Category: Universities

  • MIL-OSI China: China completes world’s first interventional brain-computer interface experiment on human

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

    China completes world’s first interventional brain-computer interface experiment on human

    Xinhua | June 24, 2025

    A Chinese team, led by Nankai University, announced a significant breakthrough in brain-computer interface (BCI) technology: the world’s first interventional human BCI experiment on a human patient.

    This less-invasive procedure helped a 67-year-old male patient, suffering from paralysis, regain significant limb function, according to Nankai’s announcement on Sunday.

    The patient, who had experienced left-side paralysis for six months due to a cerebral infarction, saw his left upper limb achieve actions like grasping and taking medicine.

    Unlike the invasive skull-opening surgery used by Elon Musk’s Neuralink last year, this pioneering technique involves implanting a device into the skull via neck blood vessels. The device, a stent electrode, was guided into the patient’s cranial blood vessel wall using high-precision imaging.

    A wireless transmission and power supply unit was also implanted subcutaneously to collect and transmit brain electrical signals, said the Nankai team.

    After the surgery, the system has operated stably without complications such as infection, enabling precise brain signal acquisition and interactive control.

    This approach significantly reduces surgical risks while maintaining high signal acquisition accuracy and a shorter recovery period, said Duan Feng, a professor from Nankai who led the research.

    The advancement has laid the groundwork for future large-scale adoption and offers new hope for patients with motor dysfunctions like stroke, said Duan.

    It came after Duan’s team conducted the world’s first interventional BCI experiment on non-human primates in 2023.

    The team’s future plans involve recruiting more participants and exploring additional rehabilitation methods. 

    MIL OSI China News

  • MIL-OSI USA: Case Opposes Proposed Funding Bill That Cuts Food Assistance To Hawaii Residents

    Source: United States House of Representatives – Congressman Ed Case (Hawai‘i – District 1)

    (Washington, DC) – U.S. Congressman Ed Case (HI-01), a member of the House Appropriations Committee, tonight voted against the proposed Fiscal Year (FY) 2026 Agriculture, Rural Development, Food and Drug Administration (FDA) and Related Agencies funding measure.  

    The measure would provide $25.5 billion, a $1 billion decrease from the current year, for U.S. Department of Agriculture (USDA) agriculture and rural development programs, the Farm Credit Administration, Commodity Futures Trading Commission and the FDA.

    It is the third of twelve separate bills developed and approved by the Appropriations Committee that would fund the federal government at some $1.6 trillion for FY 2026 commencing October 1st of this year. 

    “While the measure funds many critical Hawai‘i priorities, I regrettably had to vote against it because it would cut food assistance for vulnerable families and make it even harder for Hawai‘i farmers to make ends meet,” said Case, who is in his seventh year on Appropriations and previously served on the House Committee on Agriculture.  

    “At a time when families around the country and our state are struggling with the high cost of living and rising food costs, and when Hawai‘i agriculture is struggling with high production costs and the consequences of the administration’s rash and chaotic tariff war, we should be maintaining our time-tested federal programs, not reducing or even eliminating them.” 

    The bill:  

    ·        Cuts $100 from the Special Supplemental Nutrition Program for Women, Infants, and Children (WIC) and fails to support the cash benefit for fruits and vegetables that ensures women, infants and children get the nutrients they need.  

    ·        Reduces staffing for the Farm Service Agency (FSA), which operates offices across the country that assist farmers in getting needed federal assistance. The bill provides $110 million less for FSA staffing than what was provided in FY 2025.  

    ·        Cuts funding for the Natural Resources Conservation Service Conservation Operations by 5 percent below FY 2025 funding levels.

    ·        Cuts rural housing and water and waste-water grants.

    In addition, the bill eliminates key programs for Hawai‘i, like the Reimbursement Transportation Cost Payment Program for Geographically Disadvantaged Farmers and Ranchers. This program helps our local farmers with the cost of getting their produce to the mainland markets. Additionally, the Micro-Grants for Food Security Program, which increases the quantity and quality of locally grown food through small-scale gardening, herding and livestock and apiary operations, was eliminated.  

    Case especially objected to large cuts in critical foreign food assistance programs, including $900 million for Food for Peace, almost 50% down to its lowest level since 2002, and $220 million for the McGovern-Dole International Food for Education and Child Nutrition program, $20 million below the FY 2025 level. 

    “Cutting our international food assistance programs is contrary to our values and harms our national security. Global food insecurity leads to political instability, making countries more vulnerable to conflict and extremism, and helping other countries and peoples with their food needs knits together alliances and partnerships which are critical to our national defense,” said Case, a member of the Defense Appropriations Subcommittee.  

    Despite these and other significant problems with the bill, Case highlighted positive provisions he requested including important victories for Hawai‘i, including $216 million for the Specialty Crop Pests Program, which helps to protect our topical crops from invasive species. In addition, $15 million was included for Minor Crop Pest Management, which provides expert assistance for effective minor/specialty crop protection. The bill also provides research and education funds for Alaska Native and Native Hawaiian-Serving institutions, in addition to funding for our land-grant universities like the University of Hawai‘i.  

    “Invasive species pose a significant ecological and economic threat to our Hawai‘i, with specially damaging impacts on local agriculture,” said Case.  

    “This agriculture funding bill provides support for our local farmers, farmers markets and food promotion programs, which combined will help our Hawai‘i deal with the soaring cost of food, much of which is imported to our islands,” said Case.  

      Provisions in the bill of interest to Hawai‘i that Case worked to secure include:  

    ·        $5 million for Education Grants for Alaska Native and Native Hawaiian-Serving Institutions. This program addresses the educational needs of food and agricultural sciences-related disciplines and prepares low-income students for careers related to food, agricultural and natural resources.  

    ·        $123 million for the USDA Wildlife Damage Management Program, which helps to prevent the spread of the Brown Tree Snake to Hawai‘i.  

    ·        $3 million for Agricultural Canine Detection and Surveillance of invasive species and diseases, an increase of $500,000.  

    ·        $1.1 billion for the Animal and Plant Health Inspection Service, including $216 million for combating specialty crop pests.  

    ·        $36 million for Agriculture Quarantine Inspections to prevent infestations of pests and diseases.  

    ·        $15 million for the Minor Crop Pest Management Program to provide expert assistance to minor and specialty crop producers.  

    ·        $8 million for the Grassroots Source Water Protection Program that is designed to prevent water source pollution.  

    ·        $5 million for Aquaculture Centers and $2 million for aquaculture research programs.  

    ·        $1 million for Tropical and Subtropical Agricultural Research Grants for Insular Areas.  

       The measure also:  

    ·        Directs the Agricultural Research Service to continue research on tropical and subtropical crops, emphasizing the need to combat invasive pests.

    ·        Directs the Animal and Plant Health Inspection Service to report on existing protocols protecting Hawai‘i from invasive species and evaluate options for enhancing this protocol.  

      A summary of the agriculture funding bill is available here.  

      ###

     

     

    MIL OSI USA News

  • MIL-Evening Report: ‘Baths, wine, and sex make life worth living’: how ancient Romans used public baths to relax, work out and socialise

    Source: The Conversation (Au and NZ) – By Peter Edwell, Associate Professor in Ancient History, Macquarie University

    iLongLoveKing/Shutterstock

    Standing in the vast ruins of the Baths of Caracalla in Rome, hundreds of gulls circle above. Their haunting cries echo voices from 1,800 years ago. Today, the bare shell of what was one of Rome’s largest bath complexes mostly sits empty, occasionally playing host to opera performances.

    But what were the baths of ancient Rome actually like back then? And why were the Romans so into public bathing?

    Public baths everywhere

    While living in Rome for almost a year, I noticed the remains of ancient baths (thermae in Latin) everywhere.

    Virtually every emperor built them, and by the middle of the fourth century there were 952 public baths in the city.

    The largest were the baths built by the emperor Diocletian (284–305). Around 3,000 people a day could bathe at this 13-hectare complex.

    These baths, like most, contained a room (the caldarium) heated by air ducts in the walls and floors. The floors were so hot special sandals were worn.

    Another room leading from it was milder (the tepidarium), before bathers entered the frigidarium, which contained a cold pool. A 4,000-square-metre outdoor swimming pool was the central feature.

    Public baths also often featured gymnasiums, libraries, restaurants and exercise yards.

    Today, the baths of Caracalla mostly sit empty.
    Wirestock/Getty

    ‘Baths, wine, and sex make life worth living’

    The philosopher Seneca, also an advisor to the emperor Nero, lived above a bath complex around 50 CE.

    He described the sounds of people “panting in wheezy and high-pitched tones” as they lifted weights. Others plunged into swimming tanks with a loud splash. Shop-owners selling food yelled out the prices of their wares. Some sang loudly for their own pleasure in the bathroom.

    One 4th-century CE account describes how aristocrats sometimes arrived at the baths with 50 servants attending them.

    Sections of the baths were reserved for these guests, who brought their finest clothes and expensive jewellery.

    While emperors built large public bath complexes, there were many smaller private ones. Entry fees were low and sometimes free during festivals and political campaigns. This allowed all social classes to use the baths.

    Women and men bathed separately and used the baths at different times of the day. Some bath complexes had areas designated for women only. The physician Soranus of Ephesus, who wrote a treatise on gynaecology in the second century CE, recommended women go to the baths in preparation for labour.

    In a crowded and polluted city like Rome, the baths were a haven. Warm water, smells of perfumed ointments, massages and a spa-like environment were pleasures all could indulge in.

    A first-century CE inscription declared that

    baths, wine, and sex make life worth living.

    Baths and the grim reality of slavery

    Baths were places of great social importance, and nudity allowed bathers to show off their physical prowess.

    Archaeological evidence suggests even dentistry was performed at the baths.

    Behind these images of indulgence, however, lay the grim reality of slavery. Slaves did the dirtiest work in the baths.

    They cleaned out cinders, emptied toilets and saw to the clearing of drains.

    Slaves came to the baths with their owners, whom they rubbed down with oil and cleaned their skin with strygils (a type of scraper). They entered the baths through a separate entrance.

    Baths across the empire

    Baths were popular in every city and town across the Roman Empire. A famous example is Aquae Sulis – the modern town of Bath – in England (which was under Roman rule for hundreds of years). At Aquae Sulis, a natural hot spring fed the baths. The goddess Minerva was honoured at the complex.

    The remains of similar bath complexes have been found in North Africa, Spain and Germany.

    Extensive remains of a Roman bath at Baden Baden in Germany are among the most impressive.

    Similarly, at Toledo in Spain, a public Roman bath complex measuring almost an acre has been found.

    Baths were often built in military camps to provide soldiers with comforts during their service. Remains of military baths have been found all over the empire. Researchers have found and excavated the baths for the army camp at Hadrian’s wall, a wall built to help defend the Roman Empire’s northern frontier in what is now modern Britain.

    The baths at Chester contain hot rooms (caldaria), cold rooms (frigidaria) and also a sweat room (sudatoria), which is similar to a sauna.

    A long history

    The Romans weren’t the first to use public baths. Their Greek forebears had them too. But the Romans took public bathing to a empire-wide level. It became a marker of Roman culture wherever they went.

    Public bathing would continue in the empire’s Islamic period and became famously popular under the Ottomans, who ruled the empire between 1299 and 1922. Turkish hammams (baths) remain an important public institution to this day and they descend directly from the Romans. Istanbul still contains 60 functioning hammams.

    Roman baths were not only technically ingenious and architecturally impressive, they connected people socially from all walks of life. As the gulls circle over the baths of Caracalla in Rome, their haunting cries connect us to that very world.

    Peter Edwell receives funding from the Australian Research Council.

    ref. ‘Baths, wine, and sex make life worth living’: how ancient Romans used public baths to relax, work out and socialise – https://theconversation.com/baths-wine-and-sex-make-life-worth-living-how-ancient-romans-used-public-baths-to-relax-work-out-and-socialise-257466

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI China: Defying all odds, “Desert Poplar Spirit” works green miracles in Taklimakan

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

    An aerial drone photo taken on Oct. 25, 2024 shows the autumn scenery of the desert poplar forest at the Huludao (Gourd Island) scenic spot in Yuli County, northwest China’s Xinjiang Uygur Autonomous Region. (Xinhua/Hu Huhu)

    In the vast wilderness of Xinjiang’s Taklimakan Desert, the populus euphratica, or the desert poplar, thrives against harsh conditions, withstanding cold, heat, alkali, and extreme drought while serving as a natural barrier against sandstorms.

    Mirroring the indomitable nature of the trees, a dedicated group has taken root there, tirelessly working to transform sand into greenery. Their perseverance has crystallized into what locals call the “Desert Poplar Spirit.”

    Nurjamal Emdulla is one of them. After graduating from college in 2010, she returned to her hometown of Awati County in Aksu Prefecture to join the local forestry and grassland bureau.

    In 2021, local authorities initiated a sand control project in the county’s Aiximan region on the northwestern margin of the Taklimakan, an area characterized by extensive sand dunes resulting from desertification. This was when Nurjamal Emdulla’s war against the sands began.

    For days on end, she would spend over ten hours in the field. “I teach workers planting techniques — how to dig holes, plant saplings, and water them correctly,” she explained. “And how to secure each sapling’s base with wire mesh to prevent wildlife from damaging the young plants.”

    The commute to and from work was no easy feat. “When sandstorms rage, visibility drops greatly, and even fresh footprints vanish instantly. Getting lost was routine,” she recalled. “My mom would always complain that ‘as a girl, you don’t even have a chance to wear dresses.’”

    For Nurjamal Emdulla, the harsh working conditions were never the real challenge. What truly unsettled her was the seeming impossibility of life taking root in those barren sands.

    For desert control workers, failure is a daily companion. One strong sandstorm can uproot freshly planted saplings in minutes. And the scorching heat and lack of water can also claim the fragile seedlings.

    “Oftentimes, it felt like what we were doing was pointless,” she even considered quitting.

    The turnaround came in spring 2022. One day, Nurjamal Emdulla discovered some new green on the branches of the saxaul shrubs, although it was too pale to be seen. “The trees were alive! I saw hope,” she recalled, with tears brimming in her eyes.

    Nowadays, vast stands of saxaul trees and tamarisk flourish across the once-barren lands, and long-absent wild animals such as hares, foxes and pheasants can be spotted occasionally.

    The same kind of despair that once bothered Nurjamal Emdulla was also felt by people in Wenaletaikushi village in Kashgar Prefecture.

    The village was encircled by desert on three sides, with encroaching dunes just 50 meters from the nearest homes. Villagers tried to plant trees but failed due to drought. Cotton and wheat yields withered season after season. Many abandoned their homes in search of a better life.

    Dai Zhigang, 55, from the forestry and grassland bureau of Kashgar, was sent to work as head of the village in 2023 with a battle cry: “We will tame this desert!”

    With the township government’s backing, the village implemented drip irrigation systems to resolve the water shortage issue. And a trial planting of saxaul trees and Russian olive shrubs began in earnest.

    “At the beginning, villagers were doubtful,” he said; some call him “bottle gourd head,” which in the Uygur language means a stubborn, silly person.

    Indeed, the campaign was not without its struggles: the newly leveled sand dunes would reclaim their heights overnight after sandstorms; the freshly planted saplings were often uprooted by shifting sands.

    After facing one defeat after another, a forest comprised of sand-fixation trees had successfully taken root last year.

    “Now the villagers are convinced and as determined as I am to continue with our planting,” Dai said. More and more villagers have voluntarily joined the desert prevention and control team. By this spring, over 160 hectares of desert had been regreened.

    The resilience and perseverance are evident not only on the frontlines of desert control but also within research institutions, where science is waging its campaign against the encroaching sands.

    Li Zhijun, a professor of Tarim University in Aral City, is called the “Desert Poplar Princess” by her colleagues.

    Over the past 25 years, she has traveled across the Tarim Basin to collect wild poplar germ plasm resources, leading multiple studies on the conservation and restoration of populus euphratica forests.

    Li and her team spend over six months each year conducting field surveys. When their cars get stuck in the soft sands, they pick up their heavy ladders and sampling gear, and trek the remaining kilometers.

    They climb up and down the trees to collect samples and conduct measurements. When encountering strong winds, the team could only hold hands with one another and push forward against wind and sand.

    “The desert poplar is a part of my life. Their resilience and vitality inspire me, enabling me to persist,” said the 62-year-old.

    Over the years, she led her team to over 60 counties and cities, collecting over 4,000 samples of poplar genetic resources. She developed conservation plans for various genetic resources of the species and established a gene pool for China’s poplar resources.

    Every day, such stories of failure, success, struggle and perseverance unfold across the vast deserts of Xinjiang.

    Thanks to decades of sand control efforts, China completed a 3,046-km green belt of trees and sand-blocking technologies last November to fully encircle the Taklimakan Desert.

    A brighter prospect is emerging for the sand fighters.

    “We not only work to control the sand, but will also make money from it,” said Dai Zhigang. Besides planting saxaul and poplar trees to fix the sand, the village is also cultivating economic crops such as licorice, roses, and watermelons. He also set aside a section of vacant sandy land with plans to create a desert park to attract tourists.

    Asked about his plans to retire, he replied, “I’ll keep working with the desert until the day these old bones turn to dust!”

    MIL OSI China News

  • MIL-OSI China: World embraces ‘cool’ Chinese creativity with zeal

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

    Right beside the Louvre in Paris, a limited-edition Mona Lisa-inspired collectible toy known as Labubu was fueling a buying frenzy at a store of Chinese toy giant Pop Mart.

    Also, in Times Square, New York, the fiery-wheeled Ne Zha appeared on a giant screen earlier this year, kicking off a wave of overseas screenings of this Chinese animated hit.

    Additionally, at the ongoing Expo 2025 in Osaka, China-chic interactive experiences such as a Wukong with artificial intelligence (AI) at the China Pavilion have attracted hundreds of thousands of visitors within just a month of its opening.

    Notably, an increasing number of creative and diverse Chinese cultural products have become global sensations in recent times. Empowered by this trend, China’s cultural presence abroad is undergoing a paradigm shift while unveiling a youthful image, with many overseas audiences expressing admiration for how “cool” the country is becoming.

    LABUBU’S GLOBAL REACH

    At the Pop Mart store in K11 Art Mall in Hong Kong Special Administrative Region in south China, long queues form regularly. Thai tourist Bonn patiently followed the crowd and finally secured her shopping fix after nearly 30 minutes of waiting. During her trip to Hong Kong, she had spent around 3,000 Hong Kong dollars (about 382 U.S. dollars) on merchandise.

    “Wherever I go, I always visit the local Pop Mart to stock up,” Bonn said. She especially adores the cute Labubu character and has collected hundreds of differently costumed figurines since getting hooked last year.

    “I dress the figurines up and even take them traveling with me,” she added.

    Recently, this sharp-toothed, rabbit-eared forest sprite has gained global popularity. Stores frequently sell out, while prices surge in secondary markets. According to Pop Mart, thanks to original IPs like Labubu, the company’s overseas revenue in the first quarter of 2025 had surged by 475 to 480 percent year on year.

    Created by a Hong Kong artist and blending Nordic mythology with Chinese design, Labubu has struck a global emotional chord. Thai authorities labeled it an “Amazing Thailand Experience Explorer,” its theme song was sung on the streets of Barcelona, and it was even “invited” to attend Milan Fashion Week.

    “Great intellectual properties (IPs) have the power to transcend cultures,” said Chen Xiaoyun, vice president of Pop Mart International Group Limited, adding that the company is committed to creating IPs with diverse aesthetics and gathering global creativity.

    “The export of such new mass culture shows the world what a ‘Cool China’ looks like, while offering universal appeal that resonates through cultural creativity,” wrote Zhang Yiwu, a professor at Peking University.

    TECH-DRIVEN CULTURAL INNOVATION

    The video game “Black Myth: Wukong” is another recent cultural phenomenon from China that is yielding international acclaim. Not long after the game was released, a reaction clip posted by British gaming streamer “itsjavachip” went viral, as she was moved to tears by the emotional storyline of Bajie in the game, earning her a fanbase of Chinese followers.

    Last month, “itsjavachip” was invited to China to visit the production set of another original martial arts-themed Chinese game. At the studio, she learned martial arts moves, donned a black outfit and experienced wire-assisted motion capture firsthand.

    Calling it an “absolutely amazing” experience, she said that playing a character in the game would be a dream come true.

    Employing cutting-edge simulation technologies, “Black Myth: Wukong” immerses players in scenes such as ancient buildings in Shanxi and the picturesque landscapes of the Jiangnan region. As of the end of last year, the game had sold 28 million copies worldwide, generating over 9 billion yuan (about 1.24 billion U.S. dollars) in revenue within five months of its release.

    In 2024, domestically developed Chinese games generated actual overseas sales revenue of more than 18.55 billion U.S. dollars, marking a year-on-year increase of 13.39 percent. The success of Chinese games abroad highlights the dual driving forces of traditional culture and intelligent digital technology.

    In the realm of traditional culture, digitization is also breaking geographical barriers and becoming a “digital window” helping global audiences to better understand China.

    As of May this year, the Palace Museum had digitized about 52 percent of its collection; the flying apsaras of Dunhuang “dance gracefully” on the screen through digital technology; the Zenghouyi chime bells are “struck” in a digital world…

    “I can directly scan artifacts and learn relevant information through it,” said Italian blogger Massimo, who couldn’t help but exclaim while holding the AR guide at Henan Museum.

    Such “coolness” can help China’s content industry attract a wider global audience, said Kevin Kelly, founding executive editor of Wired magazine.

    FROM CONNECTION TO CO-CREATION

    Through China’s cultural exports, global audiences are not only able to connect and empathize with their content, but are also co-creating something even bigger.

    British web fiction writer JKSManga was initially a devoted reader of Eastern fantasy web novels such as “Soul Land.” A few years ago, he registered on WebNovel, an online literature platform under China Literature Limited, and started writing his own works. His breakout series “My Vampire System” has garnered over 73 million reads and has been adapted into multiple formats.

    For JKSManga, being urged by readers to update his stories is a source of great joy. He describes the writing process as a form of social interaction, a sharing based on shared values.

    As of November last year, WebNovel had around 6,000 translated Chinese web novels and was home to nearly 450,000 overseas authors and 680,000 original works by overseas authors.

    Hou Xiaonan, CEO and president of China Literature Limited, said that online literature has become a global cultural phenomenon, not only because of the global spread of Chinese IP, but also thanks to the globalization of the Chinese IP model itself.

    Meanwhile, Ye Xiu, protagonist of the popular Chinese web novel “The King’s Avatar,” was recently “invited” by Swiss authorities to serve as a “travel ambassador,” offering fans an innovative immersive experience.

    Wei Pengju, senior researcher at the Central University of Finance and Economics in Beijing, said China’s cultural trade has evolved into a hybrid export model of “digital content + IP operations + technological services,” and that Chinese cultural exports have entered a new phase highlighting content, empowered by technology, and featuring co-creation.

    Via such cultural interactions, with wider opening up, broader innovation and deeper cooperation, China stands ready to share with the rest of the world an ever-cooler China. 

    MIL OSI China News

  • MIL-Evening Report: Here’s why some people suffer from motion sickness – and which remedies actually work

    Source: The Conversation (Au and NZ) – By Christian Moro, Associate Professor of Science & Medicine, Bond University

    EyeEm Mobile GmbH/Getty

    Cars may be a modern phenomenon, but motion sickness is not. More than 2,000 years ago, the physician Hippocrates wrote “sailing on the sea proves that motion disorders the body”. In fact, the word nausea derives from the Greek naus, meaning ship.

    Whether you’re in a ship, car, plane, or riding a rollercoaster, motion sickness (also called travel sickness or seasickness) can make you retch, vomit, sweat and become pale, and feel nauseated, dizzy and tired.

    For some people, watching dizzying scenes in a television show or simply thinking about moving can make us feel woozy. Playing video games or using virtual reality headsets can also lead to motion sickness (in this case, called “cybersickness”).

    But why does it happen? And why doesn’t it affect everyone?

    What is motion sickness?

    Motion sickness can happen in response to real or perceived motion.

    We don’t understand the exact mechanisms underlying motion sickness, although there are various hypotheses.

    The most accepted theory is that our brains like to know what’s going on around us. If our body is moving, but our brain can’t work out why, this creates some internal confusion.

    Within our brains, the “vestibular system”, which includes sensory organs in your inner ear, helps maintain balance.
    It has trouble doing this when you’re constantly being moved around (for example, inside a car) and sends the signals throughout our body which make us feel woozy.

    Supporting this theory, people who have damage to some parts of their inner ear systems can become completely immune to motion sickness.

    Why does motion sickness affect some people and not others?

    Very rough movement will make almost anyone
    motion sick. But some people are much more susceptible.

    Women tend to experience motion sickness more than men. There is evidence that hormonal fluctuations – for example during pregnancy or some stages of the menstrual cycle – may increase susceptibility.

    Some other conditions, such as vertigo and migraines, also make people more likely to experience motion sickness.

    In children, motion sickness tends to peak between ages six and nine, tapering off in the teens. It is much rarer in the elderly.

    In a car, the driver is normally in charge of the motion, and so their brain can anticipate movements (such as turning), leading to less motion sickness than for passengers.

    Are some modes of transport worse?

    Motion sickness is typically triggered by slow, up-and-down and left-to-right movements (low-frequency lateral and vertical motion). The more pronounced the motion, the more likely we are to get sick.

    This is why you might feel fine during some stages of an air flight, but become nauseous during times when there is turbulence. It’s the same at sea, where the larger and more undulating the waves, the more chance there is passengers will feel sick.

    Recent reports have suggested electric vehicles make motion sickness worse.

    This may be because electric vehicles tend to launch from a standstill with a fast acceleration. Sudden movements like this can make some occupants more nauseous.

    The silence of an electric vehicle is also unusual. Most of us are used to hearing the engine running and feeling the vehicle’s rumble as it moves. The silence in an electric vehicle removes these prompts, and likely further confuses our brain, making motion sickness worse.

    Interestingly, when an electric vehicle is put into autonomous (self-driving) mode, the driver becomes just as susceptible to motion sickness as the passengers.

    What helps motion sickness?

    For some people it never goes away, and they remain susceptible to motion sickness for life.

    But there are ways to manage symptoms, for example, avoiding travelling in bad weather, looking out the window and focusing on stable points (such as the aeroplane wing during a flight) or a distant stationary object (such as the horizon). This reduces conflicting signals in your brain.

    It may also help to:

    Medicines can help. Your doctor or pharmacist can recommend a variety of over-the-counter medications, such as antihistamines, which may help alleviate symptoms.

    Some people find alternative treatments helpful, including ginger, anti-nausea wrist bands (sea-bands or pressure bands). However we still don’t have enough consistent scientific evidence to endorse these remedies.

    There are longer-term options such as prescription medications and skin patches. However, many have potential side effects, so you should discuss these with a health professional.

    Not all of these medications will be suitable for children. However, there are some options which may help alleviate serious cases, and these can be talked through with your family GP.

    Does it ever go away?

    Sometimes, repeated exposure to the activity (called habituation) can help reduce motion sickness. The ancient Romans and Greeks reported the more experienced a sailor became, the less prone they were to sea sickness.

    While inconvenient, motion sickness may also have some evolutionary advantages. It’s thought species prone to motion sickness (including humans, fish, dogs, cats, mice and horses) avoid dangerous patches of rough water or high windy branches.

    We’re safest when firmly on land and not moving at all. Perhaps motion sickness is simply one way that our body works to keep us out of harm’s way.

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

    ref. Here’s why some people suffer from motion sickness – and which remedies actually work – https://theconversation.com/heres-why-some-people-suffer-from-motion-sickness-and-which-remedies-actually-work-258065

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Data gaps and demographic change: the end of the NZ census will create big blind spots

    Source: The Conversation (Au and NZ) – By Paul Spoonley, Distinguished Professor, College of Humanities and Social Sciences, Te Kunenga ki Pūrehuroa – Massey University

    Getty Images

    Ending the New Zealand census as we’ve known it will save money – it was “no longer financially viable”, according to Statistics Minister Shane Reti – but the true cost of those savings could be considerable.

    Of course, it’s no secret the two previous censuses raised major questions about the quality of census data and the process. In 2018, an untested experiment with online returns, and a reduced workforce in the field, saw “an unacceptably low response rate”.

    In 2023, StatsNZ had to apologise again, this time for failing to keep the collected data safe and for another low response rate, especially for Māori. The problems were compounded by low trust in government and an unwillingness to share private information in the wake of COVID-related misinformation.

    It didn’t help that the 2023 census cost NZ$325 million, up from $104 million in 2013 – double the amount per capita, for reasons that remain unclear.

    That was enough. Cabinet papers between March and May last year signalled the government was going to move to an alternative system of data collection. The shift was characterised as “modernising the census” – except there will be no census.

    But the change has been made without any apparent consideration of how the census is used – specifically, that it is crucial to the management of a modern society and economy – and what will be lost in the process.

    Comparison across time

    One of the primary functions of a census is to allow comparison with previous censuses over time. And these go back a long way.

    The first census, in 1851, collected data on Europeans only, although the Native Secretary provided details of Māori from 1849 to 1850. The Census Act of 1858 required that a national census of all Europeans take place every three years. A new act in 1877 introduced the five-yearly census we’ve become used to.

    Data on Māori was collected separately until 1916 when a question on “race” appeared. The 1926 Census and Statistical Act then required all individuals, including Māori, to complete the census forms.

    Depression and war meant there were no censuses in 1931 and 1941, and the 2011 census was delayed because of the Christchurch earthquakes. Otherwise, we have had regular updates from nearly all the resident population on a whole range of aspects of life in New Zealand.

    This comprehensive picture of New Zealanders and the way we live underpins nearly every aspect of political decision-making and policy development. But no more.

    The new approach will use existing administrative data collected by government departments and agencies as part of their normal business. ACC, Inland Revenue, the Ministry of Social Development, Ministry of Education, and Department of Internal Affairs will be key data sources.

    The data gaps will be addressed by asking those departments and agencies to change some of what they collect. But the main change will involve surveys – as yet unspecified in terms of sample size or frame, or the questions and topics to be covered – which will “verify data quality and fill gaps”.

    As well as saving money, the statistics minister says, this approach will provide “more timely insights”. But this all leaves important questions unanswered.

    Inadequate administrative data

    Administrative data is collected for specific purposes and in different ways by government departments and agencies. The coverage is incomplete, there is often no consistency in what is collected, and there are issues about data quality and robustness.

    Moreover, information management is not a particular strength of most public sector agencies (Inland Revenue might be one of the few exceptions). It will be interesting to see whether the government is prepared to fund new technology options and methods to help improve this data collection.

    For example, the Understanding Policing Delivery research project has identified issues with data collection, especially in relation to ethnicity: national intelligence activities collect and hold data on ethnicity, iwi and hapū affiliations, but the process for issuing police infringement notices for offending does not.

    As a StatsNZ exercise which looked at ethnicity data collection across the government sector noted:

    The question asked for ethnicity differs widely across administrative data sources and often differs within each administrative source depending on the mode of collection or the form used.

    Such inconsistencies will need to be rectified if administrative data is to be anything like as comprehensive and consistent as the data provided by the census.

    Major demographic change

    New Zealand is also undergoing major demographic change, including the following trends:

    • fertility has declined and is at sub-replacement levels

    • the population is rapidly ageing

    • the proportion of population living in the top half of the North Island is increasing

    • and immigration has contributed significantly to population growth and diversity.

    I am not convinced the new administrative approach will capture these demographic changes, much less good data on the wellbeing of various communities or the nature of families and households.

    Administrative data, by definition, is partial and suited to the particular activities and concerns of the agency or department in question. But in a modern, complex society, data is key. We have just lost one of the most powerful tools available for understanding this country in the 21st century.


    The author acknowledges Len Cook, former Government Statistician of New Zealand, for his comments and suggestions.

    Paul Spoonley has received funding from MBIE and is associated with Koi Tu.

    ref. Data gaps and demographic change: the end of the NZ census will create big blind spots – https://theconversation.com/data-gaps-and-demographic-change-the-end-of-the-nz-census-will-create-big-blind-spots-259663

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: Here’s why some people suffer from motion sickness – and which remedies actually work

    Source: The Conversation – Global Perspectives – By Christian Moro, Associate Professor of Science & Medicine, Bond University

    EyeEm Mobile GmbH/Getty

    Cars may be a modern phenomenon, but motion sickness is not. More than 2,000 years ago, the physician Hippocrates wrote “sailing on the sea proves that motion disorders the body”. In fact, the word nausea derives from the Greek naus, meaning ship.

    Whether you’re in a ship, car, plane, or riding a rollercoaster, motion sickness (also called travel sickness or seasickness) can make you retch, vomit, sweat and become pale, and feel nauseated, dizzy and tired.

    For some people, watching dizzying scenes in a television show or simply thinking about moving can make us feel woozy. Playing video games or using virtual reality headsets can also lead to motion sickness (in this case, called “cybersickness”).

    But why does it happen? And why doesn’t it affect everyone?

    What is motion sickness?

    Motion sickness can happen in response to real or perceived motion.

    We don’t understand the exact mechanisms underlying motion sickness, although there are various hypotheses.

    The most accepted theory is that our brains like to know what’s going on around us. If our body is moving, but our brain can’t work out why, this creates some internal confusion.

    Within our brains, the “vestibular system”, which includes sensory organs in your inner ear, helps maintain balance.
    It has trouble doing this when you’re constantly being moved around (for example, inside a car) and sends the signals throughout our body which make us feel woozy.

    Supporting this theory, people who have damage to some parts of their inner ear systems can become completely immune to motion sickness.

    Why does motion sickness affect some people and not others?

    Very rough movement will make almost anyone
    motion sick. But some people are much more susceptible.

    Women tend to experience motion sickness more than men. There is evidence that hormonal fluctuations – for example during pregnancy or some stages of the menstrual cycle – may increase susceptibility.

    Some other conditions, such as vertigo and migraines, also make people more likely to experience motion sickness.

    In children, motion sickness tends to peak between ages six and nine, tapering off in the teens. It is much rarer in the elderly.

    In a car, the driver is normally in charge of the motion, and so their brain can anticipate movements (such as turning), leading to less motion sickness than for passengers.

    Are some modes of transport worse?

    Motion sickness is typically triggered by slow, up-and-down and left-to-right movements (low-frequency lateral and vertical motion). The more pronounced the motion, the more likely we are to get sick.

    This is why you might feel fine during some stages of an air flight, but become nauseous during times when there is turbulence. It’s the same at sea, where the larger and more undulating the waves, the more chance there is passengers will feel sick.

    Recent reports have suggested electric vehicles make motion sickness worse.

    This may be because electric vehicles tend to launch from a standstill with a fast acceleration. Sudden movements like this can make some occupants more nauseous.

    The silence of an electric vehicle is also unusual. Most of us are used to hearing the engine running and feeling the vehicle’s rumble as it moves. The silence in an electric vehicle removes these prompts, and likely further confuses our brain, making motion sickness worse.

    Interestingly, when an electric vehicle is put into autonomous (self-driving) mode, the driver becomes just as susceptible to motion sickness as the passengers.

    What helps motion sickness?

    For some people it never goes away, and they remain susceptible to motion sickness for life.

    But there are ways to manage symptoms, for example, avoiding travelling in bad weather, looking out the window and focusing on stable points (such as the aeroplane wing during a flight) or a distant stationary object (such as the horizon). This reduces conflicting signals in your brain.

    It may also help to:

    Medicines can help. Your doctor or pharmacist can recommend a variety of over-the-counter medications, such as antihistamines, which may help alleviate symptoms.

    Some people find alternative treatments helpful, including ginger, anti-nausea wrist bands (sea-bands or pressure bands). However we still don’t have enough consistent scientific evidence to endorse these remedies.

    There are longer-term options such as prescription medications and skin patches. However, many have potential side effects, so you should discuss these with a health professional.

    Not all of these medications will be suitable for children. However, there are some options which may help alleviate serious cases, and these can be talked through with your family GP.

    Does it ever go away?

    Sometimes, repeated exposure to the activity (called habituation) can help reduce motion sickness. The ancient Romans and Greeks reported the more experienced a sailor became, the less prone they were to sea sickness.

    While inconvenient, motion sickness may also have some evolutionary advantages. It’s thought species prone to motion sickness (including humans, fish, dogs, cats, mice and horses) avoid dangerous patches of rough water or high windy branches.

    We’re safest when firmly on land and not moving at all. Perhaps motion sickness is simply one way that our body works to keep us out of harm’s way.

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

    ref. Here’s why some people suffer from motion sickness – and which remedies actually work – https://theconversation.com/heres-why-some-people-suffer-from-motion-sickness-and-which-remedies-actually-work-258065

    MIL OSI – Global Reports

  • MIL-OSI Global: ‘Baths, wine, and sex make life worth living’: how ancient Romans used public baths to relax, work out and socialise

    Source: The Conversation – Global Perspectives – By Peter Edwell, Associate Professor in Ancient History, Macquarie University

    iLongLoveKing/Shutterstock

    Standing in the vast ruins of the Baths of Caracalla in Rome, hundreds of gulls circle above. Their haunting cries echo voices from 1,800 years ago. Today, the bare shell of what was one of Rome’s largest bath complexes mostly sits empty, occasionally playing host to opera performances.

    But what were the baths of ancient Rome actually like back then? And why were the Romans so into public bathing?

    Public baths everywhere

    While living in Rome for almost a year, I noticed the remains of ancient baths (thermae in Latin) everywhere.

    Virtually every emperor built them, and by the middle of the fourth century there were 952 public baths in the city.

    The largest were the baths built by the emperor Diocletian (284–305). Around 3,000 people a day could bathe at this 13-hectare complex.

    These baths, like most, contained a room (the caldarium) heated by air ducts in the walls and floors. The floors were so hot special sandals were worn.

    Another room leading from it was milder (the tepidarium), before bathers entered the frigidarium, which contained a cold pool. A 4,000-square-metre outdoor swimming pool was the central feature.

    Public baths also often featured gymnasiums, libraries, restaurants and exercise yards.

    Today, the baths of Caracalla mostly sit empty.
    Wirestock/Getty

    ‘Baths, wine, and sex make life worth living’

    The philosopher Seneca, also an advisor to the emperor Nero, lived above a bath complex around 50 CE.

    He described the sounds of people “panting in wheezy and high-pitched tones” as they lifted weights. Others plunged into swimming tanks with a loud splash. Shop-owners selling food yelled out the prices of their wares. Some sang loudly for their own pleasure in the bathroom.

    One 4th-century CE account describes how aristocrats sometimes arrived at the baths with 50 servants attending them.

    Sections of the baths were reserved for these guests, who brought their finest clothes and expensive jewellery.

    While emperors built large public bath complexes, there were many smaller private ones. Entry fees were low and sometimes free during festivals and political campaigns. This allowed all social classes to use the baths.

    Women and men bathed separately and used the baths at different times of the day. Some bath complexes had areas designated for women only. The physician Soranus of Ephesus, who wrote a treatise on gynaecology in the second century CE, recommended women go to the baths in preparation for labour.

    In a crowded and polluted city like Rome, the baths were a haven. Warm water, smells of perfumed ointments, massages and a spa-like environment were pleasures all could indulge in.

    A first-century CE inscription declared that

    baths, wine, and sex make life worth living.

    Baths and the grim reality of slavery

    Baths were places of great social importance, and nudity allowed bathers to show off their physical prowess.

    Archaeological evidence suggests even dentistry was performed at the baths.

    Behind these images of indulgence, however, lay the grim reality of slavery. Slaves did the dirtiest work in the baths.

    They cleaned out cinders, emptied toilets and saw to the clearing of drains.

    Slaves came to the baths with their owners, whom they rubbed down with oil and cleaned their skin with strygils (a type of scraper). They entered the baths through a separate entrance.

    Baths across the empire

    Baths were popular in every city and town across the Roman Empire. A famous example is Aquae Sulis – the modern town of Bath – in England (which was under Roman rule for hundreds of years). At Aquae Sulis, a natural hot spring fed the baths. The goddess Minerva was honoured at the complex.

    The remains of similar bath complexes have been found in North Africa, Spain and Germany.

    Extensive remains of a Roman bath at Baden Baden in Germany are among the most impressive.

    Similarly, at Toledo in Spain, a public Roman bath complex measuring almost an acre has been found.

    Baths were often built in military camps to provide soldiers with comforts during their service. Remains of military baths have been found all over the empire. Researchers have found and excavated the baths for the army camp at Hadrian’s wall, a wall built to help defend the Roman Empire’s northern frontier in what is now modern Britain.

    The baths at Chester contain hot rooms (caldaria), cold rooms (frigidaria) and also a sweat room (sudatoria), which is similar to a sauna.

    A long history

    The Romans weren’t the first to use public baths. Their Greek forebears had them too. But the Romans took public bathing to a empire-wide level. It became a marker of Roman culture wherever they went.

    Public bathing would continue in the empire’s Islamic period and became famously popular under the Ottomans, who ruled the empire between 1299 and 1922. Turkish hammams (baths) remain an important public institution to this day and they descend directly from the Romans. Istanbul still contains 60 functioning hammams.

    Roman baths were not only technically ingenious and architecturally impressive, they connected people socially from all walks of life. As the gulls circle over the baths of Caracalla in Rome, their haunting cries connect us to that very world.

    Peter Edwell receives funding from the Australian Research Council.

    ref. ‘Baths, wine, and sex make life worth living’: how ancient Romans used public baths to relax, work out and socialise – https://theconversation.com/baths-wine-and-sex-make-life-worth-living-how-ancient-romans-used-public-baths-to-relax-work-out-and-socialise-257466

    MIL OSI – Global Reports

  • MIL-Evening Report: ER Report: A Roundup of Significant Articles on EveningReport.nz for June 24, 2025

    ER Report: Here is a summary of significant articles published on EveningReport.nz on June 24, 2025.

    Calls for New Zealand to denounce United States attack on Iran
    By Lillian Hanly, RNZ News political reporter Prominent lawyers are joining opposition parties as they call for the New Zealand government to denounce the United States attack on Iranian nuclear facilities. Iranian New Zealander and lawyer Arman Askarany said the New Zealand government was showing “indifference”. It comes as acting Prime Minister David Seymour told

    Warm-ups, layered clothes, recovery: 4 tips to exercise safely in the cold
    Source: The Conversation (Au and NZ) – By Harry Banyard, Senior Lecturer in Exercise and Sports Science, Swinburne University of Technology Maridav/Shutterstock Temperatures have dropped in many parts of Australia which means runners, cyclists, rowers, hikers, or anyone physically active outside need to take extra precautions to stay safe and exercise in relative comfort. Cold

    Sharks freeze when you turn them upside down – and there’s no good reason why
    Source: The Conversation (Au and NZ) – By Jodie L. Rummer, Professor of Marine Biology, James Cook University Rachel Moore Imagine watching your favourite nature documentary. The predator lunges rapidly from its hiding place, jaws wide open, and the prey … suddenly goes limp. It looks dead. For some animals, this freeze response – called

    Drone footage captured orcas crafting tools out of kelp – and using them for grooming
    Source: The Conversation (Au and NZ) – By Vanessa Pirotta, Postdoctoral Researcher and Wildlife Scientist, Macquarie University Sara Jenkins/500px/Getty The more we learn about orcas, the more remarkable they are. These giant dolphins are the ocean’s true apex predator, preying on great white sharks and other lesser predators. They’re very intelligent and highly social. Their

    Inaccurate and misogynistic: why we need to make the term ‘hysterectomy’ history
    Source: The Conversation (Au and NZ) – By Theresa Larkin, Associate Professor of Medical Sciences, University of Wollongong Panuwat Dangsungnoen/Getty Images Have you had a tonsillectomy (your tonsils taken out), appendectomy (your appendix removed) or lumpectomy (removal of a lump from your breast)? The suffix “ectomy” denotes surgical removal of the named body part, so

    More women are using medical cannabis – but new research shows barriers push some into illegal markets
    Source: The Conversation (Au and NZ) – By Vinuli Withanarachchie, PhD candidate, College of Health, Te Kunenga ki Pūrehuroa – Massey University Getty Images The number of women using medicinal cannabis is growing in New Zealand and overseas. They use cannabis treatment for general conditions such as pain, anxiety, inflammation and nausea, as well as

    It’s time to face an uncomfortable truth: maybe our pampered pets would be better off without us
    Source: The Conversation (Au and NZ) – By Nancy Cushing, Associate professor, University of Newcastle ROSLAN RAHMAN/AFP via Getty Images Pet-keeping is often promoted for the benefits it brings humans. A close association with another animal can provide us with a sense of purpose and a daily dose of joy. It can aid our health,

    Work, wages and apprenticeships: sifting for clues about the lives of girls in ancient Egypt
    Source: The Conversation (Au and NZ) – By Julia Hamilton, Lecturer in History and Archaeology, Macquarie University Weavers in the Tomb of Khnumhotep II, Beni Hassan, Egypt. Painted by Norman de Garis Davies (MMA 33.8.16) We know surprisingly little about the lives of children in ancient Egypt. And what records we do have about them

    Archetyp was one of the dark web’s biggest drug markets. A global sting has shut it down
    Source: The Conversation (Au and NZ) – By Elena Morgenthaler, PhD Candidate, School of Criminology and Criminal Justice, Griffith University Operation Deep Sentinel Last week, one of the dark web’s most prominent drug marketplaces – Archetyp – was shut down in an international, multi-agency law enforcement operation following years of investigations. It was touted as

    How do sleep trackers work, and are they worth it? A sleep scientist breaks it down
    Source: The Conversation (Au and NZ) – By Dean J. Miller, Senior Lecturer, Appleton Institute, HealthWise Research Group, CQUniversity Australia Many smartwatches, fitness and wellness trackers now offer sleep tracking among their many functions. Wear your watch or ring to bed, and you’ll wake up to a detailed sleep report telling you not just how

    ‘It feels like I am being forced to harm a child’: research shows how teachers are suffering moral injury
    Source: The Conversation (Au and NZ) – By Glenys Oberg, PhD candidate in education and trauma, The University of Queensland SolStock/Getty Images Australia is in the grip of a teacher shortage. Teachers are burning out, warning the job is no longer sustainable and leaving the profession. We know this is due to excessive workloads, stress

    NZ Greens call on state to condemn US over ‘dangerous’ attack on Iran
    Asia Pacific Report New Zealand’s opposition Green Party has called on the government to condemn the United States for its illegal bombing of Iran and inflaming tensions across the Middle East. “The actions of the United States pose a fundamental threat to world peace,” said Green Party co-leader Marama Davidson in a statement. “The rest

    View from the Hill: Albanese supports US bombing, reluctantly
    Source: The Conversation (Au and NZ) – By Michelle Grattan, Professorial Fellow, University of Canberra When Prime Minister Anthony Albanese and Foreign Minister Penny Wong went out on Monday to back the United States attack on Iran, it was obvious their support was through gritted teeth. Albanese told their joint news conference: “The world has

    Woodside’s North West Shelf gas extension is being challenged in the courts. Could it be stopped?
    Source: The Conversation (Au and NZ) – By Samantha Hepburn, Professor, Deakin Law School, Deakin University The controversial extension of Woodside’s North West Shelf gas project off Western Australia faces two legal challenges. Both raise significant concerns about the validity of government approvals. One could even seek an injunction, preventing federal environment minister Murray Watt

    Australian CEOs are still getting their bonuses. Performance doesn’t seem to matter so much
    Source: The Conversation (Au and NZ) – By Richard Denniss, Adjunct Professor, Crawford School of Public Policy, Australian National University RomanR/Shutterstock Almost all of Australia’s top chief executives are, according to their boards at least, knocking it out of the park in terms of performance. That is despite sluggish productivity, persistently high carbon emissions, rising

    Strait of Hormuz: closing vital oil and gas route would disrupt global supplies. How will Australia be affected?
    Source: The Conversation (Au and NZ) – By Sanjoy Paul, Associate Professor in Operations and Supply Chain Management, UTS Business School, University of Technology Sydney Below the Sky/Shutterstock The Iranian parliament has approved the closure of key shipping route the Strait of Hormuz, in a move that could further escalate the Israel/Iran war. The strait

    MIT researchers say using ChatGPT can rot your brain. The truth is a little more complicated
    Source: The Conversation (Au and NZ) – By Vitomir Kovanovic, Associate Professor and Associate Director of the Centre for Change and Complexity in Learning (C3L), Education Futures, University of South Australia Rroselavy / Shutterstock Since ChatGPT appeared almost three years ago, the impact of artificial intelligence (AI) technologies on learning has been widely debated. Are

    Why the US strikes on Iran are illegal and can set a troubling precedent
    Source: The Conversation (Au and NZ) – By Donald Rothwell, Professor of International Law, Australian National University After the United States bombed Iran’s three nuclear facilities on Sunday, US President Donald Trump said its objective was a “stop to the nuclear threat posed by the world’s number one state sponsor of terror”. US Defence Secretary

    How do I get started in the gym lifting weights?
    Source: The Conversation (Au and NZ) – By Mandy Hagstrom, Senior Lecturer, Exercise Physiology. School of Health Sciences, UNSW Sydney Thomas Barwick/Getty So you’ve never been to a gym and are keen to start, but something’s holding you back. Perhaps you don’t know what to actually do in there or feel like you’ll just look

    NZ’s plan to ‘welcome anyone, from anywhere, anytime’ is not a sustainable tourism policy
    Source: The Conversation (Au and NZ) – By Regina Scheyvens, Professor of Development Studies, Te Kunenga ki Pūrehuroa – Massey University Getty Images Attracting more Chinese tourists to New Zealand, including during the off-season, was a major part of Prime Minister Christopher Luxon’s trade agenda during his visit to China last week. As Tourism Minister

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Australia: Cadet Camp 2026 wrap-up

    Source:

    The Cadets line up in front of the Central Highlands Training Centre Gas Prop

    From May 16 to 18, 36 inspiring young CFA volunteers came together for an unforgettable Cadet Camp — and what a weekend it was!

    Held at YMCA’s Lady Northcote Discovery Camp, our 16 to 17-year-old volunteers (cadets) from across Victoria took part in a jam-packed program of team building, personal development and hands-on training at Central Highlands VEMTC.

    Throughout the camp, they forged friendships, built confidence, and deepened their commitment to serving their communities — all while having a whole lot of fun.

    Highlights included:

    • A live drafting session with Ballarat City and Rowsley brigades
    • CFA’s simulation table, offering real-time decision-making experience
    • Pumper and rescue demo from Ballan Fire Brigade
    • Visit from La Trobe University’s Aspire program, sharing opportunities for further development
    • Words of encouragement from CFA CEO Greg Leach AFSM, reminding cadets to embrace every opportunity.

    The Cadet Camp weekend isn’t just about preparing for the future. It is a powerful reminder that our young members are not just tomorrow’s leaders — they are here now, taking their place and playing their part in keeping Victorian communities safe.

    Submitted by Chris Melenhorst

    MIL OSI News

  • MIL-Evening Report: Calls for New Zealand to denounce United States attack on Iran

    By Lillian Hanly, RNZ News political reporter

    Prominent lawyers are joining opposition parties as they call for the New Zealand government to denounce the United States attack on Iranian nuclear facilities.

    Iranian New Zealander and lawyer Arman Askarany said the New Zealand government was showing “indifference”.

    It comes as acting Prime Minister David Seymour told reporters on Monday there was “no benefit” in rushing to a judgment regarding the US attack.

    “We’re far better to keep our counsel, because it costs nothing to get more information, but going off half-cocked can be very costly for a small nation.”

    Iran and Israel continued to exchange strikes over the weekend after Israel’s initial attack nearly two weeks ago.

    Israeli authorities say at least 25 people have been killed, and Iran said on Sunday Israeli strikes had killed at least 224 people since June 13.

    The Human Rights Activists news agency puts the death toll in Iran above 650 people.

    US attacked Iran nuclear sites
    The US entered the war at the weekend by attacking what it said was key nuclear sites in Iran — including Fordow, Natanz, and Isfahan — on Sunday.

    On Monday, the Australian government signalled its support for the strike, and called for de-escalation and a return to diplomacy.

    Australia’s Foreign Minister Penny Wong said the strike was a unilateral action by its security ally the United States, and Australia was joining calls from Britain and other countries for Iran to return to the negotiating table

    Not long after, Foreign Minister Winston Peters issued a statement on X, giving tacit endorsement to the decision to bomb nuclear facilities.

    The statement was also released just ahead of the NATO meeting in Brussels, which Prime Minister Christopher Luxon was attending.

    Peters said Iran could not be allowed to develop nuclear weapons, and noted the United States’ targeted attacks aimed at “degrading Iran’s nuclear capabilities”.

    He went on to acknowledge the US statement to the UN Security Council saying the attack was “acting in collective self-defence consistent with the UN Charter”.

    Self-defence ‘complete joke’
    Askarany told RNZ it was a “complete joke” that New Zealand had acknowledged the US statement saying it was self-defence.

    “It would be funny if it wasn’t so horrific.”

    He said it was a clear escalation by the US and Israel, and believed New Zealand was undermining the rules-based order it purported to support, given it refused to say Israel and the US had attacked Iran.

    Askarany acknolwedged the calls for deescalation and for peace in the region, but said they were “abstract platitudes” if the aggressor was not named.

    He called on people who might not know about Iran to learn more about it.

    “There’s so much history and culture and beautiful things about Iran that represent my people far more than the words of Trump and Netanyahu.”

    Peters told RNZ Morning Report on Monday the government wanted to know all the facts before taking a position on the US strike on Iran’s nuclear facilities.

    Politicians at a crossroads
    Acting Prime Minister David Seymour held his first post-cabinet media conference on Monday, in which he said nobody was calling on New Zealand to rush to a judgment on the rights and wrongs of the situation.

    He echoed the Foreign Minister’s statement, saying “of course” New Zealand noted the US assertion of the legality of their actions.

    He also indicated, “like just about every country in the world, that we cannot have a nuclear-armed Iran.”

    “That does not mean that we are rushing to form our own judgment on the rights or wrongs or legality of any action.”

    He insisted New Zealand was not sitting on the fence, but said “nor are we rushing to judgement.”

    “I believe the world is not sitting there waiting for New Zealand to give its position on the legality of the situation.

    “What people do want to see is de escalation and dialogue, and most critically for us, the safety of New Zealanders in the region.”

    When asked about the Australian government’s position, Seymour said New Zealand did not have the intelligence that other countries may have.

    Hikpins says attack ‘disappointing’
    Labour leader Chris Hipkins called the attack by the US on Iran “very disappointing”, “not justified” and “almost certainly” against international law.

    He wanted New Zealand to take a stronger stance on the issue.

    “New Zealand should take a stronger position in condemning the attacks and saying that we do not believe they are justified, and we do not believe that they are consistent with international law.”

    Hipkins said the US had not made a case for the action taken, and they should step back and get back around the table with Iran.

    The Green Party and Te Pāti Māori both called on the government to condemn the attack by the US.

    “The actions of the United States pose a fundamental threat to world peace.

    ‘Dangerous escalation’
    “The rest of the world, including New Zealand, must take a stand and make it clear that this dangerous escalation is unacceptable,” said Green Party coleader Marama Davidson.

    “We saw this with the US war on Iraq, and we are seeing it again with this recent attack on Iran. We are at risk of a violent history repeating itself.”

    Te Pāti Māori co-leader Rawiri Waititi said the government was remaining silent on Israel.

    “When the US bombs Iran, Luxon calls it an ‘opportunity’. But when Cook Islanders assert their sovereignty or Chinese vessels travel through international waters, he leaps to condemnation,” said Waititi.

    “Israel continues to maintain an undeclared nuclear arsenal. Yet this government won’t say a word.

    “It condemns non-Western powers at every turn but remains silent when its allies act with impunity.”

    International law experts weigh in
    University of Waikato Professor Alexander Gillespie said it was “an illegal war” and the option of diplomacy should have been exhausted before the first strike.

    As Luxon headed to NATO, Gillespie acknowledged it would be difficult for him to take a “hard line” on the issue, “because he’s going to be caught up with the members and the partners of NATO.”

    He said the question would be whether NATO members accept there was a right of self-defence and whether the actions of the US and Israel were justified.

    Gillespie said former prime minister Helen Clark spoke very clearly in 2003 against the invasion of Iraq, but he could not see New Zealand’s current Prime Minister saying that.

    “That’s not because they don’t believe it, but because there would be a risk of a backhand from the United States.

    “And we’re spending a lot of time right now trying not to offend this Trump administration.”

    ‘Might is right’ precedent
    University of Otago Professor Robert Patman said the US strike on Iran would likely “make things worse” and set a precedent for “might is right.”

    He said he had “no brief” for the repressive Iranian regime, but under international law it had been subject of “two illegal attacks in the last 10 days”, from Israel and now from the US.

    Patman said New Zealand had been guarded in its comments about the attacks on Iran, and believed the country should speak out.

    “We have championed non nuclear security since the mid 80s. We were a key player, a leader, of the treaty to abolish nuclear weapons, and that now has 94 signatories.”

    He said New Zealand does have a voice and an expectation to contribute to an international debate that’s beginning to unfold.

    “We seem to be at a fork in the road moment internationally, we can seek to reinstate the idea that international relations should be based on rules, principles and procedures, or we can simply passively accept the erosion of that architecture, which is to the detriment of the majority of countries in the world.”

    This article is republished under a community partnership agreement with RNZ.

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Calls for New Zealand to denounce United States attack on Iran

    By Lillian Hanly, RNZ News political reporter

    Prominent lawyers are joining opposition parties as they call for the New Zealand government to denounce the United States attack on Iranian nuclear facilities.

    Iranian New Zealander and lawyer Arman Askarany said the New Zealand government was showing “indifference”.

    It comes as acting Prime Minister David Seymour told reporters on Monday there was “no benefit” in rushing to a judgment regarding the US attack.

    “We’re far better to keep our counsel, because it costs nothing to get more information, but going off half-cocked can be very costly for a small nation.”

    Iran and Israel continued to exchange strikes over the weekend after Israel’s initial attack nearly two weeks ago.

    Israeli authorities say at least 25 people have been killed, and Iran said on Sunday Israeli strikes had killed at least 224 people since June 13.

    The Human Rights Activists news agency puts the death toll in Iran above 650 people.

    US attacked Iran nuclear sites
    The US entered the war at the weekend by attacking what it said was key nuclear sites in Iran — including Fordow, Natanz, and Isfahan — on Sunday.

    On Monday, the Australian government signalled its support for the strike, and called for de-escalation and a return to diplomacy.

    Australia’s Foreign Minister Penny Wong said the strike was a unilateral action by its security ally the United States, and Australia was joining calls from Britain and other countries for Iran to return to the negotiating table

    Not long after, Foreign Minister Winston Peters issued a statement on X, giving tacit endorsement to the decision to bomb nuclear facilities.

    The statement was also released just ahead of the NATO meeting in Brussels, which Prime Minister Christopher Luxon was attending.

    Peters said Iran could not be allowed to develop nuclear weapons, and noted the United States’ targeted attacks aimed at “degrading Iran’s nuclear capabilities”.

    He went on to acknowledge the US statement to the UN Security Council saying the attack was “acting in collective self-defence consistent with the UN Charter”.

    Self-defence ‘complete joke’
    Askarany told RNZ it was a “complete joke” that New Zealand had acknowledged the US statement saying it was self-defence.

    “It would be funny if it wasn’t so horrific.”

    He said it was a clear escalation by the US and Israel, and believed New Zealand was undermining the rules-based order it purported to support, given it refused to say Israel and the US had attacked Iran.

    Askarany acknolwedged the calls for deescalation and for peace in the region, but said they were “abstract platitudes” if the aggressor was not named.

    He called on people who might not know about Iran to learn more about it.

    “There’s so much history and culture and beautiful things about Iran that represent my people far more than the words of Trump and Netanyahu.”

    Peters told RNZ Morning Report on Monday the government wanted to know all the facts before taking a position on the US strike on Iran’s nuclear facilities.

    Politicians at a crossroads
    Acting Prime Minister David Seymour held his first post-cabinet media conference on Monday, in which he said nobody was calling on New Zealand to rush to a judgment on the rights and wrongs of the situation.

    He echoed the Foreign Minister’s statement, saying “of course” New Zealand noted the US assertion of the legality of their actions.

    He also indicated, “like just about every country in the world, that we cannot have a nuclear-armed Iran.”

    “That does not mean that we are rushing to form our own judgment on the rights or wrongs or legality of any action.”

    He insisted New Zealand was not sitting on the fence, but said “nor are we rushing to judgement.”

    “I believe the world is not sitting there waiting for New Zealand to give its position on the legality of the situation.

    “What people do want to see is de escalation and dialogue, and most critically for us, the safety of New Zealanders in the region.”

    When asked about the Australian government’s position, Seymour said New Zealand did not have the intelligence that other countries may have.

    Hikpins says attack ‘disappointing’
    Labour leader Chris Hipkins called the attack by the US on Iran “very disappointing”, “not justified” and “almost certainly” against international law.

    He wanted New Zealand to take a stronger stance on the issue.

    “New Zealand should take a stronger position in condemning the attacks and saying that we do not believe they are justified, and we do not believe that they are consistent with international law.”

    Hipkins said the US had not made a case for the action taken, and they should step back and get back around the table with Iran.

    The Green Party and Te Pāti Māori both called on the government to condemn the attack by the US.

    “The actions of the United States pose a fundamental threat to world peace.

    ‘Dangerous escalation’
    “The rest of the world, including New Zealand, must take a stand and make it clear that this dangerous escalation is unacceptable,” said Green Party coleader Marama Davidson.

    “We saw this with the US war on Iraq, and we are seeing it again with this recent attack on Iran. We are at risk of a violent history repeating itself.”

    Te Pāti Māori co-leader Rawiri Waititi said the government was remaining silent on Israel.

    “When the US bombs Iran, Luxon calls it an ‘opportunity’. But when Cook Islanders assert their sovereignty or Chinese vessels travel through international waters, he leaps to condemnation,” said Waititi.

    “Israel continues to maintain an undeclared nuclear arsenal. Yet this government won’t say a word.

    “It condemns non-Western powers at every turn but remains silent when its allies act with impunity.”

    International law experts weigh in
    University of Waikato Professor Alexander Gillespie said it was “an illegal war” and the option of diplomacy should have been exhausted before the first strike.

    As Luxon headed to NATO, Gillespie acknowledged it would be difficult for him to take a “hard line” on the issue, “because he’s going to be caught up with the members and the partners of NATO.”

    He said the question would be whether NATO members accept there was a right of self-defence and whether the actions of the US and Israel were justified.

    Gillespie said former prime minister Helen Clark spoke very clearly in 2003 against the invasion of Iraq, but he could not see New Zealand’s current Prime Minister saying that.

    “That’s not because they don’t believe it, but because there would be a risk of a backhand from the United States.

    “And we’re spending a lot of time right now trying not to offend this Trump administration.”

    ‘Might is right’ precedent
    University of Otago Professor Robert Patman said the US strike on Iran would likely “make things worse” and set a precedent for “might is right.”

    He said he had “no brief” for the repressive Iranian regime, but under international law it had been subject of “two illegal attacks in the last 10 days”, from Israel and now from the US.

    Patman said New Zealand had been guarded in its comments about the attacks on Iran, and believed the country should speak out.

    “We have championed non nuclear security since the mid 80s. We were a key player, a leader, of the treaty to abolish nuclear weapons, and that now has 94 signatories.”

    He said New Zealand does have a voice and an expectation to contribute to an international debate that’s beginning to unfold.

    “We seem to be at a fork in the road moment internationally, we can seek to reinstate the idea that international relations should be based on rules, principles and procedures, or we can simply passively accept the erosion of that architecture, which is to the detriment of the majority of countries in the world.”

    This article is republished under a community partnership agreement with RNZ.

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Warm-ups, layered clothes, recovery: 4 tips to exercise safely in the cold

    Source: The Conversation (Au and NZ) – By Harry Banyard, Senior Lecturer in Exercise and Sports Science, Swinburne University of Technology

    Maridav/Shutterstock

    Temperatures have dropped in many parts of Australia which means runners, cyclists, rowers, hikers, or anyone physically active outside need to take extra precautions to stay safe and exercise in relative comfort.

    Cold environments can also include high winds and water exposure, which present unique physiological, psychological and logistical challenges that can turn people off exercising.

    While exercising in the cold does not typically increase injury risk, certain conditions can lead to a drop in whole body temperature (hypothermia) and impaired exercise performance.

    One advantage to exercising in the cold is that it often feels easier, since the body perceives lower exertion levels compared to performing the same task in hot environments.

    While it’s sometimes tempting to rug up and stay indoors when temperatures plummet, here are some tips for exercising in cold conditions.

    1. Wear layers

    Start exercising in a slightly chilled state (if you’re warm when you begin, take a layer off).

    Strip down one layer as you warm up to avoid overheating and excessive sweating, which can lead to chilling later as you cool down.

    Clothing recommendations include:

    • inner (base) layer: wear a lightweight, moisture-wicking fabric (such as polyester) as a base layer to keep sweat away from your skin
    • middle (insulating) layer: add a fleece or thermal layer if temperatures are close to freezing
    • outer layer: a windproof, water-resistant jacket is essential in wet, windy or snowy conditions
    • additional considerations: for hands and feet, wear gloves and opt for polyester socks. A beanie or headband is great for the head and ears because you lose a significant amount of heat from your head.

    2. Warming up is crucial

    In cold conditions, your muscles may take longer to warm up and may be at a greater risk of injury due to reduced blood flow (vasoconstriction), reduced flexibility and slower reaction times.

    Spend about ten minutes (perhaps indoors) performing a structured warm-up. This should include dynamic stretches and exercises such as push-ups, leg swings, lunges, calf raises, squats and high knees before heading out.

    This will help enhance blood flow, increase tissue temperature and improve your joints’ range of motion.

    No matter what exercise type you choose, start slowly and gradually progress your intensity.

    3. Be aware of the risks

    Depending on the mode of activity, outdoor exercise can be riskier during winter due to slippery surfaces and reduced visibility.

    If you are walking or running, shorten your steps and stride length when it’s wet to maintain control and prevent slips and falls.

    If you are cycling, avoid sharp turns or sudden stops. Stick to well-lit areas and paths and try to exercise during daylight hours if possible.

    Also, consider wearing bright or reflective clothing at night or in foggy conditions.

    4. The importance of recovery

    Spend a few minutes at the end of your workout for active recovery (walking and stretching) which helps prevent blood pooling and inflammation in the feet, while bringing the body’s systems back to homeostasis (resting breathing and heart rate).

    When it’s extremely cold, get indoors immediately because your body temperature drops fast once you stop moving.

    Change out of any damp clothes and have a warm shower or bath as soon as possible to help regulate body temperature and prevent hypothermia. Be aware of signs of hypothermia, which include shivering, slurred speech, cold pale skin and poor coordination, among others.

    Other tips to consider

    If it’s nearing or below 0°C with wind chill or rain or snow, perhaps opt for an indoor mode of exercise such as treadmill running, stationary cycling or cross-training to avoid unnecessary risks such as hypothermia, non-freezing cold injuries (such as trenchfoot) or freezing cold injuries (frostbite).

    To ensure adequate hydration, it is recommended to consume about 500ml of fluid two hours before exercise and to continue to drink during and after exercising.

    If you do brave the cold to exercise outside, is still advisable to wear sunscreen (SPF 30 or higher) on exposed skin during the day, since ultra violet radiation can still pass through clouds and is not related to temperature.

    Overall, exercise in the cold can be safe and enjoyable with the right precautions and planning.

    Harry Banyard 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. Warm-ups, layered clothes, recovery: 4 tips to exercise safely in the cold – https://theconversation.com/warm-ups-layered-clothes-recovery-4-tips-to-exercise-safely-in-the-cold-255223

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Sharks freeze when you turn them upside down – and there’s no good reason why

    Source: The Conversation (Au and NZ) – By Jodie L. Rummer, Professor of Marine Biology, James Cook University

    Rachel Moore

    Imagine watching your favourite nature documentary. The predator lunges rapidly from its hiding place, jaws wide open, and the prey … suddenly goes limp. It looks dead.

    For some animals, this freeze response – called “tonic immobility” – can be a lifesaver. Possums famously “play dead” to avoid predators. So do rabbits, lizards, snakes, and even some insects.

    But what happens when a shark does it?

    In our recent study, we explored this strange behaviour in sharks, rays and their relatives. In this group, tonic immobility is triggered when the animal is turned upside down – it stops moving, its muscles relax, and it enters a trance-like state. Some scientists even use tonic immobility as a technique to safely handle certain shark species.

    But why does it happen? And does it actually help these marine predators survive?

    The mystery of the ‘frozen shark’

    Despite being well documented across the animal kingdom, the reasons behind tonic immobility remain murky – especially in the ocean. It is generally thought of as an anti-predator defence. But there is no evidence to support this idea in sharks, and alternative hypotheses exist.

    We tested 13 species of sharks, rays, and a chimaera — a shark relative commonly referred to as a ghost shark — to see whether they entered tonic immobility when gently turned upside down underwater.

    Seven species did, but six did not. We then analysed these findings using evolutionary tools to map the behaviour across hundreds of million years of shark family history.

    So, why do some sharks freeze?

    Tonic immobility is triggered in sharks when they are turned upside down.
    Rachel Moore

    Three main hypotheses

    There are three main hypotheses to explain tonic immobility in sharks:

    1. Anti-predator strategy – “playing dead” to avoid being eaten
    2. Reproductive role – some male sharks invert females during mating, so perhaps tonic immobility helps reduce struggle
    3. Sensory overload response – a kind of shutdown during extreme stimulation.

    Our results don’t support any of these explanations.

    There’s no strong evidence sharks benefit from freezing when attacked. In fact, modern predators such as orcas can use this response against sharks by flipping them over to immobilise them and then remove their nutrient-rich livers – a deadly exploit.

    The reproductive hypothesis also falls short. Tonic immobility doesn’t differ between sexes, and remaining immobile could make females vulnerable to harmful or forced mating events.

    And the sensory overload idea? Untested and unverified. So, we offer a simpler explanation. Tonic immobility in sharks is likely an evolutionary relic.

    A case of evolutionary baggage

    Our evolutionary analysis suggests tonic immobility is “plesiomorphic” – an ancestral trait that was likely present in ancient sharks, rays and chimaeras. But as species evolved, many lost the behaviour.

    In fact, we found that tonic immobility was lost independently at least five times across different groups. Which raises the question: why?

    In some environments, freezing might actually be a bad idea. Small reef sharks and bottom-dwelling rays often squeeze through tight crevices in complex coral habitats when feeding or resting. Going limp in such settings could get them stuck – or worse. That means losing this behaviour might have actually been advantageous in these lineages.

    So, what does this all mean?

    Rather than a clever survival tactic, tonic immobility might just be “evolutionary baggage” – a behaviour that once served a purpose, but now persists in some species simply because it doesn’t do enough harm to be selected against.

    It’s a good reminder that not every trait in nature is adaptive. Some are just historical quirks.

    Our work helps challenge long-held assumptions about shark behaviour, and sheds light on the hidden evolutionary stories still unfolding in the ocean’s depths. Next time you hear about a shark “playing dead”, remember – it might just be muscle memory from a very, very long time ago.

    Jodie L. Rummer receives funding from the Australian Research Council. She is affiliated with the Australian Coral Reef Society, as President.

    Joel Gayford receives funding from the Northcote Trust.

    ref. Sharks freeze when you turn them upside down – and there’s no good reason why – https://theconversation.com/sharks-freeze-when-you-turn-them-upside-down-and-theres-no-good-reason-why-259448

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Australia: Behind the headlines: the hidden toll on journalists during the pandemic era

    Source:

    24 June 2025

    Getty Images

    New research has revealed the trauma faced by journalists during the height of the pandemic, caused by exposure to online threats, disturbing information and disrupted work routines that exacerbated an industry already under pressure from the rise of social media and online news.

    Journalism and media experts from the University of South Australia have explored the impact of online trauma and threats faced by media professionals during lockdown and restriction periods of the pandemic.

    Findings suggest that while journalists were able to work from home, their reliance on online and digital tools increased, exposing them to potential threats such as trolling, cyber stalking, graphic content, fake news and disturbing information, as well as disrupted work routines.

    A survey of 60 people from around the world found that journalists’ reliance on online resources significantly increased during COVID-19. Before the pandemic only 9% of surveyed journalists spent less than two hours per day online for work. By the time lockdowns occurred, that figure rose to 100%. Almost two-thirds of journalists said fake news and dangerous information was the most potent online danger following the height of the pandemic.

    Lead researcher PhD student Amantha Perera has worked as a journalist for more than 20 years, his work appearing in TIME, Reuters, The Washington Post, The Guardian and al-Jazeera.

    He says the pandemic left journalists in a constant state of uncertainty and feeling anxious and nervous for long periods of time. They also felt they lacked the effective resources and skills to create relief from that environment.

    “The traditional journalism practices like tight deadlines, attention to detail and the competition to report stories before others made it more difficult for journalists to switch off. Those we surveyed described COVID-19 as an intense, fast-moving and dynamic story with constant emphasis that it was global and potentially fatal. The threat of infection was always present,” Perera says.

    “An overwhelming 97.6% of the survey participants agreed that more resources should be diverted to help journalists build skills to mitigate online trauma which can include disturbing information, graphic content, and abuse and threats.”

    One survey participant described the isolation of working and living in a hyper-active information environment and being connected 24/7.

    “I was alone a lot in front of the computer. I could not move around in my city. I felt trapped, often interviewing people in very difficult situations. That made things more pronounced for me, and I couldn’t escape it by doing things I usually enjoyed as I was stuck at home,” they said.

    The exponential rise in social media platforms such as Facebook, X, Instagram, TikTok and YouTube, as well as other online resources, have made it easier for audiences to engage immediately with the news cycle and journalists themselves.

    “Social media, messaging groups and user comments on stories make it easy for readers to be anonymous and this has created a new digital challenge for journalists who work online,” Perera says.

    “The more time that journalists spend inside social media communities, means the more exposure to online toxicity. This is combined with journalists being required to produce often lifesaving public safety information while working long hours and often in remote workspaces during the height of COVID-19.

    “This challenging reporting environment resulted in feelings of fatigue, frustration and anxiety – all of which can manifest in journalists reporting under other potentially traumatic situations like natural disasters.”

    UniSA PhD student Amantha Perera, right, reports on the post-conflict impact of drought and climate extremities in a rural Sri Lanka village Andigama in 2017.

    Perera has proposed the development of a ‘digital flak jacket’ for journalists – a suite of tools and training which adequately prepares journalists for work in digital spaces. His idea was influenced by time he spent reporting the war in Sri Lanka. Every time Perera entered an active conflict zone, he would put on a flak jacket, which is a form of body armour.

    “I did this to make sure that I was prepared and relatively safe from potential hazardous reporting situations. In a similar vein, the digital flak jacket proposes a digital equivalent; a set of resources and interventions, which would allow journalists to report within digital or hybrid workspaces safely. For the digital flak jacket to be effective, the individual journalist needs to assess the current threat exposure levels and decide on the most suitable interventions,” he says.

    While COVID-19 restrictions have long eased, urgent humanitarian situations in Myanmar, Sri Lanka, Ukraine, Israel and Gaza leave journalists to face similar and potentially dangerous working situations while reliant on online resources.

    “Our ongoing work investigating current work conditions faced by journalists in the Asia Pacific has shown that journalism is now functioning in a hybrid workspace where the online and the offline interchange seamlessly,” he says.

    “This has in turn increased the exposure levels to what we now define as technology facilitated threats. There is also heightened concerns over the impact of generative AI from job losses to fake content to eroding trust. The digital flak jacket is an essential work tool now.”

    Contact for interview: Amantha Perera, PhD student, UniSA E: m_b_r_amantha.perera@mymail.unisa.edu.au

    Media contact: Melissa Keogh, Communications Officer, UniSA M: +61 403 659 154 E: Melissa.Keogh@unisa.edu.au

    MIL OSI News

  • MIL-OSI Australia: Cracking the code of early onset bowel cancer: the search for 10 key biomarkers

    Source:

    24 June 2025

    Bowel cancer is no longer just a disease of the elderly. In Australia and around the world, there’s been a concerning rise in bowel cancer cases among people under 50, and no one yet knows exactly why.

    Leading cancer researcher Professor Michael Samuel – from the Centre for Cancer Biology based at the University of South Australia and the Basil Hetzel Institute for Translational Health Research – is at the forefront of a major effort to find answers.

    Backed by a $573,833 grant from Bowel Cancer Australia through Cancer Australia, his team has launched a three-year research project to uncover why younger people are increasingly affected and why a significant number of patients relapse after treatment.

    “We’ve come a long way in the fight against bowel cancer,” Professor Samuel explains. “Thanks to better screening, fewer people are dying from it. But early-onset cases are growing, and that’s a mystery we urgently need to solve.”

    Recent statistics from the University of Melbourne show that someone born in 1990 is up to three times more likely to be diagnosed with bowel cancer than someone born in 1950.

    And the challenge doesn’t end with diagnosis.

    About one-third of patients who have their bowel cancer surgically removed later see the cancer return, but there’s currently no way to predict who’s at risk. In people under 50 diagnosed with cancer, the relapse rate is closer to 50%.

    “That means that some people are going through intense monitoring and therapy that they might not need, while others who opt out may end up facing a relapse that could have been prevented,” says Professor Samuel. “It’s not good enough. We need tools to predict, prevent, and personalise treatment.”

    This is where the team’s breakthrough focus comes in: 10 key biomarkers. These biomarkers (chemicals produced by tumours) are being investigated as potential indicators of both the risk of developing early-onset bowel cancer and the likelihood of a recurrence.

    Over the past 12 months, Professor Samuel’s team has worked intensively to lay the groundwork for this biomarker research. Their goal is to use what they learn to:

    • Identify people at higher risk of early-onset bowel cancer
    • Predict which patients are likely to experience a relapse
    • Help guide more accurate and personalised treatment plans
    • Reduce unnecessary treatments and the side effects they bring.

    Bowel Cancer Australia CEO Julien Wiggins says the risk of being diagnosed before age 40 has more than doubled since 2000, and 1-in-9 new bowel cancer cases now occur in people under age 50.

    “We need to know the “why” around the substantial increase in younger people getting bowel cancer,” he says. “Investing in innovative and collaborative research across all aspects of early-onset bowel cancer has the potential to improve survival and/or help build a path toward a cure.”

    With the investigation into the 10 biomarkers now fully underway, this research offers hope for earlier detection, smarter treatment, and ultimately, better outcomes for bowel cancer patients of all ages.

    This research project is a collaboration of the UniSA’s and SA Pathology’s Centre for Cancer Biology, the Central Adelaide Local Health Network’s (CALHN) and the Basil Hetzel Institute for Translational Health Research.

    Professor Samuel discusses the project in this video.

    For more information, please visit: https://www.centreforcancerbiology.org.au/research/tumour-microenvironment-laboratory/

    June is Bowel Cancer Awareness Month.

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

    Contacts for interview

    Researcher contact: Professor Michael Samuel E: michael.samuel@unisa.edu.au

    Media contact: Candy Gibson M: +61 434 605 142 E: candy.gibson@unisa.edu.au

    Other articles you may be interested in

    MIL OSI News

  • MIL-OSI New Zealand: Frequently asked questions (FAQs) – changes to vocational education

    Source: Tertiary Education Commission

    Can you please explain the different groups involved in the changes?

    ISBsIndustry Skills Boards

    Industry Skills Boards are new entities that will be established formally from 1 January 2026. 
    They have a core role of standard setting for vocational education across their allocated sectors. They will also work to share the voice of industry and advise TEC about workforce needs.
    Each ISB will be set up through an Order in Council and will be industry led. (Six out of eight board members will come from industry.) 

    ISB EAGsIndustry Skills Boards Establishment Advisory Groups

    These groups will exist from mid-2025 until the end of the year to support the establishment of the new ISBs. 
    Their focus is on governance and organisation establishment rather than industry advocacy. 

    ITPsInstitutes of technology and polytechnics

    ITPs are independent regional polytechnics that will be established in 2026. The location of the first of these will be decided by the government in mid-2025. Further decisions will be made during 2026.

    ITP EAGsInstitutes of Technology and Polytechnics Establishment Advisory Groups

    These groups will exist from mid-2025 until the end of the year to support the set-up of the ITPs that are being established at the beginning of 2026. 
    Their focus is on establishing the regional polytechnics as they are split out from the national entity of Te Pūkenga. 

    ITOsIndustry training organisations

    Before the Reform of Vocational Education in 2023, all work-based training was delivered by ITOs. In 2023, most work-based training done in ITOs moved into Te Pūkenga, becoming the work-based learning divisions. Many of the entities continued to use their ITO branding even though ITOs did not technically exist in the system from 2023. 
    These work-based learning divisions of Te Pūkenga will move into ISBs on 1 January 2026, for up to two years.

    PTEsPrivate training establishments

    PTEs are registered with and quality assured by NZQA. They are training providers who have met specific requirements. Training providers (that are not a university, polytechnic or wānanga) must hold PTE registration to be eligible for TEC funding. PTEs may be companies or not-for-profit organisations.

    VETVocational education and training

    Vocational education and training includes all provision at Levels 3 to 7 (non-degree) of the New Zealand Qualifications and Credentials Framework, as well as Level 2 when it is delivered in the workplace.
    It does not include degree-level provision or foundation education.
    VET can be delivered in the workplace (work-based) in a classroom/campus setting (provider-based) or by distance and online learning (extramural). 

    TECTertiary Education Commission

    TEC’s core role in the VET system is funding. We fund the provision at this level in line with funding mechanisms from government.

    NZQANew Zealand Qualifications Authority

    NZQA assures the quality and integrity of New Zealand qualifications. They register providers, quality assure programmes and, for some areas, act as a standard setter. They also oversee the Education (Pastoral Care of Tertiary and International Learners) Code of Practice.

    Work-based learning divisions
    When the work-based learning divisions move into ISBs on 1 January 2026, will they stop enrolling new learners?
    No. At this point we expect that all work-based learning divisions will still be enrolling new learners from 1 January.
    When we have reached the point where there are sufficient providers for a sector, we will:
     (a) not fund additional providers; and
     (b) require ISBs to cease enrolling new learners (if provision remains with them).
    ISBs will have the role of informing TEC about the network of work-based learning provision (number and types of providers) that industry needs. This will inform the funding of new providers, and the expectations on the work-based learning divisions.
    ISBs will begin this work in January 2026, and we expect it to take time for them to gather this information from industry.
    Why is work-based learning moving to the ISBs?
    We appreciate that learners, employers and educators may have some concerns about possible disruption to work-based training because of the upcoming changes. The transition period (2026–2027) has been put in place to minimise disruption for learners and employers as the functions currently under Te Pūkenga work-based learning lift-and-shift unchanged into the ISBs.
    Will the work-based learning divisions of the new ISBs be able to continue developing programmes? Or does all new development stop on 1 January 2026?
    The focus for work-based learning during the transition period (where the training units sit within the ISBs) will be on preparing for transfer, rather than growing. There will, however, be cases where new standards, credentials or qualifications will be required to meet industry needs. In these cases, new provision will be supported.
    What is happening with ITOs?
    ITOs ceased to exist in 2022, although many Te Pūkenga work-based learning business divisions continued to use their old ITO names. Te Pūkenga work-based learning divisions will move temporarily into ISBs. This work-based learning will move into providers (including polytechnics, wānanga and PTEs) by 31 December 2027.
    Industry Skills Boards
    How many ISBs are there and what do they cover?
    We are currently awaiting decisions on the number of ISBs and their broad coverage.
    Further consultation will happen later this year when the ISB EAGs consult around detailed coverage as part of the Order in Council (OIC) process to formally establish the ISBs.
    Why are you putting standard setting and delivery/arranging of training back together?
    The training functions that are moving into the ISBs will only be there temporarily. By January 2028, no training will be delivered by ISBs. During the transition period, the training unit will sit within the ISB but will not be fully integrated into it.
    How will you ensure ISBs manage the conflict of interest involved with being both the standard setter and a training deliverer?
    During the transition period, each training unit will sit within the relevant ISB but will not be fully integrated into it, as this arrangement is only temporary.
    If industries are grouped together in one ISB, will they stop having unique qualifications?
    No. ISBs will be able to create and maintain standards, credentials and qualifications that are specific to the sectors they cover – in the same way Workforce Development Councils (WDCs) do.
    I am worried that ISBs will only look after work-based learning.
    ISBs will create and maintain standards, credentials and qualifications for all the sectors they cover at the vocational level. This will include products that support provider-based (including polytechnic) delivery, and extramural programmes as well as work-based learning.
    How will industry continue to have a voice in the system when there is only provider-based learning for their sector?
    An ISB will take on vocational standard setting for its entire sector, not just for the work-based learning elements. This means it will be responsible for all standards, credentials and qualifications for that sector.
    The term “industry” is very broad. When you say industry will inform choices who do you mean?
    ISBs have a role in communicating industry voice, and their governance will be industry led. ISBs will work with established industry groups and associations as well as employers and other sector stakeholders. ISBs will be expected to put in place mechanisms that identify the needs of all industries they represent.
    What expectations does TEC have regarding collaboration between the ISB Establishment Advisory Groups?
    We have an expectation for all ISBs and ISB Establishment Advisory Groups that they work together cooperatively, especially where the qualifications they cover will impact multiple sectors.
    What will happen to WDCs? What will be done to ensure expertise in WDCs is retained in the new system?
    The standard-setting functions of WDCs will continue until the end of 2025, when they will be disestablished and ISBs will be stood up. In the upcoming months, WDCs will develop plans to transfer relevant functions to ISBs.
    ISBs have a more targeted role than WDCs. It is expected that WDC staff involved in these functions will transition into ISBs.
    PTEs that deliver work-based training
    What happens to work-based learners and apprentices who are studying through a PTE?
    There is currently a small network of PTEs that are funded by TEC to deliver work-based learning. These PTEs will be able to continue enrolling and delivering the provision they currently do.
    All TEC funded providers are given a funding allocation for the year and their enrolments must stay within that allocation. There is no guarantee of funding for providers that enrol above their allocation.
    Who is responsible for determining who is eligible to become a new PTE or work-based provider? What will the criteria be?
    NZQA determines whether an organisation has the appropriate capability to become a registered provider (PTE). TEC determines whether the provider’s offering is suitable for government funding. Funding decisions will be informed by industry preferences about a network of provision.
    How does a PTE start being TEC funded to deliver work-based learning?
    Currently we will only fund new work-based learning PTEs in cases where the provider can demonstrate significant industry support. Our requirements for this will be stringent. For details, see Application to receive TEC funding.
    ISBs will work with industry during 2026 and beyond to understand the network of work-based learning provision that each sector needs. This information will inform TEC funding. Until this information is received, TEC will not have a clear picture of what provision will be both sustainable and sufficient to meet industry needs.
    In most cases we encourage providers to read the guidance information about what we are looking for in work-based learning and start to prepare for future opportunities.
    These same criteria will be applied to existing work-based learning providers that may wish to expand their provision.
    What are the new funding parameters for work-based learning? This is a critical pathway for all providers as business owners.
    See the TEC website for work-based learning funding rates.
    Managed apprenticeships
    Do Managed Apprentices stay with their Polytech provider or move to an ISB in January 2026?
    Currently, no changes are expected for Managed Apprentices already enrolled with a Polytechnic.
    We are currently working through the detail of what Managed Apprenticeships will look like in the future. Like other work-based provision, we do not want to see expansion before ISBs have had the opportunity to consider the network of provision needed for their sectors.
    The stand up of regional ITPs
    How do we find out which polytechnics will be standalone and which will be part of a federation?
    These decisions are being worked through. We will update this information when details are available.
    Will regional ITPs be able to offer programmes nationally?
    Institutes of Technology and Polytechnics (ITPs) are being set up to deliver regionally, to maximise the strength of local knowledge. We expect that this will be the main focus of their provision, however, we will consider other arrangements if these have the support of industry.
    Secondary/tertiary provision
    What is happening with standard setting and delivery for secondary to tertiary transition programmes like Gateway and Trades Academies?
    We will be looking at how these programmes will be supported, and expect this information to be covered in the transition plans developed by WDCs and Te Pūkenga work-based learning divisions.

    MIL OSI New Zealand News

  • MIL-Evening Report: Drone footage captured orcas crafting tools out of kelp – and using them for grooming

    Source: The Conversation (Au and NZ) – By Vanessa Pirotta, Postdoctoral Researcher and Wildlife Scientist, Macquarie University

    Sara Jenkins/500px/Getty

    The more we learn about orcas, the more remarkable they are. These giant dolphins are the ocean’s true apex predator, preying on great white sharks and other lesser predators.

    They’re very intelligent and highly social. Their clans are matrilineal, centred around a older matriarch who teaches her clan her own vocalisations. Not only this, but the species is one of only six known to experience menopause, pointing to the social importance of older females after their reproductive years. Different orca groups have fashion trends, such as one pod who returned to wearing salmon as a hat, decades after it went out of vogue.

    But for all their intelligence, one thing has been less clear. Can orcas actually make tools, as humans, chimps and other primates do? In research out today by United States and British researchers, we have an answer: yes.

    Using drones, researchers watched as resident pods in the Salish Sea broke off the ends of bull kelp stalks and rolled them between their bodies. This, the researchers say, is likely to be a grooming practice – the first tool-assisted grooming seen in marine animals.

    This video shows whales using kelp tools in what appears to be social grooming behaviour. Credit: Center for Whale Research.

    Self kelp: why would orcas make tools?

    Tool use and tool making have been well documented in land-based species. But it’s less common among marine species. This could be partly due to the challenge of observing them.

    This field of research expands what we know these animals are capable of. Not only are orcas spending time making kelp into a grooming tool, but they’re doing it socially – two orcas have to work together to rub the kelp against their bodies.

    To make the tool, the orcas use their teeth to grab a stalk of kelp by its “stipe” – the long, narrow part near the seaweed’s holdfast, where it tethers to the rock. They use their teeth, motion of their body and the drag of the kelp to break off a piece of this narrow stipe.

    Next, they approach a social partner, flip the length of the kelp onto their rostrum (their snout-like projection) and press their head and the kelp against their partner’s flank. The two orcas use their fins and flukes to trap the kelp while rolling it between their bodies. During this contact, the orcas would roll and twist their bodies – often in an exaggerated S-shaped posture. A similar posture has been seen among orcas in other groups, who adopt it when rubbing themselves on sand or pebbles.

    Why do it? The researchers suggest this practise may be social skin-maintenance. Bottlenose dolphin mothers are known to remove dead skin from their calves using flippers, while tool-assisted grooming of a partner has been seen in primates, but infrequently and usually in captivity.

    Orcas across different social groups, ages and genders were seen doing this. But they were more likely to groom close relatives or those of similar age. There was some evidence suggesting whales with skin conditions were more likely to do the kelp-based grooming.

    Humpback whales are known to wear kelp in a practice known as “kelping”. But this study covers a different behaviour, which the authors dub “allokelping” (kelping others).

    A surprise from well-studied pods

    Interestingly, this new discovery comes from some of the most well-studied and famous orcas in the world – a group known as the southern resident killer whales. If you were a child of the 90s, you would have seen them in the opening scene of Free Willy, the movie which set me on my path to study cetaceans.

    These orcas consist of three pods known as J, K and L pods. Each live in the Salish Sea in the Pacific Northwest on the border of Canada and the US.

    Researchers fly drones over these resident pods most days and have access to almost 50 years of observations. But this is the first time the tool-making behaviour has been seen.

    Unfortunately, these pods are critically endangered. They’re threatened by sound pollution from shipping, polluted water, vessel strike and loss of their main food source – Chinook salmon.

    A pod of killer whales off Vancouver, Canada.
    Vanessa Pirotta, CC BY-NC-ND

    Orcas are smart

    In one sense, the findings are not a surprise, given the intelligence of these animals.

    In the Arctic, orcas catch seals by making waves to wash them off ice floes. Before European colonisation, orcas and First Nations groups near Eden hunted whales together.

    They can mimic human speech, while different groups have their own dialects. These animals are awe-inspiring – and sometimes baffling, as when a pod began biting or attacking boats off the Iberian peninsula.

    While orcas are often called “killer whales”, they’re not whales. They’re the biggest species of dolphin, growing up to nine metres long. They’re found across all the world’s oceans.

    Within the species, there’s a surprising amount of diversity. Scientists group orcas into different ecotypes – populations adapted to local conditions. Different orca groups can differ substantially, from size to prey to habits. For instance, transient orcas cover huge distances seeking larger prey, while resident orcas stick close to areas with lots of fish.

    Not just a fluke

    Because orcas differ so much, we don’t know whether other pods have discovered or taught these behaviours.

    But what this research does point to is that tool making may be more common among marine mammals than we expected. No hands – no problem.

    Vanessa Pirotta 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. Drone footage captured orcas crafting tools out of kelp – and using them for grooming – https://theconversation.com/drone-footage-captured-orcas-crafting-tools-out-of-kelp-and-using-them-for-grooming-259372

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI: Oak Valley Community Bank Announces Branch Manager Hiring

    Source: GlobeNewswire (MIL-OSI)

    OAKDALE, Calif., June 23, 2025 (GLOBE NEWSWIRE) — Oak Valley Community Bank, a wholly-owned subsidiary of Oak Valley Bancorp (NASDAQ: OVLY), announced that Mariam Shah has joined the bank as Vice President, Branch Manager of the Lodi Branch which is located at 31 South School Street and is slated to open later this summer.

    Shah brings over a decade of banking experience to her new role, including the past three years as a Branch Manager at another financial institution. She will oversee daily branch operations and focus on building new business relationships within the Lodi community. “We are excited to welcome Mariam to Oak Valley and the Lodi community,” said Julie DeHart, Executive Vice President, Retail Banking Group. “Her banking experience, leadership abilities, and strong communication skills will be instrumental in strengthening client relationships and driving the growth of our branch.”

    Shah holds a Bachelor of Science degree in Business Administration and Management from Georgia College and State University. She is a former member of the Pleasant Hill Chamber of Commerce and currently resides in Tracy. Outside of work, she enjoys outdoor activities, hiking, beach trips, participating in holiday charity events, and visiting family.

    Oak Valley Bancorp operates Oak Valley Community Bank & their Eastern Sierra Community Bank division, through which it offers a variety of loan and deposit products to individuals and small businesses. They currently operate through 18 conveniently located branches: Oakdale, Turlock, Stockton, Patterson, Ripon, Escalon, Manteca, Tracy, Sacramento, Roseville, two branches in Sonora, three branches in Modesto, and three branches in their Eastern Sierra division, which includes Bridgeport, Mammoth Lakes, and Bishop. The Lodi Branch will be the bank’s 19th location.

    For more information, call 1-866-844-7500 or visit www.ovcb.com.

    Contact:  Chris Courtney/Rick McCarty
    Phone:  (209) 848-BANK (2265)  
      Toll Free (866) 8447500
      www.ovcb.com

    The MIL Network

  • MIL-OSI Russia: Dmitry Chernyshenko: Improving the quality of teaching natural sciences in schools is bearing fruit

    Translation. Region: Russian Federal

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

    Russian team of the first Open International Geographical Olympiad (openGeo 2025)

    The results of the first Open International Geographical Olympiad (openGeo 2025) were summed up at the University Gymnasium of the Lomonosov Moscow State University. The competition brought together 107 participants from 23 countries. The Russian team was represented by six winners of the final stage of the All-Russian School Olympiad in Geography for the 2024/25 academic year. In the team competition at openGeo 2025, they won first place: the Russian team has four gold and two silver medals.

    The children were congratulated by Deputy Prime Minister of Russia Dmitry Chernyshenko and Minister of Education of Russia Sergei Kravtsov.

    “Our President Vladimir Putin noted that geography serves as the basis for the formation of patriotic values, cultural, national identity and self-awareness. The brilliant victory of our schoolchildren shows that adult outstanding scientific minds have someone to rely on. Thanks to such victories, we see that our common work to fulfill the President’s task – to improve the quality of teaching natural sciences in schools – is bearing fruit. Thank you to everyone who contributed to these high results, and we wish you success in the future!” said the Deputy Prime Minister.

    He also added that the national project “Youth and Children” helps to create conditions for realizing the potential and developing the talents of each person.

    The head of the Russian Ministry of Education, Sergei Kravtsov, congratulated the children and drew attention to the fact that the Olympiad contributes to strengthening international educational ties.

    “Today we pay special attention to developing interest in schoolchildren in studying natural sciences. Participation in the Open International Geographical Olympiad is an opportunity for children not only to test their knowledge, but also to meet young talents from different countries, exchange experiences and ideas. I would like to note that such a competition was held on the Russian platform for the first time. I congratulate our team, their parents and teachers on their brilliant result. I am sure that the success of our schoolchildren will inspire their peers to new discoveries and achievements,” emphasized Sergey Kravtsov.

    Gold medals were awarded to:

    ● Christian Rymarchuk, State Budgetary Educational Institution “School No. 179”;

    ● Dina Islyamutdinova, State Budgetary Educational Institution of the City of Moscow “School No. 2054”;

    ● Nikita Rusakov, University Gymnasium of Moscow State University. M.V. Lomonosov;

    ● Elizaveta Kiseleva, State Budgetary Educational Institution “Lyceum “Second School” named after V.F. Ovchinnikov”.

    Silver medals were won by:

    ● Tikhon Pulyayev, State Budgetary Educational Institution “Moscow Gymnasium in the South-West No. 1543 named after People’s Teacher of the Russian Federation Yu.V. Zavelsky”;

    ● Alexey Gorlov, OAO “School of the Center of Pedagogical Excellence”.

    The coaches of the Russian team were leading specialists from the Faculty of Geography of the Lomonosov Moscow State University Pavel Kirillov and Dmitry Bogachev, as well as a teacher from the National Research University Higher School of Economics Artur Petrosyan and a teacher from the OANO New School Anna Romashina.

    Young geographers from Azerbaijan, Armenia, Afghanistan, Belarus, Bosnia and Herzegovina, Brazil, Ghana, Zambia, Indonesia, Iran, Malaysia, Mongolia, Kazakhstan, China, Nigeria, Russia, Serbia, Slovenia, Tajikistan, Thailand, Tunisia, the Philippines, and Sri Lanka took part in the Olympiad. Thaddeus Trazo (Philippines) was recognized as the absolute winner of openGeo 2025. Russian schoolboy Christian Rymarchuk shared 2nd place with a participant from Belarus.

    All Olympiad tasks were completed in English. The Olympiad competition program consisted of three rounds. During the theoretical round, participants solved five problems in physical and socio-economic geography. The practical round included tasks aimed at analyzing space images, graphic and cartographic tasks. As part of the multimedia test, schoolchildren answered 40 illustrated questions from various areas of geographical knowledge.

    The scientific committee and jury of openGeo 2025 included leading scientists and geographers from Russia (representatives of Lomonosov Moscow State University, Institute of Geography of the Russian Academy of Sciences), India, Kazakhstan, Serbia and other countries.

    Open International Geographical Olympiad (HTTPS: //opengeo. Msu.ru) is an international competition for high school students. Its organizers are the Russian Ministry of Education and Lomonosov Moscow State University.

    The competition is held as an open alternative international Olympiad for schoolchildren and students selected based on the results of national geographic Olympiads and other intellectual competitions in the field of geography of the CIS, SCO, BRICS and other countries. The event is aimed at popularizing geographical knowledge and skills among talented schoolchildren and strengthening international educational and academic ties.

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

    MIL OSI Russia News

  • MIL-OSI Global: Canadian community foundations rally to support local news, calling it essential to democracy

    Source: The Conversation – Canada – By Magda Konieczna, Associate Professor of Journalism, Concordia University

    A couple of weeks ago, a neighbour mentioned our son’s school might be moving. I couldn’t find anything about this online.

    But I did find plenty of news from down south. While the erosion of democracy in the United States is something to pay attention to, some news outlets appear to be capitalizing on its sensational aspects.

    When Donald Trump and Elon Musk get into an online fistfight, local news can seem like the less glamorous cousin.

    But there’s really not much we can do about American democracy.

    A poster on a lamp post that says ‘Good News is Coming.’
    Jon Tyson/Unsplash, CC BY

    Still, U.S. media reports have contributed to news burnout. Many Canadians are tuning out from their regular news sources. Forty per cent of Canadians responding to a survey from the 2025 Reuters Digital News Report said they were sometimes or often avoiding the news, as compared to 28 per cent eight years earlier.

    Hearing about problems we can’t do much about is disempowering, according to a study on solutions journalism. Researchers found that readers who were treated as active civic participants rather than passive consumers felt more empowered.

    The news about my kid’s school is something that profoundly impacts my family. And I can do something about it, at least in theory. I can attend public meetings and organize my neighbours to take a stand, in hopes of affecting the outcome of the discussions.

    Local news can help me do that. It’s the very stuff that can help rebuild frayed community ties and mis- and disinformation. Without access to quality local news, malicious entities can more easily step into communities with misinformation designed to sway or mislead.

    Voter turnout is higher in places with more newspapers. Local journalists act as news brokers, ensuring the flow of information, which is essential to fulfilling the information needs of communities. We know that when less local news is present, communities become more polarized, and that polarization leads to increased sharing of misinformation.

    But local news is increasingly in trouble. Local news outlets are closing — 566 across Canada, to be precise, between 2008 and April 2025. That’s compared to the 283 that opened and remain in operation in that same period, according to the Local News Research Project.

    Rallying to support local news

    My recent report for The Canadian Philanthropy Partnership Research Network, “In Defense of the Local: How Community Foundations Across Canada are Supporting Local News” describes an increasingly popular way to support these local news outlets.

    Through case studies, I documented — along with my research assistant, Jessica Botelho-Urbanski, and supported by our research team at OCADU — the early signs of a growing movement of Canadian community foundations supporting local journalism.

    Community foundations across Canada are becoming ever more aware that many of the issues they care about, like building just and sustainable communities, are connected to the availability of local journalism.

    And some communities are starting to fund their local news outlets.

    For example, the Toronto Foundation made a rare, 10-year commitment to support The Local, a non-profit news outlet founded in 2019 that describes itself as “unabashedly Toronto, reporting from corners of the city that are too often ignored or misunderstood.”

    Screenshot of a story on ‘Moss Park’ from the digital news outlet The Local.
    The Local

    Sharon Avery, Toronto Foundation’s president and CEO, says the organization hadn’t spent much time prioritizing journalism because “the dots have not been connected …that a healthy local journalism equals a healthy community.” But she grew convinced of the essential links between local news and democracy, and realized local news is a powerful tool.

    The Winnipeg Foundation has been interested in local news for a while. Most recently, it funded the salary for one reporter, shared between Winnipeg’s The Free Press, a major local newspaper, and The Narwhal, an environmentally focused digital news startup that had been looking to expand its coverage in the Prairies.

    This kind of collaboration can improve the quality of work produced while also increasing the attention garnered by the resulting journalism in a way that is truly a win-win for all partners.

    How to support local journalism

    All of this is happening alongside government support, delivered through solutions like the Local Journalism Initiative, which funds journalists to report on under-covered topics, and the Canadian Journalism Labour Tax Credit, which covers a portion of salaries of eligible journalists.

    Our report also includes recommendations on how place-based foundations can turn these initiatives into a movement to support local journalism. Community foundations could start by getting to know their local news ecosystems. What news organizations exist? What audiences do they serve?

    They should also consider policies to direct some of their ad spending to local media, following the lead of the provincial government in Ontario, which has its four largest agencies allocate at least one-quarter of their annual advertising budgets to Ontario publishers.

    Perhaps the most powerful — and most challenging — of our recommendations includes working with other local players to set up a community news fund.

    This would enable funders to pay into a pool allocated to local news. This approach has generated millions for local news ecosystems in the U.S., Europe and South America.

    Community foundations have the power to promote journalistic collaboration, which can help to combat mis- and disinformation.

    To improve the quality of life and information for Canadians from coast to coast to coast, supporting local journalism is a must.

    The contribution of the research assistant on the report described here was funded by a SSHRC grant obtained by the Canadian philanthropy partnership research network (PhiLab). The work was also supported by the Cultural Policy Hub at OCADU.

    ref. Canadian community foundations rally to support local news, calling it essential to democracy – https://theconversation.com/canadian-community-foundations-rally-to-support-local-news-calling-it-essential-to-democracy-257873

    MIL OSI – Global Reports

  • MIL-Evening Report: Work, wages and apprenticeships: sifting for clues about the lives of girls in ancient Egypt

    Source: The Conversation (Au and NZ) – By Julia Hamilton, Lecturer in History and Archaeology, Macquarie University

    Weavers in the Tomb of Khnumhotep II, Beni Hassan, Egypt. Painted by Norman de Garis Davies (MMA 33.8.16)

    We know surprisingly little about the lives of children in ancient Egypt.

    And what records we do have about them often concern the lives of the elite – the young king or the children of senior officials. They are more prominent in surviving material evidence, especially funerary art. Infant mortality rates were high in ancient Egypt.

    As a result, much of the work in Egyptology on representations of childhood in ancient Egypt is dominated by evidence for the lives of boys and young adult men.

    But what were the lives of ordinary girls like in ancient Egypt? And how did they make their way in a deeply patriarchal culture?

    Finding hieroglyphic words for girls

    An initial problem in studying girls’ lives in ancient Egypt is answering the question: who was a girl in ancient Egypt?

    Chronological age was not always recorded by ancient Egyptians in their letters or inscriptions.

    Instead, more general words and hieroglyphic signs tended to accompany images of men, women and children to indicate their social roles.

    A woman is shown nursing a child while another woman is dressing her hair.
    Metropolitan Museum of Art, New York (22.2.35)

    These words and signs were only loosely associated with biological development.

    Hieroglyphic words for infants and small children, for instance, could be marked with an image of a small, seated child – sometimes with a finger held to its mouth.

    Among the words used to describe young girls – talking, walking, and participating alongside adults in their work – was sheriyt.

    This is the word often found in ancient accounting documents recording payments of wages, indicating a girl-child worker. They are distinguished from older women in these documents, although it is difficult to know precisely how young they might have been.

    In this way, written administrative records and archaeological evidence reveals girls of many social classes were integrated into economic production from an early age.

    Payment for work

    Elephantine, a town at Egypt’s southern frontier near modern-day Aswan, provides a unique window into the urban life of some girls who worked in textile workshops during the ancient Egyptian Middle Kingdom, which dates approximately 2030–1650 BCE.

    First published in 1996, archaeologists found a ceramic bowl repurposed as a writing surface in a house in the densely packed urban settlement.

    The excavators initially dated the bowl to the reign of King Amenemhat III, who ruled almost 3,800 years ago. However, based on the style of writing and the types of names listed, some scholars have also dated it earlier. It contains lists of payments of provisions of grain for textile workers over the course of a month.

    What makes this document so important is that it names at least 18 child workers. Of these, 11 are girls, clearly marked with the Egyptian word sheriyt, working alongside 28 adult women.

    The list shows adult women in this workshop received between 50–57 heqat (around 240–274 litres) of grain – although it’s not entirely clear if this was a one-off payment, a payment per month, or something else. The girls earned smaller but still significant wages of 3–7 heqat (around 14–34 litres).

    Some other adult women seem to have also received comparable provisions to the girls, although without further information it is difficult know their social status or age.

    This document not only confirms that girls received payment for their labour. It also suggests a structured apprenticeship system where young girls (and boys) worked alongside experienced craftswomen.

    This corroborates evidence from visual art of textile workshops from the same period.

    Weavers in the Tomb of Khnumhotep II, Beni Hassan, Egypt. Painted at the tomb in 1931 by Norman de Garis Davies.
    Metropolitan Museum of Art, New York (33.8.16)

    Work life, home life

    Archaeological evidence suggests textile production occurred both within homes and in dedicated workshops.

    Evidence from the excavations at Elephantine suggests homes had several rooms with multiple purposes, including courtyards, entrance vestibules, kitchens with ovens (recognisable by blackened walls and ash deposits), and possible stairs leading to roof spaces.

    Privacy would have been limited. Daily life would have included close interaction with animals, as evidenced by attached animal pens.

    More recently, close to the house where the provision list was discovered, archaeologists found needles, spindles, shuttles, and remains of pegs for a large loom.

    These were found both inside houses and in the courtyards attached to them.

    It’s hard to know what exactly these buildings were for; they probably served multiple purposes.

    Lives shaped by class and legal status

    Not all girls at Elephantine had the same experience of life. The town’s position at Egypt’s southern frontier in this period meant it was home to diverse populations, which included migrants, enslaved people and transitory workers.

    A letter dating to the reign of King Amenemhat III documents some families, including women and children, arriving at Elephantine seeking work during a famine in their home region.

    This ancient letter mentions families, including women and children, looking for work.
    © The Trustees of the British Museum. Shared under a Creative Commons Attribution-NonCommercial-ShareAlike 4.0 International (CC BY-NC-SA 4.0) licence, CC BY-NC-SA

    This evidence can be compared to a legal document from the same time period but from another Egyptian town, El Lahun. This document mentions the purchase and transfer of enslaved women and infants who are called Aamut, referring to a region in West Asia. The document shows they have been given new Egyptian names.

    These documents remind us factors such as class and legal status have always profoundly shaped girls’ lives.

    Valuing the work of girls

    Accessing the everyday thoughts, feelings, and perspectives of many ancient people, especially children, is challenging for historians. We don’t, for instance, have a wealth of personal diaries from ancient Egypt to learn about girls’ interior lives.

    But what’s clear is that girls were not merely passive participants in society. They were active economic contributors, who often received formal compensation for their work.

    Historians must always look beyond elite contexts to incorporate diverse evidence types – administrative documents, archaeological remains, and artistic representations – to construct a more complete picture of ancient lives.

    Julia Hamilton 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. Work, wages and apprenticeships: sifting for clues about the lives of girls in ancient Egypt – https://theconversation.com/work-wages-and-apprenticeships-sifting-for-clues-about-the-lives-of-girls-in-ancient-egypt-249581

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: It’s time to face an uncomfortable truth: maybe our pampered pets would be better off without us

    Source: The Conversation (Au and NZ) – By Nancy Cushing, Associate professor, University of Newcastle

    ROSLAN RAHMAN/AFP via Getty Images

    Pet-keeping is often promoted for the benefits it brings humans. A close association with another animal can provide us with a sense of purpose and a daily dose of joy. It can aid our health, make us more conscientious and even help us form relationships with other humans.

    But the situation is perhaps not as rosy for the animal itself. Domesticated animals often live longer than their free-living counterparts, but the quality of those lives can be compromised. Pets can be fed processed foods that can lead to obesity. Many are denied a sexual life and experience of parenthood. Exercise can be limited, isolation is common and boredom must be endured.

    In the worst cases, pets suffer due to selective breeding practices, physical abuse and unethical commercial breeding.

    Is this the best life for the species we feel closest to? This question was raised for me when I heard the story of Valerie, the dachshund recaptured in April this year after almost 18 months living on her own on South Australia’s Karta Pintingga/Kangaroo Island.

    Is being a pet the best life for the species we feel closest to?
    Oleksandr Rupeta/NurPhoto via Getty Images

    Valerie: the story that captivated a nation

    Valerie, a miniature dachshund, escaped into the bush during a camping trip on Kangaroo Island in November 2023. After several days of searching, her bereft humans returned to their home in New South Wales. They assumed the tiny dog, who had lived her life as a “little princess”, was gone forever.

    Fast-forward a year, and sightings were reported on the island of a small dog wearing a pink collar. Word spread and volunteers renewed the search. A wildlife rescue group designed a purpose-built trap, fitting it out with items from Valerie’s former home.

    After several weeks, a remotely controlled gate clattered shut behind Valerie and she was caught.

    Cue great celebrations. The searchers were triumphant and the family was delighted. Social media lit up. It was a canine reenactment of one of settler Australia’s enduring narratives: the lost child rescued from the hostile bush.

    A dog’s-eye view

    But imagine if Valerie’s story was told from a more dog-centred perspective. Valerie found herself alone in a strange place and took the opportunity to run away. She embarked on a new life in which she was responsible for herself and could exercise the intelligence inherited from her boar-hunting ancestors.

    No longer required to be a good girl, Valerie applied her own judgement – that notorious dachshund “stubbornness” – to evade predators, fill her stomach and pass her days.

    Some commentators assumed Valerie must have been fed by anonymous benefactors – reflecting a widely held view that pets have limited abilities.

    Veterinary experts, however, said her diet likely consisted of small birds, mammals and reptiles she killed herself – as well as roadkill, other carrion and faeces.

    Valerie was clearly good at life on the lam. Unlike the human competitors in the series Alone Australia, she did not waste away when left in an island wilderness. Instead, she gained 1.8 kg of muscle – and was so stocky she no longer fit the old harness her humans brought to collect her. She had literally outgrown her former bonds.

    Valerie could have sought shelter with the island’s humans at any time, but chose not to. She had to be actively trapped. Once returned to her humans, she needed time to reacclimatise to life as a pet.

    Not all missing pets thrive in the wild. But all this raises the question of whether Valerie’s rescue would be better understood as a forced return from a full life of freedom, to a diminished existence in captivity?

    A long history of pets thriving in the wild

    Other examples exist which suggest an animal’s best life can take place outside the constraints of being a pet.

    Exotic parrots have fled lives in cages to form urban flocks. In the United States, 25 species initially imported as pets have set up set up self-sustaining, free-living populations across 23 states.

    Or take the red-eared slider turtle, which is native to parts of the US and Mexico. It’s illegal to keep the turtles as pets in Australia, but some of those smuggled in have later been released into urban wetlands where they have established large and widespread populations.

    Cats are perhaps the most notorious example of escaped pets thriving on their own in Australia. They numbers in the millions, in habitats from cities to the Simpson Desert to the Snowy Mountains, showing how little they need human assistance.

    One mark of their success is their prodigious size. At up to 7kg, free-living cats can be more than twice the weight of the average domestic cat.

    Around the world, exotic former companion mammals, birds, fish, reptiles, amphibians and insects have all established populations large enough to pose problems for other species.

    Rethinking animals as pets

    Of course, I am not advocating that pets be released to the wild, creating new problems. But I do believe current pet-keeping practices are due for reconsideration.

    A dramatic solution would be to take the animal out of the pet relationship. Social robots that look like seals and teddy bears are already available to welcome you home, mirror your emotions and offer up cuddles without the cost to other animals.

    A less radical option is to rethink the idea of animals as “pets” and instead see them as equals.

    Some people already enjoy these unforced bonds. Magpies, for example, are known to have strong allegiances with each other and are sometimes willing to extend those connections to humans in multi-species friendships.

    As for Valerie, she did make “her little happy sounds” when reunited with her humans. But she might look back with nostalgia to her 529 days of freedom on Kangaroo Island.

    Nancy Cushing receives funding from the State Library of New South Wales as the Coral Thomas Fellow. She is a member of the executive committee of the Australian Historical Association.

    ref. It’s time to face an uncomfortable truth: maybe our pampered pets would be better off without us – https://theconversation.com/its-time-to-face-an-uncomfortable-truth-maybe-our-pampered-pets-would-be-better-off-without-us-256903

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: More women are using medical cannabis – but new research shows barriers push some into illegal markets

    Source: The Conversation (Au and NZ) – By Vinuli Withanarachchie, PhD candidate, College of Health, Te Kunenga ki Pūrehuroa – Massey University

    Getty Images

    The number of women using medicinal cannabis is growing in New Zealand and overseas. They use cannabis treatment for general conditions such as pain, anxiety, inflammation and nausea, as well as gynaecological conditions, including endometriosis, pelvic floor conditions, and menopause.

    However, their experiences with medicinal cannabis remain under-explored in research and overlooked in policy and regulation. As our work shows, they face several gender-specific barriers to accessing medicinal cannabis. Some of these hurdles lead women to seeking cannabis from illegal markets.

    New Zealand introduced the medicinal cannabis scheme five years ago to enable access to legal, safe and quality-controlled cannabis products for any condition a doctor would deem suitable for a prescription.

    A recent analysis found the number of medicinal cannabis products dispensed has increased more than 14-fold since 2020, with more than 160,000 prescriptions administered during 2023/2024.

    In the first two years of the scheme, women were the primary recipients of medicinal cannabis prescriptions. Between 2022 and 2023, the number of prescriptions issued to female patients doubled to 47,633.

    Our findings from a large-scale national survey show that although women perceive physicians as supportive of prescribing medicinal cannabis, they were less likely to have prescriptions than men. This is similar to findings from Australia.

    Potential reasons include the cost of visiting health professionals, unpaid care-giving duties, lower workforce participation and a pay disparity – all creating barriers to accessing health services.

    Women were also more likely not to disclose their medicinal cannabis use to others, citing it would be less accepted by society because of their gender.

    Gendered risks in illegal cannabis markets

    Our latest study aligned with Australia in finding that women often seek cannabis from illegal sources because of perceived lower prices. Many could not financially sustain accessing legal prescriptions because medicinal cannabis is not funded by New Zealand’s drug-buying agency Pharmac.

    Study participants discussed the health risks of accessing illegal cannabis such as consuming products without knowing how strong they are or whether they have been contaminated with harmful substances.

    They also characterised illegal cannabis markets as unsafe and intimidating for women, with little legal protection and the presence of predatory male sellers. Some even described gender-specific experiences of physical assault, intimidation and sexual harassment, particularly when cannabis buying occurred in drug houses or locations controlled by the seller.

    Women accessing medicinal cannabis in illegal markets increasingly relied on female suppliers, viewing them as safer and more reliable. Some also helped connect others to these suppliers and used social media to warn other women of unsafe male suppliers. This created informal women-led support networks for access.

    Accessing legal prescriptions

    Women increasingly use cannabis clinics to access pain treatments.
    Getty Images

    One of our recent studies found many women begin their journeys with medicinal cannabis online via social media, often leading them to cannabis clinics with a strong digital presence. Women are now a growing demographic for specialised medicinal cannabis clinics in New Zealand and in other countries.

    Cannabis clinics have a reputation among medicinal cannabis consumers for being more knowledgeable and positive about treatments than general practitioners and other health providers. Women have been encouraged by positive online testimonies from other women using cannabis treatments for gynaecological and other conditions.

    Female medicinal cannabis patients also described the financial burden of accessing a prescription, including consultation fees and the costs of products as barriers to access.

    Their relationships with their GPs strongly influenced their decision to seek a prescription. Those with prior experiences of having their pain underestimated or misdiagnosed in mainstream care were more likely to source legal medicinal cannabis from cannabis clinics.

    Policy and practice

    The current scientific evidence for using medicinal cannabis for gynaecological conditions is still emerging. Clinical trials are under way in Australia to evaluate cannabis treatment for endometriosis and period pain.

    Women’s reliance on online sources and personal recommendations to learn about medicinal cannabis highlights a gap in public awareness and government education about the legal prescription scheme. Hesitance to discuss and recommend cannabis treatment among GPs also persists as a barrier to access.

    Online peer networks on social media platforms are promoting women’s agency and informing their decision making around medicinal cannabis, but also raise the risks of misinformation.

    Although marketing of medicinal cannabis to women may improve their engagement with the prescription scheme, it may also put them in a vulnerable position where they are encouraged to pursue expensive treatment options which may not be effective.

    The collective findings from our studies indicate complex financial, social and systemic factors affecting safe and equitable access to medicinal cannabis for women. To improve women’s engagement with New Zealand’s medicinal cannabis scheme, we suggest GPs should have informed and non-stigmatising discussions with female patients to explore when medicinal cannabis might be an appropriate treatment option.

    Better access to good official consumer information about medicinal cannabis and greater investment in clinical trials for gynaecological conditions would also improve and support women’s decision making about their health.

    Vinuli Withanarachchie receives funding from the Health Research Council for research on cannabis policy reform.

    Chris Wilkins receives funding from the Health Research Council for studies on cannabis policy and vaping.

    Marta Rychert receives funding for cannabis research from the Royal Society of NZ and the Health Research Council.

    ref. More women are using medical cannabis – but new research shows barriers push some into illegal markets – https://theconversation.com/more-women-are-using-medical-cannabis-but-new-research-shows-barriers-push-some-into-illegal-markets-258797

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Inaccurate and misogynistic: why we need to make the term ‘hysterectomy’ history

    Source: The Conversation (Au and NZ) – By Theresa Larkin, Associate Professor of Medical Sciences, University of Wollongong

    Panuwat Dangsungnoen/Getty Images

    Have you had a tonsillectomy (your tonsils taken out), appendectomy (your appendix removed) or lumpectomy (removal of a lump from your breast)? The suffix “ectomy” denotes surgical removal of the named body part, so these terms give us a clear idea of what the procedure entails.

    So why is the removal of the uterus called a hysterectomy and not a uterectomy?

    The name hysterectomy is rooted in a mental health condition – “hysteria” – that was once believed to affect women. But we now know this condition doesn’t exist.

    Continuing to call this significant operation a hysterectomy both perpetuates misogyny and hampers people’s understanding of what it is.

    From the defunct condition ‘hysteria’

    Hysteria was a psychiatric condition first formally defined in the 5th century BCE. It had many symptoms, including excessive emotion, irritability, anxiety, breathlessness and fainting.

    But hysteria was only diagnosed in women. Male physicians at the time claimed these symptoms were caused by a “wandering womb”. They believed the womb (uterus) moved around the body looking for sperm and disrupted other organs.

    Because the uterus was blamed for hysteria, the treatment was to remove it. This procedure was called a hysterectomy. Sadly, many women had their healthy uterus unnecessarily removed and most died.

    The word “hysteria” did originally came from the ancient Greek word for uterus, “hystera”. But the modern Greek word for uterus is “mitra”, which is where words such as “endometrium” come from.

    Hysteria was only removed as an official medical diagnosis in 1980. It was finally recognised it does not exist and is sexist.

    “Hysterectomy” should also be removed from medical terminology because it continues to link the uterus to hysteria.

    Common but confusing

    About one in three Australian women will have their uterus removed. A hysterectomy is one of the most common surgeries worldwide. It’s used to treat conditions including:

    • abnormal uterine bleeding (heavy bleeding)
    • uterine fibroids (benign tumours)
    • uterine prolapse (when the uterus protrudes down into the vagina)
    • adenomyosis (when the inner layer of the uterus grows into the muscle layer)
    • cancer.

    However, in a survey colleagues and I did of almost 500 Australian adults, which is yet to be published in a peer-reviewed journal, one in five people thought hysterectomy meant removal of the ovaries, not the uterus.

    It’s true some hysterectomies for cancer do also remove the ovaries. A hysterectomy or partial hysterectomy is the removal of only the uterus, a total hysterectomy removes the uterus and cervix, while a radical hysterectomy usually removes the uterus, cervix, uterine tubes and ovaries.

    There are important differences between these hysterectomies, so they should be named to clearly indicate the nature of the surgery.

    Research has shown ambiguous terminology such as “hysterectomy” is associated with low patient understanding of the procedure and the female anatomy involved.

    There are different types of hysterectomies, and the label can be confusing.
    Olena Yakobchuk/Shutterstock

    Uterectomy should be used for removal of the uterus, in combination with the medical terms for removal of the cervix, uterine tubes and ovaries as needed. For example, a uterectomy plus cervicectomy would refer to the removal of the uterus and the cervix.

    This could help patients understand what is (and isn’t) being removed from their bodies and increase clarity for the wider public.

    Other female body parts and procedures have male names

    There are many eponyms (something named after a person) in anatomy and medicine, such as the Achilles tendon and Parkinson’s disease. They are almost exclusively the names of white men.

    Eponyms for female anatomy and procedures include the Fallopian tubes, Pouch of Douglas, and Pap smear.

    The anatomical term for Fallopian tubes is uterine tubes. “Uterine” indicates these are attached to the uterus, which reinforces their important role in fertility.

    The Pouch of Douglas is the space between the rectum and uterus. Using the anatomical name (rectouterine pouch) is important, because this a common site for endometriosis and can explain any associated bowel symptoms.

    Pap smear gives no indication of its location or function. The new cervical screening test is named exactly that, which clarifies it samples cells of the cervix. This helps people understand this tests for risk of cervical cancer.

    Language matters in medicine and health care

    Language in medicine impacts patient care and health. It needs to be accurate and clear, not include words associated with bias or discrimination, and not disempower a person.

    For these reasons, the International Federation of Associations of Anatomists recommends removing eponyms from scientific and medical communication.

    Meanwhile, experts have rightly argued it’s time to rename the hysterectomy to uterectomy.

    A hysterectomy is an emotional procedure with not only physical but also psychological effects. Not directly referring to the uterus perpetuates the historical disregard of female reproductive anatomy and functions. Removing the link to hysteria and renaming hysterectomy to uterectomy would be a simple but symbolic change.

    Educators, medical doctors and science communicators will play an important role in using the term uterectomy instead of hysterectomy. Ultimately, the World Health Organization should make official changes in the International Classification of Health Interventions.

    In line with increasing awareness and discussions around female reproductive health and medical misogyny, now is the time to improve terminology. We must ensure the names of body parts and medical procedures reflect the relevant anatomy.

    Theresa Larkin 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. Inaccurate and misogynistic: why we need to make the term ‘hysterectomy’ history – https://theconversation.com/inaccurate-and-misogynistic-why-we-need-to-make-the-term-hysterectomy-history-257972

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI: dLocal announces appointment of Independent Board Member

    Source: GlobeNewswire (MIL-OSI)

    MONTEVIDEO, Uruguay, June 23, 2025 (GLOBE NEWSWIRE) — DLocal Limited (“dLocal”, “we”, “us”, and “our”) (NASDAQ:DLO), a technology-first payments platform, today announced the appointment of Will Pruett as an Independent Board Member and well as a member of our Audit Committee, effective July 1, 2025. With his extensive expertise in capital markets and emerging markets, Mr. Pruett will play a key role in strengthening the Board’s ability to guide dLocal’s growth and scalability.

    “We are thrilled to welcome Will Pruett to our Board of Directors,” said Eduardo Azar, Chairman of dLocal. “His deep knowledge of capital market dynamics and investment strategies, combined with his extensive experience across Latin America, Asia, and Africa, will be invaluable as we continue to expand our business and deliver value to our stakeholders.”

    Mr. Pruett serves as an independent board member of PicPay, one of the largest Brazilian digital banks. Previously, Mr. Pruett served at Fidelity Investments for 16 years (from 2008 to 2025), where he was a portfolio manager for the Fidelity Latin America Fund (FLATX), Fidelity Emerging Markets Opportunities Fund (FEMSX) and Fidelity Total Emerging Markets Fund (FTEMX). Prior to Fidelity, Mr. Pruett worked at HSBC, where he held roles in retail credit and e-commerce across Asia, Europe and Latin America. Mr. Pruett holds a master’s degree in Business Administration from the Harvard Business School and a degree in Economics from the University of Chicago.

    “His expertise and perspectives will undoubtedly add depth to board discussions and help drive long-term shareholder value. We warmly welcome Mr. Pruett and look forward to his meaningful contributions as we continue to unlock the power of emerging markets for our merchants,” added Eduardo Azar.

    This appointment underscores dLocal’s dedication to effective governance and leveraging a diversity of viewpoints to drive growth strategies.

    Additionally, dLocal announces that Mariam Toulan’s term as Independent Director on the Board of Directors will conclude on June 30, 2025. Ms. Toulan has been a valued member of the Board, and the company expresses its gratitude for her contributions, dedication, and wisdom during her tenure. We wish her all the best in her future endeavors.

    About dLocal
    dLocal powers local payments in emerging markets, connecting global enterprise merchants with billions of emerging market consumers in more than 40 countries across Africa, Asia, and Latin America. Through the “One dLocal” platform (one direct API, one platform, and one contract), global companies can accept payments, send pay-outs and settle funds globally without the need to manage separate pay-in and pay-out processors, set up numerous local entities, and integrate multiple acquirers and payment methods in each market.

    Investor Relations Contact:
    investor@dlocal.com

    Media Contact:
    media@dlocal.com

    The MIL Network

  • MIL-Evening Report: ‘It feels like I am being forced to harm a child’: research shows how teachers are suffering moral injury

    Source: The Conversation (Au and NZ) – By Glenys Oberg, PhD candidate in education and trauma, The University of Queensland

    SolStock/Getty Images

    Australia is in the grip of a teacher shortage. Teachers are burning out, warning the job is no longer sustainable and leaving the profession.

    We know this is due to excessive workloads, stress and abuse. But research suggests there is another element at play: some teachers are also experiencing moral injury.

    Moral injury occurs when teachers are forced to act against their values – leaving them feeling disillusioned and complicit in harm. In my study of 57 Australian teachers, many shared emotionally-charged accounts of being put in impossible situations at work.

    What is moral injury?

    Moral injury is when professionals cannot act in line with their values due to external demands.

    It differs from burnout or compassion fatigue: burnout stems from chronic stress and compassion fatigue comes from emotional overload.

    Moral injury was initially developed in military psychology but has since been applied to healthcare and education – professions where high-stakes ethical decision-making and institutional failures often collide.

    Previous studies on moral injury in schools have shown how rigid disciplinary policies, high-stakes testing regimes and chronic underfunding often force teachers to act in ways that contradict their professional judgement. This can lead to frustration, guilt and professional disillusionment.

    Recent studies have reframed moral injury as a systemic issue rather than an individual psychological condition. This is because institutional constraints – such as inflexible accountability measures and bureaucratic inefficiencies – prevent teachers from fulfilling their ethical responsibilities.

    My new study

    This research stems from an initial study, which looked at burnout in Australian teachers.

    The initial study included a national sample of 2,000 educators. This new study is a subset of 57 teachers who participated in follow-up surveys and focus groups. The teachers were a mix of primary and secondary teachers and some also held leadership positions within their schools.

    While the original study focused on compassion fatigue and burnout, a striking pattern emerged: teachers repeatedly described moral conflicts in their work.

    ‘It feels like I’m being forced to harm a child’

    A key theme of the new research was teachers having to enforce school or departmental policies they believed were harmful. This was particularly the case when it came to discipline. As one teacher described:

    The policy says I should suspend a student for attendance issues, but their home life is falling apart. How does that help? It feels like I’m being forced to harm a child instead of helping them.

    Others talked about having to focus on standardised tests (for example, NAPLAN), rather than using their professional judgement to meet children’s individual needs. This is a contentious issue for teachers.

    As one high school teacher told us:

    We’re asked to push students through the curriculum even when we know they haven’t grasped the basics […] but we’re the ones who carry the guilt.

    A primary teacher similarly noted:

    Teaching to the test means leaving so many kids behind. It’s not what education should be.

    ‘It’s heartbreaking’

    Teachers also spoke about teaching in environments that were not adequately resourced. In some schools, teacher shortages were so severe that unqualified staff were delivering classes:

    We’ve got classes being taught by teacher aides […] but that’s because we don’t have enough staff.

    Or in other classes, students were not getting the help they needed.

    Larger class sizes and fewer staff mean that the kids who need the most attention are getting the least. It’s heartbreaking.

    The emotional impact was profound, as one high school teacher told us:

    At some point, you stop fighting. You realise that no matter how many times you raise concerns, nothing changes. It’s like the system is designed to wear you down until you just comply.

    What can schools do to prevent moral injury?

    While these findings are confronting, teachers also gave positive examples of what can buffer against moral injury in the workplace. This involved listening to teachers and including them in policies and decisions.

    One primary teacher told us how their school had changed their disciplinary approach:

    Our school’s push for restorative justice instead of punitive measures has been a game changer. It lets us address the root causes of issues instead of just punishing kids.

    Others talked about being asked to collaborate with school leadership to address discipline issues. As one primary teacher said:

    We helped create a new behaviour management framework. Having a say in the process made all the difference.

    What now?

    My research indicates when teachers are consistently asked to compromise their ethics, they don’t just burn out, they question the integrity of the entire system.

    This suggests if we want to keep teachers in classrooms, we need to do more than lighten their workloads. We need to make sure they are no longer placed in positions where doing their job means going against their professional values.

    This means teachers need to feel heard, respected and empowered in classrooms and schools.

    Glenys Oberg 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. ‘It feels like I am being forced to harm a child’: research shows how teachers are suffering moral injury – https://theconversation.com/it-feels-like-i-am-being-forced-to-harm-a-child-research-shows-how-teachers-are-suffering-moral-injury-258821

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: How do sleep trackers work, and are they worth it? A sleep scientist breaks it down

    Source: The Conversation (Au and NZ) – By Dean J. Miller, Senior Lecturer, Appleton Institute, HealthWise Research Group, CQUniversity Australia

    Many smartwatches, fitness and wellness trackers now offer sleep tracking among their many functions.

    Wear your watch or ring to bed, and you’ll wake up to a detailed sleep report telling you not just how long you slept, but when each phase happened and whether you had a good night’s rest overall.

    Surfing is done in the ocean, planes fly in the sky, and sleep occurs in the brain. So how can we measure sleep from the wrist or finger?

    The gold standard of sleep measurement

    If you’ve ever had a sleep study or seen someone with dozens of wires attached to their head, body and face, you’ve encountered polysomnography or PSG.

    Eye movements, muscle tone, heart rate and brain activity are measured and assessed by experts to detect which stage of sleep or wakefulness a person is in.

    When we sleep, we cycle through different stages, generally classified as light sleep, slow-wave sleep (also known as deep sleep), and rapid eye movement or REM sleep.

    Each stage has an effect on brain activity, muscle tone and heart rate – which is why sleep scientists need so many wires.

    Accurate? Absolutely. Convenient? Like two left shoes.

    This is where the convenience of wearable at-home sleep trackers comes in.

    What sensors are in sleep trackers?

    Since the 1990s, sleep researchers have been using actigraphy to measure people’s sleep outside the laboratory.

    An actigraphy device is similar to a wristwatch and uses accelerometers to measure the person’s movement. Coupled with sleep diaries, actigraphy assumes a person is awake when they’re moving and asleep when still. Simple.

    While this is a scientifically accepted method of estimating sleep, it’s prone to mislabelling being awake but at rest (such as when reading a book) as sleep.

    There’s one key addition that makes wrist-worn sleep trackers more accurate – PPG or photoplethysmography.

    It’s hard to pronounce, but photoplethysmography is a key driver in the explosion of wearable health tracking.

    It uses those little green lights on the skin-side of the wearable to track the amount of blood passing through your wrist at any given time. Clip-on pulse oximeters used by doctors are the same type of tech.

    The addition of PPG to a wrist tracker allows for the measurement of raw data like heart rate and breathing rate. From this data, the wearable can estimate a number of physiological metrics, including sleep stages.

    Since fitness wearables already have accelerometers and PPG to track your physical activity and heart rate, it makes sense to use these sensors to track sleep too. But how accurate are they?

    Many fitness trackers leverage the sensors used to measure your fitness activities and heart rate for sleep tracking.
    The Conversation

    How do scientists test sleep trackers?

    Two main factors determine the accuracy of sleep trackers. How well does the device detect whether you’re asleep or awake? And how well can it distinguish the sleep stages?

    To answer these questions, sleep scientists conduct validation studies. Participants sleep overnight in a laboratory while wearing both a sleep tracker and undergoing PSG.

    Then, scientists compare the data from both methods in 30-second blocks called “epochs”. That means for a nine-hour sleep there will be 1,080 epochs to compare.

    If both the device and PSG indicate “sleep” for the same epoch, they’re in agreement. If the device indicates “wake” and PSG indicates “sleep” for the same epoch, that’s considered an error. The same is done for sleep stages.

    How accurate are sleep trackers?

    In a 2022 study of several popular trackers, most correctly identified more than 90% of sleep epochs. But because light sleep and restful wake are so similar, wearables struggle more to estimate wakefulness, correctly identifying between 26% and 73% of wake epochs.

    When it comes to sleep stages, wearables are less precise, correctly identifying between 53% and 60% of sleep stage epochs. However, for some devices and some sleep stages the precision can be greater. A recent validation study showed that a latest generation ring-shaped wearable didn’t differ from PSG for estimating light sleep and slow wave sleep.

    In short, most modern sleep trackers do a decent job of estimating your total sleep each night. Some are more accurate for sleep staging, but this level of detail isn’t essential for improving the basics of your sleep.

    Do I need a sleep tracker?

    If you’re struggling with sleep, you should speak to your doctor. A sleep tracker can be a useful tool to help track your sleep goals, but ultimately your behaviour is what will improve sleep.

    Keeping regular bedtimes and wake-up times, having a distraction-free sleep space, and keeping home lighting low in the evenings can all help to improve your sleep.

    If you love tracking your sleep, make sure your device has been independently validated. While sleep stage data may not be essential, devices that perform well in estimating sleep stage also tend to be more accurate at detecting when you’re asleep or awake. When reviewing your data, look at long term trends in sleep rather than day-to-day variability.

    If you don’t love your sleep tracker, you can take it off or ignore it. For some people, access to sleep data can negatively impact sleep by creating stress and anxiety for getting a perfect night’s sleep. Instead, focus on improving your healthy sleep strategies and pay attention to how you feel during the day.

    Dr Dean J. Miller is a member of a research group at Central Queensland University that receives support for research (i.e., funding, equipment) from WHOOP Inc, a smart device maker.

    ref. How do sleep trackers work, and are they worth it? A sleep scientist breaks it down – https://theconversation.com/how-do-sleep-trackers-work-and-are-they-worth-it-a-sleep-scientist-breaks-it-down-258304

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Archetyp was one of the dark web’s biggest drug markets. A global sting has shut it down

    Source: The Conversation (Au and NZ) – By Elena Morgenthaler, PhD Candidate, School of Criminology and Criminal Justice, Griffith University

    Operation Deep Sentinel

    Last week, one of the dark web’s most prominent drug marketplaces – Archetyp – was shut down in an international, multi-agency law enforcement operation following years of investigations. It was touted as a major policing win and was accompanied by a slick cyberpunk-themed video.

    But those of us who have studied this space for years weren’t surprised. Archetyp may have been the most secure dark web market. But shutdowns like this have become a recurring feature of the dark web. And they are usually not a significant turning point.

    The durability of these markets tells us that if policing responses keep following the same playbook, they will keep getting the same results. And by focusing so heavily on these hidden platforms, authorities are neglecting the growing digital harms in the spaces we all use.

    One of the most popular dark web markets

    Dark web markets mirror mainstream e-commerce platforms – think Amazon meets cybercrime. These are encrypted marketplaces accessed via the Tor Browser, a privacy-focused browser that hides users’ IP addresses. Buyers use cryptocurrency and escrow systems (third-party payment systems which hold funds until the transaction is complete) to anonymously purchase illicit drugs.

    Usually these products are sent to the buyer by post and money transferred to the seller through the escrow system.

    Archetyp launched in May 2020 and quickly grew to become one of the most popular dark web markets with an estimated total transaction volume of €250 million (A$446 million). It had more than 600,000 users worldwide and 17,000 listings consisting mainly of illicit drugs including MDMA, cocaine and methamphetamine.

    Compared to its predecessors, Archetyp enforced enhanced security expectations from its users. These included an advanced encryption program known as “Pretty Good Privacy” and a cryptocurrency called Monero. Unlike Bitcoin, which records every payment on a public ledger, Monero conceals all transaction details by default which makes them nearly impossible to trace.

    Despite the fact Archetyp had clearly raised the bar on security on the dark web, Operation Deep Sentinel – a collaborative effort between law enforcement agencies in six countries supported by Europol and Eurojust – took down the market. The front page has now been replaced by a banner.

    While these publicised take-downs feel effective, evidence has shown such interventions only have short-term impacts and the dark web ecosystem will quickly adapt.

    A persistent trade

    These shutdowns aren’t new. Silk Road, AlphaBay, WallStreet and Monopoly Market are all familiar names in the digital graveyard of the dark web. Before these dark web marketplaces were shutdown, they sold a range of illegal products, from drugs to firearms.

    Yet still, the trade persists. New markets emerge and old users return. In some cases, established sellers on closed-down markets are welcomed onto new markets as digital “refugees” and have joining fees waived.

    What current policing strategies neglect is that dark web markets are not isolated to the storefronts that are the popular target of crackdowns. These are communities stretched across dark and surface web forums which develop shared tutorials and help one another adapt to any new changes. These closures bind users together and foster a shared resilience and collective experience in navigating these environments.

    Law enforcement shutdowns are also only one type of disruption that dark web communities face. Dark web market users routinely face voluntary closures (the gradual retirement of a market), exit scams (sudden closures of markets where any money in escrow is taken), or even scheduled maintenance of these markets.

    Ultimately, this disruption to accessibility is not a unique event. In fact, it is routine for individual’s participating in these dark web communities, par for the course of engaging in the markets.

    This ability of dark web communities to thrive in disruptions reflects how dark web market users have become experts at adapting to risks, managing disruptions and rebuilding quickly.

    Dark web markets are accessed via the highly private and secure Tor Browser.
    Daniel Constante/Shutterstock

    Missing the wider landscape of digital harms

    The other emerging issue is that current policing efforts treat dark web markets as the core threat, which might miss the wider landscape of digital harms. Illicit drug sales, for example, are promoted on social media, where platform features such as recommendation systems are affording new means of illicit drug supply.

    Beyond drugs, there are now ever-growing examples of generative AI being used for sexual deepfakes across schools and even of public figures, including the recent case of NRL presenter Tiffany Salmond.

    This is all alongside the countless cases of celebrities and social media influencers caught up in crypto pump-and-dump schemes, where hype is used to artificially inflate the price of a token before the creators sell off their holdings and leave investors with worthless tokens.

    This shows that while the dark web gets all the attention, it’s far from the internet’s biggest problem.

    Archetyp’s takedown might make headlines, but it won’t stop the trade of illicit drugs on the dark web. It should force us to think about where harm is really happening online and whether current strategies are looking in the wrong direction.

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

    ref. Archetyp was one of the dark web’s biggest drug markets. A global sting has shut it down – https://theconversation.com/archetyp-was-one-of-the-dark-webs-biggest-drug-markets-a-global-sting-has-shut-it-down-259441

    MIL OSI AnalysisEveningReport.nz