Category: Transport

  • MIL-OSI China: China’s aircraft carrier formations return after completing far-sea training 2025-07-01 08:51:30 China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday.

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

    This photo shows a fighter jet taking off from an aircraft carrier. China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday. (Photo by Wang Yuanlin/Xinhua)

    BEIJING, June 30 (Xinhua) — China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday.

    The training was conducted in a well-coordinated and systematic manner as the two naval formations advanced into the Western Pacific, collaborated with relevant military forces, and completed a variety of exercises under combat conditions, such as those related to reconnaissance and early warning, counterstrike, maritime assault, air defense, and the day-and-night tactical flight of carrier-based aircraft.

    The training has yielded a series of research achievements for relevant military subjects and significantly boosted the systemic combat capabilities of China’s aircraft carrier formations, following previous dual-carrier drills conducted jointly by the two naval formations last year.

    During the training, certain foreign warships and aircraft repeatedly conducted up-close reconnaissance maneuvers, tracking, and surveillance. The Chinese naval formations maintained high vigilance and responsiveness to combat scenarios, organized multiple flights of carrier-based aircraft, and handled the situation professionally and soundly.

    According to the Chinese navy, as a routine arrangement per its annual plan, the training has effectively tested the joint training results of relevant forces and enhanced their capability to safeguard the country’s sovereignty, security and development interests. 

    This photo shows a fighter jet taking off from an aircraft carrier. China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday. (Photo by Wang Jian/Xinhua)

    This photo shows the formation conducting replenishment-at-sea. China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday. (Photo by Wang Jian/Xinhua)

    This photo shows Yan’an missile destroyer. China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday. (Photo by Wang Jian/Xinhua)

    This photo shows fighter jets on Chinese aircraft carrier Shandong. China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday. (Photo by Wang Jian/Xinhua)

    This photo shows fighter jets preparing to take off from an aircraft carrier. China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday. (Photo by Hu Xiushuai/Xinhua)

    This photo shows a fighter jet taking off from an aircraft carrier. China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday. (Photo by Wang Yuanlin/Xinhua)

    This photo shows fighter jets on Chinese aircraft carrier Shandong. China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday. (Photo by Hu Xiushuai/Xinhua)

    This photo shows a fighter jet preparing to take off from an aircraft carrier. China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday. (Photo by Hu Xiushuai/Xinhua)

    This photo shows Yuncheng missile frigate. China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday. (Photo by Wang Jian/Xinhua)

    This photo shows a fighter jet landing on an aircraft carrier. China’s naval formations of two aircraft carriers, Liaoning and Shandong, have completed their far-sea combat-oriented training and safely returned to their home ports, according to the Chinese navy on Monday. (Photo by Wang Yuanlin/Xinhua)

    MIL OSI China News

  • MIL-OSI China: Xi stresses advancing full, rigorous Party self-governance through forging good conduct

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

    Xi stresses advancing full, rigorous Party self-governance through forging good conduct

    BEIJING, June 30 — Xi Jinping, general secretary of the Communist Party of China (CPC) Central Committee, on Monday underscored efforts to advance full, rigorous Party self-governance through forging good conduct.

    Xi made the remarks while presiding over a group study session of the Political Bureau of the CPC Central Committee.

    The study session was held a day before the founding anniversary of the CPC.

    On behalf of the CPC Central Committee, Xi conveyed festive greetings to all Party members across the country as he spoke after listening to briefings and participating in discussions, which focused on implementing the Party central authorities’ eight-point rules on improving conduct.

    Xi noted that the eight-point rules are the Party’s landmark measure in the new era to exercise self-governance.

    He said since the 18th CPC National Congress in 2012, the CPC Central Committee has upheld strict rules and strong constraints, focused on rectifying undesirable work styles — unnecessary formalities, bureaucracy, hedonism and extravagance — through education campaigns and a series of rectification actions.

    These efforts have improved the overall effectiveness of Party governance and gathered tremendous positive energy for the development of the Party and the country’s cause, Xi said.

    Xi emphasized that advancing Chinese modernization is a formidable task, and the Party faces an exceptionally complex governance environment, making it all the more necessary to maintain a heightened sense of self-reform.

    Leading officials, especially senior cadres, must take the lead in practicing self-reform, Xi added.

    He stressed that advancing self-reform requires strengthening Party spirit, with a focus on firming up ideals and convictions.

    On anti-corruption, Xi said the exercise of power must be well-regulated and resolute efforts must be taken to address disciplinary and legal violations.

    Party conduct and discipline must be turned from strict requirements into concrete actions, allowing ironclad rules to show their “iron teeth,” thus sending a clear signal to the entire Party of unwavering strictness and zero tolerance, creating a strong deterrent effect, Xi said.

    He called on leading officials at all levels to shoulder the responsibility for Party self-governance and urged Party organizations at all levels, in carrying out the education campaign focused on implementing the eight-point rules, to face problems head-on, ensure that rectifications are thoroughly carried out, resolutely curb various unhealthy tendencies, and improve mechanisms to maintain sound Party conduct on a long-term basis.

    MIL OSI China News

  • MIL-OSI China: China rolls out 10 percent tax credit for foreign investors reinvesting dividends

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

    China rolls out 10 percent tax credit for foreign investors reinvesting dividends

    BEIJING, June 30 — China’s finance, taxation, and commerce authorities on Monday unveiled a tax incentive granting foreign investors a 10 percent corporate income tax credit on direct domestic investments funded by dividends from Chinese resident companies.

    The measure, which takes effect from Jan. 1, 2025 through Dec. 31, 2028, allows unused credits to be carried forward and applies lower rates under existing tax treaties.

    Eligible investors may reinvest dividends in equity capital increases, new resident enterprise establishments, or acquisitions of resident enterprise shares from non-affiliated parties. The industries or sectors in which the invested enterprise operates must be listed in the Catalogue of Encouraged Industries for Foreign Investment.

    Investors can apply retroactively for qualifying reinvestments made between Jan. 1, 2025, and the policy’s announcement date.

    MIL OSI China News

  • MIL-OSI China: China’s Xinjiang unveils 6 new scenic highway routes to boost tourism

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

    URUMQI, June 30 — Northwest China’s Xinjiang Uygur Autonomous Region has unveiled six new scenic highways, investing 10.7 billion yuan (about 1.5 billion U.S. dollars) to develop 965 km of tourism-focused roads.

    The routes connect diverse landscapes, from snow-capped mountains and grasslands to forests, lakes, deserts and oases, and aim to enhance the region’s “fast entry, slow travel” transportation network and enrich self-driving tourism experiences, according to the regional transport department.

    The newly constructed highways are designed to bridge key attractions across Xinjiang’s vast terrain, where destinations are often widely dispersed, the department said.

    Xinjiang has intensified efforts to build a multidimensional travel network in recent years. Alongside the highways, the region has expanded aviation routes, launched specialty railway circuits like the Taklimakan Desert Loop, and developed iconic tourist roads.

    MIL OSI China News

  • MIL-OSI China: Trump’s One Big Beautiful Bill reveals divisions in Washington

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

    This photo taken on Jan. 19, 2023 shows the U.S. Capitol building in Washington, D.C., the United States. [Photo/Xinhua]

    A marathon vote was underway Monday over U.S. President Donald Trump’s massive One Big Beautiful Bill, which highlights bitter partisan divisions in Washington.

    Trump said the bill will deliver the largest tax cut for working- and middle-class Americans in history and will “unleash our economy.”

    The bill contains a slew of tax cuts for businesses and families and will “turbo-charge our economy and bring back the American dream,” Trump said in a speech promoting the legislation.

    However, Democrats are vehemently opposed to the mega-bill, which, if passed, will fund Trump’s agenda and stand in stark contrast to what Democrats want for the country.

    Democrats blast Trump’s tax cuts as benefiting the wealthy, although Republicans maintain the cuts will help the middle class.

    The bill has angered Democrats for what that party says are cuts to essential programs such as Medicaid — health care coverage for low-income people — as well as food stamps.

    Democrats and a couple of Republicans also fret the bill will add trillions of U.S. dollars to the surging national debt.

    Christopher Galdieri, a political science professor at Saint Anselm College in the northeastern state of New Hampshire, told Xinhua the legislation is “essentially a mega-bill combining most of Trump’s legislative ambitions into one package — tax cuts, spending cuts, massively increasing the budget for ICE, and more.”

    The bill could provide additional funds for the U.S. Immigration and Customs Enforcement (ICE) to boost the number of agents and to provide pay bonuses.

    ICE is in large part carrying out Trump’s mass deportation of millions of people who entered the United States illegally during the previous administration. But Democrats blast the deportations as heavy-handed, inhumane and unconstitutional.

    Republicans argue that those funds for ICE are needed to reverse the damage they said Democrats did to the United States during the previous administration.

    The GOP accuses Democrats of purposely opening the floodgates to millions of immigrants to illegally enter the United States, in what the GOP labeled an “invasion” and a result of Democrats’ “radical left” agenda during the previous administration.

    The White House also argues that among those who have illegally entered are many criminals and gang members.

    Democratic Senate Minority Leader Chuck Schumer on Saturday criticized the bill, accusing Republicans of trying to dupe the American people and saying “most people hate this bill.”

    Some Republicans have also criticized the bill.

    GOP Senator Josh Hawley has raised concerns about cuts to Medicaid, saying the reductions are “morally wrong and politically suicidal.”

    But on Saturday, Hawley changed his tune and announced he would back the bill.

    Republican Senator Rand Paul blasted the bill for what he said was adding to the debt, labeling it “much more of a spending bill than a bill that rectifies the debt problem.”

    Paul has specifically lambasted the bill for what he said was adding to the national deficit by around 2.4 trillion U.S. dollars over a decade.

    GOP Senator Thom Tillis criticized the bill on Saturday, saying: “It is inescapable this bill will betray the promise that Donald Trump made.”

    The senator denounced proposed cuts to Medicaid and lambasted the “amateurs” advising Trump, who he said have “no insight into how these… Tax cuts are going to be absorbed without harming people on Medicare.”

    Clay Ramsay, a researcher at the Center for International and Security Studies at the University of Maryland, told Xinhua: “The core of the partisan divisions is that Medicaid recipients, which are a quite significant portion of each legislator’s constituents, are going to either suffer cutoffs or will have to spend a lot of time and energy to avoid that happening.”

    Republicans argue that the bill’s tax cuts will stimulate the economy.

    Dean Baker, a senior economist at the Center for Economic and Policy Research, told Xinhua: “There will be little net effect. The biggest effect is likely to be contractionary from the (tariffs).”

    MIL OSI China News

  • MIL-OSI China: China extends anti-dumping duties on stainless steel imports from EU, UK, ROK and Indonesia: commerce ministry

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

    China’s Ministry of Commerce announced Monday that it would extend anti-dumping duties aimed at stainless steel billets and hot-rolled stainless steel plates and coils imported from the European Union (EU), the United Kingdom (UK), the Republic of Korea (ROK) and Indonesia for another five years, starting Tuesday.

    This decision follows an expiry review of anti-dumping measures aimed at the products initiated in July 2024 at the request of China’s domestic industry.

    If these anti-dumping measures were terminated, the dumping of stainless steel billets and hot-rolled stainless steel plates and coils imported from the EU, UK, ROK and Indonesia could continue or recur, potentially causing ongoing or renewed harm to China’s domestic industry, the ministry said.

    Under the extended measures, anti-dumping duties on the imported products were set at a range of 23.1 percent to 103.1 percent for the ROK, 43 percent for the EU and the UK, and 20.2 percent for Indonesia.

    Stainless steel billets and hot-rolled stainless steel plates and coils are widely used in industries such as ships, containers, railways, electric power, petroleum and petrochemicals. 

    MIL OSI China News

  • MIL-OSI China: Hong Kong boasts largest IPO market worldwide in H1

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

    Photo taken on July 31, 2021 shows the statues on the square of Hong Kong Exchanges and Clearing Limited (HKEX) in south China’s Hong Kong. [Photo/Xinhua]

    Hong Kong has beaten all the other capital markets in the world to raise over 105 billion Hong Kong dollars (13.38 billion U.S. dollars) through initial public offerings (IPOs) in the first half of 2025, as capital inflows into the city continues amid global market jitters.

    The Hong Kong Exchanges and Clearing Limited (HKEX) data showed that 42 companies were listed in the first six months, up 40 percent from the same period last year. Total funds raised stood at the highest since 2021, crushing the 87.6 billion Hong Kong dollars annual total in 2024.

    The HKEX claimed top spot worldwide in terms of total IPO proceeds in the first half of this year, well ahead of Nasdaq’s 71.3 billion Hong Kong dollars, a Deloitte report showed.

    Industry insiders say Hong Kong’s securities market became a global investors’ go-to platform to add Chinese assets to their portfolios.

    Capital inflow into Hong Kong has risen from 366 billion U.S. dollars at the beginning of last year to 605 billion dollars in April, the highest since 2000, data from Hang Seng Bank showed.

    Many global investors first look to Hong Kong to diversify risks, and, impressed by the economic vitality of the Chinese mainland and Hong Kong, chose to increase their holdings, said Paul Chan, financial secretary of the Hong Kong Special Administrative Region (HKSAR) government.

    Pro-growth policy efforts from the central government and the HKSAR’s measures to streamline listing procedures have worked together to lift Hong Kong’s stock market, said HKEX Chairman Carlson Tong.

    Among this year’s new IPOs, crowd favorites are those of tech firms in artificial intelligence, 5G and smart vehicles, as well as new consumption companies, which cultivate and profit on consumer behaviors with the help of new technologies. Both are signatures of China’s economic upgrades.

    Chinese electric vehicle (EV) battery maker Contemporary Amperex Technology (CATL) raised over 40 billion Hong Kong dollars in May, drawing investments from Europe, the Middle East and the United States. It is the largest IPO in Hong Kong in recent years and a shoo-in for the largest worldwide this year.

    As flag bearers of new consumption trends, bubble tea makers like Mixue Bingcheng and Auntea Jenny marked memorable H1 IPOs, while Chinese fast food chain Home Original Chicken and snack brand Three Squirrels are waiting in line.

    The avid investor turnout to these new consumption IPOs is a token of faith in the resilience of China’s domestic demand, as these companies have developed tried and tested business models to meet the needs of younger consumers, analysts say.

    Hong Kong’s IPO market is expected to maintain steam in the second half. Edward Au, southern region managing partner of Deloitte China, said there are currently more than 170 applications in progress and estimated that a total of 80 IPOs will raise around 200 billion Hong Kong dollars this year.

    As dependence on U.S. dollar-denominated assets wanes, global investors are increasingly seeking to diversify their portfolios, said Tong, adding that the HKEX is working with counterparts in the Middle East and Southeast Asia to widen access to funding for tech firms worldwide. 

    MIL OSI China News

  • MIL-OSI China: Global investors double down on Chinese assets

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

    China’s resilient economy, robust growth potential and improving corporate profitability are fueling more optimism and renewed interest in Chinese assets among foreign investors.

    Driven by China’s advancements in technology and rising confidence in its policy support to stabilize economic growth in the second half of the year, global investors are ramping up their exposure to Chinese equities and bonds.

    Major foreign financial institutions, including United States asset manager Franklin Templeton, investment bank Goldman Sachs and Swiss bank UBS have stepped up their allocations or expressed optimism about Chinese equities, citing favorable valuations, a peak in China-US trade tensions and optimism regarding China’s artificial intelligence-led transformation.

    Market watchers and economists said that a combination of proactive fiscal measures, targeted industrial policies and accelerating technological innovation is reinforcing China’s appeal as a destination for global capital.

    According to data released on Monday by the National Bureau of Statistics, China’s factory activity gauge improved marginally in June, as the official purchasing managers index for the manufacturing sector came in at 49.7 in June, up from 49.5 in May. Notably, the PMIs for equipment manufacturing, high-tech manufacturing and the consumer products sector came in at 51.4, 50.9 and 50.4, respectively, remaining in expansion territory for two straight months.

    “The story of China now is about growth,” said Fang Dongming, head of China Global Markets at UBS.

    Foreign investors will be attracted as long as companies promise growth and profit, whether it is in technology, healthcare, new energy or new types of consumption, Fang said.

    Multibillion-dollar US fund manager Franklin Templeton has started edging back into Chinese stocks for the first time in years, with a group of its funds managing around $2 billion buying into Chinese stocks in recent weeks, Zehrid Osmani, head of the company’s Global Long-Term Unconstrained team, told Reuters recently.

    The company believes that trade tensions with the US have peaked, and that China is expected to further support its technology giants, according to Osmani.

    Economists believe that China is well-positioned to achieve its annual growth target of around 5 percent, backed by proactive fiscal policy and moderately accommodative monetary policy.

    Zhang Xiaoyan, associate dean at Tsinghua University’s PBC School of Finance, said that China’s top leadership may sharpen its focus on ensuring domestic economic stability and maintaining stable relationships with its trading partners, which would further boost the confidence of domestic and foreign investors in the Chinese economy.

    Liu Qiao, dean of Peking University’s Guanghua School of Management, said that new policy tools in the second half might include fiscal transfers or cash subsidies for low-income groups, and supportive policies to address pressure on enterprises, especially listed companies, which would improve corporate cash flow and strengthen investment appetite.

    Driven by this favorable policy environment and long-term opportunities in sectors like technology, new energy and advanced manufacturing, global asset managers are reassessing their China allocations.

    The return of global capital is reflected in broader data. According to Goldman Sachs, global active funds have increased their China equity allocations from 5 percent in late September to 6.4 percent by late April. The investment bank maintains an “increase” stance for Chinese stocks, citing improving corporate profitability, foreign capital inflows and long-term value in yuan-denominated assets.

    Fu Si, China portfolio strategist at Goldman Sachs, has forecast that the CSI 300 Index — tracking 300 heavyweight stocks in Shanghai and Shenzhen — could reach 4,600 points, about 10 percent above current levels. Similarly, the MSCI China Index, widely tracked by global investors, is expected to rise another 10 percent in the coming months, supported by its current price-to-earnings ratio of just 11.5.

    Goldman Sachs also identified artificial intelligence as a key growth driver. It estimated that AI proliferation could lift the overall profitability of Chinese stocks by 2.5 percent annually over the next decade. China’s AI breakthroughs may attract $200 billion in fresh capital into its equity market, potentially driving stock prices up 15 to 20 percent.

    Zhang Di, chief macro analyst at China Galaxy Securities, highlighted that new policy-based financial instruments are likely to be introduced soon to support economic growth.

    “That will help support the growth of infrastructure and real estate in the second half of the year. And the focus will also be placed on supporting technological innovation, consumer-related infrastructure, and key sectors such as trade-in deals for consumer goods,” he said.

    According to Nomura Orient International Securities, Chinese equities could outperform global peers in the second half of 2025. Factors include expectations of more supportive policy, improving domestic liquidity, and rising global interest in Asia-Pacific markets amid a weaker US dollar.

    Market performance so far reflects rising confidence. The Shanghai Composite Index has gained about 5.6 percent so far this year, while the CSI 300 is up over 3 percent. Meanwhile, the Hang Seng Index in Hong Kong has surged over 23 percent this year, second only to South Korea’s KOSPI, which saw a 28 percent increase.

    MIL OSI China News

  • MIL-OSI New Zealand: First ever national list of medical devices now live

    Source: PHARMAC

    Media release Hospital devices

    New Zealand’s first ever nationwide list of medical devices, effective from today, will support better patient care and enable long term investments in medical devices, Pharmac’s Director Medical Devices Catherine Epps says.

    Pharmac has been building a list of all medical devices currently used in public hospitals as it works to improve the way medical devices are managed in New Zealand.

    Medical Devices help people get the best health care possible. They are things like bandages, gloves, hospital beds, pacemakers, hip implants, and even advanced equipment like MRI and X-ray machines.

    “Medical Devices are so important to the health and wellbeing of New Zealanders. Nearly everyone who receives health care in New Zealand will interact with a medical device,” says Epps.

    Pharmac’s Comprehensive List of Medical Devices, effective from 1 July, brings greater transparency to what’s used and funded in public hospitals. This will support consistent access, reduce duplication, and improve equity across the country.

    This list represents medical devices covered by Pharmac’s contracts with suppliers, and medical devices used by hospitals that aren’t covered by Pharmac contracts.

    “For the first time in New Zealand’s history, we have a nationwide list of medical devices used by public hospitals,” Epps says.

    Epps says having a comprehensive list of medical devices will support better patient care.

    “When hospitals have the right medical devices at the right time they can deliver better health care, which can result in shorter stays in hospital and better health outcomes for patients,” Epps says.

    This list will also support hospitals to better plan and invest to meet the needs of the communities they serve. It will also improve transparency by showing what devices are used or funded in public hospitals.

    “Having a complete list of what is used will allow the health system to make more strategic, long-term investments in medical devices.”

    Pharmac consulted on the comprehensive list from 11 February, until 31 March 2025.

    “We asked suppliers and public hospitals to help us finalise a national list of medical devices currently used by Health New Zealand hospitals,” Epps says.

    Pharmac staff carefully reviewed all feedback received during the consultation process.

    As a result of this consultation process, over 26,000 medical devices used in public hospitals have been added to the comprehensive list.

    “This represents a historic milestone for the management of medical devices in New Zealand,” Epps says.

    “Ultimately, this comprehensive list lays the foundation for a single national list from which public hospitals will select their medical devices, ensuring the best possible health outcomes for New Zealanders.”

    MIL OSI New Zealand News

  • MIL-OSI New Zealand: Police investigating after baby critically injured, Foxton Beach

    Source: New Zealand Police

    To be attributed to Detective Senior Sergeant Michael Deegan, Central District Investigation Manager:

    Police are investigating after a 6-month-old baby was found with critical injuries at a Foxton Beach house on Sunday 29 June.

    Emergency services were called to the Seabury Avenue house at around 5.30am that day.

    The baby was initially transported to Palmerston North Hospital before being airlifted to Starship Hospital, where he remains in a critical condition.

    Police are working to establish how the baby boy came to be injured. This includes a scene examination at the Foxton Beach house, where a scene guard is currently in place.

    Seabury Avenue residents can expect to see a continued police presence in the coming days, as we conduct the scene examination and speak to neighbours as part of our enquiries.

    ENDS

    Issued by Police Media Centre. 

    MIL OSI New Zealand News

  • MIL-OSI Security: Rapid City Man Acquitted on Firearm Charge

    Source: United States Bureau of Alcohol Tobacco Firearms and Explosives (ATF)

    RAPID CITY – United States Attorney Alison J. Ramsdell announced that a Rapid City, South Dakota, man was acquitted of Possession of a Firearm by a Prohibited Person following a federal jury trial in Rapid City, South Dakota, on June 25, 2025.

    Randy Tail, a/k/a Randy Tayle, a/k/a Randy Sierra, age 44, was indicted by a federal grand jury in April 2025.

    The charge relates to Tail being in the passenger seat of a car pulled over for a traffic stop in Rapid City, South Dakota. Law enforcement discovered a firearm inside of Tail’s backpack that was between his feet in the car during the traffic stop. Tail was previously convicted of a crime punishable beyond a year in prison, and as a result, he is prohibited from possessing firearms.

    The investigation was conducted by Rapid City Police Department and the Bureau of Alcohol, Tobacco, Firearms and Explosives. The U.S. Attorney’s Office prosecuted the case.

    MIL Security OSI

  • MIL-OSI Security: Two Indicted for Drug Trafficking Conspiracy

    Source: United States Bureau of Alcohol Tobacco Firearms and Explosives (ATF)

    KANSAS CITY, Mo. – A Kansas City, Mo. man and woman who sold drugs to an undercover agent have been indicted by a federal grand jury. The man was also indicted on firearm charges.

    Marcellus W. Anderson, 31, and Tyra K. M. McGee, 37, were charged today in a 14-count indictment returned by a federal grand jury in Kansas City, Mo.  Today’s indictment replaces a federal criminal complaint that was filed against Anderson and McGee on June 12, 2025.

    The federal indictment charges Anderson and McGee with participating in a conspiracy to distribute fentanyl and a fentanyl analogue between December 1, 2023, and June 11, 2025.  They are also charged together in one count of distributing fentanyl and one count of distributing a fentanyl analogue.

    Additionally, Anderson is charged with three counts of distribution of cocaine, one count of distribution of methamphetamine, five counts of distribution of fentanyl, one count of possession of a firearm in furtherance of a drug trafficking crime, and one count of being a felon in possession of a firearm.

    According to an affidavit filed in support of the original complaint, Anderson sold cocaine to an undercover agent with the Bureau of Alcohol, Tobacco, Firearms and Explosives on three occasions, methamphetamine on one occasion, fentanyl on six occasions, and a fentanyl analogue on one occasion.  McGee participated in one of the fentanyl transactions and the fentanyl analogue transaction.  Additionally, Anderson had a Glock, Model 27, .40 caliber pistol in his lap during one of the transactions, which he commented was for protection.  Under federal law, it is illegal for anyone who has been convicted of a felony to be in possession of any firearm or ammunition.  Anderson has a prior felony conviction for receiving stolen firearms.

    The charges contained in this indictment are simply accusations, and not evidence of guilt. Evidence supporting the charges must be presented to a federal trial jury, whose duty is to determine guilt or innocence.

    This case is being prosecuted by Special Assistant U.S. Attorney Jessica L. Jennings. It was investigated by the Bureau of Alcohol, Tobacco, Firearms and Explosives; the Drug Enforcement Administration; the Kansas City, Missouri Police Department; and the Missouri Western Interdiction and Narcotics Task Force.

    Operation Take Back America

    This case is part of Operation Take Back America a nationwide initiative that marshals the full resources of the Department of Justice to repel the invasion of illegal immigration, achieve the total elimination of cartels and transnational criminal organizations (TCOs), and protect our communities from the perpetrators of violent crime. Operation Take Back America streamlines efforts and resources from the Department’s Organized Crime Drug Enforcement Task Forces (OCDETFs) and Project Safe Neighborhood (PSN). (https://www.justice.gov/dag/media/1393746/dl?inline)

    MIL Security OSI

  • MIL-OSI Economics: Morocco: African Development Bank approves over €300 million to improve competitiveness, strengthen resilience and create jobs

    Source: African Development Bank Group

    The Board of Directors of the African Development Bank Group has approved approximately €301 million to support Morocco’s economic resilience and drive job creation. The funding will back two key initiatives: the Entrepreneurship Support and Financing Programme for Job Creation (PAFE-Emplois) and the second phase of Economic Governance and Climate Resilience (PGRCC II).

    With €181.8 million in funding, PGRCC II aims to boost the Moroccan economy and strengthen its resilience to external shocks, particularly climate change. It will support competitiveness, private investment and economic resilience by modernizing the water and energy sectors. This programme will also contribute to consolidating Morocco’s new development model, in particular by promoting investment under the new Investment Charter.

    The PAFE-Emplois programme, backed by €119 million, will promote job creation by developing entrepreneurship and very small and medium-sized enterprises (VSEMEs). It will help establish a results-oriented culture, particularly in terms of employment impact. Its objectives are to support public support mechanisms for entrepreneurs, finance inclusive entrepreneurship, strengthen incentive mechanisms for VSEs and support innovative operational approaches to employment. This project will support the new roadmap for employment to promote job creation and entrepreneurship.

    ‘Together, these two new operations work in synergy and complement each other to strengthen their impact,’ said Achraf Tarsim, Country Manager for Morocco at the African Development Bank Group. They combine their objectives to consolidate the economy’s competitiveness, strengthen its resilience to shocks and boost investment and entrepreneurship. These are all levers for creating opportunities and jobs for young people and women. “

    For more than half a century, the African Development Bank Group has mobilised nearly €15 billion to finance more than 150 projects and programmes in the Kingdom. Its interventions cover strategic sectors such as transport, social protection, water and sanitation, energy, agriculture, governance and the financial sector.

    MIL OSI Economics

  • MIL-OSI Economics: Heads of Multilateral Development Banks commit to strong joint action on development priorities

    Source: African Development Bank Group

    The Heads of Multilateral Development Banks (MDBs) met today in Paris, hosted by the Council of Europe Development Bank (CEB), which currently chairs the Heads of MDBs Group. The meeting focused on advancing their joint efforts to address development priorities.

    Amid rising global uncertainty, the Heads reaffirmed their commitment to working as a system to deliver greater impact and scale, in line with their Viewpoint Note and the recommendations of the G20 Roadmap towards Better, Bigger, and More Effective MDBs. The Roadmap outlines an ambitious vision for MDB reform to better address regional and global challenges, support job creation, and help countries achieve their development aspirations.

    The Heads welcomed ongoing efforts to improve the way MDBs work with clients through operational efficiency and enhanced coordination. In 2025 alone, five mutual reliance agreements have been signed, helping streamline the preparation and implementation of co-financed projects across institutions.

    Private capital mobilization remains a system-wide priority, with the last joint report of the MDBs reflecting a positive trend in volumes mobilized. To build on this momentum, the Heads reaffirmed their commitment to developing local currency lending and foreign exchange solutions. They also reaffirmed the importance of adequate risk assessment for private sector investment in emerging markets and developing economies; in this context, the valuable contribution of disaggregated statistics on credit risk published through the Global Emerging Markets Risk Database (GEMs) was recognized.

    The Heads reiterated their continued commitment to implementing the recommendations of the G20 Independent Review of Multilateral Development Banks’ Capital Adequacy Frameworks (CAF).  Further reform efforts by MDBs since mid-2024 have increased the additional lending headroom for development projects in all countries of operation, including high-income ones, over the next decade by more than US$250 billion, thus reaching a total of over US$650 billion.

    The publication in the coming weeks of the Comparison Report by the MDBs’ Global Risk and Finance Forum (GRaFF) will provide metrics and data relating to MDBs’ financial positions, promoting a better understanding of their financial models and supporting both balance sheet optimization and private sector mobilization. 

    The Heads also agreed to continue advancing promising initiatives already underway to strengthen system-wide impact. These include: 1) Mission 300, which aims to connect 300 million people in Africa to electricity by 2030 through public and private collaboration; 2) Association of South East Asian Nations (ASEAN) Power Grid, which aims to boost energy security, strengthen resilience, and promote decarbonization for the region’s 670 million people by connecting its electricity systems; and 3) Digital Transformation in Education in Latin America and the Caribbean, which aims to connect 3.5 million students and train over 250,000 teachers. 

    In addition, MDBs are exploring joint actions to scale up investments in social infrastructure, including health, education, housing, and water and sanitation. Building on structured dialogue led by the CEB, the Heads welcomed progress made through recent cross-MDB consultations and recognized the key role these sectors play in enabling jobs, productivity, and inclusive growth, while noting persistent financing and delivery challenges that constrain impact.

    Meeting in advance of the Fourth International Conference on Financing for Development (FfD4), which will take place in Sevilla, Spain, from 30 June to 3 July, MDBs remain committed to working better as a system, in alignment with country-led development priorities and strategies to promote jobs and prosperity. In view of water’s role in human development, MDBs committed to significantly increasing collective support for global water security by 2030, and will launch the first “Joint Annual MDB Water Security Financing Report” at FfD4. Heads noted the importance of the upcoming COP30 in Belem, Brazil, in November 2025.

    Today’s meeting in Paris marks a significant step toward effective collaboration and scaled-up collective action for development priorities. MDB reforms are advancing, moving from concept to execution.

    With streamlined operations, better risk tools, and growing financial capacity, MDBs are delivering real impact – from expanding energy access and digital education to scaling investment in water security.

    MIL OSI Economics

  • MIL-OSI USA: Congressman Don Davis Announces a Bill to Help Reopen Martin General Hospital

    Source: US Congressman Don Davis (NC-01)

    WILLIAMSTON, N.C.—Congressman Don Davis (NC-01) announced new legislation to support reopening facilities like Martin General Hospital as Rural Emergency Hospitals.

    The Rural Emergency Hospital Financial Stability Act, announced during a press conference outside Martin General Hospital, would provide support to healthcare facilities that are facing closure or are able to reopen by increasing Medicaid reimbursements for Rural Emergency Hospitals (REH) to the outpatient hospital, rather than the rural health clinic rate. By categorizing REHs as hospitals with respect to Medicaid, as Congress originally intended, rather than clinics, the legislation categorizes REHs in the same way as Medicare.

    [Congressman Don Davis announces the Rural Emergency Hospital Financial Stability Act in front of Martin General Hospital in Williamston, N.C.]

    Without providing this financial stability, REHs would face long-term insolvency, particularly in communities like Martin County, where Medicaid reimbursements represent the highest share of their total revenue. The legislation will also reduce Medicaid expenditures because patients will no longer have to always travel long distances to seek care at inpatient facilities like ECU Health in Greenville, and could instead receive outpatient services at a reopened Martin General.

    [Congressman Don Davis describes how the Rural Emergency Hospital Financial Stability Act would help rural hospitals like Martin General, prevent closure or reopen.]

    “Supporting the reopening of Martin General by ensuring financial stability for all Rural Emergency Hospitals is essential,” said Congressman Don Davis. “Communities with high Medicaid populations, rural hospitals are often overwhelmed, despite their best efforts to stay open. If we provide a higher Medicaid reimbursement rate for Rural Emergency Hospitals, we can help patients get the care they desperately need while creating healthcare jobs in communities that need it most.”

    [The community takes in the moment when Congressman Davis announces the Rural Emergency Hospital Financial Stability Act.]

    “This bipartisan legislation takes a commonsense step to ensure REHs are treated fairly under Medicaid—just as they are under Medicare—so they can continue providing timely, local care without being financially hamstrung by bureaucratic gaps,” said Congressman Bergman. “Rural healthcare shouldn’t be at the mercy of inconsistent reimbursement rules, and I’m proud to support a fix that brings clarity, stability, and fairness to the REH model.”

    [Congressman Davis talks to the community of Williamston, North Carolina, about the future of Martin General Hospital.]

    “The National Rural Health Association thanks Congressmen Davis and Bergman for their efforts to make a commonsense fix to rural emergency hospital payments,” said Alan Morgan, CEO, National Rural Health Association. This legislation will ensure that rural emergency hospitals are paid adequately and can maintain local access to care in rural communities. We look forward to working with Congress to strengthen and sustain this important hospital designation.”

    The press conference, with local residents in attendance, was held in front of Martin General Hospital. It highlighted the necessity of long-term solutions to improve the fiscal health of rural healthcare facilities.

    The Rural Emergency Hospital Financial Stability Act is endorsed by the National Rural Health Association and America’s Essential Hospitals, of which East Carolina University Health is a member.

    Congressman Davis’ Support for Martin General Hospital:

    • January 30, 2025: Congressman Davis meets with Martin County Commissioners and ECU Health representatives, who ask you to explore legislative pathways to increase Medicaid reimbursement rates for REHs.

    •  May 2, 2025: Congressman Davis resubmits a community project funding request for Washington Regional Medical Center (WRMC) to improve their critical infrastructure and take some of the pressure off nearby health systems.

    • May 22, 2025: Congressman Davis joins a bipartisan coalition in voting against H.R. 1, the One Big Beautiful Bill Act, which would dramatically cut Medicaid revenues via provider taxes that fund rural hospitals.

    • January 30 – June 30, 2025: Congressman Davis agrees to move forward with actionable legislation to address REH financial stability, working with the Town of Williamston, Martin County, and ECU Health.

    Congressman Don Davis serves as a member of the House Agriculture Committee and as Ranking Member on the Commodity Markets, Digital Assets, and Rural Development Subcommittee, which has partial jurisdiction over the U.S. Department of Agriculture, overseeing several rural development programs supporting rural communities, including rural hospitals.

    ###

    MIL OSI USA News

  • MIL-OSI USA: SBA Offers Relief to Kansas Small Businesses, Private Nonprofits and Residents Affected by June Storms and Flooding

    Source: United States Small Business Administration

    SACRAMENTO, Calif. – The U.S. Small Business Administration (SBA) announced the availability of low interest federal disaster loans to Kansas small businesses, private nonprofits and residents to offset physical and economic losses from severe storms, torrential rain and flooding occurring June 3-7. The SBA issued a disaster declaration in response to a request received from Gov. Laura Kelly on June 26.

    The declaration covers the Kansas counties of Butler, Chase, Cowley, Elk, Greenwood, Harvey, Marion, Sedgwick and Sumner.

    Businesses and nonprofits are eligible to apply for business physical disaster loans and may borrow up to $2 million to repair or replace disaster-damaged or destroyed real estate, machinery and equipment, inventory, and other business assets.

    Homeowners and renters are eligible to apply for home and personal property loans and may borrow up to $100,000 to replace or repair personal property, such as clothing, furniture, cars, and appliances. Homeowners may apply for up to $500,000 to replace or repair their primary residence.

    Applicants may be eligible for a loan increase of up to 20% of their physical damages, as verified by the SBA, for mitigation purposes. Eligible mitigation improvements include insulating pipes, walls and attics, weather stripping doors and windows, and installing storm windows to help protect property and occupants from future disasters.

    SBA’s Economic Injury Disaster Loan (EIDL) program is available to eligible small businesses, small agricultural cooperatives, nurseries and private nonprofit (PNP)organizations impacted by financial losses directly related to this disaster. The SBA is unable to provide disaster loans to agricultural producers, farmers, or ranchers, except for aquaculture enterprises.

    EIDLs are for working capital needs caused by the disaster and are available even if the business or PNP did not suffer any physical damage. They may be used to pay fixed debts, payroll, accounts payable, and other bills not paid due to the disaster.

    Interest rates are as low as 4% for businesses, 3.62% for nonprofits, and 2.81% for homeowners and renters with terms up to 30 years. Interest does not begin to accrue, and payments are not due until 12 months from the date of the first loan disbursement. The SBA sets loan amounts and terms based on each applicant’s financial condition.

    “When disasters strike, SBA’s Disaster Loan Outreach Centers play a vital role in helping small businesses and their communities recover,” said Chris Stallings, associate administrator of the Office of Disaster Recovery and Resilience at the SBA. “At these centers, SBA specialists assist business owners and residents with disaster loan applications and provide information on the full range of recovery programs available.”

    Beginning Tuesday, July 1, SBA customer service representatives will be on hand at the following Disaster Loan Outreach Center (DLOC) to answer questions about SBA’s disaster loan program, explain the application process and help each individual complete their application. Walk-ins are accepted, but you can schedule an in-person appointment in advance at appointment.sba.gov.

    The DLOC hours of operation are as follows:

    BUTLER COUNTY
    Disaster Loan Outreach Center
    Butler County Historic Courthouse
    First Floor – former driver’s license room
    205 W. Central Ave.
    El Dorado, KS  67042

    Opens at 12:00 p.m., Tuesday, July 1

    Mondays – Fridays, 8:00 a.m. – 4:30 p.m.

    Closed Friday, July 4 for Independence Day

    Permanently closes at 4:30 p.m., Thursday, July 24

    To apply online, visit sba.gov/disaster. Applicants may also call SBA’s Customer Service Center at (800) 659-2955 or email disastercustomerservice@sba.gov for more information on SBA disaster assistance. For people who are deaf, hard of hearing, or have a speech disability, please dial 7-1-1 to access telecommunications relay services.

    The deadline to return physical damage applications is Aug. 26, 2025. The deadline to return economic injury applications is March 27, 2026.

    ###

    About the U.S. Small Business Administration

    The U.S. Small Business Administration helps power the American dream of business ownership. As the only go-to resource and voice for small businesses backed by the strength of the federal government, the SBA empowers entrepreneurs and small business owners with the resources and support they need to start, grow, expand their businesses, or recover from a declared disaster. It delivers services through an extensive network of SBA field offices and partnerships with public and private organizations. To learn more, visit www.sba.gov.

    MIL OSI USA News

  • MIL-Evening Report: Aamir Khan’s big screen comeback, Sitaare Zameen Par, features an all-star neurodivergent cast – a Bollywood first

    Source: The Conversation (Au and NZ) – By Yanyan Hong, PhD Candidate in Communication, Media and Film Studies, University of Adelaide

    Bharti Dubey/X

    Bollywood star Aamir Khan’s return to the big screen after a three-year hiatus has been far from ordinary. Sitaare Zameen Par (2025) which translates to “stars on Earth”, is the first major Bollywood production to feature a mostly neurodivergent cast.

    A remake of the 2018 Spanish film Campeones, the story follows a mouthy, knuckle-headed basketball coach, Gulshan (Aamir Khan), who is put in charge of a team of players with intellectual disabilities.

    The film slowly grows into itself, much like its characters, but ultimately delivers what the trailer promises: a heartwarming, humorous and uplifting celebration of our individual differences.

    In an era of blockbuster spectacles, Aamir Khan Productions brings back a kind of Bollywood storytelling we haven’t seen in a while – something sincere, gentle and quietly revolutionary.

    Who is Aamir Khan?

    Aamir Khan was born in Mumbai in 1965, and started his acting career as a child actor in his uncle’s film Yaadon Ki Baaraat (1973).

    Khan is now one of Bollywood’s most enduring and respected figures. He is one of the iconic “three Khans”, alongside Shah Rukh Khan and Salman Khan (the three are unrelated), who have dominated Indian cinema since the 1990s.

    But unlike his Khan counterparts, Aamir Khan has carved a unique career path built on both commercial success and socially-driven storytelling.

    He is known for championing social causes through cinema. In one 2015 article, media studies professor Vamsee Juluri referred to him as a “national conscience figure”.

    Khan’s films don’t just entertain; they challenge norms and often spark national conversations on important issues.

    From producing Lagaan: Once Upon a Time in India (2001), India’s Oscar-nominated colonial-era sports epic, to his directorial debut Taare Zameen Par (2007), a moving portrait of a child with dyslexia, Khan’s work often brings underrepresented stories to the mainstream.

    Lagaan follows farmers from a small Indian village under British colonial rule. The British challenge the farmers to a game of cricket, in exchange for an exemption from paying the land tax (‘lagaan’).
    IMDb

    His film PK (2014) challenges religious dogma. Meanwhile, Dangal (2016) is a boundary-pushing film based on real-life female wrestlers from rural India, and is also Bollywood’s highest-grossing film of all time.

    Beyond the box office, Khan has hosted the TV show Satyamev Jayate (2012–14), which is also the national emblem of India, meaning “truth alone triumphs”.

    This show tackles various topics considered taboo in Indian societies, including female feticide, domestic violence and caste discrimination. It has reached millions of households, and even ignited parliamentary debates.

    Khan is also popular in other countries, including China, where his films 3 Idiots (2009), Dangal (2016) and Secret Superstar (2017) were massive hits that resonated with audiences for their universal themes.

    In Dangal (2016), Mahavir (Aamir Khan) trains his two daughters in wrestling.
    IMDb

    Sitaare Zameen Par marks his return following the commercial underperformance of Laal Singh Chaddha (2022), an Indian remake of Forrest Gump (1994).

    Sitaare (stars) who make the film shine

    Directed by R.S. Prasanna, Sitaare Zameen Par enjoyed a strong opening weekend at the box office.

    It stars ten individuals with special needs as they prepare for a basketball tournament under the direction of their coach (Khan). This plot alone makes the film a significant entry to Indian cinema, which often ignores or misrepresents disability.

    The neurodivergent stars of Sitaare Zameen Par are aged between 18 and 42.
    Aamir Khan Productions.

    Despite early online trolling and negativity, the film depicts its neurodivergent characters not as victims, or “inspirations”, but simply as people with dreams, struggles and joy.

    One line captures this beautifully: “Everyone sticks to their own normal. We each have our own normal.”

    Aamir Khan, now 60, plays a key role in the film, but doesn’t dominate it. Instead, his younger co-stars shine. The result is a healing film that celebrates inclusion, while being full of joy and humanity.

    Stories that matter

    No film is perfect. But it’s hard to dislike a film made with so much compassion.

    Bollywood as an industry has increasingly leaned into action-packed blockbusters, as well as nationalist and Hindu-centred narratives (such as in the 2022 film Brahmāstra).

    While many of these offer thrills, few deliver the kind of emotional and social depth that once defined Hindi cinema’s global appeal. Much like Taare Zameen Par – a spiritual prequel to the new release – did 18 years ago, Sitaare Zameen Par invites the audience to slow down and reflect.

    In Taare Zameen Par (2007), Khan plays a neurotypical teacher who helps a student with dyslexia.
    IMDb

    It prompts neurotypical viewers to see people with Down’s syndrome as part of the same emotional universe as them – and to laugh with, not at them.

    In an interview, Khan explains how the film goes further than just neurodivergent representation, to participation:

    In [Taare Zameen Par], it’s the teacher, Nikumbh, a supposedly neuro-typical person, who helps the child with dyslexia. In this film, ten neuro-atypical people are helping the coach, Gulshan. I feel Sitare takes the discourse of the first film ten steps ahead, especially in our country where people need to be sensitised to the topic of neurodivergence.

    Last week, India’s president, Droupadi Murmu, attended a special screening and met the cast. The visit sent a clear messsage: stories like this matter.

    With Sitaare Zameen Par, Aamir Khan returns to what he does best: using film as both a mirror and message for Indian society. While it won’t change the world overnight, it will make viewers see the world, and each other, a little differently.

    Yanyan Hong 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. Aamir Khan’s big screen comeback, Sitaare Zameen Par, features an all-star neurodivergent cast – a Bollywood first – https://theconversation.com/aamir-khans-big-screen-comeback-sitaare-zameen-par-features-an-all-star-neurodivergent-cast-a-bollywood-first-259673

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI New Zealand: Stage 2 of SH16 safety improvements project to move forward to construction

    Source: New Zealand Transport Agency

    NZ Transport Agency Waka Kotahi (NZTA) is pleased to confirm that additional funding has been approved for Stage 2 of the State Highway 16 (SH16) Brigham Creek to Waimauku safety improvements project which runs between Brigham Creek interchange and Kumeū town centre.

    These improvements will make this important link safer and more efficient for the people that use it and provide resilience within the wider Upper North Island state highway network. 

    Regional Manager Transport Services Stephen Collett acknowledges the importance of this project for the community, which has been reviewed in line with the Government Policy Statement on land transport 2024 and the 2024-27 National Land Transport Programme. 

    “We really appreciate the communities’ patience as we have worked to revise costs for the project, which were approved by the NZTA Board this month. 

    “This brings us one step closer towards construction and means we can now recommence landowner engagement and property acquisition, while finalising the design.”  

    Key features for this stage include:  

    • extra lanes between Brigham Creek and Taupaki roundabout from two lanes to four lanes (two in each direction) to make travelling along SH16 more efficient
    • a new roundabout at the SH16/Coatesville Riverhead Highway intersection to help traffic flow better and make it safer to turn
    • a shared use path for people who walk and cycle between Brigham Creek and Kumeū.

    Stage 1 of the project, which runs from Huapai to Waimauku, is in the final phases of construction and is scheduled to be completed by December this year.

    This work has included widening bridges and road shoulders and creating right turning bays at Joyce Adams Place and Fosters Road to provide people with safer turning options. 

    The SH16 Improvements Project will improve safety and efficiency in the area which will improve the wider transport network’s effectiveness. Auckland Council, Auckland Transport and NZTA are currently investigating plans for the longer-term to address future growth, including in Auckland’s North West.

    Supporting Growth – North-West Auckland(external link)

    MIL OSI New Zealand News

  • MIL-OSI Submissions: Funding terror: how west Africa’s deadly jihadists get the money they need to survive

    Source: The Conversation – Africa (2) – By Egodi Uchendu, Professor (of History and International Studies), University of Nigeria

    The west Africa–Sahel region has seen a proliferation of militant Islamist groups since the 1990s.

    One of the most vicious groups operating in the region is Jama’at Nusrat al-Islam wal-Muslimin (Support Group for Islam and Muslims). The militant group emerged in 2017 in Algeria and Mali, and has targeted civilian populations.

    The UN listed the group as an al-Qaeda affiliate in 2018. Al-Qaeda is an Islamist organisation founded by Osama bin Laden in the 1980s.

    The 2024 global terrorism index listed Jama’at Nusrat al-Islam wal-Muslimin as one of the world’s most dangerous terrorist organisations. Its influence has expanded in most parts of the Sahel. The group emerged to strengthen the jihadist insurgency under al-Qaeda. It combines violence with diplomacy to expand its influence and challenge state authorities.

    Despite growing pressure from counter militancy campaigns spearheaded by local, regional and international militaries, Jama’at Nusrat al-Islam wal-Muslimin continues to survive and adapt by regrouping and reorganising. This was demonstrated in its latest operation in Burkina Faso in 2024. The group exerted significant control by closing schools, setting up taxation checkpoints and abducting locals.

    Its engagement in illicit economies has been key to the group’s successful expansion. This revenue is used to carry out devastating attacks.

    We research jihadi-based insurgencies, and have found that this is a common tactic among terrorist groups in the west Africa-Sahel axis, including Boko Haram militants.

    From our research, we find that Jama’at Nusrat al-Islam wal-Muslimin funds its activities by relying on

    • artisanal mining

    • kidnapping

    • livestock theft

    • money laundering.

    Dismantling the group’s illicit economies and blocking its financial flows are key to countering its activities.

    Financial resources

    The group needs money for fighting, and to sustain political and social influence in its areas of operation.

    Artisanal gold mining has proven to be a major factor in its expansion and resilience. In areas where the group exerts influence, illicit gold mining generates over US$30 billion annually. According to a report by Swissaid, a development group based in Switzerland, the main destinations for this gold are the United Arab Emirates, Turkey and Switzerland.

    The jihadists gain access to gold by controlling mining sites and transport routes to and from mines. They sometimes allow trusted allies, who include local armed groups, bandits and other criminal networks, to mine in exchange for a payout. The extent of gold mining funds is not exactly known, but the artisanal sites in areas controlled by the group have the capacity to produce 725 kilograms of gold per year, valued at US$34 million.




    Read more:
    West Africa could soon have a jihadist state – here’s why


    Another source of income – and political influence – is kidnapping for ransom. Kidnap victims include cattle owners, businessmen, state officials and foreigners. The group received a ₤30 million ransom in 2020 to release one French and two Italian hostages. Between 2017 and 2023, the group and its affiliated units were responsible for 845 out of approximately 1,100 recorded kidnappings in Mali, Burkina Faso and Niger. Burkina Faso and Mali remain the epicentre of the group’s violent activities. In the first quarter of 2023, over 180 cases of kidnapping were recorded in these countries’ war-torn areas.

    Livestock theft has also been a critical source of funds. The practice of livestock theft as economic warfare and a means to generate funds has led to livestock being forcibly taken from herders who fail to pay zakat (a religious fee among Muslims) or subscribe to the group’s ideology. The stolen livestock are sold in Mali, Mauritania or Senegal. The ability to monetise stolen livestock makes their theft a cornerstone of the Sahelian war economy and a source of cash for weapons and vehicles.

    Money laundering is another illicit economy central to the militant group’s financing. It lends money to merchants, invests with banks and funds small shops with the aim of getting profits. This helps ensure a constant flow of money and provisions to support the group’s terrorist acts. It has attached much importance to this illicit economy, to the extent of assassinating those who interfere with its investments.

    Way out

    To cut down Jama’at Nusrat al-Islam wal-Muslimin’s financial base – and thereby weaken its capacity for militancy – counterinsurgency efforts need to take the following actions.

    • Government security actors should collaborate with local self-defence militias to regulate artisanal mining and thwart kidnappings.

    • Financial intelligence units need to identify merchants who receive money from the militant group to block the flow of illicit funds.




    Read more:
    Jihadism and coups in West Africa’s Sahel region: a complex relationship


    • Specialised courts that deal with money laundering and terrorism financing cases should be established and made operational in Burkina Faso and Mali, the epicentres of the group’s activities.

    • Burkina Faso and Mali should increase security around civilians to minimise civilian casualties from terror operations.

    Since finance is the basis of the militant group’s strength, regional security co-operation should be strengthened. This would help with systematically tracking illicit flows and stopping them.

    Egodi Uchendu receives funding from the Alexander von Humboldt Foundation, Germany. She has also received funding from TETFund, Nigeria, the Council for the Development of Social Science Research in Africa (CODESRIA), Senegal, The A. G. Leventis Foundation, Greece, and the Fulbright Commission, USA.

    Muhammed Sani Dangusau 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. Funding terror: how west Africa’s deadly jihadists get the money they need to survive – https://theconversation.com/funding-terror-how-west-africas-deadly-jihadists-get-the-money-they-need-to-survive-242306

    MIL OSI

  • MIL-OSI Submissions: Universities must teach students what freedom is – a South African course is trying to do just that

    Source: The Conversation – Africa – By Pedro Tabensky, Director, Allan Gray Centre for Leadership Ethics, Rhodes University

    A typical student wants a university degree as a ticket to a salary. For this young person, education is a journey towards “having”. And the way to complete the journey is mainly to remember, repeat or reproduce what the teacher says and does.

    This having-orientation is understandable given the often precarious realities of life, particularly in the global south, including South Africa, where I am based as a university lecturer. It is understandable, yet it fosters apathy in the classroom, for the monetary aims of students are not typically aligned with the aims of learning.

    In response to this situation, for a decade Rhodes University’s Allan Gray Centre for Leadership Ethics has been developing a course called IiNtetho zoBomi, which translates from isiXhosa, one of South Africa’s languages, as “conversations about life”.

    IiNtetho zoBomi is a year-long course offered to all students at the university. Over 2,000 have completed it since its inception. It aims to bridge the gap between character education and vocational education. The course shows students how interrelated reading, writing, thinking and being are.

    It’s an opportunity for students to think about what matters to them and how to live accordingly. We hope they learn to have a say in how their lives will go. We want them to understand how education will equip them for life – not just work – and promote self-mastery. Ideally, students will realise along the way that self-mastery comes from learning with others in communities of inquiry.

    With my colleagues at the centre, I wrote about the course in a recent paper, explaining the thinking behind it and how it works. From initial reticence and outright suspicion, the course is starting to receive broad institutional support from academics and management. The idea has been mooted that it should become become a common course for all first-year students.

    The course has also received an endorsement from educational sociologist Kathy Luckett and feminist philosopher Ann Cahill. In their review of the course they commented that it had developed “a unique and powerful form of pedagogy that is clearly speaking to students’ interests and existential needs, and effectively providing students with capacities that allow them to author their own thoughts and lives”.

    Inquisitiveness versus apathy

    If a salary is the overriding motive for pursuing higher education, it helps to explain why so many students seem to lack inquisitiveness to seek knowledge, and hence are not in the correct frame of mind required for deep learning and the human growth that comes with the learning mindset.

    This lack of inquisitiveness is also encouraged by the fact that the global university has primarily become a market service provider. The market wants and needs professionals, and universities provide them. This may not be a problem, unless the professional aspect of human life is separated, as it often is, from the central goal of education: to form well-adjusted, autonomous human beings.




    Read more:
    It’s important to rethink the purpose of university education — a philosopher of education explains why


    This severance between learning for work and learning for life leaves human growth to chance. It fosters the passive absorption of whatever happens to be in the air of the times, instead of the formation of a capacity for critical thinking necessary for autonomy.

    Contemporary universities presume that if one looks after people’s career concerns, life will look after itself, which is a grave mistake.

    Conversations about life

    The course includes student-led lectures, peer dialogues and weekly service learning at local no-fee paying public primary schools. The students also keep journals in which they reflect on their lives in relation to the course’s material.

    We introduce students to ideas such as the existential psychologist Erich Fromm’s distinction between “being” and “having” orientations to education. In other words, a good education helps you to be a certain way, not just to have certain things.

    Students also learn that “to take freedom for granted is to extinguish the possibility of attaining it”, as expressed in the documentary Creating Freedom: The Lottery of Birth. This is the idea that people are shaped by circumstances, and understanding how these circumstances shape them is a first step in attaining real freedom. We show this documentary to our students in addition to other movies and documentaries about the weekly topics discussed in class.

    We encourage students to develop an inner dialogue and understand that they passively absorb much of what their thinking draws on. We challenge students to consider what they see, or fail to see, and how they see it. We invite students to reflect on how external forces like peer pressure and ideology act on them, as do internal forces like the confirmation bias (which motivates us to favour information that confirms what we already believe and to ignore information that doesn’t).

    The following idea frames the content of the course: barriers to acting ethically, indeed to autonomy, are produced by psychological, social and political forces.

    Then there is the service-learning aspect of Iintetho zoBomi.

    This is about the students getting involved in communities and learning through one-on-one interactions with children at no-fee primary schools, helping them with English literacy and life orientation-related schoolwork. Our students learn by teaching learners material that’s related to IiNtetho zoBomi. Service learning helps bring ideas and experiences together.

    Responses

    We are seeing encouraging results in the form of hundreds of unsolicited comments relating to how the course has transformed the lives of our students.

    Most of these comments come from student reflective journals. Lecturers read the journals as the main form of assessment of IiNtetho zoBomi. Some students even wrote articles in local media about what they had learned. In one of the articles, student Tanatswa Chivhere concludes that:

    Most of us who have done the course can testify to how it made us more aware of how our thoughts and actions impact the world as a whole. IiNtetho zoBomi has changed the way in which I view my place in the world and how to use that place to better not only my life, but those of others around me.

    Pedro Tabensky works for Rhodes University. He receives funding from the Allan & Gill Gray Philanthropies.

    ref. Universities must teach students what freedom is – a South African course is trying to do just that – https://theconversation.com/universities-must-teach-students-what-freedom-is-a-south-african-course-is-trying-to-do-just-that-239332

    MIL OSI

  • MIL-OSI Submissions: Moroccan schools are fuller thanks to cash grants. The problem now is the quality of their education – study

    Source: The Conversation – Africa – By Jules Gazeaud, Chargé de recherche CNRS, Université Clermont Auvergne (UCA)

    Reprinted by permission from VoxDev

    The spread of conditional cash transfer programmes in low- and middle-income countries has been described as perhaps the most remarkable innovation of recent decades in welfare programmes. These programmes provide regular cash transfers to poor families contingent on specific behaviours. These include school enrolment and regular attendance.

    The programmes started in the late 1990s in Mexico and quickly became the public policy of choice to fight poverty and low enrolment. Today, more than 60 countries operate education conditional cash transfer programmes, often at a national scale.

    There is plenty of evidence showing that conditional cash transfers boost enrolment. But evidence on their impacts on children’s learning is mixed. Explanations for the lack of learning gains relate to the short-term nature of the evaluations, which may not provide enough time for the learning effects to materialise.

    In recent research, conducted in Morocco, we show that conditional cash transfers can constrain learning when no accompanying measures are taken by governments to account for increased enrolment. We found that the introduction of a programme can deteriorate school quality and thus constrain learning for children who enrol in school.

    Conditional cash transfers in Morocco

    We looked at a programme implemented at scale in Morocco. Known as Tayssir, it began operating in 2008 and quickly became the flagship education policy of a government strongly committed to reducing school dropout rates.

    Earlier research showed that the pilot version of Tayssir had substantial positive effects on enrolment, but not on learning.

    Following this evaluation, Tayssir was quickly scaled-up to reach annually up to 800,000 children in 434 municipalities. Because the allocation of transfers remained remarkably stable over time, the scaled-up version of Tayssir offers an ideal setup to study how conditional cash transfer programmes affect learning, with enough time for the effects to materialise.

    Tayssir targeted all municipalities with a poverty rate above 30% and all households with children aged 6-15 within these municipalities.

    To study the impacts of the programme, we used data from the information system of Morocco’s ministry of education.

    In the first part of our analysis, we assessed Tayssir’s effects on dropout rates and checked for possible differences with the research done in 2015 on the pilot version of the scheme.

    We confirmed that the grade-specific dropout rate decreased by 1.3 percentage points on average (41% of the sample mean). This is equivalent to an increase in enrolment of about 9 percentage points by the end of grade 6.

    We found a greater decrease for girls: 1.8 percentage points, or 50% of the sample mean.

    Remarkably, these estimates were in line with those on the pilot, despite the nationwide expansion of the programme and the ten-fold increase in the number of beneficiaries.

    The impact on quality

    The reduction of the dropout rates induced by Tayssir may have affected both class size and class composition by retaining lower-ability students. This could potentially lead to negative effects on learning outcomes through peer effects and less effective teaching practices.

    Our estimates show that class size in targeted areas increased by 3.6 students by the end of primary school, equivalent to 12% of the sample mean.

    Variation in class composition increased by 0.30 standard deviations (SD) by the end of primary school.

    Figure 1 shows that these effects are stronger in higher grades. This suggests that the reduction in dropout rates accumulated over time and progressively overburdened school resources. Large effects in grade 1 likely reflect the fact that children in targeted municipalities started school earlier – possibly to benefit from the transfers – and repeated grade 1 more often.

    Figure 1: Effect of Tayssir on class size and heterogeneity

    Notes: Each bar reports the coefficient estimate of the local average treatment effects of Tayssir. The dependent variables are class size (number of students per class) and class heterogeneity (standard deviation of the GPAs within a class). 95% confidence intervals are reported.

    Larger class sizes and increased differences in class composition had negative impacts on children’s test scores.

    In the final part of our analysis, we looked at the effects on test scores at the end of primary school exam. We found that Tayssir had negative effects on test scores. We estimated that the programme reduced test scores by 0.12 standard deviation for the full sample.

    What needs to be done

    Our insights should not be interpreted as evidence that policymakers should not pursue conditional cash transfer programmes. Such programmes, including the one we study, have proven particularly effective at increasing access to education, which is a crucial first step to enhance learning.

    These programmes also have many other benefits. These include delayed marriage and childbearing for adolescent girls.

    However, our results, together with evidence showing alarmingly low literacy and numeracy levels among students in low- and middle-income countries, indicate that the attendance gains from the programmes alone are unlikely to equip students with the foundational skills they need to thrive.

    In fact, our results show that conditional cash transfer programmes can have adverse effects on learning when schools lack the necessary resources to accommodate the influx of new students. Such insights may be particularly relevant for other interventions aiming to increase school attendance without complementary investments in school capacity.

    Recent decades have seen a surge in evaluations focusing on the learning effects of education interventions in low- and middle-income countries. Although there is no silver bullet to raise learning, some “great buys” emerged from the 2023 report of the Global Education Evidence Advisory Panel:

    • providing information on the benefits, costs and quality of education;

    • supporting teachers with structured pedagogy;

    • pedagogical interventions that tailor teaching to student learning.

    In Morocco, where our study takes place, other scholars have demonstrated that an intervention combining two of these three “great buys” – targeted instruction based on learning level and structured pedagogy – yields large gains in learning.

    Claire Ricard received funding from Agence Nationale de la Recherche of the French government through the program “Investissements d’avenir” (ANR-10-LABX-14-01).

    Jules Gazeaud 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. Moroccan schools are fuller thanks to cash grants. The problem now is the quality of their education – study – https://theconversation.com/moroccan-schools-are-fuller-thanks-to-cash-grants-the-problem-now-is-the-quality-of-their-education-study-243298

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  • MIL-OSI Submissions: For Jane Austen and her heroines, walking was more than a pastime – it was a form of resistance

    Source: The Conversation – UK – By Nada Saadaoui, PhD Candidate in English Literature, University of Cumbria

    In Pride and Prejudice (1813), when heroine Elizabeth Bennet arrives at Netherfield Park with “her petticoat six inches deep in mud”, she walks not only through the fields of Hertfordshire, but into one of literature’s most memorable images of women’s independence.

    Her decision to walk alone, “above her ankles in dirt”, is met with horror. “What could she mean by it?” sneers Miss Bingley. “It seems to me to show an abominable sort of conceited independence.” And yet, in that walk – unaccompanied, unfashionable, unbothered – Elizabeth reveals more about her spirit and autonomy than any parlour conversation could.

    For Austen’s heroines, independence – however “abominable” – often begins on foot. Elizabeth may be the most iconic of Austen’s pedestrians, but she is far from alone. Across Austen’s novels, women are constantly in motion: walking through country lanes, walled gardens, shrubberies, city streets and seaside resorts.

    These are not idle excursions. They are socially legible acts, shaped by class, decorum, and gender – yet often quietly resistant to them.


    This article is part of a series commemorating the 250th anniversary of Jane Austen’s birth. Despite having published only six books, she is one of the best-known authors in history. These articles explore the legacy and life of this incredible writer.


    Fanny Price, the often underestimated heroine of Mansfield Park (1814), is typically seen as timid and passive. Yet beneath her reserved exterior lies a quiet but determined spirit.

    “She takes her own independent walk whenever she can”, remarks Mrs Norris disapprovingly. “She certainly has a little spirit of secrecy, and independence, and nonsense about her.” Austen’s choice of “nonsense” here is revealing: Fanny’s desire for solitude and self-direction is not revolutionary, but it is gently subversive. In a world offering women little room for self-assertion, her steps become acts of resistance.

    When Jane Fairfax, constrained by class and circumstance in Emma (1815), declines a carriage ride, she asserts: “I would rather walk … quick walking will refresh me.” It’s a seemingly modest decision, but one layered with significance. To walk is to control your own movement, to maintain autonomy and resist the genteel suffocation of being constantly observed or helped.

    In Persuasion (1817), Anne Elliot’s story shows walking as a path to renewal. Reserved and long burdened by regret, Anne finds restoration in the coastal air of Lyme Regis. As she walks along the Cobb, Austen notes that “she was looking remarkably well … having the bloom and freshness of youth restored by the fine wind … and by the animation of eye which it had also produced”.

    Her emotional reawakening is framed as a physical one. Walking becomes not only therapeutic but transformative – a way back to herself.

    Not all of Austen’s walks are reflective or restorative. Some are decidedly social. Lydia and Kitty Bennet’s frequent walks to Meryton in Pride and Prejudice, for example, are driven as much by shopping as by the hope of romantic encounters.

    Austen notes the “most convenient distance” of the village, where “their eyes were immediately wandering up in the street in quest of the officers”. These girls were more interested in uniforms than in bonnets.

    Yet even this behaviour hints at something subtler. For young, unmarried women, shopping and social errands were among the few socially sanctioned reasons to move independently through public space. These excursions offered moments of visibility, mobility, and the possibility of courtship – however frivolously pursued.

    Kitty and Lydia walk to Meryton in order to encounter the officers.

    Catherine Morland of Northanger Abbey (1817), a devoted reader of gothic fiction, fuses her walks with imagination. As she strolls along the Avon River with the Tilneys, she muses: “It always puts me in mind of the country that Emily and her father travelled through in The Mysteries of Udolpho.” Walking becomes an act of imaginative projection, where the boundaries between fiction and reality blur in the mind of a heroine learning to navigate both the world and herself.

    Jane Austen the walker

    Austen’s fiction draws much of its vitality from her own experiences. She was, by her own admission, a “desperate walker”, rarely deterred by weather, terrain or propriety.

    A watercolour of Jane Austen by her sister Cassandra, showing her looking out to sea. It was painted while they were on holiday in Lyme Regis in 1804.
    Wiki Commons

    Her letters, written from Bath, Steventon, Chawton and elsewhere, capture the physicality and pleasure of walking in vivid, often playful detail. These glimpses into her daily life reveal not only her attachment to movement but also the quiet autonomy it afforded her.

    In 1805, Austen writes from Bath: “Yesterday was a busy day with me, or at least with my feet & my stockings; I was walking almost all day long.” Several years later, in 1813, she reports with unmistakable relief: “I walked to Alton, & dirt excepted, found it delightful … before I set out we were visited by several callers, all of whom my mother was glad to see, & I very glad to escape.”

    Perhaps most revealing is an earlier letter from December 1798, in which Austen describes a rare solitary excursion: “I enjoyed the hard black frosts of last week very much, & one day while they lasted walked to Deane by myself. I do not know that I ever did such a thing in my life before.” The comment registers the novelty and boldness of a woman walking alone.

    In an age where walking is once again praised for its physical and mental benefits, Austen’s fiction reminds us that these virtues are not new. Her characters have been walking for centuries – through mud, across class boundaries and against expectation.

    They walk in pursuit of clarity, connection, escape and self-hood. Their steps – measured or impulsive, solitary or social – mark turning points in their lives. And in a world designed to keep them stationary, their walking remains a radical act.

    This article features references to books that have been included for editorial reasons, and may contain links to bookshop.org. If you click on one of the links and go on to buy something from this website, The Conversation UK may earn a commission.

    Nada Saadaoui 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. For Jane Austen and her heroines, walking was more than a pastime – it was a form of resistance – https://theconversation.com/for-jane-austen-and-her-heroines-walking-was-more-than-a-pastime-it-was-a-form-of-resistance-258101

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  • MIL-OSI Submissions: Who owns digital data about you? South African legal scholar weighs up property and privacy rights

    Source: The Conversation – Africa (2) – By Donrich Thaldar, Professor, University of KwaZulu-Natal

    alexsl

    In the digital economy, data is more than just information – it is an asset with immense economic and strategic value. Yet, despite its significance, a fundamental legal question remains unresolved: Can data be owned? While privacy laws worldwide focus on protecting individuals’ rights over their personal data, they often sidestep the issue of ownership. This has led to legal uncertainty, particularly in South Africa, where the Protection of Personal Information Act (Popia) grants data subjects various rights over their personal information but does not explicitly address ownership.

    This gap in legal clarity raises pressing questions: If personal data – such as private health information – exists within a vast and ever-growing digital landscape, can it be owned? And if so, who holds the rightful claim?

    Legal academic Donrich Thaldar, whose research focuses on data governance, explores these questions in a recent academic article. He unpacks his findings for The Conversation Africa.

    Why does it matter who owns data?

    In today’s digital economy, data is the most valuable asset – it’s often referred to as “the new oil”. Whether in commerce, research, or social interactions, the ability to generate, use and trade with data is central to economic competitiveness.

    If data ownership is not clearly established, it could stifle innovation and investment. Companies require legal certainty to operate effectively in a knowledge-driven economy.

    Countries have taken different legal approaches to tackling the question of who owns data. China, for instance, formally recognises the proprietary rights of data generators, meaning that businesses and individuals who generate data have legally defined rights over its use and commercialisation. This provides legal support for the country’s digital industries.

    What does South African law say?

    In the past, the South African Information Regulator has taken the position that personal information is automatically owned by the data subject – the person to whom the data relates – rather than by the entity generating the data. In this view, the rights created by Popia imply that data subjects themselves are the owners of their personal data, and nobody else.

    I suggest that this stance is legally flawed, as it conflates two different branches of the law: privacy law and property law. Moreover, it could severely disrupt the digital economy. The digital economy depends on data as a tradeable asset – it must be capable of being sold, licensed and commercialised like any other economic object. If ownership must always be with data subjects, businesses face uncertainty in using and monetising data. Uncertainty stifles innovation, discourages investment, and undermines South Africa’s digital competitiveness.

    You applied property law to the question of data ownership. Why?

    Ownership is a concept in property law, not privacy law. Therefore, to answer the data ownership question, we need to look for answers in property law.

    Property law governs the relationship between subjects (legal persons) and objects (things external to the body, whether physical or not). Ownership is about the rights that a subject has over an object. For an object to be capable of being owned, it must be valuable, useful, and – importantly – capable of human control. A bottle of water meets these criteria, but the vast oceans do not, as they are not within human control.

    Personal data in the abstract is like the water in the ocean – vast, uncontained, and beyond individual control. However, a digital instance of personal data, such as a computer file, is more like a bottled version of that water – defined and subject to human control. Just like digital money and other valuable digital assets, a specific instance of personal data meets all the requirements under South African common law for private ownership. Thus, in this sense personal data can be owned.

    Is the data owner not the data subject?

    At first glance this might seem so, but no, not necessarily. The reason that it might seem so, is because some of the privacy rights created by Popia resemble ownership rights. For example, an owner’s agreement is required before someone else can use the owned object (e.g., loan for use and rent). Similarly, a data subject’s consent is in most cases required before personal data can be processed. Furthermore, the owner of a thing has the right to destroy it; similarly, a data subject typically has the right to have personal data deleted.

    Do these privacy rights mean that data subjects actually own their personal data? I suggest not. Wearing a feather in one’s hat does not make one a bird. In the same way, privacy rights that resemble ownership rights do not mean that they constitute ownership. Ownership is acquired by following the rules of property law.

    So who owns the data?

    Because a newly created personal data instance has no antecedent legal object – in other words, it is not created out of another legal object – it initially belongs to no one. It is res nullius. Ownership of res nullius is acquired through appropriation, which requires two elements: control and the intention to own.

    This means that the entity generating the data, such as a company or university collecting and recording it, is best positioned to acquire ownership. Since it already has control over the data, the only remaining requirement is simply the intention to be the owner.

    If an entity like a university generates data and intends to own it, then – provided it is in control of that data – it will legally become the owner. This in principle allows the entity to use, license and trade the data as an economic asset. Indeed, it is prudent for data-generating entities, such as universities, to explicitly assert ownership over the data they produce. This not only establishes their legal rights with clarity but also serves as a safeguard against unauthorised access and misuse by malicious actors.

    Doesn’t this compromise data privacy?

    No, it should not. Ownership is always limited by other legal rules. For example, while I might own a car, I cannot drive it in any way I like – I must obey the rules of the road. Similarly, ownership of personal data is subject to strict limitations, particularly the privacy rights of data subjects under Popia.

    However, it is also important to understand that privacy rights apply only to personal data. If personal data is de-identified, meaning that it can no longer be linked to the data subjects, privacy rights cease to apply. What remains are the ownership rights in the data itself. It can be a fully tradeable asset.

    Recognising that a digital instance of personal data can be owned – and that the rightful owner is typically the data generator – does not undermine the privacy protections of Popia. Rather, it clarifies the legal landscape, ensuring that the rights of both data subjects and data generators are recognised and protected.

    Donrich Thaldar receives funding from the NIH.

    ref. Who owns digital data about you? South African legal scholar weighs up property and privacy rights – https://theconversation.com/who-owns-digital-data-about-you-south-african-legal-scholar-weighs-up-property-and-privacy-rights-249741

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  • MIL-OSI Submissions: Kids should be encouraged to talk back – 5 tips for teaching them critical thinking skills

    Source: The Conversation – Africa – By Heidi Matisonn, Senior Lecturer in Bioethics, The EthicsLab, Department of Medicine, Faculty of Health Sciences, University of Cape Town

    Teaching kids to think critically sets them up well for life. eli_asenova

    Whenever school holidays loom, many parents find themselves caught in an emotional tug-of-war: on the one hand, relief at bidding farewell to homework battles, bedtime struggles, and the lamenting of lost lunchboxes; on the other, terror at the daunting prospect of a barrage of “whys” and “buts” from their relentless interrogators. To avoid logic-defying arguments and endless debates, it is often not long before they find themselves playing the ultimate parental trump card: “because I said so”.

    As a parent, I can relate. But I’m also a moral philosopher with almost two decades of teaching experience. In philosophy classes, students who question ideas – and sometimes, in doing so, challenge authority – are praised. Why isn’t the same true for children? Is a child who questions their parents “being cheeky”? Or are they flexing the mental muscles that are necessary for their intellectual growth and ability to navigate the world?

    The job of a moral philosopher is to grapple with ideas about right and wrong, good and bad, seeking to answer the ultimate question: “how ought we to live?” While we use a range of strategies to tackle these fundamental ethical questions, one of the most important tools at our disposal is critical thinking.

    Critical thinking is the ability to analyse and evaluate information and arguments in a clear, rational and objective manner. When we are confronted with information, critical thinking requires us to consider why this person is saying that. What could be their motive? Is there a different possible explanation?

    I’m not suggesting that the goal is to raise argumentative children. Rather, as philosopher, strategic thinker and author Peter Facione explains, it is to nurture inquisitive minds that can interpret, analyse, evaluate and infer from information. In other words, parents should raise their children to be curious, critical thinkers who question everything, even if this means they question us in the process.

    How can parents teach critical thinking at home? Here are my five top tips:

    1. Ask open-ended questions and encourage children to do the same.

    2. Provide children with opportunities to make decisions and solve problems rather than doing it for them.

    3. Discuss the reasoning behind rules and decisions you make for them.

    4. Encourage children to consider alternative perspectives rather than just their own.

    5. Model critical thinking by thinking aloud when approaching problems.

    Thinking about our thinking

    Critical thinking requires metacognition: thinking about our thinking.

    Reflecting on our own views gives us a chance to recognise that they too should be scrutinised and evaluated. If we choose to be vegan, for example, is it because we care about reducing harm to animals, the environment, or both; or because it’s fashionable to be vegan? Once we’ve worked out our reasons for something, we can then evaluate whether these are “good” reasons or not.

    Critical thinking also means evaluating other people’s reasons. This requires us to be open to others’ points of view – including our children’s – rather than being blinded by our own biases. At the same time, to be a critical thinker is to take seriously the fact that everyone “has an agenda” (which may not be explicit) and we should therefore not take everything at face value. We can teach our children to be critical thinkers by getting them to consider the quality of the evidence presented for a position.

    Put simply, parents and caregivers can promote critical thinking in children by encouraging them to ask questions, challenge assumptions and explore alternative perspectives. Critical thinking requires us not to passively accept everything we read, hear and see but rather to question, evaluate and make judgments.

    Here’s what that might look like in practice.

    A practical example

    Add a side of critical thinking to make vegetables more palatable.
    FAMILY STOCK/Shutterstock

    Let’s say your child asks why she needs to eat vegetables.

    You could respond by saying “That’s a good question. What do you think? Why do you suppose we eat vegetables?” This encourages the child to start thinking about the issue herself.

    She replies: “Because you said I have to.”

    To get her to think about whether there are reasons beyond parental authority that may be important, you might want to ask: “Is that the only reason? Let’s think about it some more. Do you know anyone else who thinks we should eat vegetables?”

    Then, to encourage her to explore alternatives, you could ask: “What do you think would happen if we never ate any vegetables? What if we only ate sweets instead?”

    It might also be useful to do some research with your child, to introduce the idea of seeking evidence and reliable information. You could suggest that the two of you look up some facts about what vegetables do for our bodies.

    Finally, you could pose the original question back to your child, giving her a chance to synthesise what she’s learnt and form her own conclusion.

    Throughout the process, you are guiding your child to question, think about, and arrive at a reasoned understanding, rather than simply accepting a statement at face value.

    Other resources

    Does this sound daunting? Relax – it’s not all up to you.

    Many schools incorporate critical thinking skills across their curricula. Some excellent programmes have been implemented in schools around the world. One example is Philosophy for Children (P4C), developed by educator and philosopher Matthew Lipman in the 1970s. This approach uses structured discussions about open-ended questions and can be used to develop critical thinking skills in children as young as six.

    I also like the work of Critical Thinking Consortium (TC2), a Canadian organisation which provides resources and professional development to help educators embed critical thinking in their teaching. Project Zero is another good resource. This research group at the Harvard Graduate School of Education has developed several thinking routines and frameworks, such as “visible thinking” and “artful thinking”.

    You could also advocate for your child’s school to introduce critical thinking skills into their curricula. Schools could partner with university philosophy departments to offer classes for low or no cost as a community engagement or social responsibility initiative.

    Ultimately, whether children are exposed to these skills at home or at school, the key is to create an environment where questioning, reasoning, and exploring ideas are encouraged and valued. The goal is to make critical thinking a natural part of the way we interact with our children so that it becomes a natural part of the way they interact with the world.

    Heidi Matisonn 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. Kids should be encouraged to talk back – 5 tips for teaching them critical thinking skills – https://theconversation.com/kids-should-be-encouraged-to-talk-back-5-tips-for-teaching-them-critical-thinking-skills-238125

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  • MIL-OSI Submissions: Five ways you can use mantra meditation every day to boost your wellbeing

    Source: The Conversation – UK – By Jennifer Donnelly, Doctoral Researcher, Meditation-based Interventions in Clinical Settings, Centre of Positive Health Sciences, RCSI University of Medicine and Health Sciences

    Andrii Iemelianenko/Shutterstock

    Meditation has become a popular subject on self-improvement podcasts, corporate strategy days and health campaigns. But beyond the buzz, there’s a growing scientific and clinical interest in meditation as a tool to regulate attention and promote relaxation. These are increasingly recognised as central to wellbeing in a world of constant notifications, high demands and information overload.

    Mantra meditation has roots in ancient contemplative traditions across many cultures. At its simplest, a mantra is a word, phrase, or sound repeated silently or aloud to focus the mind, steady attention and support relaxation. Depending on the tradition, mantras may carry deep spiritual, linguistic or energetic significance. But in a more personal or secular practice, you might choose or create a mantra that’s meaningful only to you.

    It’s important to note that mantra meditation is distinct from focusing on breathing. While both help develop concentration and awareness, the mantra, not the breath, is the primary anchor of attention in mantra meditation. You may notice the breathing naturally while meditating, but the repetition of the mantra is what gently draws your mind back when it wanders.

    Emerging research suggests that mantra meditation may have promising benefits, from reducing stress and burnout to improving mood, focus and sleep. Focusing on a mantra to disengage from an overactive mind can be a valuable tool in today’s fast-paced world.

    Mantra meditations moments

    A simple starting point is to choose a phrase that resonates with you, something easy to remember and calming. For example: “I am … here now.” Or a word like “ease” or “peace”. Some people visualise a calming image, like a steady tree or a gentle wave, repeating it silently in their mind. The key is to return to your chosen anchor, your mantra, each time your mind drifts.

    You don’t need a special cushion, app or ritual. Below are five everyday moments when you can try this light mantra-practice:

    • On public transport: Use a few minutes of your commute to mentally repeat your mantra. The surrounding noise and movement can actually enhance the practice. When your mind wanders, which it will, gently return to your anchor.

    • While brushing your teeth: This brief, repetitive activity is already part of your day. Use the rhythm of brushing as a cue to repeat your mantra internally.

    • During your first sips of tea or coffee: Let this be a pause point. Breathe naturally. Repeat your chosen phrase. Even a few seconds of presence can shift the tone of your morning.

    Your first morning coffee could become a moment of deep calm in an otherwise hectic day.
    NDAB Creativity/Shutterstock

    • Instead of scrolling: Replace one moment of habitual phone use with one minute of mantra repetition. Notice the impulse to scroll, and meet it with your mantra instead. You can scroll later if you want; the point is to notice the choice.

    • Before stepping out of the car: Pause for 30-60 seconds before entering a new environment, whether that’s work, home or a social setting. This brief ritual can be a surprisingly powerful reset when transitioning to a new destination or activity.

    Longer sessions may deepen the effects, but short, consistent moments of practice are what build tolerance and insight. Meditation doesn’t always begin with peace. More often, it starts with the uncomfortable awareness of how distracted our thoughts can become. That moment of noticing is not a failure, it’s the practice.

    For parents, especially those with young children, meditation might feel unrealistic. But mantra practice can be adapted. Children often respond well to repetitive, rhythmic exercises. Try counting fingers together, repeating a calming phrase, or simply taking three breaths. It might not look like traditional meditation, but it can still create a shared moment of calm.

    Even counting fingers with children could be a way to experience a moment of togetherness and calm.
    YAKOBCHUK VIACHESLAV/Shutterstock

    For those living with chronic pain, health challenges or intense life transitions, meditation can sometimes make discomfort feel more present. In such cases, stillness might initially increase distress.

    Some research confirms that meditation can have uncomfortable or adverse effects, and distraction may be necessary at times. Even so, carefully introduced mantra meditation techniques or similar practices may support people living with chronic conditions by helping shift how discomfort is experienced, if approached with care, and suitable supports are offered.

    Mantra meditation isn’t about perfect focus, or fixing all our problems. Its strength lies in offering you a portable, repeatable practice to build awareness, one moment at a time.

    So before you move on after reading, try this: take 30 seconds, close your eyes, and return to your mantra. Just for now.

    Jennifer Donnelly 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. Five ways you can use mantra meditation every day to boost your wellbeing – https://theconversation.com/five-ways-you-can-use-mantra-meditation-every-day-to-boost-your-wellbeing-259313

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  • MIL-OSI Submissions: What one university’s 30-year transformation reveals about Afrikaans and language planning in South Africa

    Source: The Conversation – Africa – By Lloyd Hill, Lecturer, Stellenbosch University

    Rodger Bosch/AFP via Getty Images

    When South Africa became a democracy in 1994, five of the country’s universities used Afrikaans as a medium of instruction. There were also two bilingual universities teaching in Afrikaans and English.

    Stellenbosch University, about 50km from Cape Town, is the oldest historically Afrikaans university. Over the past three decades English has gradually replaced Afrikaans in the core functions of teaching and research.

    The status of Afrikaans at formerly Afrikaans or bilingual universities remains the subject of considerable debate. This has led to litigation and three judgments in South Africa’s apex court, the constitutional court.

    Afrikaans is commonly categorised as an Indo-European language, related to Dutch. It can be more accurately described as a Creole language that developed after the Dutch colonised the Cape in 1652. In 1925, standardised Afrikaans became an official language alongside English. It subsequently became associated with white Afrikaner nationalism and, from 1948, apartheid education policies. In 1976, Black students mobilised against attempts to make Afrikaans a compulsory medium of instruction in schools.

    I’m a sociologist who studies language and communication in science and higher education. In a recent article and presentation I examined the three phases in which the language shift and the decline of Afrikaans at Stellenbosch University has unfolded.

    The first phase (1994-2002) involved an attempt to defend Afrikaans institutional monolingualism. The second (2002-2015) saw a shift to institutional bilingualism. Afrikaans and English were used in undergraduate classes. The final and current phase began with the 2015-16 #FeesMustFall student protests. Pressure for the transformation of a predominantly white campus escalated. This triggered a rapid shift to English.

    In 2024, the university’s language policy is, on paper, a scaled-down version of institutional bilingualism (Afrikaans and English). However, in practice English is the main medium of instruction. Afrikaans is, increasingly, not used across all disciplines. This reflects the trend at other formerly Afrikaans or bilingual public universities.

    There is a case to be made for defending Stellenbosch University’s position as a centre of Afrikaans language and culture. But the centralised language planning apparatus it has developed over the past two decades is simply unsustainable. This case study prompts a broader reflection on languages and language planning within South African higher education.

    First, for reasons related to its global academic status and its national second-language status, English has emerged as the dominant language of teaching and research at South African universities.

    The second issue has to do with the nature of “language” at different levels of the education system. The official languages adopted in 1994 are not uniform “mother tongues” or “vehicles” moving from basic education to PhD.

    Languages are more than individual “competencies”: they are political and economic projects. They are also particularly expensive and difficult to “plan” in university teaching and research.

    First phase (1994-2002)

    In 1994, South Africa’s then-interim constitution recognised 11 official languages. It committed “the state” to “practical and positive measures to elevate the status and advance the use of these languages”.

    Afrikaans universities faced a particular dilemma. How could they retain Afrikaans as a medium of instruction and open enrolment to formerly excluded Black students? These are generally second-language English speakers who opt to study in English.

    Other historically Afrikaans institutions adopted parallel medium instruction. Stellenbosch University resisted this trend and asserted its autonomy as a monolingual institution. Postgraduate teaching and research, however, shifted to English. Afrikaans was reframed as an undergraduate teaching issue.

    The university argued that the predominantly Afrikaans-speaking Western Cape and Northern Cape provinces needed an Afrikaans-medium university.

    Two factors undermined this demographic argument. First, the university enjoys national status. This can be traced back to an elite Anglophone college system in the 19th century British Cape Colony. Second, after the 1994 transition, the university focused on internationalisation. It also established itself as a leading research-intensive institution. As a result it has increasingly attracted students and academics with little or no Afrikaans competency.

    Second phase (2002-2015)

    In the early 2000s South Africa’s higher education system was overhauled. This involved institutional mergers, which coincided with the adoption of the 2002 Language Policy for Higher Education. The policy effectively disestablished monolingual Afrikaans universities, stating:

    The notion of Afrikaans universities runs counter to the end goal of a transformed higher education system.

    Stellenbosch University adopted its first language policy and plan in 2002. Afrikaans was reframed as one of four undergraduate language options and described as “the default language of undergraduate learning and instruction”. A heated debate erupted in the Afrikaans media. In this first public – and acrimonious – taaldebat (language debate) many criticised the new “default” status of Afrikaans. That’s because, like a default setting on a computer, this option could be switched.

    Multilingual signage outside a building at Stellenbosch University.
    Lloyd Hill, CC BY

    The new policy introduced formal language planning as an institutional process that would involve periodic policy updates. It also presented three module “options” that represented possible routes away from institutional monolingualism.

    First, dual medium instruction involved using both English and Afrikaans in one lecture. Second, parallel medium instruction involved separate lectures in English and Afrikaans. Third was an English medium option. However, the second and third options were reserved for “exceptional circumstances”.

    Within a few years, most modules shifted to the dual medium option. The university shifted to a dual medium form of institutional bilingualism. But a tacit racial assumption underpinned this model. The language policy ignored the growing enrolment of Black students and the appointment of Black staff members who didn’t have the required bilingual proficiency.

    A new language policy, adopted in December 2014, tried to address the bilingual proficiency problem. It prioritised parallel medium instruction and “educational interpeting”. It never got off the ground.

    Third phase (2015 to date)

    Beginning in March 2015, a series of “Fallist” movements mobilised on South African campuses. A predominantly Black student movement called Open Stellenbosch was established. It aimed “to challenge the hegemony of white Afrikaans culture and the exclusion of Black students and staff”. Language policy was a key point of contention.

    The university responded by redrafting its language policy. In June 2016 it established English as the primary medium of teaching at the undergraduate level.

    This moment also marks the shift to what I term the second taaldebat. Afrikaans language activists now argued that English and Afrikaans ought to enjoy equal status. Institutional bilingualism became the new ideal framework for defending Afrikaans at Stellenbosch University.

    Language activism included litigation, which ended in a constitutional court ruling. The court upheld the 2016 language policy review process. It also noted the “hard racial edge” to the evidence produced by Stellenbosch University. It remarked that:

    Seen as a bloc, the new entrants for whom Afrikaans is an obstruction are not brown or white, but overwhelmingly Black.

    Today, Stellenbosch remains notionally committed to “multilingualism”. In practice, this means a scaled down version of institutional bilingualism. It involves very limited parallel medium instruction and some simultaneous interpreting. English is the compulsory medium in modules where no duplication occurs.

    Lloyd Hill received funding from the South African National Research Foundation (Grant #111845).

    ref. What one university’s 30-year transformation reveals about Afrikaans and language planning in South Africa – https://theconversation.com/what-one-universitys-30-year-transformation-reveals-about-afrikaans-and-language-planning-in-south-africa-242709

    MIL OSI

  • MIL-OSI Submissions: Scientists in Antarctica: why they’re there and what they’ve found

    Source: The Conversation – Africa (2) – By David William Hedding, Professor in Geography, University of South Africa

    A media storm blew up in mid-March 2025 when a researcher at South Africa’s isolated Sanae IV base in Antarctica accused one of its nine team members of becoming violent.

    The Conversation Africa asked geomorphologist David William Hedding, who has previously carried out research from the frozen continent, about the work researchers do in Antarctica, what conditions are like and why it matters.

    What do researchers focus on when they’re working in Antarctica?

    Currently, the main focus of research in the Antarctic revolves around climate change because the White Continent is a good barometer for changes in global cycles. It has a unique and fragile environment. It’s an extreme climate which makes it highly sensitive to any changes in global climate and atmospheric conditions. Importantly, the Antarctic remains relatively untouched by humans, so we are able to study processes and responses of natural systems.

    Also, the geographic location of Antarctic enables science that is less suitable elsewhere on the planet. An example of this is the work on space weather (primarily disturbances to the Earth’s magnetic field caused by solar activity). Studying space weather is significant because the magnetic field of the Earth can impact communication platforms, technology, infrastructure and even human health.

    How many countries have teams working there? Where does South Africa fit in?

    Currently, about 30 countries have research stations in the Antarctic but these bases serve a far wider community of researchers. Collaboration is a key component of research in the Antarctic because many study sites are isolated, logistics are a challenge and resources are typically limited.

    The South African base in Antarctica, named SANAE IV usually has between 10 and 12 researchers and base personnel. This research station is situated on a nunatak (a mountain piercing through the ice) in Western Dronning Maud Land. It is an extremely remote location approximately 220km inland from the ice-shelf.

    The researchers and base personnel remain in Antarctica for approximately 15 months working through the cold and dark winter months.

    What have been some of the biggest ‘finds’?

    The biggest research finding from the Antarctic was the discovery of the ozone hole in 1985 by scientists from the British Antarctic Survey. This discovery led to the creation and implementation of the Montreal Protocol, a treaty to phase out chlorofluorocarbons (synthetic chemical compounds composed of chlorine, fluorine, and carbon) which destroy ozone. This was a major breakthrough in terms of slowly healing the ozone layer.

    The second most significant piece of research to come from the Antarctic has been the use of ice cores to reconstruct past climates. Ice cores preserve air bubbles which provide a wealth of information about the conditions of the atmosphere over time. Importantly, ice cores provide an uninterrupted and detailed window into the past 1.2 million years. This is important because only by understanding past climates and the earth’s responses to those changes are we able to predict future responses. This is significant because of the imminent threats resulting from anthropogenic (human-induced) climate change.

    What conditions do scientists work under?

    Conducting research in the Antarctic is extremely difficult for three primary reasons: remoteness, the cold and daylight.

    The remoteness of many study sites makes it difficult to reach. Distances are vast from the limited number of bases in the Antarctic. Thus, logistics for science in the Antarctic is a major challenge and requires collaboration and planning. For example, the geologists from the University of Johannesburg, who work from the SANAE IV base in Antarctica, often spend weeks in the field collecting samples. They travel significant distances via snow mobile and remain self-sufficient while conducting science in tough conditions.

    These tough conditions relate specifically to the cold. Most science only occurs in the austral summer months when temperatures become marginally bearable. Also, the summer season only provides a short window in which to operate because access to Antarctic by sea is limited by extent and thickness of the sea ice.

    Lastly, during summer there is 24 hours of daylight which lengthens the working day but these conditions are also short-lived.

    Why it is important to do scientific work in the area?

    The Antarctic is intricately linked to global systems and plays a major role in influencing these systems.

    For example, climate change will cause significant melting of land-based ice in Antarctica which when added to the oceans will cause sea-level rise and disruptions to global oceanic currents. Therefore, it is critical that we obtain a better understanding of how responses of terrestrial systems, such as the Antarctic, will impact oceanic systems because ultimately changes in ocean currents will impact the oceanic food web.

    In the context of climate change, sea-level rise is a major concern as it will have global impacts for society, so it is critical that the impacts are investigated to enable society to build resilience and adapt.

    David William Hedding receives funding from the National Research Foundation.

    ref. Scientists in Antarctica: why they’re there and what they’ve found – https://theconversation.com/scientists-in-antarctica-why-theyre-there-and-what-theyve-found-252752

    MIL OSI

  • MIL-OSI Submissions: Scientists in Antarctica: why they’re there and what they’ve found

    Source: The Conversation – Africa (2) – By David William Hedding, Professor in Geography, University of South Africa

    A media storm blew up in mid-March 2025 when a researcher at South Africa’s isolated Sanae IV base in Antarctica accused one of its nine team members of becoming violent.

    The Conversation Africa asked geomorphologist David William Hedding, who has previously carried out research from the frozen continent, about the work researchers do in Antarctica, what conditions are like and why it matters.

    What do researchers focus on when they’re working in Antarctica?

    Currently, the main focus of research in the Antarctic revolves around climate change because the White Continent is a good barometer for changes in global cycles. It has a unique and fragile environment. It’s an extreme climate which makes it highly sensitive to any changes in global climate and atmospheric conditions. Importantly, the Antarctic remains relatively untouched by humans, so we are able to study processes and responses of natural systems.

    Also, the geographic location of Antarctic enables science that is less suitable elsewhere on the planet. An example of this is the work on space weather (primarily disturbances to the Earth’s magnetic field caused by solar activity). Studying space weather is significant because the magnetic field of the Earth can impact communication platforms, technology, infrastructure and even human health.

    How many countries have teams working there? Where does South Africa fit in?

    Currently, about 30 countries have research stations in the Antarctic but these bases serve a far wider community of researchers. Collaboration is a key component of research in the Antarctic because many study sites are isolated, logistics are a challenge and resources are typically limited.

    The South African base in Antarctica, named SANAE IV usually has between 10 and 12 researchers and base personnel. This research station is situated on a nunatak (a mountain piercing through the ice) in Western Dronning Maud Land. It is an extremely remote location approximately 220km inland from the ice-shelf.

    The researchers and base personnel remain in Antarctica for approximately 15 months working through the cold and dark winter months.

    What have been some of the biggest ‘finds’?

    The biggest research finding from the Antarctic was the discovery of the ozone hole in 1985 by scientists from the British Antarctic Survey. This discovery led to the creation and implementation of the Montreal Protocol, a treaty to phase out chlorofluorocarbons (synthetic chemical compounds composed of chlorine, fluorine, and carbon) which destroy ozone. This was a major breakthrough in terms of slowly healing the ozone layer.

    The second most significant piece of research to come from the Antarctic has been the use of ice cores to reconstruct past climates. Ice cores preserve air bubbles which provide a wealth of information about the conditions of the atmosphere over time. Importantly, ice cores provide an uninterrupted and detailed window into the past 1.2 million years. This is important because only by understanding past climates and the earth’s responses to those changes are we able to predict future responses. This is significant because of the imminent threats resulting from anthropogenic (human-induced) climate change.

    What conditions do scientists work under?

    Conducting research in the Antarctic is extremely difficult for three primary reasons: remoteness, the cold and daylight.

    The remoteness of many study sites makes it difficult to reach. Distances are vast from the limited number of bases in the Antarctic. Thus, logistics for science in the Antarctic is a major challenge and requires collaboration and planning. For example, the geologists from the University of Johannesburg, who work from the SANAE IV base in Antarctica, often spend weeks in the field collecting samples. They travel significant distances via snow mobile and remain self-sufficient while conducting science in tough conditions.

    These tough conditions relate specifically to the cold. Most science only occurs in the austral summer months when temperatures become marginally bearable. Also, the summer season only provides a short window in which to operate because access to Antarctic by sea is limited by extent and thickness of the sea ice.

    Lastly, during summer there is 24 hours of daylight which lengthens the working day but these conditions are also short-lived.

    Why it is important to do scientific work in the area?

    The Antarctic is intricately linked to global systems and plays a major role in influencing these systems.

    For example, climate change will cause significant melting of land-based ice in Antarctica which when added to the oceans will cause sea-level rise and disruptions to global oceanic currents. Therefore, it is critical that we obtain a better understanding of how responses of terrestrial systems, such as the Antarctic, will impact oceanic systems because ultimately changes in ocean currents will impact the oceanic food web.

    In the context of climate change, sea-level rise is a major concern as it will have global impacts for society, so it is critical that the impacts are investigated to enable society to build resilience and adapt.

    David William Hedding receives funding from the National Research Foundation.

    ref. Scientists in Antarctica: why they’re there and what they’ve found – https://theconversation.com/scientists-in-antarctica-why-theyre-there-and-what-theyve-found-252752

    MIL OSI

  • MIL-OSI Submissions: How huge migrating animal puppets captivate in ways that climate news can’t

    Source: The Conversation – UK – By Matt Smith, Reader in Applied Theatre and Puppetry, University of Portsmouth

    A herd of puppet animals is migrating north from Africa. This 12,000 mile journey represents wildlife’s response to the climate crisis as species are forced to move north due to rising temperatures. As The Herds travels through the UK en route to the Arctic, the organisers hope this artistic project will help spectators along the route understand what is happening to the environment.

    Events like this are “louder than traffic”, according to US-based puppeteer Peter Schumann. The giant puppets are a visual tool to capture the public’s imagination.

    Over the past 30 years working as a theatre scholar, I have observed that puppetry has become an important artform for telling stories that explore the way we respond to and interact with nature.

    Like traditional street theatre such as Punch and Judy, puppets grab the audience’s attention against the backdrop of everyday life. Now with the rise of social media, modern culture is now even more visually oriented. Puppetry is a big hit in these new digital spaces, according to some researchers.

    The Herds project was created by a theatre company called Little Walk after the success of Little Amal, a Syrian refugee puppet project about human migration and climate relocation. One of the Little Amal puppeteers told me that, ironically, it was easier for the puppets to cross borders but the human artists and puppeteers had to take major detours to carry out the Little Amal project in 17 countries.

    The Herds aims to inspire people to think about the direct consequences of the climate crisis as the animal puppets travel from Africa to the Arctic. Puppeteers animate the life-size puppets in full view of the audience. As each puppeteer focuses on moving the puppet, they transfer their energy and emotion into the puppets body.

    The Herds takes puppets on a 12,000-mile-long migration from Africa to the Arctic.

    I was trained in these techniques during the 1990s. I know that when a performer intensely focuses on a performing object, the result is mesmerising. It can enable the audience to feel empathy for another non-human being. The aim is to cut through discourses and affect people directly with images performed beyond language and local agendas.

    Puppetry is both an interdisciplinary and interactive artform that is as old as human culture. Animated figures have been employed in both the popular spaces of folk theatres and the avant garde spaces of high art. Puppet characters can tell very simple stories in slapstick shows or speak to complex issues in projects like The Herds.

    Even having researched puppetry in communities for more than three decades, the many varied uses for puppetry continue to surprise me. Beyond theatres, puppets can affect people in everyday spaces, just as The Herds does. My book, published in 2024, explores how the popular global practice of puppetry by communities and groups brings pleasure through both making and performing with puppets.

    Communicating complexity

    In 2023, I collaborated with scientists at the Centre for Enzyme Innovation at University of Portsmouth who are developing enzymes that can break down plastic waste. We found that puppets could help to communicate complex science about innovative recycling to audiences through workshops and a showcase event. The puppets as entertaining figures symbolising ideas could animate the science and engage audiences in a playful and non-elitist fashion.

    Puppetry is a powerful and engaging art form that can capture the imagination of audiences globally. Even during our advanced technological times puppetry is still employed both by technologies – for example our own XR lab used puppets recently exploring their use with avatars.

    With successful West End productions in London such as Lion King and War Horse (a show which changed the fortunes of the National Theatre, puppetry has become mainstream in the UK. Now with The Herds, animal puppets are having a global reach.


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    Matt Smith receives funding from Royal Academy of Engineering for the enzyme puppet project.

    ref. How huge migrating animal puppets captivate in ways that climate news can’t – https://theconversation.com/how-huge-migrating-animal-puppets-captivate-in-ways-that-climate-news-cant-259592

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