands are more than just physical places. They are spaces where our ideals and values around public land unify us as Americans. They are quintessentially American – and in many ways define and shape the American identity.

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

    – ref. National monuments have grown and shrunk under US presidents for over a century thanks to one law: The Antiquities Act – https://theconversation.com/national-monuments-have-grown-and-shrunk-under-us-presidents-for-over-a-century-thanks-to-one-law-the-antiquities-act-252707

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: How Japanese anime draws on religious traditions to explore themes of destiny, sacrifice and the struggle between desire and duty

    Source: The Conversation – USA – By Ronald S. Green, Professor and Chair of the Department of Philosophy and Religious Studies, Coastal Carolina University

    Kyojuro Rengoku, also known as the Flame Hashira, is a central character in the ‘Demon Slayer’ series. Deviant Art, CC BY-ND

    I have spent years studying and teaching Japanese anime, exploring how its narratives intertwine with cultural, philosophical and religious traditions. One of the most compelling aspects of Japanese anime is its ability to merge thrilling action with deep spiritual and ethical questions.

    “Demon Slayer: Mugen Train,” which shattered Japanese box-office records for earnings and ended up as 2020’s highest-grossing film in the world, is a prime example of how anime engages with these profound themes. With “Demon Slayer” continuing its global success, it is an opportune time to examine how it intertwines Buddhist, Shinto and samurai traditions into a narrative of heroism, impermanence and moral struggle.

    Spiritual themes in anime

    Anime often explores spiritual and philosophical questions by drawing on Japan’s religious traditions to examine themes of fate, self-sacrifice and the struggle between desire and duty.

    Hayao Miyazaki’s “Princess Mononoke,” for example, follows Prince Ashitaka, who is cursed by a demon and must journey to find a cure. His quest leads him into a conflict between the industrialized Irontown, which seeks to expand by clearing forests, and the spirits of the natural world, including the Deer God, a divine being that governs life and death.

    The film reflects Shinto principles by portraying nature as sacred and inhabited by “kami,” or spiritual beings. It emphasizes harmony between humans and the environment and the consequences of disrupting this balance.

    Scholar Melissa Croteau, in her book “Transcendence and Spirituality in Japanese Cinema,” notes how Miyazaki’s films use nature spirits to critique modernity’s detachment from the sacredness of the environment.

    A still from ‘Spirited Away’ in which 10-year-old Chihiro must learn to navigate an unseen world.
    GoodFon.com, CC BY-NC

    Similarly, his 2001 animated film “Spirited Away” reflects animist ideas in Japanese culture, where spirits are believed to inhabit natural elements and even everyday objects. Set in a mysterious Japanese bathhouse filled with “kami,” 10-year-old Chihiro, once shy and afraid of change, learns to navigate this hidden world and transforms along the way.

    A key moment in the film is the arrival of a polluted river spirit, which appears as a filthy, sludge-covered creature but is revealed to be a once-pristine river god, burdened by human waste. This scene embodies the animist belief that natural entities have their own spirit and must be respected. It also reinforces an environmental message: When nature is polluted or mistreated, it loses its vitality, but with care and reverence it can be restored.

    “Neon Genesis Evangelion,” a landmark Japanese anime television series that aired from 1995 to 1996, engages with deep philosophical ideas, particularly existentialist questions of identity and purpose. Set in a postapocalyptic world, the series follows 14-year-old Shinji Ikari, who is recruited to pilot a giant biomechanical weapon called an evangelion to defend humanity against mysterious beings known as Angels.

    As Shinji and his fellow pilots struggle with their roles, the series explores themes of isolation, self-worth and the challenges of forming close, meaningful relationships. It draws from both Buddhist and Gnostic thought, which emphasize a focus on inner spiritual knowledge and the belief that clinging too tightly to the material world causes suffering. Evangelion portrays suffering as arising from attachment and the inability to form meaningful relationships.

    Rengoku: The embodiment of selfless heroism

    What sets “Mugen Train” apart is its focus on the internal conflicts of its characters, symbolized by their battles with demons. These demons represent human suffering and attachment, themes deeply influenced by Buddhist thought. At the heart of the film is Kyojuro Rengoku, a demon slayer who embodies unwavering selflessness and honor.

    Rengoku’s flame-breathing forms.

    Rengoku’s fire-based fighting style is deeply symbolic. In Japanese culture, fire represents both destruction and renewal. The Kurama Fire Festival, held annually on Oct. 22 in Kyoto, is a Shinto ritual where large torches are carried through the streets to ward off evil and purify the land.

    Similarly, Buddhist goma fire ceremonies involve priests burning wooden sticks in sacred flames to symbolize the eradication of ignorance and desire. Rengoku’s own techniques reflect this duality: His flames cleanse the world of evil while signifying his unwavering spirit.

    Goma fire ritual.

    Bushido, the samurai code of honor, underpins Rengoku’s character. Rooted in Confucian ethics, Zen Buddhism and Shinto beliefs, this code emphasizes loyalty, self-sacrifice and duty to protect others. His mother’s teaching – “The strong must protect the weak” – guides his every action, reflecting the Confucian value of filial piety and the moral obligation to serve society.

    Bushido’s connection to Zen Buddhism, with its focus on discipline and acceptance of impermanence, further shapes Rengoku’s unwavering resolve, while its Shinto influences reinforce his role as a guardian upholding a sacred duty.

    Even approaching death, Rengoku remains steadfast, accepting impermanence, or “mujō,” a fundamental Buddhist principle that sees beauty in life’s transience. His sacrifice teaches that true strength lies in selflessness and moral integrity.

    Akaza: A manifestation of attachment and suffering

    Opposing Rengoku is Akaza, a demon who embodies the destructive consequences of clinging to power and immortality. Once human, Akaza became a demon in his obsession with strength, unable to accept the impermanence of life.

    His refusal to acknowledge death aligns with Buddhist teachings that suffering arises from attachment and desire. Scholars such as Jacqueline Stone have explored how Buddhist texts portray clinging to existence as a fundamental source of suffering, a theme vividly reflected in Akaza’s character.

    Visual elements reinforce Akaza’s symbolism. His body is covered in tattoos reminiscent of “irezumi,” traditional Japanese body art historically associated with crime and hardship. In Edo-period Japan, tattoos were often used to mark criminals, branding them as outcasts from society. Even today, irezumi remains stigmatized in many parts of Japan, with some public bathhouses, gyms and swimming pools barring individuals with visible tattoos due to their historical association with the yakuza. In contemporary anime, tattooed characters frequently symbolize a troubled past or inner turmoil, reinforcing Akaza’s role as a figure trapped by his own suffering and destructive path.

    Akaza’s irezumi visually conveys his entrapment in cycles of suffering, reinforcing his contrast with Rengoku’s liberating flames.

    A battle about human struggles

    The battle between Rengoku and Akaza is more than a fight between good and evil; it is a clash between two worldviews – selflessness versus egoism, acceptance versus attachment. “Mugen Train” taps into universal human struggles, making its themes resonate far beyond Japan.

    The film’s exploration of impermanence, moral duty and the pursuit of meaning contributes to anime’s broader legacy as a medium that entertains while provoking deep philosophical reflection.

    As “Demon Slayer” continues to captivate audiences worldwide, evidenced by social media buzz around its new projects and the ongoing enthusiasm of fans, its success underscores anime’s ability to blend action with profound themes.

    Whether through Rengoku’s selfless courage or Akaza’s tragic downfall, “Mugen Train” offers a timeless meditation on what it means to live with purpose and integrity.

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

    – ref. How Japanese anime draws on religious traditions to explore themes of destiny, sacrifice and the struggle between desire and duty – https://theconversation.com/how-japanese-anime-draws-on-religious-traditions-to-explore-themes-of-destiny-sacrifice-and-the-struggle-between-desire-and-duty-246960

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: Poor neighborhoods, health care barriers are factors for heart disease risk in Black mothers

    Source: The Conversation – USA – By Curisa M. Tucker, Assistant Professor of Nursing Science, University of South Carolina

    The study examined more than 7 million births that occurred over 22 years. supersizer/E+ via Getty Images

    Living in a disadvantaged neighborhood contributes to a rare form of heart failure known as peripartum cardiomyopathy, a potentially deadly disease that disproportionately affects Black mothers.

    That’s the key finding of my recent study, published in February 2025 in the Journal of the American Heart Association.

    Peripartum cardiomyopathy can occur in pregnant or postpartum mothers during late pregnancy up to five months after birth. The disease is difficult to identify and is often misdiagnosed. Multiple studies estimate that 7% to 20% of U.S. mothers who have it don’t survive.

    As a nurse scientist with a research focus on maternal health equity, I wanted to learn more about the factors that cause peripartum cardiomyopathy.

    My team and I examined more than 7.3 million birth records in California between 1997 and 2019. By using the neighborhood deprivation index, which measures socioeconomic disadvantage in a geographic area, we linked hospital discharge and vital records information up to 12 months postpartum follow-up on each woman. From that data, we developed a more complete picture on why women developed the illness.

    We found that living in poor neighborhoods with fewer resources was associated with a 20% to 70% increased risk of developing this disease. Those in the most under-resourced neighborhoods – areas with less access to nutritious food, stable housing and quality health care – had the highest risk. This was true even after accounting for other factors, like income, race, high blood pressure and obesity.

    But living in highly stressed neighborhoods explained only part of the reason for the higher rates of peripartum cardiomyopathy in Black women. We found that even if they lived in better neighborhoods, Black women were still more than three times as likely to develop the condition than others.

    Why it matters

    Our findings suggest deeper issues are contributing to the increase in the disease, particularly in Black women.

    Barriers to health care are critical. These include insurance gaps,
    transportation issues, the biases of doctors and other providers and inadequate access to care.

    A better understanding of these factors can help policymakers develop effective interventions for all women at risk and reallocate resources – and dollars – to prevent disparities in maternal health outcomes.

    Pregnancy itself causes increased stress on the heart.

    What still isn’t known

    Our study only points to neighborhood disinvestment and chronic high blood pressure as contributors to the risk of peripartum cardiomyopathy. Unanswered questions remain about the other causes.

    More research is needed to fully understand how social determinants of health, which are the environmental conditions where people are born, live, work and play, affect health outcomes.

    For example, these communities are often food deserts – places with limited access to healthy food and larger supermarkets. Overcrowded or poor-quality housing also contribute to stress and health problems. So does the lack of safe space for physical activity.

    What’s next

    My future work will focus on further identifying the key factors that influence peripartum cardiomyopathy risk, such as economic stability and the effects of environmental stressors, like pollution.

    I’ll also track the long-term health of peripartum cardiomyopathy survivors to understand how social factors affect recovery. My ultimate goal is to inform policies and practices that reduce disparities and improve maternal heart health for all.

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

    NIH provided funding to support this work.

    – ref. Poor neighborhoods, health care barriers are factors for heart disease risk in Black mothers – https://theconversation.com/poor-neighborhoods-health-care-barriers-are-factors-for-heart-disease-risk-in-black-mothers-250591

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: Ukraine will need major rebuilding when war ends − here’s why the US isn’t likely to invest in its recovery with a new Marshall Plan

    Source: The Conversation – USA – By Frank A. Blazich Jr., Curator of Military History, National Museum of American History, Smithsonian Institution

    Europe after World War II? No, it’s the Ukrainian city of Bakhmut in 2023, after a year of Russian bombardment. AP Photo, File

    President Donald Trump wants Ukraine to repay the United States for helping to defend the country against Russia’s invasion.

    Since 2022, Congress has provided about US$174 billion to Ukraine and neighboring countries to assist its war effort. Trump inflated this figure to $350 billion in a March 2025 White House meeting with French President Emmanuel Macron. Separately, he has suggested Ukraine could reimburse the U.S. by giving America access to its minerals.

    Ukraine is rich in titanium, graphite, manganese and other rare earth metals used to produce electric vehicle batteries and other tech devices.

    Mining and refining these critical mineral resources would require major investment in infrastructure and economic development, including in parts of Ukraine severely damaged by fighting. Some analysts are calling for a return to the European Recovery Program, commonly known as the Marshall Plan.

    The Marshall Plan used $13.3 billion in U.S. funds – roughly $171 billion in today’s dollars – to rebuild war-torn Western Europe from 1948 to late 1951. It is often evoked as a solution for reconstruction following global crises. Yet as a military historian and curator, I find that the Marshall Plan is not well understood.

    For the U.S., the economic gains of the Marshall Plan did not come from European countries’ repaying loans or allowing the U.S. to extract their raw materials. Rather, the U.S. has benefited enormously from a half-century of goodwill, democratic stability and economic success in Europe.

    European nations turn inward

    After World War II ended in 1945, Western Europe faced a staggering burden of destruction and upheaval.

    Allied bombardment of major industrial areas and German cities such as Berlin, Hamburg and Cologne had created massive housing shortages. Meanwhile, fighting through agricultural areas and a critical manpower shortage had curtailed food production. What harvest there was could not get to hungry civilians because so many of Europe’s roads, bridges and ports had been destroyed.

    The United Kingdom, Italy, France, Germany and other European governments were buried in debt after so many years of war. They could not afford to rebuild on their own. Yet rather than cooperating on their mutual economic reconstruction, European nations looked inward, focusing primarily on their own political challenges.

    The continent was politically and militarily divided, too. Europe’s western half was influenced by the democratic, capitalistic forces led by the U.S. Eastern Europe was beholden to the communist, command-economy forces of the Soviet Union.

    In a 1946 speech at Westminster College in Fulton, Missouri, former British Prime Minister Winston Churchill articulated Europe’s growing postwar divide. Over the ruins of proud nations, he said, “an iron curtain” had “descended across the continent.”

    US looks abroad

    Unlike Europe, the U.S. emerged from World War II as the wealthiest nation in the world, with its territory intact and unharmed. Its steel and oil industries were booming. By 1947, the U.S. was the clear successor to Great Britain as the world’s superpower.

    But President Harry Truman feared the ambitions of the war’s other great victor – the Soviet Union. In March 1947, he announced a new doctrine to contain communist expansion southward across Europe by giving $400 million in military and economic aid to Greece and Turkey.

    Around the same time, U.S. Secretary of State George Marshall met with Soviet officials to plan Germany’s future. Following the Nazis’ surrender in May 1945, Germany had been divided into four occupied zones administered by U.S., British, French and Soviet forces.

    Each nation had its own goals for its section of Germany. The U.S. wanted to revitalize Germany politically and economically, believing that a moribund Germany would thwart the economic reconstruction of all of Europe.

    Marshall hoped that the Soviets would cooperate, but Soviet ruler Josef Stalin preferred extracting reparations from a prostrate Germany to investing in its recovery. A vibrant German economic engine, the Soviets felt, could just as easily rearm to attack the Russian countryside for the third time that century.

    The Truman administration chose to unilaterally rebuild the three western Allied sectors of Germany – and Western Europe.

    Marshall outlined his plan at a commencement address at Harvard University in June 1947. American action to restore global economic health, he said, would provide the foundation for political stability and peace in Europe. And an economically healthy Western Europe, in turn, would inhibit the spread of communism by plainly demonstrating the benefits of capitalism.

    “Our policy is not directed against any country,” Marshall said, “but against hunger, poverty, desperation and chaos.”

    Marshall’s plan

    Marshall invited all European nations to participate in drafting a plan to first address the immediate humanitarian aid of Europe’s people, then rebuild its infrastructure. The U.S. would pay for it all.

    For nearly bankrupt European nations, it was a lifeline.

    In September 1947, the new Committee for European Economic Co-operation, composed of 16 Western – but not Eastern – European nations, delivered its proposal to Washington.

    It would take a masterful legislative strategy for the Democratic Truman administration to persuade the Republican-led Congress to pass this $13 billion bill. It succeeded thanks to the dedicated effort of Republican Sen. Arthur Vandenberg, who convinced his isolationist colleagues that the Marshall Plan would halt the expansion of communism and benefit American economic growth.

    In April 1948, Truman signed the Economic Cooperation Act. By year’s end, over $2 billion had reached Europe, and its industrial production had finally surpassed prewar levels seen in 1939.

    NATO is born

    Along with economic stability, the Truman administration recognized that Europe needed military security to defend against communist encroachment by the Soviet Union.

    In July 1949, 12 European countries, the U.S. and Canada established the North Atlantic Treaty Organization. NATO committed each member country to the mutual defense of fellow NATO members.

    Since 1947, NATO has steadily expanded eastward to include Poland, Hungary, the Czech Republic and other former Soviet satellite states directly bordering Russia.

    Ukraine, which declared its independence from the Soviet Union in 1991, is not yet a NATO member. But it desperately wants to be.

    Ukraine applied for NATO membership in 2022 after Russia’s invasion. Its application is pending. Russian President Vladimir Putin has said any peace deal with Ukraine must bar NATO membership.

    Would a Marshall Plan work for Ukraine?

    Modern-day Ukraine mirrors the Western European countries of the Marshall Plan era in meaningful ways.

    It suffers from the physical devastation of war, with its major cities heavily damaged. The threat of military attack from hostile neighbors remains urgent. And it has a functional, democratic government that would – in peacetime – be capable of receiving and distributing aid to develop the nation’s economic growth and stability.

    U.S. global leadership, however, has changed dramatically since 1948.

    Outright American taxpayer financing of Ukraine’s reconstruction seems impossible. Any plan to reconstruct the country after war will likely require public funding from multiple nations and substantial private investment. That private investment could well include mineral extraction and refinement ventures.

    Ultimately, Ukraine’s recovery will most likely involve Ukraine and neighboring nations reaching agreement to restore its economic and military security. The European Union, which Ukraine also seeks to join, has the bureaucratic and economic resources necessary to reconstruct Ukraine, restore peace and ease tensions on the continent.

    Any future Marshall Plan for Ukraine will probably be European.

    Frank A. Blazich Jr. 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. Ukraine will need major rebuilding when war ends − here’s why the US isn’t likely to invest in its recovery with a new Marshall Plan – https://theconversation.com/ukraine-will-need-major-rebuilding-when-war-ends-heres-why-the-us-isnt-likely-to-invest-in-its-recovery-with-a-new-marshall-plan-251872

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: How many types of insects are there in the world?

    Source: The Conversation – USA – By Nicholas Green, Assistant Professor of Biology, Kennesaw State University

    This is a close-up photo of an ordinary garden fly. Amith Nag Photography/Moment via Getty Images

    Curious Kids is a series for children of all ages. If you have a question you’d like an expert to answer, send it to CuriousKidsUS@theconversation.com.


    How many types of insects are there in the world? – Sawyer, age 8, Fuquay-Varina, North Carolina


    Exploring anywhere on Earth, look closely and you’ll find insects. Check your backyard and you may see ants, beetles, crickets, wasps, mosquitoes and more. There are more kinds of insects than there are mammals, birds and plants combined. This fact has fascinated scientists for centuries.

    One of the things biologists like me do is classify all living things into categories. Insects belong to a phylum called Arthropoda – animals with hard exoskeletons and jointed feet.

    All insects are arthropods, but not all arthropods are insects. For instance, spiders, lobsters and millipedes are arthropods, but they’re not insects.

    Instead, insects are a subgroup within Arthropoda, a class called “Insecta,” that is characterized by six legs, two antennae and three body segments – head, abdomen and the thorax, which is the part of the body between the head and abdomen.

    The mandibles of the ants are its jaws; the petiole is the ant’s waist.
    Vector Mine/iStock via Getty Images Plus

    Most insects also have wings, although a few, like fleas, don’t. All have compound eyes, which means insects see very differently from the way people see. Instead of one lens per eye, they have many: a fly has 5,000 lenses; a dragonfly has 30,000. These types of eyes, though not great for clarity, are excellent at detecting movement.

    What is a species?

    All insects descend from a common ancestor that lived about about 480 million years ago. For context, that’s about 100 million years before any of our vertebrate ancestors – animals with a backbone – ever walked on land.

    A species is the most basic unit that biologists use to classify living things. When people use words like “ant” or “fly” or “butterfly” they are referring not to species, but to categories that may contain hundreds, thousands or tens of thousands of species. For example, about 18,000 species of butterfly exist – think monarch, zebra swallowtail or cabbage white.

    Basically, species are a group that can interbreed with each other, but not with other groups. One obvious example: bees can’t interbreed with ants.

    But brown-belted bumblebees and red-belted bumblebees can’t interbreed either, so they are different species of bumblebee.

    Each species has a unique scientific name – like Bombus griseocollis for the brown-belted bumblebee – so scientists can be sure which species they’re talking about.

    This is what a dragonfly looks like up close.
    Dieter Meyrl/E+ via Getty Images

    Quadrillions of ants

    Counting the exact number of insect species is probably impossible. Every year, some species go extinct, while some evolve anew. Even if we could magically freeze time and survey the entire Earth all at once, experts would disagree on the distinctiveness or identity of some species. So instead of counting, researchers use statistical analysis to make an estimate.

    One scientist did just that. He published his answer in a 2018 research paper. His calculations showed there are approximately 5.5 million insect species, with the correct number almost certainly between 2.6 and 7.2 million.

    Beetles alone account for almost one-third of the number, about 1.5 million species. By comparison, there are “only” an estimated 22,000 species of ants. This and other studies have also estimated about 3,500 species of mosquitoes, 120,000 species of flies and 30,000 species of grasshoppers and crickets.

    The estimate of 5.5 million species of insects is interesting. What’s even more remarkable is that because scientists have found only about 1 million species, that means more than 4.5 million species are still waiting for someone to discover them. In other words, over 80% of the Earth’s insect biodiversity is still unknown.

    Add up the total population and biomass of the insects, and the numbers are even more staggering. The 22,000 species of ants comprise about 20,000,000,000,000,000 individuals – that’s 20 quadrillion ants. And if a typical ant weighs about 0.0001 ounces (3 milligrams) – or one ten-thousandth of an ounce – that means all the ants on Earth together weigh more than 132 billion pounds (about 60 billion kilograms).

    That’s the equivalent of about 7 million school buses, 600 aircraft carriers or about 20% of the weight of all humans on Earth combined.

    For every person on Earth, it’s estimated there are 200 million insects.

    Many insect species are going extinct

    All of this has potentially huge implications for our own human species. Insects affect us in countless ways. People depend on them for crop pollination, industrial products and medicine. Other insects can harm us by transmitting disease or eating our crops.

    Most insects have little to no direct impact on people, but they are integral parts of their ecosystems. This is why entomologists – bug scientists – say we should leave insects alone as much as possible. Most of them are harmless to people, and they are critical to the environment.

    It is sobering to note that although millions of undiscovered insect species may be out there, many will go extinct before people have a chance to discover them. Largely due to human activity, a significant proportion of Earth’s biodiversity – including insects – may ultimately be forever lost.


    Hello, curious kids! Do you have a question you’d like an expert to answer? Ask an adult to send your question to CuriousKidsUS@theconversation.com. Please tell us your name, age and the city where you live.

    And since curiosity has no age limit – adults, let us know what you’re wondering, too. We won’t be able to answer every question, but we will do our best.

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

    – ref. How many types of insects are there in the world? – https://theconversation.com/how-many-types-of-insects-are-there-in-the-world-247333

    MIL OSI – Global Reports –

    March 25, 2025
  • MIL-OSI Global: Genomic sequencing reveals previously unknown genes that make microbes resistant to drugs and hard to kill

    Source: The Conversation – USA – By Nneka Vivian Iduu, Graduate Research Assistant in Pathobiology, Auburn University

    In the 20th century, when a routine infection was treated with a standard antibiotic, recovery was expected. But over time, the microbes responsible for these infections have evolved to evade the very drugs designed to eliminate them.

    Each year, there are more than 2.8 million antibiotic-resistant infections in the United States, leading to over 35,000 deaths and US$4.6 billion in health care costs. As antibiotics become less effective, antimicrobial resistance poses an increasing threat to public health.

    Antimicrobial resistance began to emerge as a serious threat in the 1940s with the rise of penicillin resistance. By the 1990s, it had escalated into a global concern. Decades later, critical questions still remain: How does antimicrobial resistance emerge, and how can scientists track the hidden changes leading to it? Why does resistance in some microbes remain undetected until an outbreak occurs? Filling these knowledge gaps is crucial to preventing future outbreaks, improving treatment outcomes and saving lives.

    Antimicrobial resistance can be deadly.

    Over the years, my work as a microbiologist and biomedical scientist has focused on investigating the genetics of infectious microbes. My colleagues and I identified a resistance gene previously undetected in the U.S. using genetic and computational methods that can help improve how scientists detect and track antimicrobial resistance.

    Challenges of detecting resistance

    Antimicrobial resistance is a natural process where microbes constantly evolve as a defense mechanism, acquiring genetic changes that enhance their survival.

    Unfortunately, human activities can speed up this process. The overuse and misuse of antibiotics in health care, farming and the environment push bacteria to genetically change in ways that allow them to survive the drugs meant to kill them.

    Early detection of antimicrobial resistance is crucial for effective treatment. Surveillance typically begins with a laboratory sample obtained from patients with suspected infections, which is then analyzed to identify potential antimicrobial resistance. Traditionally, this has been done using culture-based methods that involve exposing microbes to antibiotics in the lab and observing whether they survived to determine whether they were becoming resistant. Along with helping authorities and researchers monitor the spread of antimicrobial resistance, hospitals use this approach to decide on treatment plans.

    However, culture-based approaches have some limitations. Resistant infections often go unnoticed until antibiotics fail, making both detection and intervention processes slow. Additionally, new resistance genes may escape detection altogether.

    Genomics of antimicrobial resistance

    To overcome these challenges, researchers have integrated genomic sequencing into antimicrobial resistance surveillance. Through whole-genome sequencing, we can analyze all the DNA in a microbial sample to get a comprehensive view of all the genes present – including those responsible for resistance. With the computational tools of bioinformatics, researchers can efficiently process vast amounts of genetic data to improve the detection of resistance threats.

    Despite its advantages, integrating genomic sequencing into antimicrobial resistance monitoring presents some challenges of its own. High costs, quality assurance and a shortage of trained bioinformaticians make implementation difficult. Additionally, the complexity of interpreting genomic data may limit its use in clinical and public health decision-making.

    Bioinformatics allows researchers to analyze large biological datasets.
    hh5800/iStock via Getty Images Plus

    Establishing international standards could help make whole-genome sequencing and bioinformatics a fully reliable tool for resistance surveillance. The World Health Organization recommends laboratories follow strict quality control measures to ensure accurate and comparable results. This includes using reliable, user-friendly computational tools and shared microbial databases. Additional strategies include investing in training programs and fostering collaborations between hospitals, research labs and universities.

    Discovering a resistance gene

    Combining whole genome sequencing and bioinformatics, my colleagues and I analyzed Salmonella samples collected from several animal species between 1982 and 1999. We discovered a Salmonella resistance gene called blaSCO-1 that has evaded detection in U.S. livestock for decades.

    The blaSCO-1 gene confers resistance to microbes against several critical antibiotics, including ampicillin, amoxicillin-clavulanic acid and, to some extent, cephalosporins and carbapenems. These medications are crucial for treating infections in both humans and animals.

    Salmonella Typhimurium invading a cell.
    NIAID/Flickr, CC BY-SA

    The blaSCO-1 gene likely remained unreported because routine surveillance usually targets well-known resistance genes and it has overlapping functions with other genes. Gaps in bioinformatics expertise may have also hindered its identification.

    The failure to detect genes like blaSCO-1 raises concern about its potential role in past treatment failures. Between 2015 and 2018, the Centers for Disease Control and Prevention began implementing whole-genome sequencing for routine surveillance of Salmonella. Studies conducted during this period found that 77% of multistate outbreaks were linked to livestock harboring resistant Salmonella.

    These missed genes have significant implications for both food safety and public health. Undetected antimicrobial resistance genes can spread through food animals, contaminated food products, processing environments and agricultural runoff, allowing resistant bacteria to persist and reach humans. These resistant bacteria lead to infections that are harder to treat and increase the risk of outbreaks. Moreover, the global movement of people, livestock and goods means that these resistant strains can easily cross borders, turning local outbreaks into worldwide health threats.

    Identifying new resistance genes not only fills a critical knowledge gap, but it also demonstrates how genomic and computational approaches can help detect hidden resistance mechanisms before they pose widespread threats.

    Strengthening surveillance

    As antimicrobial resistance continues to rise, adopting a One Health approach that integrates human, animal and environmental factors can help ensure that emerging resistance does not outpace humans’ ability to combat it.

    Initiatives like the Quadripartite AMR Multi-Partner Trust Fund provide support for programs that strengthen global collaborative surveillance, promote responsible antimicrobial use and drive the development of sustainable alternatives. Ensuring researchers around the world follow common research standards will allow more labs – especially those in low- and middle-income countries – to contribute to global surveillance efforts.

    The health of future generations depends on the world’s ability to ensure food safety and protect public health on a global scale. In the ongoing battle between microbial evolution and human innovation, vigilance and adaptability are key to staying ahead.

    This research was supported by the USDA Agricultural Research Service Program, the FDA and the HHS.

    – ref. Genomic sequencing reveals previously unknown genes that make microbes resistant to drugs and hard to kill – https://theconversation.com/genomic-sequencing-reveals-previously-unknown-genes-that-make-microbes-resistant-to-drugs-and-hard-to-kill-250148

    MIL OSI – Global Reports –

    March 25, 2025
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