Category: Universities

  • MIL-OSI USA: Governor Polis Appoints Kimbra L. Killin to the 13th Judicial District Court

    Source: US State of Colorado

    DENVER – Today, Governor Polis appointed Kimbra L. Killin to the 13th Judicial District Court. This vacancy was occasioned by the resignation of the Honorable Justin B. Haenlein and is effective immediately. 

    Ms. Killin currently serves part-time as a County Court Judge in the 13th Judicial District and is Of Counsel at Kelley Law Ltd. She has held these positions since 2014 and 2020, respectively. Her docket consists primarily of criminal matters. Her practice consists primarily of real estate, civil, and probate matters. Previously, Ms. Killin was a Partner at Colver Killin & Sprague LLP (1995-2020) and Special County Attorney for the Human Services Departments of Phillips and Sedgwick counties (1999-2006). Ms. Killin earned her B.S. from Regis University in 1990, and her J.D. from the University of Denver Sturm College of Law in 1994.

    MIL OSI USA News

  • MIL-OSI USA: Governor Kehoe Appoints Transition Director to Oversee Implementation of St. Louis City Board of Police Commissioners

    Source: US State of Missouri

    JUNE 13, 2025

     — Today, Governor Mike Kehoe announced the appointment of Derek Winters as the Transition Director to assist in the implementation of oversight of the St. Louis Metropolitan Police Department (SLMPD) to a citizen-led board of police commissioners, as authorized under House Bill (HB) 495.

    In this role, Winters will work closely with City of St. Louis officials, the SLMPD, the Missouri Department of Public Safety (DPS), the Office of the Attorney General, and the Office of the Governor to ensure an orderly and responsible transition to the citizen-led board, which will assume control no later than July 1, 2026. His efforts will focus on the practical steps needed to ensure continuity of operations and minimize any disruptions to the residents of the City of St. Louis.

    “As someone born and raised in the City of St. Louis and brought up in the police family, I care deeply about the St. Louis Metropolitan Police Department and the City’s future,” said Governor Kehoe. “This transition team requires leadership rooted in accountability, professionalism, and a clear sense of purpose. Derek brings all of that, and we are confident in his ability as a highly skilled operations professional to help build a strong foundation for the board and its long-term role in public safety.”

    Derek Winters, a St. Louis City native, currently serves as Chief Operating Officer at KNOWiNK, a leading election technology firm. His professional background includes leadership roles in the private and public sectors, including prior service as a commissioner on the St. Louis City Board of Elections and board chair of Saint Louis Makes. He holds a Bachelor of Arts in Finance and a Master of Arts in International Affairs from Washington University in St. Louis.

    “This is a pivotal moment for the City of St. Louis,” said Winters. “It is an honor to support the process of building a board that supports our men and women in uniform, reflects the City’s values, and is equipped to meet its responsibilities from the start.”

    While selection of the board is well-underway, Winters will lead strategic planning, stakeholder engagement, and operational development needed to prepare for the board’s assumption of authority.

    Under HB 495, the board of police commissioners will consist of six members to guide SLMPD’s leadership and direction: the Mayor of St. Louis and five individuals appointed by the Governor and confirmed by the Senate. Governor Kehoe will announce the appointments of these members in the coming weeks.

    ###

    MIL OSI USA News

  • MIL-OSI Canada: Making more economic inroads in India

    Source: Government of Canada regional news (2)

    MIL OSI Canada News

  • MIL-OSI USA: Wyden, Merkley, Markey, Schumer Release Data Detailing Hundreds of Rural Hospitals Across U.S. at Risk Due to Republican Health Care Cuts

    US Senate News:

    Source: United States Senator Ron Wyden (D-Ore)
    June 13, 2025
    Data shows Oregon hospitals in Silverton, Seaside, Madras, and Hermiston among more than 300 rural hospitals nationwide at disproportionate risk of closure, conversion, or service reductions
    Washington (June 12, 2025) – U.S. Sens. Ron Wyden and Jeff Merkley (both D-Ore.) today joined with U.S. Sen. Edward J. Markey (D-Mass.) and Democratic Leader Chuck Schumer (D-N.Y) to release new data concluding that health care cuts in the Republican budget bill could place more than 300 rural hospitals across the U.S. at disproportionate risk of closure, conversion, or service reductions.
    The data from the Cecil G. Sheps Center for Health Services Research at the University of North Carolina at Chapel Hill follows House Republicans’ passage of a budget bill that would impose the largest cuts to health care in U.S. history, slashing funding for Medicaid and the Affordable Care Act by more than $1 trillion and triggering more than $500 billion in Medicare cuts. The analysis released today is based on financial indicators including: share of Medicaid patients served, previous years of negative total margins, and data modeling on future financial distress.
    “Hospitals are often the backbone of rural communities in Oregon and across the nation. They are often the largest employer in a rural community, and more often than not, many of the families they serve count on Medicaid for health care,” said Wyden, Ranking Member of the Senate Finance Committee. “The Republican bill would hit rural Oregon like a wrecking ball, and among the first to suffer would be the rural hospitals and those they serve and employ who are already walking on an economic tightrope.”
    “As I hold town hall meetings in each of Oregon’s 36 counties, I frequently hear about struggles folks have in accessing health care in their communities. This isn’t a red state or blue state issue. Medicaid helps every state – especially rural communities,” said Merkley, Ranking Member of the Budget Committee. “More than 300 rural hospitals will be at risk of shutting down – in Oregon and across the country – if Republicans betray middle class families and make these drastic cuts to Medicaid, all so that billionaires can pay less in taxes. This is the Republican plan: families lose, and billionaires win.”
    The lawmakers also sent the data in a letter to President Trump, Leader John Thune, and Speaker Mike Johnson, writing, “Addressing the crisis in rural health care access is a national, bipartisan priority, and it should be bipartisan to not worsen that crisis. However, if your party passes these health care cuts into law, Americans in rural communities across the country risk losing health care services and jobs supported by their local hospitals. We urge you to read the attached report and reconsider your position. It is not too late to stop these cuts. Billionaire tax breaks are not worth the cost to American lives and livelihoods.”
    The response from the Cecil G. Sheps Center for Health Services Research states, “Substantial cuts to Medicaid or Medicare payments could increase the number of unprofitable rural hospitals and elevate their risk of financial distress. In response, hospitals may be forced to reduce service lines, convert to a different type of health care facility, or close altogether.”
    The data shows 338 rural hospitals at particular risk of closure, conversion, or service reduction from substantial health care cuts because the hospitals either take a high relative share of Medicaid patients, or have experienced three consecutive years of negative total margins, or both. This includes four hospitals in Oregon: Silverton Hospital, Providence Seaside Hospital, St. Charles Madras, and Good Shepherd Medical Center in Hermiston.
    In the face of these Republican cuts, a majority of adults living in rural areas are concerned that health care cuts will “negatively impact hospitals, nursing homes, and other health care providers in [their] community,” the senators wrote in their letter to Trump, noting that rural hospitals are struggling. In 2023, there were 50 fewer rural hospitals than in 2017, and a lack of health care access in rural America is contributing to worse health outcomes. Faced with additional cuts to their revenue, many rural hospitals may be forced to stop providing certain services, including obstetric, mental health, and emergency room care, convert to clinics or standalone emergency centers, or close altogether. Rural hospitals are often the largest employers in rural communities, and when a rural hospital closes or scales back its services, communities are not only forced to grapple with losing access to health care, but also with job loss and the resulting financial insecurity.
    The lawmakers sent a letter to the Sheps Center director on June 4, 2025, requesting the Center’s expert analysis of how this bill will impact rural hospitals and the communities they serve, particularly inquiring about which rural hospitals in the country treat the highest share of Medicaid recipients; how many rural hospitals are currently in financial distress or at risk of closure; and if the health care cuts in the House-passed budget reconciliation bill were to become law, would the rural hospitals with the highest share of Medicaid recipients or that are currently in financial distress face risk of closure or have to reduce services.
    The senators’ letter and data are here. The Sheps Center response is here.

    MIL OSI USA News

  • MIL-OSI Canada: SSHRC’s Storytellers Challenge celebrates the winning narratives of innovative research

    Source: Government of Canada News (2)

    FREDERICTON, NB, June 13, 2025 – The Social Sciences and Humanities Research Council (SSHRC) is delighted to announce the winners of its 12thStorytellers Challenge, a national competition that asks postsecondary students to demonstrate—in up to three minutes or 300 words—how SSHRC-funded research is making a difference in the lives of Canadians. The Challenge is designed to highlight the powerful stories—told by students—emerging from research in Canadian social sciences and humanities disciplines.

    After a rigorous selection process, these exceptional Storytellers have demonstrated outstanding creativity and insight in sharing their research journeys and discoveries with the broader public. The announcement was made at the SSHRC Storytellers Showcase, held at the Science Writers and Communicators of Canada conference, in Fredericton, New Brunswick.

    The 2025 Storytellers Challenge winners are:

    • Sarah Abouali, from University of Calgary, who shared a story about Canadian Muslim youth identity challenges, mental health and well-being.
    • Maddie Brockbank, from McMaster University, who told us about co-designing a gender-based and sexual violence prevention framework to address ongoing concerns related to the prevalence of gender-based sexual violence and men’s disengagement from existing anti-violence work.
    • Mélanie Letendre Jauniaux, from Bishop’s University, who explained the impacts of raising trauma awareness to build community resilience.
    • Jaweria Qaiser, from University of Toronto, who described why it is important to be able to empathize in a group setting, especially when tensions are high.
    • Micheal P. Taylor, from Memorial University, who shared their story about probation, parole and correctional work through practitioners’ perspectives.

    Each winner receives $1,000 in addition to the $3,000 they received as finalists, national recognition and a platform to amplify their work, helping to foster a greater understanding and appreciation for the vital role of social sciences and humanities research in Canada. Join us in congratulating this talented group of Storytellers.

    MIL OSI Canada News

  • MIL-OSI Global: What does Israel’s strike mean for US policy on Iran and prospects for a nuclear deal?

    Source: The Conversation – USA – By Javed Ali, Associate Professor of Practice of Public Policy, University of Michigan

    Smoke rises over Tehran, Iran, following an Israeli strike on June 13, 2025. SAN/Middle East Images/AFP via Getty Images

    Israel’s strike on Iranian nuclear and military facilities has pushed the Middle East one step closer to a far wider, more dangerous regional war. It also has implications for recent U.S. diplomatic efforts toward a deal with Tehran over its nuclear program.

    Iran’s immediate response – the firing of about 100 drones into Israel, many of which were shot down – appears an opening gambit; meanwhile, Israeli Prime Minister Benjamin Netanyahu has said his country’s airstrikes would continue “for as many days as it takes.”

    The Conversation turned to Javed Ali, an expert on Middle East affairs at the University of Michigan and a former senior official at the National Security Council during the first Trump administration, to talk through why Israel chose now to strike and what the implications are for U.S. policy on Iran.

    Why did Israel strike now?

    There was a combination of factors that led up to this moment.

    One of the more immediate reasons was that an International Atomic Energy Agency report found that Iran was making progress toward enriching uranium to a degree that, in theory at least, would allow Tehran to very quickly upgrade to a weapons-grade level. That is the thrust of what Netanyahu has said by way of reason for the attack now – that intelligence shows that Iran was getting closer to a possible breakout status for a nuclear weapon.

    But there is a confluence of other factors that have built up over the last year and a half, ever since the Oct. 7, 2023, attack by Hamas in Israel.

    Iran’s proxy Axis of Resistance – that is, regional groups aligned with Iran and supported militarily by Tehran, including Hamas and Hezbollah – doesn’t present the same level of threat to Israel as it did in the pre-Oct. 7 landscape.

    In the past, an Israeli attack of the sort we are seeing now would have invited a multidirectional response from all corners of the resistance – and we saw this in the early days after the Oct. 7 attack.

    As of now, none of Iran’s resistance partners have done anything in response to the latest strike – and that is, in large part, due to the fact that Israel has successfully degraded these group’s capabilities through a series of campaigns and operations. The United States has also contributed to this effort to a degree with sustained operations against the Houthis in Yemen from March to May this year, including hundreds of airstrikes.

    Further, Israel’s previous attacks on Iran in April and October 2024 managed to degrade Iran’s ballistic and surface-to-air missiles and air defense radar systems. This likely played into Israel’s calculations, too.

    Lastly, Israel knows that it has a strong supporter in the White House with President Donald Trump and Republicans in Congress. Washington may not be 100% aligned with Tel Aviv on every issue, but at the moment there is no criticism from the the White House or Republican members of Congress on Israel’s attacks.

    But why attack before the planned US-Iran talks?

    The sixth round of talks was due to take place on June 15, led by White House envoy Steve Witkoff and Iranian Foreign Minister Abbas Araghchi. Iran has signaled that the talks won’t take place now.

    There may have been some dialogue between Netanyahu and the Trump administration over the timing of the Israeli strike preceding yesterday’s attacks, during which Israel would have made the case that the time is right now to launch a very different type of campaign to really set back Iran’s nuclear program. In recorded remarks about Israel’s operations, Netanyahu stated he directed his national security team to begin planning for a large-scale campaign against Iran’s nuclear program last November.

    Perhaps the White House did push back, saying that it wanted to see if any progress could be made in the talks. Certainly, it has been reported that Trump told Netanyahu in a phone call on June 10 that he believed a deal with Tehran could be negotiated.

    Regardless, Netanyahu still went ahead with the strike.

    Indeed some observers have posited that collapsing the negotiations between the U.S. and Iran may have been one of the intentions of Netanyahu, who has long opposed any deal with Tehran and has reportedly been irked by Trump’s reversal on the issue. During his first administration, Trump unilaterally pulled the U.S. out of a previous nuclear deal.

    A newspaper shows the portraits of Iranian Foreign Minister Abbas Araghchi and White House special envoy Steve Witkoff, who were due to meet in Oman.
    Morteza Nikoubazl/NurPhoto via Getty Images

    What should we make of the US response to the strike?

    The White House hasn’t criticized Israel in its response to the strike, merely stating that it wasn’t involved.

    In my assessment, the White House appears to be sincere in the substance of what it is saying: that there was no overt and direct U.S. involvement with Israel during the actual strike. As for U.S. involvement in any planning or intelligence sharing ahead of the strike, we may never know.

    But this is largely messaging for Iran: “We didn’t attack you. Israel attacked you.”

    The U.S. is clearly worried that any response in Tehran may involve U.S. assets in the region. In the past, parts of Iran’s proxy network have hit American bases in Jordan and Iraq. Backing up this being a real concern in Washington is the fact that in advance of Israel’s strike, it already made moves to protect some of its assets in the region and remove personnel.

    Has Iran said whether US targets will be included in its response?

    On June 11, Iranian Defense Minister Aziz Nasrizadeh warned that if Israel were to attack, Tehran would respond against U.S. personnel and bases in the region – but that hasn’t happened yet.

    Iranian Supreme Leader Ali Khamenei and military officials must know that attacking U.S. targets would be very risky and would lead to a significant response that would likely be even more damaging than Israel’s latest attacks – including putting a potential deal over its nuclear program at risk. And the U.S. has the capability to hit Iran even harder than Israel, both militarily and through the extension of sanctions that have already been very punishing to the Iranian economy.

    Benjamin Netanyahu, prime minister of Israel, points to a red line he drew on a graphic of a bomb while addressing the United Nations on Sept. 27, 2012.
    Mario Tama/Getty Images

    Ultimately, it will be Khamenei who decides Iran’s response – and he remains firmly in control of Iran’s national security apparatus despite his advanced age. He knows he will have to walk a fine line to avoid drawing the U.S. into a military campaign.

    So how might Iran respond in coming weeks?

    Despite the challenges facing Iran at the moment, Iran will, I believe, have to respond in a way that goes beyond its previous attacks on Israel.

    Reports of drone attacks against Israel on June 13 fit within the framework of the attack Iran launched against Israel in April 2024 that included a combined salvo of almost 300 ballistic missiles, cruise missiles and drones over several hours. Despite the damage Israel has inflicted against Iran through its series of operations, Iran probably still possesses thousands or tens of thousands of these types of weapons that it can use against various targets in the region.

    Iran could look at targets outside Israel, without necessarily hitting the U.S. directly – for example, by attacking maritime targets in the Persian Gulf and in effect closing the Strait of Hormuz. U.S. military planners have long been concerned about Iranian naval attacks using small boats for ramming or small arms attacks against shipping in the Persian Gulf.

    Another option would be for Iran to increase its involvement in terrorism activities in the region. Tehran’s proxy groups may be diminished, but Iran still has its Quds Force, through which the Islamic Revolutionary Guard Corps conducts nonstate and unconventional warfare. Will the Quds Force look toward targeted assassinations, bombings, or kidnappings as part of Iran’s retaliatory options? It has employed such tactics in the past.

    And beyond conventional weapons, Iran also has pretty significant cyber capabilities that it has used against Israel, the United States and Saudi Arabia, among others.

    Where does this leave US-Iran talks?

    It would appear Trump is still holding open the possibility of some kind of deal with Iran. In his statement following the Israel attack, he warned Tehran that if it didn’t come back to the table and cut a deal, the next Israeli attack would be “even more brutal.”

    The attack could push Iran into reengaging in talks that were seemingly stalling in recent weeks. Certainly that seems to be the thrust of Trump’s messaging.

    But the killing of Iranian nuclear scientists in the attack, and the apparent wounding of one of the negotiators, may convince Tehran to double down on a path toward a nuclear weapon as the only means of a deterrence against Israel, especially if it suspects U.S. involvement.

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

    ref. What does Israel’s strike mean for US policy on Iran and prospects for a nuclear deal? – https://theconversation.com/what-does-israels-strike-mean-for-us-policy-on-iran-and-prospects-for-a-nuclear-deal-258947

    MIL OSI – Global Reports

  • MIL-OSI Global: Forcible removal of US Sen. Alex Padilla signals a dangerous shift in American democracy

    Source: The Conversation – USA – By Charlie Hunt, Associate Professor of Political Science, Boise State University

    U.S. Sen. Alex Padilla of California is pushed out of the room after he interrupted Homeland Security Secretary Kristi Noem during a news conference in Los Angeles on June 12, 2025. David Crane/MediaNews Group/Los Angeles Daily News via Getty Images

    Democratic leaders and a lone Republican senator, Alaska’s Lisa Murkowski, quickly decried the treatment of U.S. Sen. Alex Padilla of California and called for an investigation after he was removed from a press conference with Department of Homeland Security Secretary Kristi Noem on June 12, 2025, in Los Angeles, handcuffed and forced to the ground.

    “Sir! Sir! Hands off!” Padilla, 52, shouted as several federal agents surrounded and moved him out of the room where Noem was speaking about the Los Angeles protests against immigration enforcement. “I am Senator Alex Padilla. I have a question for the secretary.”

    Padilla, who unexpectedly appeared at the press conference and interrupted Noem as she was speaking during her prepared remarks, was released soon after and met with Noem. Tricia McLaughlin, the assistant secretary at the Department of Homeland Security, shared a video of the incident with Padilla on X, and wrote, “Incredibly aggressive behavior from a sitting US Senator. No one knew who he was.”

    Amy Lieberman, a politics and society editor at The Conversation, spoke with Boise State University political scientist Charlie Hunt, an expert on Congress, to understand how political polarization and a shift in American political decorum may have contributed to the shocking moment of an American senator being forcibly removed from a press conference.

    What is striking to you about what happened to Sen. Padilla?

    What stood out to me was the aggressiveness with which Noem’s security officers detained Sen. Padilla and took him out of the room. We do not ever see something like this happen to members of Congress and particularly members of the Senate. Sen. Padilla represents 39 million people – he is not some back-bencher member of the House of Representatives. I think it’s safe to say that no other modern presidential administration has come close to treating an individual member of Congress in this way.

    This is also a real turn in terms of the completely autocratic way in which Department of Homeland Security staff responded to the incident. They claimed in a social media post that Padilla didn’t identify himself at the briefing, even though, “I’m Senator Alex Padilla” were the first words out of his mouth in the video that they themselves shared.

    What safeguards, if any, do members of Congress have that might protect their ability to speak freely, and publicly oppose the executive branch?

    Members of Congress enjoy the same basic free speech rights that all Americans do, but they do also have an additional set of protections that are relevant to this incident.

    Members of Congress have significant oversight power, which involves doing due diligence on what actions the executive branch is taking and making sure they’re complying with laws that Congress has passed.

    As a Senate member from California, it’s perfectly legitimate for Padilla to want clarity on immigration enforcement actions that are taking place in Los Angeles. Padilla even clarified after the incident that he was at the press conference to get answers from the Department of Homeland Security that he and other Senate members have been seeking for weeks about deportations.

    This is completely in line with Congress’ oversight power. Senators often question officials in committee hearings like we typically see, but they also conduct fact-finding missions to learn how executive actions are affecting their constituents.

    Congress members also have protections stemming from the Constitution’s speech and debate clause. Essentially, they cannot be arrested or indicted for things they say in their official capacity, which – because of Congress’ oversight responsibility – Padilla was clearly within the bounds of here.

    Yes, of course, Padilla was also trying to draw attention to himself and the issues he’s focused on. But it’s not against the law to be a little bit disruptive or to engage in political theater, especially thanks to these additional protections members of Congress typically enjoy.

    What other factors led to this moment?

    Something I’ve written about previously is a phenomenon called negative partisanship. This means that voters and Congress members alike are driven not so much by loyalty to their own party but instead a sort of seething hatred for the other political party. What gets the most clicks and views, and what drives voters more and more, is the idea that “we don’t just want to see voting along the party line – we want to see our team beating the other side into submission.” This incident with Sen. Padilla was a very literal embodiment of this principle.

    More broadly, this helps explain why political violence is becoming a more accepted form of political speech, particularly on the far right.

    We have seen violence during Trump’s campaigns, where hecklers would be roughed up by participants at rallies, at Trump’s encouragement. Certainly, we saw it at the Capitol attack on Jan. 6, 2021, and Trump’s subsequent pardons of those rioters.

    Does Padilla’s removal have anything to do with Donald Trump specifically?

    We can’t ignore the singular role Trump has played here. This is a uniquely authoritarian presidency, even much more so than the first Trump administration. By authoritarian, I mean a leader who tries to rule on his own and suppress all dissent. Trump didn’t create partisanship, political violence or negative partisanship. But there’s no getting around the fact that his past behavior and openness to violence have lowered the bar for decorum in American politics.

    For example, if you have convinced your supporters that the people on the other side of the political aisle are “sick” or “nasty,” that they are going to ruin the country, then those supporters will become more willing to accept some of the actions Trump has taken, such as calling in the Marines on protesters in Los Angeles, or pardoning the Capitol attackers – even if they wouldn’t have been willing to accept that kind of response 20 years ago.

    All of these things combined – negative partisanship, plus having a leader on one side that is willing to lower the decorum bar beyond where we thought was possible – is a recipe for things unfolding like we saw with Padilla.

    U.S. Sen. Alex Padilla, a Democrat from California, speaks to news reporters outside the Wilshire Federal Building after he was forcibly removed from a press conference on June 12, 2025.
    Patrick T. Fallon/AFP via Getty Images

    What will you be watching for as this situation plays out?

    My concern is the balance of powers between the executive and legislative branches of government. We expect competition between the branches, for “ambition to counteract ambition,” as James Madison put it, to ensure one branch doesn’t get too powerful. This incident was a huge step in the wrong direction.

    As Congress has been steadily torn apart by partisanship, it’s given up lots of its power over the past half-century and no longer seems to see itself as a coequal branch of government with the executive.

    As a result, authoritarian presidents and administrations see an opening to treat them this way without consequences. What Congress does in the next several days about this episode will speak volumes – or not – about whether it intends to ever reassert itself as an equal branch of government.

    Democrats held the floor in the Senate all afternoon to demand answers about Padilla’s treatment. It will be revealing how Senate Majority Leader John Thune and others respond. Lisa Murkowski has said she’s pretty appalled by what happened. Meanwhile, Lindsey Graham seemed to imply that Padilla deserved what he got. Which route will Republicans, who control Congress, take?

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

    ref. Forcible removal of US Sen. Alex Padilla signals a dangerous shift in American democracy – https://theconversation.com/forcible-removal-of-us-sen-alex-padilla-signals-a-dangerous-shift-in-american-democracy-258900

    MIL OSI – Global Reports

  • MIL-OSI USA: Cholesterol crystal formation captured on video for first time, may lead to more effective treatments for high cholesterol

    Source: US Government research organizations

    From new medical treatments to electronics that control light, the research has wide-reaching potential applications

    With support from the U.S. National Science Foundation, researchers at the University of Houston have captured the dynamics of microscopic cholesterol crystal formation on video for the first time. Understanding these mechanisms could help scientists develop more effective treatments for managing high cholesterol, a condition that affects 25 million adults in the U.S., according to the U.S. Centers for Disease Control and Prevention. A better understanding of crystal formation could also enhance optoelectronics, which are electronic devices that work by controlling and sensing light.

    NSF-supported researchers Jeffrey Rimer and Peter Vekilov are known for their work in crystal engineering and therapeutics that help prevent crystallization in human diseases. Their latest achievement shows the fundamental layered process involved in crystal formation in environments that mimic the human body. This is the first time anyone has taken images of the surface growth of cholesterol crystals in real time at near-molecular resolution. The study was published in the Proceedings of the National Academy of Science.

    Cholesterol Crystal Formation

    Credit: D. Chakraborty, W. Ma, X. Wang, Z. Chu, T. Yang, M. Warzecha, P.G. Vekilov, & J.D. Rimer.

    Scientists have captured the first ever time-lapse video of the layered growth of a cholesterol monohydrate crystal.

    Cholesterol crystals can build up in blood vessels or the gallbladder, causing blockages, pain and disease, yet relatively few studies have explored the specific processes behind how cholesterol forms crystals. These findings can help scientists develop techniques to manage high cholesterol in the body and better understand the basic science of crystal formation, an outcome with wider applications in optoelectronics and organic electronic devices, which rely on crystals in converting light to electricity.

    MIL OSI USA News

  • MIL-OSI United Nations: Dr. Ramiz Alakbarov of Azerbaijan – Deputy Special Coordinator and Resident Coordinator, Office of the United Nations Special Coordinator for the Middle East Peace Process (UNSCO)

    Source: United Nations MIL-OSI 2

    nited Nations Secretary-General António Guterres announced today the appointment of Ramiz Alakbarov of Azerbaijan as his new Deputy Special Coordinator and Resident Coordinator, Office of the United Nations Special Coordinator for the Middle East Peace Process (UNSCO).  Dr. Alakbarov will also serve as Humanitarian Coordinator.  He succeeds Muhannad Hadi of Jordan, to whom the Secretary-General is grateful for his dedication and service.  The Secretary-General also thanks Sarah Poole of the United States, who has been providing steadfast support in an ad interim capacity. 

    Dr. Alakbarov brings more than 30 years of extensive international experience in executive leadership, strategic planning and policy-making, development programming and management, and humanitarian response.  He has been serving as the United Nations Resident and Humanitarian Coordinator in Ethiopia since 2023.  Prior to this, he held the position of Deputy Special Representative for Afghanistan with the United Nations Assistance Mission in Afghanistan (UNAMA), where he was also the United Nations Resident and Humanitarian Coordinator, from 2021 to 2023.  In Afghanistan, he also served as UN Resident Coordinator ad interim in 2020.

    Dr. Alakbarov has served in several positions within the United Nations Population Fund (UNFPA), including as Deputy Executive Director for Management and United Nations Reforms (ad interim) and Director of the Policy and Strategy Division in New York, Country Representative in Haiti, Deputy Regional Director of the Regional Office for Arab States in Cairo and Head of the Office in South Sudan.  Prior to these positions, he served in various roles at UNFPA supporting country programmes in Arab States, Eastern Europe, and Central Asia.  His roles included Programme Officer covering Sudan, Somalia, and Iraq and Humanitarian Response Officer for Operations, in Afghanistan, Palestine and the Great Lakes Region.  From 1992 to 1995, he was an Assistant Professor at Azerbaijan Medical University and a practicing physician.

    Dr. Alakbarov holds M.D. and Ph.D. degrees in internal medicine from Azerbaijan Medical University and a Master of Arts in international relations from the Fletcher School of Law and Diplomacy in Boston, Massachusetts, United States.  He is fluent in Azerbaijani, English, French, Russian and Turkish.
     

    MIL OSI United Nations News

  • MIL-OSI Global: Nine-year-olds in England sit timed multiplication test – but using times tables is about more than quick recall

    Source: The Conversation – UK – By Camilla Gilmore, Professor of Mathematical Cognition, Loughborough University

    Halfpoint/Shutterstock

    What’s seven times nine? Quick, you’ve got six seconds to answer.

    This June, over 600,000 children in England in year four, aged eight and nine, will be expected to answer questions like this. They will be sitting the multiplication tables check (MTC), a statutory assessment of their multiplication fact recall.

    The MTC was introduced in 2022 with the aim of driving up standards in mathematics. It’s an online test that children take on a tablet or computer, made up of 25 questions with six seconds per question.

    Being able to quickly recall multiplication facts is valuable. Not having to think about seven times nine, just knowing that it’s 63, frees up a child’s mental thinking space. This means they can focus on different aspects of the mathematics they are doing, such as completing multi-step problems or using reasoning to solve context-based problems.

    Being able to quickly recall multiplication facts is also the foundation for more advanced mathematics topics that children will encounter at secondary school.

    Our research shows that the MTC is an accurate reflection of children’s multiplication fact recall. But the learning they do for this test doesn’t necessarily help them apply this knowledge in other areas of mathematics. What’s more, focus on the MTC may be diverting teaching time away from other maths knowledge.


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    Since the multiplication tables check was introduced in 2022, the average score in the test has increased year-on-year from 19.8 in 2022 to 20.6 in 2024. This suggests that schools are placing more emphasis on children’s multiplication fact recall – and on preparing them for this test.

    Teaching union the NAHT (National Association of Head Teachers) has suggested that the test is unnecessary, and that it places too much emphasis on fact recall at a cost to other areas of mathematics. The union has also expressed concerns that it disadvantages some children for reasons such as digital accessibility.

    Our research has investigated whether the MTC is a good way of testing children’s recall of multiplication facts. We have found that children perform just as well on a more traditional paper-and-pencil timed fact test as on a computer test equivalent to the MTC. However, having a time limit per question – which is only possible with a computerised test – is essential to assess recall, rather than fast calculation.

    There was no evidence that any children were particularly disadvantaged by the computerised test. However, we did find that children’s attention skills and how quickly they could enter numbers into the tablet they were using did influence their scores.

    This suggests that, for it to be a fair test, it is important that children are familiar with the technology they are using to complete the test. Given that there are stark differences in access to technology in schools, this may pose an issue for some children.

    The purpose of introducing the MTC was to improve children’s broader mathematics attainment by improving their multiplication fact recall. But performance in the year six Sats tests, which assess a range of mathematical skills, shows little change.

    Crucially, improving children’s multiplication fact recall through retrieval practice doesn’t equate to improving their ability to use the multiplication facts they know. If posed a question such as “Tara has seven books. Ravi has four times as many. How many books do they have altogether?” Children who can recall that 5 x 7 = 35 may still not be able to solve the problem.

    Time pressure

    What’s more, because the MTC is a timed test, teachers and parents may use similar time-pressured approaches to prepare children and help them improve their multiplication fact recall. But our research showed that while practice with a computerised game can support children’s fact recall, the benefits to learning are the same whether or not children are encouraged to answer as quickly as possible.

    In research not yet published in a peer-reviewed journal, we found that children who were anxious about mathematics learnt less when practising with time pressure compared to children without mathematics anxiety. Without time pressure, anxiety levels were not related to the amount of learning. Doing some regular multiplication fact retrieval practice is more important than the type of practice, for all learners.

    Even though the MTC is a timed assessment, it doesn’t mean that children only need to do timed practice to prepare for this. Some children may benefit more from less time pressure when practising.

    Multiplication fact recall is just one element of mathematics and so having a good balance is important. Fact recall and testing should go hand in hand with other areas of mathematics learning such as understanding concepts, choosing strategies and solving applied problems.

    Recalling multiplication facts doesn’t automatically help children to apply their knowledge. So, although working towards the multiplication tables check can support fact recall, children will need extra support in knowing how to use and apply these facts.

    Camilla Gilmore receives funding from the Economic and Social Research Council.

    Lucy Cragg receives funding from the Economic and Social Research Council.

    Natasha Guy 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. Nine-year-olds in England sit timed multiplication test – but using times tables is about more than quick recall – https://theconversation.com/nine-year-olds-in-england-sit-timed-multiplication-test-but-using-times-tables-is-about-more-than-quick-recall-258320

    MIL OSI – Global Reports

  • MIL-OSI Global: Why people become drug mules – and why harsh sentences don’t deter them

    Source: The Conversation – UK – By Jennifer Fleetwood, Senior Lecturer, City St George’s, University of London

    Yuri A/Shutterstock

    Thousands of British nationals are charged with drug smuggling abroad every year. The UK charity Prisoners Abroad reports a rise in the number of British people imprisoned abroad for drug offences in 2024-25, compared to the previous year, especially women under 34.

    Two recent examples making headlines are Bella May Culley, an 18-year-old woman from County Durham, and Charlotte May Lee, a 21-year-old from south London. Culley was arrested in Georgia with 14 kilos of cannabis. Lee was arrested in Sri Lanka, with 46 kilos of synthetic cannabis (she has denied knowing it was in her bag and has yet to be charged).

    If they are convicted, Culley and May face very long sentences. Reports suggest that Culley could receive up to 20 years or life imprisonment in Georgia. In Sri Lanka, May faces a sentence of up to 25 years.

    And another three young Britons face the death penalty after being charged with smuggling nearly a kilo of cocaine into Indonesia. All of these cases are ongoing and the suspects have not been found guilty of any crime.

    Why would people take the risk of such harsh punishments?


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    For my book Drug Mules: Women in the International Cocaine Trade, I spent over a year visiting prisons in Ecuador to speak to people convicted of drug trafficking. I spoke to drug mules as well as people who recruited and managed them to understand how the business works. I spoke to people from the UK, Europe, the US, southeast Asia and Africa.

    My research sheds light on how drug mules end up carrying such massive quantities, and why harsh punishments are an ineffective deterrent.

    Who becomes a drug mule?

    The abiding stereotype of the drug mule is someone who is motivated by poverty, often a woman from a drug-producing country. In fact, like most areas of crime, the majority of people arrested for smuggling drugs worldwide are men.

    People’s motivations for trafficking drugs are extremely varied. In my research, I came across people motivated by grinding poverty, debts or a chance to make a change in their lives. The sums they were promised ranged from £5,000 to £10,000.

    Some people didn’t expect to get paid at all, however. They became involved through debt (theirs or a family member’s), and carrying drugs was offered as a way to repay the debt. In rare cases, people became involved through threats and coercion.

    There are, broadly, two kinds of people arrested at international borders with drugs. The first is carrying drugs that they have bought (and packed) themselves, and probably only a small quantity which they might use or sell for a modest profit. They probably also bought their own tickets to travel.

    One trafficker I interviewed recalled that he carried only a few hundred grams of cocaine in a talc bottle. If caught, they can face custody, depending on the type and amount of drugs.

    The second kind is carrying drugs that someone else has paid for – they are drug mules. The person paying for the drugs (we could call them the investor) decides what is smuggled, where to and how it will be concealed – not the mule.

    Investors are, of course, motivated by profit: five kilos will be more profitable than just the one. And so, mules tend to carry much larger amounts than those carrying their own drugs.

    Drug mules typically do not know what they are carrying, or how much. When people working as drug mules receive the drugs, they arrive ready to evade customs. In some cases, more professional groups might pay a specialist to conceal the drugs more effectively.

    Traffickers have been known to evade detection by concealing cocaine in clear plastic products.

    Many people working as drug mules are misled about where they are travelling to, or may not know they are carrying drugs.

    Long sentences

    Understanding more about the role of drug mules sheds light on the harsh sentences that people accused of drug importation – like Culley and May – are facing. Possible sentences are very long, not only because Sri Lanka and Georgia have extremely tough drug laws, but also because of the large quantities of drugs involved.

    When it comes to sentencing people for drug offences, the quantity of the drug (or, in some countries the monetary value) has long been taken as a proxy for harm. As I have argued in my research, this is a disproportionate and unfair punishment.

    The key UN treaty on narcotic drugs requires countries to criminalise and punish activities relating to illegal drugs. The convention labels drug addiction as “evil”, paving the way for very harsh punishments for those who sell or transport drugs.

    Drug trafficking can even be punished by death in some countries – over 600 people were executed globally in 2024. In many cases, people were executed even though they were in possession of relatively small quantities of an illegal drug – often less than 100g.

    Each nation makes its own laws, but broadly speaking, more drugs means more punishment. This seems logical and proportionate, unless the person being charged with drug trafficking hasn’t made those decisions. And, as my research found, drug mules tend to be carrying larger quantities, paid for by investors or even groups of investors.

    The job of the drug mule is characterised by exploitation rather than choice. If they don’t choose where they travel to, or what they are carrying, then deterrent sentences will simply fail to deter. They only serve to punish those who are most powerless and most exploited in the international drug trade.

    Jennifer Fleetwood has previously receives funding from the Economic and Social Research Council.

    ref. Why people become drug mules – and why harsh sentences don’t deter them – https://theconversation.com/why-people-become-drug-mules-and-why-harsh-sentences-dont-deter-them-258514

    MIL OSI – Global Reports

  • MIL-OSI Global: Wegovy and Mounjaro might affect how well your contraceptives work – here’s why

    Source: The Conversation – UK – By Simon Cork, Senior Lecturer in Physiology, Anglia Ruskin University

    The UK’s medicine regulator has issued a warning to those taking oral contraceptives. MillaF/ Shutterstock

    Weight loss drugs, including Wegovy (semaglutide) and Mounjaro (tirzepatide), are becoming increasingly popular among those trying to lose weight. But a rise in so-called “Ozempic babies” has led the UK’s medicines regulator to issue guidance on their use by women of reproductive age.

    The guidance comes after the agency received 40 reports of unintended pregnancies by women who had been using a weight loss drug. Of particular note is the effect that these drugs may have on the effectiveness of oral contraceptives.

    Weight loss jabs (including both semaglutide and tirzepatide) act by mimicking the naturally occurring hormone GLP-1, which is released from the gut after we eat. One of the things this hormone helps to do is suppress appetite. Tirzepatide also acts on another naturally occurring hormone system called GIP, also known to suppress appetite.

    The mechanism through which these drugs impact appetite is multifaceted. First, they inhibit regions of the brain associated with hunger. This suppresses the increase in appetite that occurs when people lose weight. GLP-1 drugs also slow how quickly food leaves the stomach.


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    There’s currently very little published literature which has investigated the interactions between GLP-1 drugs and oral contraceptives. However, the effect these drugs have on stomach emptying appears to at least partly explain why the oral contraceptive pill may not work as well as expected.

    One 2024 study demonstrated that tirzepatide reduced the amount of ethinylestradiol (a synthetic form of oestrogen, which is a component of the combined oral contraceptive pill) in the bloodstream by 20%. It also increased the amount of time it took the ethinylestradiol to be fully absorbed into the bloodstream by two to four hours.

    This reduced absorbency hampers the drug’s ability to suppress the action of the reproductive system in women. This will affect its contraceptive effects. Notably, the effects of semaglutide on ethinylestradiol absorption were less pronounced.

    Tirzepatide may reduce the amount of oestrogen absorbed into the bloodstream.
    Image Point Fr/ Shutterstock

    The increased length of time it took the contraceptive to be fully absorbed is probably a consequence of reduced gastric emptying since ethinylestradiol is primarily absorbed in the small intestine. The reasons why these effects were more pronounced in tirzepatide compared with semaglutide remain unclear. However, one study showed that while both of these drugs affect gastric emptying to a similar degree, these effects are much longer lasting with tirzepatide.

    Other possible factors

    Two commonly observed side-effects of GLP-1 drugs include vomiting and diarrhoea – affecting 12% and 23% of patients taking tirzepatide respectively. Vomiting and diarrhoea have the potential to interfere with the absorption of all types of oral medications – including contraceptives.

    This is because the drugs may be expelled from the body before they have an opportunity to be absorbed into the blood stream. People taking the contraceptive pill are advised to use a back-up contraceptive for this reason if they vomit or have diarrhoea to avoid unintended pregnancy.

    Another factor that could explain the link between GLP-1 drug use and unintended pregnancy could be the effect that weight loss in general has on fertility.

    Obesity has long been associated with reduced fertility. Obesity can also exacerbate other conditions which affect fertility – such as polycystic ovary syndrome, a hormonal disorder that affects how the ovaries work.

    It is likely weight loss associated with taking GLP-1 drugs leads to an increase in fertility. This in turn could make women more likely to become pregnant – independent of whether they’re using oral contraceptives or not.

    So far, it doesn’t appear that other forms of contraceptives are affected by GLP-1 weight loss drugs. Non-oral contraceptives, such as intrauterine devices (IUDs), transdermal patches and implants, are unlikely to be affected as their active ingredients are absorbed into the blood stream independently of the gastrointestinal tract. Likewise, physical barriers such as condoms and copper IUDs are also unaffected.

    But women who use an oral contraceptive are advised to use an additional, non-oral form of contraception (such as condoms) for four weeks after starting semaglutide or tirzepatide. This is when side-effects are typically at their highest.

    Because of a lack of evidence around the safety of these medications during pregnancy, women who do become pregnant while using a weight loss drug are advised to speak to their doctor to find alternative medications.

    Simon Cork 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. Wegovy and Mounjaro might affect how well your contraceptives work – here’s why – https://theconversation.com/wegovy-and-mounjaro-might-affect-how-well-your-contraceptives-work-heres-why-258431

    MIL OSI – Global Reports

  • MIL-OSI Global: Living on Mars: are there lessons from the terrible conditions of prisons?

    Source: The Conversation – UK – By Lucy Berthoud, Professor of Space Systems Engineering, University of Bristol

    I have been researching the possibility of living on Mars for several years. But it took an invitation to give a talk about space at HMP Erlestoke in England – a category C men’s prison – to make me realise that there are a surprising number of similarities between the challenges that would be faced by would-be Martians and daily life in jail.

    The talk was part of a literary festival called “Penned Up”. As I discussed the parallels between Mars and prison with those incarcerated at HMP Erlestoke, the men agreed with me that, despite seeming so different, they both would share long-term isolation, confinement and psychological challenges (not to mention bad food).

    So, as plans for exploration of Mars advance and we consider how to survive on this distant and hostile world, could there be important lessons from an environment closer to home – the modern prison? Understanding this overlap could be critical for ensuring the wellbeing of those we send to Mars. We know the terrible conditions of prisons can have a severe impact on people, and perhaps we can learn from that to help keep others safe and well.

    It’s important to recognise the fundamental distinction between prisons and space exploration. Prisons are a punitive measure, depriving individuals of their freedom, while space exploration is a highly selective, paid endeavour undertaken by choice. As I saw, living in prison is a profoundly challenging environment. Despite legal minimum standards, overcrowding and shortages mean many prisons fail to uphold them.


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    The profoundly negative impact of poor prison conditions highlights the urgent need for effective solutions. But the knowledge gained from this could also then help support people in other challenging and remote environments, such as space exploration.

    We have many years’ experience of studying psychological and team challenges from isolated, confined and extreme environments such as submarines, polar research stations, space simulators on Earth and space stations. But few people have looked to the public prisons on our doorstep for what we can learn.

    Extreme routine

    Daily life in both a prison and in space is governed by structured routines. In prisons, days are often planned down to the minute, dictating everything from waking to sleeping. This rigid scheduling is mirrored by mission-controlled timetables for astronauts.

    Mandatory work is another common thread. Prison routines often include assigned tasks, such as kitchen or laundry duty, which serve the needs of the facility. Similarly, Martian astronauts would need to perform scientific experiments, equipment maintenance and resource production duties. Mandatory work can sometimes lead to resentment if there’s little autonomy.

    Basic food and limited sleep is another common factor. When I asked the inmates what the food was like, they laughed. A staff member explained that the budget is £3.08 per person (the government benchmark figure is even less at £2.70 per person per day). Prison food can be of low nutritional value and meal times are fixed, impacting both health and morale.

    The author, Lucy Berthoud, giving a talk at HMP Erlestoke.
    Photo by Andy Aitchison., CC BY-SA

    On Mars, astronauts would consume carefully planned dehydrated meals, which would no doubt have a higher budget and be nutritionally richer, but it is not as good as freshly cooked food back on Earth.

    Sleep, a fundamental need, can also be elusive in both environments. In prisons, it can be disrupted by noise and poor conditions. Astronauts aboard the International Space Station are continuously exposed to an average noise level of 72 decibels, which is equivalent to the sound of motorway traffic from a distance of 15 metres.

    Limited space

    Prison cells are famously small, often measuring little more than a few square metres, and frequently housing several people. They offer minimal personal space and little privacy. The European standard – if it’s upheld – is a minimum of four square metres per person in a single cell.

    Similarly, Martian habitats, designed to function with the minimum resources and with a focus on life support, will also be challenging space-wise.

    For example, the Apollo Command and Service module which went to lunar orbit had a volume of just 6.2 cubic metres for three astronauts. This lack of personal space and privacy in both settings can lead to heightened stress levels and challenges to emotion regulation.

    Both places also provide a potentially high-risk environment. The threats may be different – often interpersonal in prisons – from violence, sexual assault, and extortion to potential staff abuse-, mainly environmental – radiation, cold and lack of air on Mars. But they can lead to a persistent state of vigilance which can significantly impact mental well-being in both cases.

    Dealing with isolation

    Perhaps the biggest parallels lie in the psychological challenges arising from prolonged isolation. Imprisonment involves a significant separation from family, friends, and the outside world, leading to feelings of isolation and loneliness.

    While astronauts on a mission to Mars are highly trained professionals and have chosen to go, they too will operate under a significant degree of control. With a likely round trip time of two years, astronauts embarking on a mission to Mars may also experience isolation. This could lead to feelings of disconnection and homesickness, as has been studied in volunteers on Earth.

    Prisoners experience a near-complete lack of control over even the most basic aspects of their daily existence. You can see the importance of feelings of control in the fact that even astronauts and cosmonauts sometimes rail against or even disobey mission control’s strict guidelines, as the Nasa astronaut Clayton Anderson has written about in his candid book The Ordinary Spaceman.

    Social dynamics

    Both groups require living in close quarters with a limited, unchanging set of companions. In prison, people are confined to a relatively small social environment, which can lead to complex subcultures and the potential for interpersonal conflict and violence, though supportive relationships can also be a crucial resource.

    Equally, for Martian crews, strong group cohesion and mutual support will be absolutely essential. However, the inherent stress of the mission, confined living conditions and significant communication delays with Earth could still lead to tensions.

    So we see that lessons learned from studying the experiences of people in jails can provide valuable insights for mitigating the negative impacts of life on Mars.

    Strategies such as designing habitats to maximise personal space and privacy, improving food and maximising autonomy will be needed for Martian travel. It will be important to provide access to meaningful activities to combat monotony, ensuring access to comprehensive mental health support and fostering strong social connections and support networks. These have all been studied in prisons.

    By trying to improve prison conditions and continuing to learn from prisons, we can better prepare our pioneers for the unprecedented challenges of making a home on Mars, improving their chances of survival and their ability to thrive.

    Lucy Berthoud receives funding from UK Space Agency and UKRI.

    ref. Living on Mars: are there lessons from the terrible conditions of prisons? – https://theconversation.com/living-on-mars-are-there-lessons-from-the-terrible-conditions-of-prisons-258502

    MIL OSI – Global Reports

  • MIL-OSI Global: China’s Everest obsession: following Mallory’s footsteps a century on, I saw how tourism and climate change are transforming the mountain

    Source: The Conversation – UK – By Carl Cater, Associate Professor in Tourism Marketing, Swansea University

    Chinese tourists at Everest’s northern base camp, Rongbuk in Tibet, photograph the world’s highest mountain. Carl Cater, CC BY-NC-ND

    To the discerning eye, other mountains are visible – giants between 23,000 and 26,000 feet high. Not one of their slenderer heads even reaches their chief’s shoulder. Beside Everest they escape notice, such is the pre-eminence of the greatest. (George Mallory, 1922)

    The climbing season on Mount Everest peaks in late May and early June every year. Extreme weather patterns at this location and altitude mean the main climbing season is remarkably short, perhaps only a few weeks between the winter freeze and monsoon storms.

    Even within that time, the precise location of the jetstream that accelerates wind speeds at the summit creates pinchpoints of ideal climbing conditions, leading to images of long queues of mountaineers at particularly challenging points such as the Hillary Step – named after one of the two men who first climbed Everest on May 29 1953.

    In the 30 years after Edmund Hillary and Sherpa Tenzing Norgay first stood at the summit, only 150 men and women matched their feat. But since then, the number of climbers has sky-rocketed. In 2019, a record 877 people summited the mountain, and in 2024 ascents were only just shy of this.

    Rebecca Stephens, the first British woman to climb Everest in 1993, has described how the “global obsession with the world’s highest mountain is shaping its future and the future of the people who work on it”.

    Stephens said her ascent in 1993, when there was only one commercial expedition on the mountain, felt like a watershed moment. Since then, commercial expeditions have mushroomed on Everest’s southern base camp on the Khumbu glacier (altitude: 5,364 metres), which now boasts a wide range of facilities including coffee shops and party tents.

    The explosion of interest in climbing Everest has been aided by the fact that, despite its altitude and dangers, it is far from the most difficult high-altitude mountain. A member of the Tibet Mountaineering Association who had summited five times told me, on a good day, Everest was “very straightforward” – and that climbing Denali in Alaska (North America’s tallest peak) had been much more difficult.

    By the end of 2024, there had been 12,884 ascents and 335 deaths on Everest, a survival rate of 97.4%. But the so-called “death zone” above 8,000 metres, combined with avalanches, extreme weather and frostbite, will always present significant hazards to the people who visit these slopes.




    Read more:
    Fifty years ago, Junko Tabei became the first woman to summit Everest – why do so few people know her story?


    This climbing season, a Scottish former marine described quitting his attempt 800 metres below the summit after encountering two dead climbers. Meanwhile, four other ex-British special forces soldiers including UK government minister Alastair Carns used xenon gas and hypoxia training to travel to Everest and summit in under a week – leading to concerns that this could further increase the number of people attempting to scale the increasingly crowded mountain.

    But while images of high-altitude queues and stories of occasional fatalities hog the headlines, most visitors to Everest do not attempt to climb it. And by far the majority of these tourists are on the “other side of Everest”, in China-administered Tibet.

    Unlike a century ago, Everest is now easily accessed by tarmacked roads. (To compare the images, move the white bar right and left.) Sandy Irvine/Royal Geographical Society (1924)/Carl Cater (2024)

    China’s “economic miracle”, combined with its desire to develop peripheral regions, has meant that Qomolangma (the Tibetan name for Everest) is now easily accessible, with tarmacked roads all the way to the northern base camp at Rongbuk (altitude: 5,150 metres).

    From having lower numbers of visitors than the Nepalese side 20 years ago, the Tibetan side of Everest now welcomes more than half a million tourists a year – the vast majority from mainland China. Short Chinese holidays mean most of these visits are whistlestop trips that also take in the nearby high-altitude cities of Lhasa and Shigatse. Because of the lack of altitude acclimatisation time, many tourists carry oxygen bottles or wear oxygen backpacks during their visits.

    Retracing the earliest routes

    To better understand the impact of tourism on Everest, I visited the Tibetan side in June 2024 as a guest of Linsheng Zhong, professor of human and tourism geography at China’s Institute of Geographical Sciences and Natural Resources Research.

    The date of our visit was significant, being a century since the disappearance of early Everest adventurers George Mallory and Sandy Irvine on June 8 1924. We set out to examine both the human and environmental changes that have occurred over the intervening hundred years – using century-old journals and photographs as a baseline.

    As geographers rather than high-altitude mountaineers, our aim was to retrace some of the reconnaissance routes used by the British in the 1920s – a time when Nepal was closed to foreign visitors. Between 1921 and 1924, three expeditions organised by the Royal Geographical Society and the Alpine Club visited Tibet with the aim of being the first recorded people to climb Mount Everest. None, as far as we know, reached the top – and the remains of the two leaders of the final expedition, Mallory and Irvine, were only discovered on Everest many years later.

    While the vistas are equally spectacular today, climate change has had a significant impact on glaciers throughout the region. Recent scientific estimates suggest that there has been between a 26% and 28% reduction in the glaciers surrounding Everest between the 1970s and 2010.

    In 1921, the leader of the first expedition, Charles Howard-Bury, camped just below the Langma pass – the highest but most direct easterly route to Everest – and photographed “a peak of black rock with a glacier just below it”. It is apparent from this “slider” comparison, using a photograph I took from the same spot, how much this hanging glacier has retreated over the past century.

    This glacier to the south of the Langma pass has retreated significantly. Charles Howard-Bury/Royal Geographical Society (1921)/Carl Cater (2024)

    The human impact on Everest

    Everest’s permanent northern base camp at Rongbuk in Tibet now welcomes up to 3,000 visitors a day in high season. Tourists are initially disgorged into a regimented tented village – modern versions of Tibetan yak herder accommodation.

    Some of these jet-black tents, made from thick yak hair which breathes when dry and is waterproof when wet, provide simple (but heated and oxygenated) accommodation for the hardier tourists who want to be at the mountain early for the best photo opportunities.

    Wandering up the astroturf lining the central boulevard, we meet a range of souvenir sellers before reaching the “world’s highest post office” and a circular plaza commemorating the various scientific and political achievements of the region. The near-landscape is largely brown: when he was here, Mallory described the contrast between the rain-shadowed “monotonously dreary, stony wastes” of Rongbuk with the beauty of the snowy mountains looming above.

    Today, a boardwalk takes tourists marginally further to Rongbuk monastery – founded in 1902 and rebuilt after being damaged during the Chinese Cultural Revolution – and a final viewpoint of the north face of Everest. A yellow sandstone band is clearly visible just below the summit – evidence that this mighty mountain was once at the bottom of the ocean.

    An astroturf walkway in the tourist village at Everest’s northern base camp, Rongbuk in Tibet.
    Carl Cater, CC BY-NC-ND

    The mood on our trip was a sharp contrast to my visit in November 2007, when our Tibetan guide had been keen to evade any security checkpoints (albeit to maximise his personal profit, rather than any ethical standpoint). With only a few thousand annual, mostly international, visitors, the facilities back then were very limited, beyond a warning to tourists to proceed no further or face significant fines – and a shiny new sign proclaiming mobile phone coverage.

    However, we were able to walk to the snout of the Rongbuk glacier, a jumble of shattered sandstone rocks at the terminal moraine. Today, tourists cannot go far beyond the monastery and are corralled on new boardwalks.

    Tourism has brought rapid economic change to this region of the Tibetan plateau – including diversifying from traditional livelihoods. Central government efforts to reduce overgrazing in the fragile ecosystem have led to a system of payments to traditional herders – and a drop in livestock numbers from a peak of nearly 1 million in 2008 to below 700,000 today.

    In contrast, the permanent human population of the Qomolangma National Nature Preserve (the protected area that includes the Tibetan side of Everest) has more than doubled since the 1950s to more than 120,000 people, with especially accelerated growth over the last decade coinciding with the rise in tourism. The Pang La pass which crosses into the Rongbuk valley, described as “desolate” by English mountaineer Alan Hinkes in the 1980s, is now festooned with souvenir shops and mobile coffee baristas.

    Concern about the environmental impacts of these tourists led to the introduction of a fleet of electric buses in 2019, with visitors instructed to park their vehicles in the small town of Tashi Dzom before taking a 30-minute electric bus ride to the northern Everest base camp.

    Tourists are brought up the mountain to Rongbuk in electric buses.
    Carl Cater, CC BY-NC-ND

    Now there are plans to move the bus transfer station to a gleaming new park centre closer to the main highway, to save tourists having to drive the numerous switchbacks over the Pang La pass to Tashi Dzom, then negotiate traffic jams and parking challenges nearer the peak.

    This is partly to cope with another western import to China: the concept of the “road trip”. For Chinese car enthusiasts, the 5,000-kilometre Route 318 from Shanghai to the foot of Everest is now one of their most popular long-distance drives.

    ‘The most beautiful valley in the world’

    We visited the east and north faces of Everest in Tibet armed with photographs and accounts from those three early British expeditions more than a century ago – the first recorded attempts to climb the world’s highest mountain.

    The first (1921) expedition led by Howard-Bury, an army lieutenant-colonel, botanist and future Conservative MP, was a detailed scientific and topographical survey of the area. In their attempts to find a route to the summit, approaches via the northern (Rongbuk) and eastern (Kama) valleys were reconnoitred.

    Views of Kharta, location of the 1921 expedition’s second base camp. Charles Howard-Bury/Royal Geographical Society (1921)/Carl Cater (2024)

    Although less visited than the Khumbu base camp in Nepal or the Rongbuk base camp in Tibet, the eastern approach to Everest via the Kama valley is a wonderful trek with unobstructed views of the immense eastern face of Everest. Howard-Bury described the allure of the valley which remains today:

    We had not been able to gather much information locally about Mount Everest. A few of the shepherds said that they had heard that there was a great mountain in the next valley to the south … They called this the Kama valley, and little did we realise at the time that in it, we were going to find one of the most beautiful valleys in the world.

    The valley is accessed from the settlement of Kharta, a small-but-booming town on the banks of the Bong Chu-Arun river. Just below Kharta, the river enters a steep gorge, dropping from nearly 4,000m to 2,000m as it enters Nepal. Today, the Kama valley route is becoming popular with Chinese trekkers, although there are very limited facilities to deal with their impact on the area – notably, the human and plastic waste.

    The 1921 expedition selected Kharta as the location of its second base camp after several months of exploration at Rongbuk. All were relieved to find such an amenable climate and greenery after the dry and cold of the Tibetan plateau. With the help of the dzongpen (village head) and a local fixer, they rented a farmhouse where many of the photos from the expedition were later developed. Located in a grove of poplar and willow with small streams trickling along its boundary, we also visited this farmhouse – now owned by a Tibetan farmer who cheerily showed us around and introduced the three generations of his family.

    Three generations of the Tibetan family who now own the farm used by the 1921 British expedition.
    Carl Cater, CC BY-NC-ND

    The British expeditions’ investigations of the Kama valley are of particular interest as this valley sits on the climatic boundary between drier and wetter areas to the north and south of the Himalayan range. Howard-Bury described thick mists coming up the Kama valley each evening, providing significant moisture to the region:

    As usual, in the evening, the clouds came up and enveloped us in a thick mist … When we started the following morning, there was still a thick Scotch mist which made the vegetation very wet … On the opposite side of the valley were immense black cliffs descending sheer for many thousand feet.

    A profusion of mountain plant life.
    Carl Cater, CC BY-NC-ND

    Still evident today, this precipitation, combined with great variations in altitude and temperature, supports a profusion of plants – as well as animal life that our predecessors described as “extraordinarily tame”. Now as then, in summer, the hillsides are covered with the yellow, white and pink flowers of rhododendrons and azealas, and huge juniper trees grow in the lower valley. Howard-Bury described spending “the whole afternoon lying among the rhododendrons at 15,000 feet – admiring the beautiful glimpses of these mighty peaks revealed by occasional breaks among the fleecy clouds”.

    Adorned with prayer flags, the high passes are still used by local people as portals to the sacred Kama valley. In 1921, when he crossed the Langma pass to enter this “sanctuary”, Mallory wrote that the grumblings of his previously stubborn porters had suddenly transformed into “great friendliness” and “splendid marching” – such that they were “undepressed with the gloomy circumstance of again encamping in the rain”. Descending into the Kama valley, Howard-Bury effused:

    To the west, our gaze encountered a most wonderful amphitheatre of peaks and glaciers. Three great glaciers almost met in the deep green valley that lay at our feet. One of these glaciers evidently came down from Mount Everest.

    While the topography here remains largely unchanged, the very significant reduction in the volume of the central glacier is evident in these comparison images:

    The spectacular Kama valley photographed from below the Langma pass. Mount Everest is the distant right peak. Charles Howard-Bury/Royal Geographical Society (1921)/Carl Cater (2024)

    In 1921, the expedition wrote that the outflow from the Kangshung glacier (which descends from Everest) had to “hurl itself into a great ice cavern” in order to flow under the Kandoshang glacier (from Makalu, the world’s fifth-highest peak) and become the Kama river. Today, as a result of glacial retreat, that ice cavern is no longer present and the main stream from the Kangshung glacier flows unimpeded along the snout of the Kangdoshang glacier.

    Further up the valley, the 1921 expedition established another base camp in the high meadows towards the head of the valley at Pethang Ringmo, which, as well as a final camp stop for trekking groups today, remains an important grazing area for migratory yak herders. These herders were important sources of information for the early explorers, but today there is some evidence of overgrazing. Howard-Bury commented:

    We found ourselves among pleasant grassy meadows – it was a most delightfully sunny spot at 16,400 feet, right under the gigantic and marvellously beautiful cliffs of Chomolönzo – now all powdered over with the fresh snow of the night before and only separated from us by the Kangshung glacier, here about a mile wide. Great avalanches thunder down its sides all day long with a terrifying sound.

    A century later, avalanches continue to show us this is a dynamic landscape in a state of constant flux. Often, we would glimpse the rapid tumbling of ice and snow in a long white cloud, rushing down the steep couloirs seconds before the terrifying sound reaches you – reminding us of one of the major threats to climbers.

    The ‘gigantic’ cliffs of Mount Chomolönzo viewed from Pethang Ringmo. Charles Howard-Bury/Royal Geographical Society (1921)/Carl Cater (2024)

    At the head of the Kama valley, the Kangshung face of Everest is perhaps the most impressive of all the sides of the mountain, towering some two miles above the glacier below. Both the north-east (Tibetan) and south-east (Nepalese) ridges – the most popular routes to the summit – are clearly visible from here. The Kangshung face itself was not climbed successfully until an assault by an American team in 1983, and the first British ascent of Everest without oxygen by Stephen Venables in 1988.

    While initially, the mountains and peaks look remarkably similar to the 1920s, the drop in the level of the glacier quickly becomes apparent. The ordered glacial flow has been replaced by rocky detritus and numerous perched lakes, leaving a lunar-like landscape.

    During his first visit, and despite having spent much of his life in the mountains of Europe, Mallory wrote that he was in awe of the vista here:

    Perhaps the astonishing charm and beauty here lie in the complications half-hidden behind a mask of apparent simplicity, so that one’s eye never tires of following up the lines of the great arêtes, of following down the arms pushed out from their great shoulders, and of following along the broken edge of the hanging glacier covering the upper half of this eastern face of Everest.

    This view of the south-east ridge of Mount Everest shows the retreating Kangshung glacier. George Mallory/Royal Geographical Society (1921)/Carl Cater (2024)

    While Everest was the prize sought by all the expeditions, the sight of the Makalu massif, dominating the Kama valley to the south, appears to have had a greater impact on both the climbers. Howard-Bury claimed it was by “far the more beautiful mountain of the two”, while Mallory “saw a scene of magnificence and splendour even more remarkable than the facts suggest”. He wrote:

    Among all the mountains I have seen, and, if we may judge by photographs, all that ever have been seen, Makalu is incomparable for its spectacular and rugged grandeur. It was significant to us that the astonishing precipices rising above us on the far side of the glacier as we looked across from our camp – a terrific awe-inspiring sweep of snow-bound rocks – were the sides not so much of an individual mountain, but rather of a gigantic bastion or outwork defending Makalu.

    In fact, according to Howard-Bury, “the shepherds would insist that Makalu was the higher of the two mountains, and would not believe us when we said that Mount Everest was the higher”.

    The future of the Everest region

    This historical comparison of hundred-year-old images and quotes represents both the enduring mountains but also the rapid changes that the Himalayas now face. Forces of tourism on one hand and climate change on the other are posing huge challenges for these marginal environments.

    Our research shows that tourist and climbing activity is having significant impacts on the region. The causes are both directly at the mountain but also at home, particularly in the damage that all of our consumptive lifestyles are having on Himalayan glaciers.

    Of course, these activities have also brought much-needed development opportunities to local populations, and the residents of both the Nepalese and Tibetan sides are generally much better off than populations in less-visited areas of their respective countries.

    The expected redesignation of the Qomolangma National Nature Preserve as a national park in the current Chinese central government plan may bring opportunities for further management locally as the crowds continue to grow. However, we also identified a shortfall in protecting the significant cultural heritage and longstanding spiritual relationship to the mountain, which is often eclipsed by its physical size.

    Perhaps a more balanced relationship to the mountain and its people is required, one that reevaluates our rather unhealthy obsession with just one peak. Reading the accounts from the 1920s, one is aware that there was a deep reverence for the region – not only from local people but also from its British visitors.

    Journeys through Tibet’s Kama valley to Mount Everest more than a century apart. Video: Carl Cater and Linsheng Zhong.

    In the intervening years, summit bids on the Tibetan side have historically been much lower than in Nepal. Closed to outsiders for much of the latter half of the last century, Tibetan ascents briefly became more popular in the 1990s and 2000s, with a few well-organised commercial operators. But closures in 2008 during Olympic preparations, and again during the COVID pandemic from 2020 to 2023, once again meant a much-reduced number of attempts.

    Combined with less reliance on foreign exchange, China has been able to exert much more control on the climbing industry, and in 2024 did not charge a permit fee at all, preferring to ensure climbers were appropriately experienced. There may be merit in this approach, as no one was killed on the Tibetan side in 2024, as opposed to the eight climbers who perished on the southern side.

    But on both sides of the mountain, it is highly unlikely that our global obsession with Everest will wane. As longtime chronicler Alan Arnette notes, the mountain has an “immutable attraction that is oddly perverse”. So, it is important we continue to monitor the changes in this dynamic landscape wrought by both its visitors and climate change.

    To counter the rising commercialisation of both mountaineering and mountain tourism requires, above all, greater respect for our mountains and the people who reside on them. According to Lakhpa Puti Sherpa, president of the Nepal Mountain Academy, notes:

    The Himalayan mountains are holy spots – and we, the Sherpas, worship them. Before climbing any mountain we worship it, begging apologies on having to step on it on the top, and asking to absolve the sin we are going to incur from this particular violence.

    Watch more image comparisons of the Everest expeditions here. All historical photographs are published courtesy of the Royal Geographical Society. Slider comparisons built using Juxtapose.


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    Carl Cater received funding from the Chinese Academy of Sciences’ President’s International Fellowship Initiative. With thanks to Linsheng Zhong, Professor of Human and Tourism Geography at the Institute of Geographic Sciences and Natural Resources Research, Chinese Academy of Sciences.

    ref. China’s Everest obsession: following Mallory’s footsteps a century on, I saw how tourism and climate change are transforming the mountain – https://theconversation.com/chinas-everest-obsession-following-mallorys-footsteps-a-century-on-i-saw-how-tourism-and-climate-change-are-transforming-the-mountain-257656

    MIL OSI – Global Reports

  • MIL-OSI Global: Bulgaria is joining the euro in January – and not everyone is pleased

    Source: The Conversation – UK – By Yuxiang Lin, Doctoral Researcher, Centre for Russian, European and Eurasian Studies, University of Birmingham

    The EU has given the green light for Bulgaria to join the euro from January 1 2026. This huge step towards European integration comes just six months after Bulgaria became a full member of Schengen area, within which people can move freely across borders.

    However, while rapprochement moves apace at the top level, euroscepticism shows little sign of abating at the grassroots level in Bulgaria, or in national party politics.

    Protests calling for Bulgaria to stick with its national currency have sprung up in both capital city Sofia and in several towns around the country. A May poll showed that 38% of Bulgarians were against the euro and only 21% agreed that the switch should go ahead in January.

    Others wanted to wait a few years. In a similar poll in January, 40% of respondents said they never wanted Bulgaria to join the euro.

    Anti-euro protests tend to be associated with the Bulgarian nationalist political parties. The most influential of these, Vazrazhdane, has become increasingly popular and won 13.63% in the most recent parliamentary elections in October 2024. It had won just 2.45% in elections held in April 2021.

    Bulgaria joined the European Union in 2007. When, in December 2021, I interviewed a former spokesman for the political party NDSV (National Movement Simeon II), which was in government from 2001 to 2009, they said Bulgarians had very high expectations ahead of becoming part of the bloc.

    They had thought it would take just a few years for Bulgaria to be as economically developed as Switzerland, and that their standard of life would soar. The dream was that Bulgaria to become the so-called “Switzerland of the Balkans”, as both countries have similar population size and a similar touristic appeal.

    The EU has channelled €16.3 billion into Bulgaria since the country joined EU, particularly for infrastructure development. However, a year of fieldwork has shown me that Sofia has been the main benefactor of this investment.

    Small municipalities and rural communities have not felt the benefit as clearly. Among the €16.3 billion, Sofia received €3.1 billion and Plovdiv received €0.8 billion.


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    Whereas Sofia gets new metro lines during recent years, citizens in some municipalities still struggle with basic public services for survival. Nearly 15% of the country’s population struggles with regular quality water supply.

    The imagined “European” standard of life has not yet reached small municipalities and rural areas. Europe still feels far away.

    Becoming part of the EU has given opportunities to Bulgarian citizens to work and live abroad in European countries. Official figures show 861,054 Bulgarian citizens lived in other EU countries in 2022. Recently a total of 74% of young people in Bulgaria are considering more or less seriously the idea of emigrating abroad.

    However, the trend of young people working abroad in Europe has caused brain drain and has partially contributed to the decreasing population of Bulgaria, which fell from 7.68 million before it joined the EU in 2006 to 6.44 million in 2024.

    According to a research analyst at a Sofia-based non-governmental organisation who I interviewed recently, many Bulgarian parents hope that their children working abroad in Europe will return to work in Bulgaria, because jobs for migrants abroad tend not be for high-skilled workers.

    Accession to the eurozone is more likely to benefit Sofia-based people who do business abroad rather than older people living local lives in small municipalities or rural areas. Younger and working people have already been shown to be the ones who benefited most from European integration in Bulgaria and Romania in the first place.

    That said, support for EU membership has been rising recently.

    Holding a coalition together

    Despite euroscepticism, European integration is one of the few issues that unites Bulgaria’s fragile coalition government – although not all political parties agree with joining the eurozone.

    Bulgaria held seven parliamentary elections between April 2021 and October 2024. It therefore has been a surprise that amid the political turmoil, the coalition government that was formed in October 2024 has survived. A very important motivational source here is unity on the question of Europe.

    But with mixed results so far and with meaningful levels of opposition the joining the euro, Bulgaria’s government will have to be careful about the potential for eurosceptic movements to grow as they have in several other EU nations.

    Yuxiang Lin 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. Bulgaria is joining the euro in January – and not everyone is pleased – https://theconversation.com/bulgaria-is-joining-the-euro-in-january-and-not-everyone-is-pleased-258626

    MIL OSI – Global Reports

  • MIL-OSI Global: Five reasons you should give up alcohol if you’re recovering from an injury

    Source: The Conversation – UK – By John Kiely, Department of Physical Education & Sport Sciences, University of Limerick

    If you’ve sustained an injury while exercising, giving up alcohol while you recover could be key. Andrey_Popov/ Shutterstock

    Rest, rehab and patience are cornerstones of injury recovery. But should quitting alcohol be a part of any recovery plan? This is what England cricket captain Ben Stokes has done – saying he’s given up alcohol in a bid to quickly recover from a serious hamstring injury.

    While this may seem extreme, emerging research shows that even small amounts of alcohol can interrupt recovery and delay healing in five key ways:

    1. Disrupting immune function

    Alcohol disrupts immune cells’ ability to reach and repair injured tissues – slowing the regeneration of healthy muscle, tendons and ligaments. This delays the clean-up of damaged cells and also prolongs swelling and sensitivity, which further delays the process of repair.

    The effect of heavy drinking (more than four or five drinks at one time) on the immune system can leave your body vulnerable to infection and delay repair for between three to five days afterwards. Even moderate drinking (one to three drinks at one time) stalls tissue regeneration and prolongs swelling and tenderness in the injured area.


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    2. Interfering with muscle rebuilding

    Muscle protein synthesis – the process of repairing and rebuilding muscle – is reduced for 24 to 48 hours after even moderate alcohol consumption. In one study, muscle protein synthesis was shown to be reduced by 24-37% after drinking.

    When this process is impaired, muscle regeneration slows. This results in persisting weakness, soreness and greater susceptibility to re-injury.

    3. Delaying bone and tissue healing

    When bones, ligaments, tendons and muscles are damaged, signals from these injured tissues trigger natural repair processes. But alcohol disrupts these signalling pathways and interferes with the body’s natural repair mechanisms, delaying healing and increasing swelling and scarring of the injured tissues.

    Heavy drinking can prolong healing from a bone fracture by one to two weeks, and extend recovery from sprains and strains by two to three weeks.

    4. Disrupting hormonal balance

    Hormones are chemical messengers that coordinate many of the body’s recovery processes – including tissue repair, inflammation and muscle growth. Two especially helpful healing hormones are testosterone and growth hormone. Both help rebuild muscle and other connective tissues after injury.

    Alcohol lowers circulating levels of these hormones and blunts the body’s ability to regenerate damaged tissues.

    At the same time, alcohol raises cortisol levels. Cortisol is the body’s primary stress hormone. Elevated cortisol levels convince the brain that there’s an immediate threat. The brain subsequently seeks to mobilise available energy in preparation for a “fight” or “flight” response.

    Alcohol interferes with hormones that aid recovery.
    PeopleImages.com – Yuri A/ Shutterstock

    Spikes in cortisol increase energy availability by diverting energy away from other bodily functions – such as injury recovery. Cortisol also promotes the break down of healthy tissues (especially muscle) into simpler chemicals that can be rapidly converted to energy. These imbalances can persist for days after drinking and significantly slow tissue repair.

    5. Increasing risks of re-injury

    Clear communication between the brain and body is essential for smooth, precise and coordinated movement. But alcohol interferes with this communication.

    As a result, coordination, balance and reaction times all plummet. The subtle movement impairments caused by even moderate drinking can linger for a couple of days afterwards. These increase the risk of movement errors and re-injury to the already vulnerable tissues.

    Alcohol and injury recovery

    Current research illustrates that there’s no safe threshold of alcohol consumption during rehabilitation. Even low-to-moderate drinking impairs athletic performance and injury recovery for a couple of days, depending on the dose, the person and the aspect of recovery being measured.

    Binge drinking (periods of abstinence followed by consuming four or five drinks in one session) causes substantial short-term damage. Low-to-moderate drinking causes subtler disruptions, but these disruptions typically happen more frequently.

    Stokes’ decision to abstain from alcohol is not an overreaction – it’s a clear-headed, evidence-led commitment to optimal recovery. As new evidence reshapes our understanding of alcohol’s multiple impacts, the message is simple: rehabilitation doesn’t happen in the pub. Whether you’re a professional athlete, a recreational runner or an enthusiastic “weekend warrior”, every drink counts.

    When returning from an injury, the less you drink, the better your chances of a complete recovery. If a rapid and complete recovery is your goal, then less is better, and none is best.

    Deciding to drink alcohol during rehabilitation is a personal choice. But if healing is the priority, one of the simplest, most controllable ways to skew the odds in your favour is to follow Stokes’ lead and skip that drink.

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

    ref. Five reasons you should give up alcohol if you’re recovering from an injury – https://theconversation.com/five-reasons-you-should-give-up-alcohol-if-youre-recovering-from-an-injury-257194

    MIL OSI – Global Reports

  • MIL-OSI Global: How pterosaurs can inspire aircraft design

    Source: The Conversation – UK – By David Hone, Senior Lecturer in Zoology, Queen Mary University of London

    Travelershigh / Shutterstock

    Pterosaurs were an amazing group of flying reptiles that occupied the skies around the same time that dinosaurs roamed on land. Appearing in the fossil record around 230 million years ago, pterosaurs survived until 66 million years ago, when an asteroid impact helped wipe them, and many other life forms, out.

    The pterosaurs are often the animals in the background, while the dinosaurs occupy the foreground. However, they are worthy of much more recognition than they are commonly given, not just as interesting ancient animals, but because they could also inspire aircraft designs.

    Pterosaurs were the first vertebrates to evolve powered flight. They were in the air 80 million years before birds and around 180 million years before bats. However, their flight apparatus was rather different to either. The wings of bats are supported by multiple digits (like our fingers). Birds use feathers as structural units in the wings.


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    But pterosaurs primarily had one finger to support their wings. Their main wing was composed of a single giant “spar” – a structural unit – made of up of the bones of the arm and the greatly elongated fourth finger, with a membrane that stretched from the tip of the finger down to the ankle. This membrane acted as a flight surface.

    As a group, pterosaurs were diverse – some were specialist fishers, filter feeders, terrestrial predators, insect hunters, seed crackers, and more. Some could climb well and many species were highly mobile on the ground.

    They also got very large. The biggest pterosaurs had wingspans of over 10m and could weigh over 250kg. Even the smallest pterosaurs could fly: juveniles with 10cm wingspans were probably capable of flight within days or even hours of hatching.

    The bones of pterosaurs, like those of birds and many dinosaurs, were filled by extensions of the lungs called air-sacs, and they were extremely thin walled. This made the skeletons of the animals very stiff for their weight (rather important when flying). It also made their skeletons very fragile after death, and so pterosaur fossils are rare.

    However, in a handful of sites around the world – most notably in Germany, Brazil and China – where the preservation of fossils is exceptionally good, we have huge numbers of pterosaur fossils with both complete skeletons and a lot of soft tissue. This gives us an incredible insight into the shape and structure of their wings and how they flew.

    In addition to the main wing surface, pterosaurs had two other smaller subsidiary surfaces that would have given them extra control. At the front of the main wing sitting in the crux of the elbow was a small membrane between the wrist and the base of the neck, supported by a unique long wrist bone called the pteroid.

    At the back of the body, earlier pterosaurs had a single large sheet of membrane between the legs, supported in the middle by a long tail and on each side by long fifth toes on the feet. Later pterosaurs split this rear membrane and had only a small piece of membrane running from the ankle on each leg to the base of a short tail.

    As well as the outer skin-like layers, the wings had at least three major layers, comprising blood vessels, a layer of muscles, and a layer of stiffening fibres. Some might well have had extensions of the airsacs in the main wing membranes too, which could presumably be inflated and deflated to a degree. The wing as a whole was therefore extremely elastic and flexible.

    Artist’s impression of pterosaurs in flight.
    Natalie Jagielska

    This would have given pterosaurs extraordinary control over their wings. All of this makes them an intriguing model for future aircraft design.

    Flight challenge

    Aircraft wings are not (and cannot) be perfectly stiff. Adding flexibility, or better still, actual shape changing potential, could give them substantial performance benefits. But stiffness and flexibility need to be balanced. Problems with aeroelasticity – the tendency of a soft wing to vibrate in ways that greatly reduce performance (or even cause flight to fail outright) – limit how pliable the wings can be.

    Pterosaurs had multiple mechanisms to address this challenge, from passive mechanisms, such as fibres within the wing, to active mechanisms, such as the muscles that ran throughout the wing and could tighten on demand. This wing tensioning anatomy is*is?* among the most sophisticated aeroelastic control systems known to science.

    Survey and rescue drones of the future could look very different to this one.
    Sobrevolando Patagonia / Shutterstock

    The key to applying our knowledge of pterosaurs to future aircraft design comes not in closely mimicking the exact shape and form of pterosaurs, but instead, in understanding and extracting core principles from their anatomy.

    The membranous wings of pterosaurs were great at changing shape. The leading
    edge could lie flat or depress to a sharp angle, thanks to the small anterior membrane. The main wing surface could change its curvature, or camber. There is even evidence that the wing could manage what is called reflex camber – a shape in which the trailing edge of the wing curves upwards.

    Even the stiff portion of the wing (the spar) made of bone and surrounding muscles, was mobile – through motions of the shoulder, elbow, and wrist and flexibility within the bone itself near the wingtip. This soft, shape changing structure gave pterosaurs exceptional control over their moment-to-moment wing performance, optimising for lower speed or higher speed within fractions of a wingbeat. This would have made them particularly adept at slow speed flight – good for tight turns and precise, soft landings.

    Greater manoeuvrability and pinpoint landings are a premium for autonomous vehicles working in busy environments – such as cities or natural disaster zones full of debris. So future survey and rescue drones could take lessons from pterosaur wing control systems.

    Lessons from pterosaur anatomy could also be applied to wingsuits.
    Rick Neves / Shutterstock

    The jointed, flexible wing anatomy of pterosaurs also meant that the wings could fold tightly, and unlike the wings of birds, the folded wings of pterosaurs doubled as powerful walking limbs. Because the hands contacted the ground while walking, the forelimbs were available to help push the animals into the air during take-off leaps. Mathematical models predict half-second launch times, from a standing start, in even the largest pterosaurs.

    The exceptional mechanical loads associated with these launches were handled
    by one of the highest stiffness-to-weight skeletons to ever evolve. This folded-wing, rapid-launch system has great potential for applications to future technologies.

    So much so, in fact, that a prototype folding wing system modelled on pterosaurs has already undergone some testing (through a Nasa-funded university project on which one of the authors, Michael Habib, consulted). A folding, flapping wing that doubles as a launch system could allow future drones to take off with limited space – perhaps while on ships at sea. It could also be used to allow small flying drones to land and launch again out of craters on Mars.

    The red planet has just enough atmosphere to make flapping wing and rotor wing systems work. But it’s energetically costly and hovering is tough – better to land, measure and launch again. Similarly, rapid take offs from uneven terrain, precise landings, tight turns, and on demand tweaks to improve performance are all features that could be applied to the drones of the future, in wingsuits, and more.

    As the control systems for drones become increasingly driven by intelligent software, we will need a new generation of hardware to match. Pterosaurs may hold the keys to unlocking a future of highly manoeuvrable autonomous aerial vehicles that are competent in harsh conditions and urban environments. These would be ideal for search and rescue or surveys in locations that are too dangerous for humans.

    So despite having been extinct for 66 million years, the pterosaurs have huge potential as the inspiration for aircraft design. Sometimes looking back can be the best way to look forward.

    Michael Habib has worked on a prototype folding wing system based on pterosaur flight through a Nasa-funded university project.

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

    ref. How pterosaurs can inspire aircraft design – https://theconversation.com/how-pterosaurs-can-inspire-aircraft-design-256823

    MIL OSI – Global Reports

  • MIL-OSI Global: The Club World Cup 2025 shows sharing the stage is the future of global sport

    Source: The Conversation – UK – By David Cook, Senior Lecturer in Marketing, Nottingham Trent University

    Before it kicked off, the all new revamped and expanded men’s 2025 Fifa Club World Cup had already attracted controversy.

    Some think even more football matches at the end of a long season pose a risk to player welfare. Others are concerned about a lack of fan engagement.

    But aside from these issues the tournament, which features 32 clubs from around the world, provides fresh evidence of a new model emerging in global sport.

    This event, which is being staged in 12 different cities across the US, is the latest experiment in “polycentric” hosting, where multiple locations collaborate as destinations for international sporting events.


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    The next men’s Fifa World Cup in 2026 will take place across the US, Canada and Mexico. Four years later, the event will be spread across different continents, starting in South America, before moving to Europe and Africa. In between, the men’s Euros of 2028 will be co-hosted by the UK and Ireland.

    The trend is not limited to football. The 2026 Winter Olympics is being shared in Italy between Milan and Cortina d’Ampezzo. The Commonwealth Games are also moving towards a more pragmatic model of hosting.

    Our research, which focused on the men’s Euro 2020 tournament (delayed by COVID and held in 2021), suggests that polycentric hosting has many advantages.

    Spanning 11 European countries, Euro 2020 was conceived as a celebration of the tournament’s 60th anniversary.

    From a branding perspective, this posed significant challenges. Each city had its own visual identity, with localised fan engagement strategies.

    Without a singular geographic or cultural anchor, Uefa, the governing body of European football, had to balance the benefits of celebrating local diversity with the need for a coherent overarching narrative.

    Yet overall, the format worked. Despite the pandemic’s disruption, the tournament still reached broad audiences and activated fanbases in multiple regions.

    Instead of one city or nation shouldering the financial and logistical burden of building infrastructure, accommodating visitors, and managing security and transport, responsibilities were shared.

    A team effort

    This can significantly reduce the risk of the problem of “white elephants” where expensive stadiums or facilities fall into disuse after an event has finished.

    By using infrastructure and venues which already exist, the environmental and economic costs of hosting are minimised. It also makes hosting more feasible for countries that might not have the capacity to do it alone.

    At the same time, many of the perceived benefits of staging sports events – such as economic boosts to local economies, increases in tourism, improved transport links, and civic pride – can be shared more widely. Rather than one host reaping all the rewards, several places can potentially benefit, engaging local communities and stimulating regional development.

    Euro 2020, on the road to Wembley.
    Michael Tubi/Shutterstock

    Collaborative multi-host formats also allow for widespread sharing of knowledge and opportunities for innovation. When cities and organising committees work together, they can bring diverse perspectives, cultural insights, operational practices, and even healthy competition to the table.

    We found that the development of friendly rivalries between Euro 2020 hosts actually encouraged a competitive mindset that motivated organising committee staff to attempt to outperform counterpart cities.




    Read more:
    Trump’s travel ban casts shadow over the upcoming Fifa Club World Cup and other US-hosted sporting events


    Meanwhile Uefa enabled those different cities to develop branding strategies which reflected local character while contributing to a broader European narrative of unity through sport. One example was each city selecting a landmark bridge to tie in with the tournament’s overarching “bridging Europe” theme.

    This collaborative way of thinking also led to creative and inclusive ideas. Glasgow, for example, integrated a cultural festival into its role as a host city, featuring local artists and musicians.

    Polycentric tournaments aren’t without challenges of course. There is a risk of fragmentation, where the tournament feels like a series of disconnected mini-events rather than something cohesive.

    But overall, the environmental, economic and cultural benefits can be substantial. And what began as a celebratory one-off with Euro 2020 is fast becoming the design for future major sport events.

    By sharing the spotlight, cities and countries also share the strain and the opportunity. The age of the single host nation isn’t over, and the looming Saudi Arabia 2034 World Cup is a stark reminder that above all, money still talks. But the era of shared hosting is clearly here, and might just be what global sport and its fans need.

    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. The Club World Cup 2025 shows sharing the stage is the future of global sport – https://theconversation.com/the-club-world-cup-2025-shows-sharing-the-stage-is-the-future-of-global-sport-256117

    MIL OSI – Global Reports

  • MIL-OSI United Nations: Food insecurity in Lebanon returns to near pre-conflict levels – but gains remain fragile, new report shows

    Source: World Food Programme

    21 per cent of Lebanon’s population faces acute food insecurity, projected to worsen by the summer.

    BEIRUT – Under the patronage and in the presence of Lebanese Minister of Agriculture Dr. Nizar Hani, and with the participation of WFP Representative and Country Director in Lebanon Mr. Matthew Hollingworth, Acting FAO Representative in Lebanon Ms. Veronica Quattrola and a number of experts and officials from the Ministry of Agriculture, the Lebanon: Integrated Food Security Phase Classification report for the period of April to October 2025 was launched at the Ministry’s headquarters in Beirut.

    Link to latest report

    BEIRUT – Under the patronage and in the presence of Lebanese Minister of Agriculture Dr. Nizar Hani, and with the participation of WFP Representative and Country Director in Lebanon Mr. Matthew Hollingworth, Acting FAO Representative in Lebanon Ms. Veronica Quattrola and a number of experts and officials from the Ministry of Agriculture, the Lebanon: Integrated Food Security Phase Classification report for the period of April to October 2025 was launched at the Ministry’s headquarters in Beirut.

    The report shows that one in five people in Lebanon – around 1.17 million individuals – are facing crisis or emergency levels of acute food insecurity between April and June 2025. While this figure reflects gradual recovery compared to figures from earlier this year, when 1.65 million people were affected following the conflict, gains remain fragile without sustained support.

    This gradual recovery in food security levels is attributed mainly to the ceasefire agreement, a short-term increase in food assistance, and relative recovery in some local markets. However, the country continues to grapple with major challenges including the deterioration of agricultural infrastructure, rising inflation rates, economic stagnation, and concerning funding gaps in humanitarian programmes.

    The report highlights that the recent conflict caused significant damage to agricultural assets, especially in southern Lebanon, leading to a decline in production and disruption of food sources for many households. Damaged infrastructure – estimated to cost billions of dollars – remains unrepaired, and local economies are recovering at a slow pace. The number of internally displaced persons is estimated at around 100,000 people.

    “What the numbers are telling us is that while immediate and widespread humanitarian support before and throughout the ceasefire have eased pressures, the situation remains precarious,” said Matthew Hollingworth, WFP Lebanon Representative and Country Director. “Many families are one setback away from slipping back into crisis. Predictable, sustained assistance will be crucial to ensure these improvements hold.”

    According to FAO Representative in Lebanon a.i, Veronica Quattrola: “Escalating hostilities and mass displacement have severely disrupted agrifood systems, threatening food security. Agriculture is a vital pillar for resilience and recovery, making urgent, targeted support essential to restore production, stabilize food access, and build long-term resilience in affected communities.”

    The report identifies the highest levels of food insecurity in the governorates of Baalbek-Hermel, Baabda, Bint Jbeil, Marjayoun, Nabatieh, Tyre, and Akkar. According to the data:

    • Around 591,000 Lebanese (15% of Lebanese households),
    • Approximately 515,000 Syrian refugees (37% of Syrian refugees),
    • Nearly 67,000 Palestinian refugees (30% of Palestinian refugees),

    are currently living under crisis or emergency levels of food insecurity and are in urgent need of humanitarian assistance.

    IPC projections estimate that the number of affected individuals will rise to 1.24 million people – about 23% of the population analysed – between July and October 2025, due to seasonal factors, continued economic contraction (with GDP still 34% below 2019 levels), and a likely decline in humanitarian aid funding.

    During the report launch, Minister of Agriculture Dr. Nizar Hani stressed that Lebanon continues to suffer from the cumulative effects of financial, economic, and social crises since 2019, which have severely impacted living conditions and increased food insecurity. He said:

    “As part of its national responsibilities, the Ministry of Agriculture placed food security at the core of its strategy and requested to join the IPC initiative in 2022 to establish an accurate scientific basis for guiding policy.”

    He highlighted that the analysis results confirmed the urgent need for swift interventions, particularly in areas heavily affected by the hostilities, such as Akkar, Baalbek, Hermel, Bint Jbeil, and Marjayoun.

    The Minister added: “We need to strengthen national partnerships and expand coordination among relevant ministries – including Economy, Health, Environment, Social Affairs, Education, and Energy – to build an integrated national response that supports social safety nets, nutrition, education, and agriculture.” 

    He stressed that boosting sound agricultural production is a key entry point to achieving sustainable food security and noted several ministry initiatives in this regard, including the launch of a “Food Contaminant Observatory” and the reactivation of central laboratories in Kfarshima to ensure food safety and quality.

    In conclusion, Minister Hani thanked the Ministry’s partners – WFP, FAO, the American University of Beirut, the Central Administration of Statistics, and NGOs – for their efforts, stating:

    “Food security is a national responsibility that requires inclusive cooperation and continuous coordination among all stakeholders to build a more resilient society and ensure a fairer, more stable citizenship for everyone living in Lebanon.”

     

    –ENDs

     

    #                             #                                #

     

    About the World Food Programme (WFP)

    The United Nations World Food Programme is the world’s largest humanitarian organization, saving lives in emergencies and using food assistance to build a pathway to peace, stability and prosperity for people recovering from conflict, disasters and the impact of climate change.

    Follow us on X, formerly Twitter, via @wfp_media

     

    About the Food and Agriculture Organization (FAO)

    The Food and Agriculture Organization (FAO) is a specialized agency of the United Nations that leads international efforts to defeat hunger. Our goal is to achieve food security for all and make sure that people have regular access to enough high-quality food to lead active, healthy lives. With 195 members – 194 countries and the European Union, FAO works in over 130 countries worldwide.

    Follow us on @FAOLebanonFAOinLebanon

     

    MIL OSI United Nations News

  • MIL-OSI USA: SEC Names Erik Hotmire as Chief External Affairs Officer and Director of the Office of Public Affairs

    Source: Securities and Exchange Commission

    The Securities and Exchange Commission today announced that Erik Hotmire will return to the SEC as Chief External Affairs Officer and Director of the Office of Public Affairs, effective June 16, 2025. 

    “I am delighted that Erik is coming back to the SEC to provide his talents and experience to continue our meaningful outreach to those interested in our activities,” said SEC Chairman Paul S. Atkins. “His leadership will be essential for helping market participants and investors clearly understand our priorities and actions, guided by the SEC’s core mission: investor protection; fair, orderly, and efficient markets; and capital formation.”

    Throughout his career, Mr. Hotmire has served in numerous positions in the federal government. He is former Senior Advisor and spokesman to then-SEC Chairman Christopher Cox, and Senior Advisor to the SEC’s Division of Enforcement. He also served as Special Assistant to the President and a White House domestic policy spokesman for President George W. Bush. Earlier, Mr. Hotmire served as spokesman for two U.S. Senators.

    More recently, Mr. Hotmire held senior roles at corporate affairs advisory firms including as partner and co-founder of Watermark Strategies, partner at Brunswick Group where he was global co-lead of the firm’s financial institutions group, senior managing director at Teneo, and partner at FGS Global. Mr. Hotmire began his career in radio and television journalism. He earned a B.A. in political science from Taylor University.

    “I am honored Chairman Atkins asked me to join him and valued SEC colleagues to advance the Commission’s vital work for investors and the capital markets,” said Mr. Hotmire. “I look forward to engaging market participants and the investing public, especially given the nation’s rapidly changing and vibrant financial system.”

    MIL OSI USA News

  • MIL-OSI Russia: Along the Ancient Silk Road, Xi Jinping Forges New Ties with Central Asia

    Translation. Region: Russian Federal

    Source: People’s Republic of China in Russian – People’s Republic of China in Russian –

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

    BEIJING, June 13 (Xinhua) — In the summer sun-drenched Xi’an, China’s ancient capital, six pomegranate trees stand gracefully near the site of the first China-Central Asia Summit in May 2023, their branches hanging low and laden with fruit.

    Planted two years ago by Chinese President Xi Jinping and the leaders of five Central Asian countries, this living avenue serves as a vivid testimony to the increasingly close and dynamic ties between China and Central Asia.

    Building on past achievements, Xi and his Central Asian counterparts will gather in the Kazakh city of Astana later this month for a second summit to ensure even closer cooperation on trade, security and connectivity in the heart of Eurasia.

    FORMATION OF A NEW PARADIGM

    The Xi’an summit in 2023 was the first ever meeting of heads of state under the China-Central Asia cooperation mechanism. In the embrace of the ancient city, they agreed to hold the summit every two years, alternately in China and Central Asia.

    Last year, the mechanism was further institutionalized with the establishment of a secretariat in Xi’an, the capital of Xi’s home province of Shaanxi.

    The Chinese leader attaches great importance to China’s relations with the region. In his opinion, Central Asia is at a strategic crossroads, linking East and West, North and South.

    “Developing friendly and cooperative relations with Central Asian countries is a priority of China’s foreign policy,” Xi Jinping said during his first visit to Central Asia since being elected as China’s president in 2013.

    Since then, he has visited the region eight times, deepening partnerships bilaterally and through platforms such as the Shanghai Cooperation Organisation and the Conference on Interaction and Confidence-Building Measures in Asia.

    Today, Central Asia is the only region in the world where every country is a strategic partner of China. According to Xi Jinping, these partnerships have paved a new path of good-neighborliness and mutually beneficial cooperation, creating a new paradigm of international relations.

    The main event of the Xi’an summit was the signing of the Xi’an Declaration, in which the Chinese president and the leaders of the five Central Asian countries promised to work together to build a closer China-Central Asia community with a shared future.

    This promise is in line with the core idea of Xiplomacy’s diplomatic strategy: creating a community with a shared destiny for humanity. Notably, this idea has already been fully realized at the bilateral level in Central Asia.

    Sheradil Baktygulov, Director of the Institute of World Politics of Kyrgyzstan, noted that the common political will of Xi Jinping and the leaders of Central Asian countries is the key to the sustainable development of Chinese-Central Asian cooperation.

    “This cooperation not only strengthens bilateral ties, but also lays the foundation for a new model of multilateral cooperation in the Eurasian region,” he added.

    The Chinese leader’s strong personal rapport with Central Asian leaders is helping to strengthen these ties. At the Xi’an summit, Xi Jinping hailed Tajik President Emomali Rahmon as an “old friend.” During talks with Xi, Uzbek President Shavkat Mirziyoyev called him his “dear brother.”

    Kazakh President Kassym-Jomart Tokayev, also an experienced sinologist, arrived in Xi’an on his 70th birthday. Xi told him: “Your visit on such a special occasion speaks volumes about the strength of our bilateral relations and confirms your unique bond with China.”

    REVIVAL OF THE GREAT SILK ROAD

    “Start loading!” Xi Jinping and K.-Zh. Tokayev jointly gave this command at the launch ceremony of the Trans-Caspian International Transport Route China-Europe, which took place in July 2024 in Astana.

    The event marked the formal establishment of a multi-dimensional connectivity network combining roads, railways, airlines and pipelines to better link Asia to Europe via the Caspian Sea. The network is expected to become a vibrant artery under the Belt and Road Initiative.

    While the ancient Silk Road witnessed vibrant trade and cultural exchanges between China and Central Asia, Xi Jinping sees the region as an important partner in modern Belt and Road cooperation.

    In September 2013, also in Astana, the Chinese President gave a historic speech at Nazarbayev University, where he first outlined his vision for the construction of the “Silk Road Economic Belt” – a key component of the Belt and Road Initiative.

    “We can actively discuss the best ways to improve cross-border transport infrastructure,” Xi said, “and work to build a transport network connecting East, West and South Asia to promote economic development and travel in the region.”

    In the years since, the Chinese leader’s vision has steadily been realized. For example, late last year, the Kyrgyz border city of Jalal-Abad hosted a ceremony to mark the start of construction of the China-Kyrgyzstan-Uzbekistan railway. In a congratulatory message, Xi Jinping called for the railway to become a “new demonstration project” for Belt and Road cooperation.

    The railway will start at the ancient Silk Road junction of Kashgar (Xinjiang Uyghur Autonomous Region, Northwest China), pass into Kyrgyzstan via the Torugart Pass, reach Jalal-Abad and end in Andijan in eastern Uzbekistan.

    According to Kyrgyz President Sadyr Japarov, this railway is not just a transport corridor, but an important strategic bridge connecting the countries of the East and West.

    Cooperation under the Belt and Road Initiative has effectively boosted trade, travel, and exchanges in the region. In 2024, trade between China and Central Asian countries reached a record US$94.8 billion, driven in part by the booming cross-border e-commerce. China is now the region’s top trading partner and a major source of investment.

    In 2014, Tajikistan became the first country to sign a memorandum of understanding with China on the joint development of the Silk Road Economic Belt. Since then, cooperation has yielded tangible results, many of which have been personally supported by Xi Jinping, ranging from the construction of new highways and power plants to new iconic buildings in cities.

    Tajikistan is also home to Central Asia’s first “Lu Ban Workshop” – a Chinese vocational education center that has already trained more than 1,500 students in practical skills in engineering, architecture, water management and environmental protection, cultivating talent for the country’s future development.

    During his state visit to Dushanbe in 2024, Xi Jinping told Emomali Rahmon: “I saw a more prosperous Tajikistan.”

    WEAVING THE “CULTURAL CANVAS”

    In the fall of 2022, during a visit to the legendary Silk Road city of Samarkand, Xi Jinping presented Uzbekistan President Sh. Mirziyoyev with a special gift: a miniature of Khiva, an ancient outpost on the Silk Road.

    Khiva is the first cultural heritage project in Central Asia supported by China. Years of restoration work led by Chinese specialists have given the ancient city a new look.

    “The project to preserve and restore historical monuments in Khiva, launched during my visit to Samarkand in 2013, has been successfully completed, further enhancing the charm of this ancient city,” Xi wrote in an opinion piece ahead of his 2022 visit to Uzbekistan.

    During his previous visit to the country in 2016, Xi met with Chinese experts working on the project. “Make sure the cultural relics are well protected,” he urged them.

    Since then, joint archaeological research by scientists from China and Central Asia has spread across the region, including the ancient city of Rakhat in Kazakhstan and the ancient Buddhist temple at Krasnaya Rechka in Kyrgyzstan.

    Xi Jinping has repeatedly stressed that the friendship between China and Central Asia has a long history. He has repeatedly referred to the life story of Zhang Qian, the Han Dynasty envoy who traveled west more than 2,100 years ago and opened the way for lasting friendship and exchanges between China and the region. He has also stressed the need to “build on our traditional friendship.”

    During his state visit to Kazakhstan in 2024, Xi, together with President K.-Z. Tokayev, opened the Kazakhstan branch of Beijing Language and Culture University, the same university where the Kazakh president studied Chinese in the 1980s. Xi expressed hope that the establishment of the branch would enhance mutual understanding between the two peoples, especially between the younger generations.

    During his visit, Xi met with a group of schoolchildren who greeted him in Chinese and sang a Chinese song. Some of them spoke of their dream of attending Tsinghua University, the Chinese leader’s alma mater.

    “I also wish with all my heart that you will be able to enter good universities in the future. And we will be glad if you continue your education in China,” the Chinese President said with a smile.

    Commenting on the broader impact of such exchanges, Uzbek political commentator Sharofiddin Tulaganov noted that under the cooperation mechanism between China and Central Asia, mutual learning between civilizations will be greatly expanded.

    In today’s complex international environment, he added, such institutionalized humanitarian exchanges will provide valuable cultural impetus to efforts to maintain regional peace and promote common development. –0–

    MIL OSI Russia News

  • MIL-OSI USA: SEC Names Kurt Hohl as Chief Accountant

    Source: Securities and Exchange Commission

    The Securities and Exchange Commission today announced that Kurt Hohl, with nearly 40 years of accounting and auditing experience, has been named Chief Accountant, effective July 7, 2025. Acting Chief Accountant Ryan Wolfe will return to his role as Chief Accountant in the Division of Enforcement. 

    “Kurt is an experienced accountant with deeply technical knowledge and international experience, and we are lucky he has decided to return to the SEC,” said SEC Chairman Paul S. Atkins. “This is an important role. Given that I served with Kurt previously, I know firsthand that his integrity, along with his skills, will benefit our markets and investors.”

    “I want to thank Ryan for his service as Acting Chief Accountant and am pleased that he will continue serving in the Division of Enforcement.”

    Mr. Hohl most recently founded Corallium Advisors, which helps businesses navigate the complexities of auditing, regulatory compliance, risk management, and initial public offerings. Before that, he spent 26 years as a partner at Ernst & Young (EY) in a variety of roles. His final EY role was as global deputy vice-chair of EY’s Global Assurance Professional Practice. In that role he was responsible for the operation and oversight of the technical, regulatory, risk, and quality oversight functions of EY’s global professional practice organization — a team of more than 1,400 professionals. Mr. Hohl previously served at the SEC from 1989 to 1997, rising to Associate Chief Accountant in the Division of Corporation Finance. There he authored what became the Financial Reporting Manual, a primary guide for the SEC accounting staff and practitioners in the application of the federal securities laws. He began his professional career at Deloitte Haskins & Sells.

    Mr. Hohl received a B.B.S. in accounting from James Madison University and is a certified public accountant in Virginia.

    “I’m pleased to come back to the SEC along with Chairman Atkins,” said Mr. Hohl. “This is a pivotal time for our capital markets, and I look forward to working with the dedicated public servants in the Office of the Chief Accountant to advance accounting and auditing policies that reinforce investor confidence, enhance transparency, and support innovation.”

    Mr. Wolfe has served as Acting Chief Accountant since January 2025. He concurrently has been serving as Chief Accountant of the Division of Enforcement and has previously served as Senior Associate Chief Accountant in the Office of the Chief Accountant.

    MIL OSI USA News

  • MIL-OSI Global: Why Israel’s air strikes signal a shifting relationship with the US and a weakening Iran

    Source: The Conversation – Global Perspectives – By Natasha Lindstaedt, Professor in the Department of Government, University of Essex

    The Middle East is undergoing a realignment of power. With Israel’s attack on Iranian nuclear sites and the assassination of at least two of Iran’s senior security officials, Benjamin Netanyahu is showing his willingness to go it alone and ignore pressure from the Trump administration.

    Though Donald Trump sought diplomatic solutions to the growing tensions between Israel and Iran, it appears that the US president, despite his previously strong relationship with the Israeli leader, was unable to restrain Netanyahu.

    The timing of the strikes is important. The Trump administration probably knew that they could not prevent Israel from striking Iran, but they did think they could pressure Israel to hold off launching an attack until after the US had solidified a new nuclear deal with Iran, talks for which were scheduled for June 15.

    Just hours before the air strikes, Trump said: “As long as I think there will be an agreement [with Iran], I don’t want them going in.”


    Get your news from actual experts, straight to your inbox. Sign up to our daily newsletter to receive all The Conversation UK’s latest coverage of news and research, from politics and business to the arts and sciences.


    Experts had been divided in the past, over how much leverage the US held over Israel.

    Trump, following months of groundwork laid by the Joe Biden administration, managed to secure a ceasefire deal with Israel in January. But as part of the negotiation, Netanyahu succeeded in reversing sanctions on settlers in the West Bank, giving him free rein to act there. Additionally, the US also lifted its freeze on the transfer of 2,000-pound bombs to Israel, another concession that benefited Israel.

    The US also proved unwilling or incapable of stopping the humanitarian crisis that has unfolded in Gaza. Washington also appeared powerless to stop Israel’s pounding of Lebanon and its efforts to eradicate the Iran-backed militia Hezbollah.

    The US has become more of a spectator than a powerful regional actor. And sources suggest that Washington was not informed in advance of Israel’s airstrike that killed Hezbollah leader Hassan Nasrallah in October 2024, a sign of Israel’s growing willingness to act without US approval.




    Read more:
    Lethal humanitarianism: why violence at Gaza aid centres should not come as a surprise


    Indeed, the expansion of the war in Gaza to Lebanon was a pivotal moment in the region. With significant Israeli public support to stop Hezbollah (which had been launching rockets towards northern Israel), Israel pounded southern Beirut with airstrikes, killing several high-ranking Hezbollah officials.

    In the aftermath, Hezbollah was unable to replenish itself with younger recruits (it had relied on its charismatic leadership to recruit in the past), and the losses caused Hezbollah’s organisation to implode. By November 2024, Hezbollah agreed to a ceasefire brokered by the US.

    Israel announces strikes on Iran.

    Iran’s weaker role

    Hezbollah’s near military and organisational collapse has been a big blow for Iran’s regional power. Hezbollah was at one point the most heavily armed violent non-state actor in the world. It had an army of around 50,000 men and experts speculated that it had as many as 200,000 rockets and missiles of various ranges in its arsenal.

    With the assassination of so many high-level officials in Hezbollah and Hamas, both of which Iran has bankrolled and used in its proxy conflicts with Israel, Iran has been severely weakened. As Iran is in the middle of an economic crisis, it no longer has the financial means to revive these traditional allies.




    Read more:
    Trump’s Middle East pivot aims to counter China’s rising influence


    For decades Iran had tried to gain strategic depth in the Middle East, with the US estimating that Iran spent more than US$16 billion to prop up Bashar al-Assad in Syria from 2012 to 2020. Additionally, with the fall of Assad, Syria can no longer serve as a transit corridor or logistical hub for shipments of arms from Iran to Hezbollah.

    With Turkey’s support for the various armed militias that ousted the Assad regime, it is Ankara, and not Tehran, that sees itself as the big winner in the aftermath of the Syrian civil war.

    US plans for Middle East threatened

    The US, meanwhile, is seeing its influence in the Middle East waning. And Trump’s plan for extending trade in the region, particularly in the Gulf, may also be undermined by the rising regional tension.

    The US had been due to send Middle East envoy Steve Witkoff to this weekend’s talks in Oman, with the aim of getting Tehran to agree to stop enriching uranium (which is crucial for creating nuclear weapons) in exchange for lifting economic sanctions. Trump had said that he did not want Israel to go ahead with its attack on Iran, and yet these calls went unheeded.

    Some US officials were optimistic that the escalating tensions taking place between Iran and Israel were mere tactics of negotiation amid the important nuclear talks. But, though the US was clearly warned about the attack, Washington was not able to deter Israel.

    Though the US still supplies Israel with US$3.8 billion (£2.8 billion) worth of arms per year, it has had little success in exercising much leverage recently. It remains to be seen if domestic political pressure could halt this US funding.

    International relations experts should not be surprised that Israel went on the offensive in Iran. Israel’s attacks on Hezbollah in 2024 were just a precursor to the bigger prize of bringing Iran to its knees.

    For Netanyahu, this is a once-in-a-generation opportunity to reshape the Middle East and shift the regional power dynamics, and he appears to care little about what the US, or the rest of the world, thinks of how he does it.

    Natasha Lindstaedt 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. Why Israel’s air strikes signal a shifting relationship with the US and a weakening Iran – https://theconversation.com/why-israels-air-strikes-signal-a-shifting-relationship-with-the-us-and-a-weakening-iran-258926

    MIL OSI – Global Reports

  • MIL-OSI Global: Sam Fender’s music offers a vision of masculinity that is complex, conflicted and deeply human

    Source: The Conversation – UK – By Nick Robinson, Associate Professor in Politics and International Studies, University of Leeds

    By the end of June 2025, Sam Fender will have played four stadium shows to nearly 250,000 people across the UK, with three of those in his native north east. With three albums and over 2 billion streams, his music has earned widespread acclaim. Yet, Fender is no ordinary rock star.

    His songs provide a powerful connection to place and a lens through which to reflect on social, cultural and political dynamics. Deeply rooted in north-east England, Fender’s lyrics reference his hometown of North Shields and use local vernacular.

    As a researcher of the links between popular culture and politics who lives less than a mile from his hometown, I find his work particularly powerful in the way it mobilises emotive issues at scale. Fender explores themes such as masculinity, poverty and everyday struggle, forging a direct emotional connection with his audience.

    This connection is reinforced by his activism. Fender supports local food banks, the Teenage Cancer Trust, and campaigns for poverty reduction and men’s mental health.

    To my mind, this work is not performative celebratory activism, but is grounded in his own community and personal experiences. This combination of commercial success rooted in honesty, vulnerability and community action led to him being named “freeman of North Tyneside” in May 2025.



    Boys and girls are together facing an uncertain world. But research shows they are diverging when it comes to attitudes about masculinity, feminism and gender equality.

    Social media, politics, and identity all play a role. But what’s really going on with boys and girls? Join The Conversation UK and Cumberland Lodge’s Youth and Democracy project at Newcastle University for a discussion of these issues with young people and academic experts. Tickets available here.


    Fender’s teenage years were marked by personal challenges, including his parents’ separation and his mother’s fibromyalgia. These experiences, and the state’s failure to support those in need, are captured in his song Seventeen Going Under (2021): “I came home and you were on the floor / Floored by the letters and the council rigmarole.”

    His latest album, People Watching (2025), continues this critique. The title track, inspired by the death of a close friend in a care home, laments:

    The place was fallin’ to bits

    Understaffed and overruled by callous hands

    The poor nurse was around the clock

    And the beauty of youth had left my breaking heart.

    The music video for People Watching.

    For Fender, these stories reflect a Britain in decline. In Crumbling Empire, he sings: “Road like the surface of the moon / A Detroit neighbourhood left to ruin.” The song further critiques a society that fails to honour those who have given everything:

    My mother delivered most the kids in this town

    My step-dad drove in a tank for the crown

    They left them homeless, down and out

    In their crumbling empire.

    His message is clear: hard work, even by midwives and war heroes, no longer guarantees dignity or reward.

    Fender’s most poignant observations are rooted in his locality. In Nostalgia’s Lie, he sings: “These streets break my heart / There’s pain unfurling and desperate yearning / For all my friends who are gone.”

    North Shields has some of the highest rates of child poverty in the UK. According to the North East Child Poverty Commission (March 2025), 31% of children in the region lived below the poverty line between 2021 and 2024.


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    In this context, Fender places mental health – especially male mental health – at the core of his work, made even more powerful by his honesty about his own struggles.

    Dead Boys reflects both personal loss and the epidemic of male suicide in North Tyneside: “We close our eyes, learn our pain / Nobody ever could explain / All the dead boys in our hometown.”

    In Something Heavy, he adds: “My friends reached for the rope and tied / Oh, God, how can we keep missing signals?”

    Fender performs Dead Boys in Manchester.

    Fender’s engagement with mental health is deeply personal. He wrestles with confusion, despondency, and his own sense of self-esteem: “Though I am a soundboard to some / With myself I am not so forgiving” (Last to Make it Home), and “Sometimes I wanna die, sometimes” (Paradigms).

    In Good Company, he confesses: “Sometimes I cry until there’s no sound,” and in Arm’s Length: “Do you have to know me, know me, inside out / I’m selfish, and I’m lonely.”

    Yet, like many artists, Fender feels guilt that success has uprooted him. In Wild Long Lie, he reflects: “Oh, I’ve got so much pain here, yet so much love / But it’s drownin’ every inch of my soul.” He questions whether he can still authentically raise these issues now that fame has distanced him from his past. As he puts it in Crumbling Empire:

    I’m not preaching, I’m just talking

    I don’t wear the shoes I used to walk in

    But I can’t help thinking where I’d be

    In this crumbling empire.

    Fender’s work helps us understand political and social phenomena by reflecting unfolding events. His songs can be seen as giving life and voice to what political theorist Michael Shapiro calls an “aesthetic subject”.

    The characters in his songs, whether autobiographical or imagined, give voice to communities which are so often ignored. They allow exploration of the structures of power that deny working-class people opportunities, contributing to mental health crises, suicide and spiralling drug use within those communities.

    Sam Fender talks about men’s mental health.

    Even though Fender acknowledges he no longer walks in the same shoes, his songs still speak truth to power. They give voice to experiences that are often ignored and expose the increasing struggle of everyday life in the UK and beyond.

    He also offers a nuanced reflection on masculinity. Fender challenges traditional ideals – rational, authoritative, emotionally restrained – while rejecting simplified portrayals of men as weak or unstable. His songs reveal a masculinity that is complex, conflicted and deeply human.

    While Fender is not alone in using music for social commentary, what sets him apart is his ability to channel the spirit of his local community to explore universal themes. His work critiques the failures of contemporary capitalism to provide dignity, respect, and cohesion – issues that resonate deeply amid today’s cultural, political and economic challenges.

    Nick Robinson 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. Sam Fender’s music offers a vision of masculinity that is complex, conflicted and deeply human – https://theconversation.com/sam-fenders-music-offers-a-vision-of-masculinity-that-is-complex-conflicted-and-deeply-human-258530

    MIL OSI – Global Reports

  • MIL-OSI Global: Marine fungi could help feed the world and fight disease

    Source: The Conversation – UK – By Michael Cunliffe, Professor of Marine Microbiology, School of Biological and Marine Sciences, University of Plymouth

    Fungi are nature’s recyclers and chemists, turning waste into useful products and creating an array of enzymes and compounds. By harnessing this potential through fungal biotechnology (using fungi to develop products and technologies for various applications), we can create sustainable materials, food and processes that help solve global challenges like food shortages, pollution and climate change.

    Fungal biotechnology supports a “circular economy”, where resources are reused instead of wasted. Fungi can help make our food supply more stable and eco-friendly, while cutting greenhouse gas emissions. But to fully unlock what is possible, we need to better understand different fungi and develop new tools to work with them to find solutions.

    The marine environment is home to a rich diversity of fungi. However, marine fungi were once overlooked and not widely considered for their biotechnological potential.



    Local science, global stories.

    This article is part of a series, Secrets of the Sea, exploring how marine scientists are developing climate solutions.

    In collaboration with the BBC, The Conversation’s senior environment editor, Anna Turns, travels around the West Country coastline to meet ocean experts making exciting discoveries beneath the waves.


    Now, my team of scientists at the Marine Biological Association, a research institution based in Plymouth on the south-west coast of England, has changed that. By gathering over 500 fungal strains from seawater, sediments and seaweeds, we have created a comprehensive marine fungi culture collection.

    These fungi are stored at -80°C and studied at temperatures similar to the local shoreline they are from. This unique collection is already helping us learn more about marine fungi, including how they grow and adapt to different environments.

    My colleagues and I are now exploring how these marine fungi, especially those from seaweed, can be used in biotechnology to create more useful, sustainable products in the future.

    The European seaweed industry is growing fast and could be worth up to €9.3 billion (£7.8 billion) by 2030. Seaweed farming doesn’t need land, fresh water or fertiliser, and it can support ocean health.

    Marine fungi, especially those originally isolated from seaweed, could recycle seaweed into valuable products.

    At the Marine Biological Association, we are testing many combinations of different seaweeds and fungi to discover new uses. This approach could help make the seaweed industry stronger, more efficient and better for the environment.

    The future is fungal

    Feeding the world’s growing population is a major challenge, especially with nearly a billion people unable to afford nutritious food and the environmental consequences of high meat consumption. One promising alternative protein source involves using seaweed and fermenting it with marine fungi to create a nutritious protein source called mycoprotein – similar to what’s found in some current commercial products.

    Antimicrobial resistance – the development of superbugs that become resistant to antibiotics as a result of their overuse – is a global health threat. This makes it harder to treat infections. Fungi naturally produce chemicals to protect themselves from other microbes, and several antibiotics come from fungi, including penicillin. Marine fungi could be a valuable new source of antibiotics and drug treatments to fight resistant infections and protect public health.

    Pests and the diseases they spread cause major crop losses worldwide, threatening food security. Traditional chemical pesticides are becoming less effective and can harm helpful species like pollinators, while also leading to pest resistance.

    Scientists are now exploring ways to target pests by using microbes without damaging the environment. One promising but unexplored source is marine fungi. Marine fungi and the arsenal of chemical compounds they produce may hold the key to developing new, eco-friendly pest control methods that protect crops while supporting wildlife and sustainable farming practices.

    Our marine fungi culture collection is helping unlock the potential for finding new solutions to many of the world’s biggest challenges.

    Listen to episode four of Secrets of the Sea here on BBC Sounds, presented by Anna Turns for The Conversation.


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

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


    Michael Cunliffe received funding from the European Research Council (ERC) for the project MYCO-CARB and currently receives funding from the UKRI Horizon Europe Guarantee scheme for the projects MARCO-BOLO and BIOcean5D. PhD students in the Cunliffe Group are supported by the UKRI BBSRC/NERC SWBio, ARIES and INSPIRE Doctoral Training Partnerships and the Marine Biological Association.

    ref. Marine fungi could help feed the world and fight disease – https://theconversation.com/marine-fungi-could-help-feed-the-world-and-fight-disease-251194

    MIL OSI – Global Reports

  • MIL-OSI Global: Troops on US streets in more ways than one while Trump considers axing Aukus defence pact

    Source: The Conversation – UK – By Rachael Jolley, International Affairs Editor

    This article was first published in The Conversation UK’s World Affairs Briefing email newsletter. Sign up to receive weekly analysis of the latest developments in international relations, direct to your inbox.


    It’s Donald Trump’s birthday this weekend, and he is planning a big bash to celebrate. There will be a full-colour parade in the nation’s capital. Expected to attend are a whole bunch of military vehicles, from a second world war bomber to M1 Abrams battle tanks to Paladin self-propelled howitzers.

    The cavalcade will take a route through the grander streets of Washington DC making its way along Constitution Avenue all the way to the Lincoln memorial, with an expected 6,600 soldiers in attendance. The whole thing is estimated by the Associated Press to cost around US$45 million (£33 million).

    This splashy show of Trump’s power and the US’s military strength could serve as a warning to anyone who was thinking of crossing the US right now. Trump is, of course, the commander-in-chief of the US forces. And he was using the full strength of his position, some argue going beyond it, when he sent the national guard and the marines – bypassing the state governor – to the streets of Los Angeles in the past few days.

    There are now, according to ABC News, more US troops on the streets of LA than in Syria and Iraq. This was necessary, Trump claimed, to address protests over immigration raids that broke out around LA. Something that Sean Parnell, chief Pentagon spokesperson, said this week was “exactly what the American people voted for”.

    While Trump is testing how far he can flex his political and military muscle at home, as the Open University’s Sinead McEneaney has detailed, he is also using what some historians have called unprecedented use of power, by sending in the marines to take action against Americans, while California governor Gavin Newsom said the troops were not wanted, or needed.




    Read more:
    Trump’s clash with California governor over LA protests has potential to influence next presidential race


    Newsom is pushing back hard, and publicly, against Trump. Something, that Natasha Lindstaedt at the University of Essex, believes could propel Newsom higher up the Democrat selection list for a presidential nomination.




    Read more:
    Trump’s use of the national guard against LA protesters defies all precedents



    Sign up to receive our weekly World Affairs Briefing newsletter from The Conversation UK. Every Thursday we’ll bring you expert analysis of the big stories in international relations.


    While signalling his military strength to those on the streets of California, Trump has also been sending a strong message to his erstwhile international allies that he might not be quite as willing to share his military hardware with them as they might have thought they had been promised. The US administration has opened a review of the Aukus (the Australia, UK and US defence pact) and in particular its nuclear submarine deal, to see whether it meets the “America first” criteria. This deal was due to help all three countries scale up their submarine capacity.

    Australia already transferred US$500 million to the US this year, as part of a down payment on the deal, with the expectation of receiving used US submarines in the near future. Canberra and London have been speedily revising their reliance on Trump as a security partner in the past few months. This is yet another signal from Washington that they definitely should.

    John Blaxland , a professor at the Strategic and Defence Studies Centre, Australian National University, argues that Trump is angling to renegotiate the Aukus deal but won’t scrap it.

    “There are a few key reasons for this. We’re several years down the track already. We have more than 100 Australian sailors already operating in the US system. Industrially, we’re on the cusp of making a significant additional contribution to the US submarine production line. And finally, most people don’t fully appreciate that the submarine base just outside Perth is an incredibly consequential piece of real estate for US security calculations.”




    Read more:
    Trump may try to strike a deal with AUKUS review, but here’s why he won’t sink it


    Meanwhile, Mark Beeson, an adjunct professor at the University of Technology Sydney and Griffith University, believes that Australia is locked into the foreign and strategic policies of “an increasingly polarised, authoritarian and unpredictable regime” and should rethink its international relationships.

    Beeson quotes an essay from another Australian academic, Hugh White, from Australian National University: “It is classic Trump to expect more and more from allies while he offers them less and less.”




    Read more:
    Goodbye to all that? Rethinking Australia’s alliance with Trump’s America


    Russia’s battlefield count

    In a military arena where most of the world would like Trump to apply a little more pressure, he continues to hold back and Vladimir Putin continues not to do a peace deal. Putin showed no sign of calling off his troops (or drones) from attacking Ukraine this week.

    But as the onslaught continued Russia is expected to hit a horrific target this month, 1 million casualties in the war. Hundreds of thousands of Russians have died forcing Putin to get increasingly creative in coming up with ways to fill the gaps on the battlefields.

    According to some reports he is sending the wounded back to fight before they are fully recovered, as well as offering large financial incentives to those who join up, and their families. The conflict continues and the death toll does, too. As Russian politics expert Jenny Mathers at the University of Aberystwyth points out, even before the war the country had a demographic crisis, and now that is even more extreme.

    Russian women who want to earn the newly reinstated “Mother Heroine” award by bearing and raising ten or more children may struggle to find men to father them now, and after the war. Putin, like Trump, is fond of suggesting there is a glowing future for those who support him. The Russian leader has even created a Time of Heroes programme for war veterans who are promised a fast track into an elite career on their return from battle. Whether, of course, they do return when an estimated 53 casualties are being lost per square kilometre of land gained in eastern Ukraine is not a gamble many would like to take.




    Read more:
    Putin forced to send wounded back to fight and offer huge military salaries as Russia suffers a million casualties



    Sign up to receive our weekly World Affairs Briefing newsletter from The Conversation UK. Every Thursday we’ll bring you expert analysis of the big stories in international relations.


    ref. Troops on US streets in more ways than one while Trump considers axing Aukus defence pact – https://theconversation.com/troops-on-us-streets-in-more-ways-than-one-while-trump-considers-axing-aukus-defence-pact-258874

    MIL OSI – Global Reports

  • MIL-OSI China: Along ancient Silk Road, Xi cultivates new bonds with Central Asia

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

    BEIJING, June 13 — In the shimmering early summer heat of Xi’an, China’s longest-serving ancient capital, six pomegranate trees stand gracefully near the site of the inaugural China-Central Asia Summit held in May 2023, their branches bowing low with fruit.

    Planted two years ago by Chinese President Xi Jinping and leaders of the five Central Asian nations, this vibrant grove stands as a vivid testament to the increasingly close and dynamic bond between China and Central Asia.

    Building on past achievements, Xi and his Central Asia counterparts are scheduled to gather in Astana, Kazakhstan, later this month for a second summit, where they will weave tighter threads of trade, security and connectivity across the Eurasian heartland.

    FORGING NEW PARADIGM

    The 2023 Xi’an summit marked the first-ever meeting of heads of state under the China-Central Asia cooperation mechanism. In the city’s time-honored embrace, they agreed to host the top-level gathering every two years alternately in China and Central Asia.

    Last year, this mechanism was further institutionalized with the establishment of a secretariat in Xi’an, capital of Shaanxi, Xi’s home province.

    Xi places great importance on China’s ties with the region. In his view, Central Asia pulses at a strategic crossroads, linking East and West, North and South.

    “It is a foreign-policy priority for China to develop friendly cooperative relations with the Central Asian countries,” Xi said during his first visit to Central Asia after becoming Chinese president in 2013.

    Since then, he has traveled to the region eight times, deepening partnerships bilaterally as well as through platforms such as the Shanghai Cooperation Organization and the Conference on Interaction and Confidence-Building Measures in Asia.

    Today, Central Asia stands as the only region in the world where every country is a strategic partner of China. These partnerships, Xi said, have forged a new path of good-neighborliness and win-win cooperation, creating a new paradigm for international relations.

    A highlight of the Xi’an summit was the signing of the Xi’an Declaration, in which Xi and the presidents of the five Central Asian countries vowed to work together to build a closer China-Central Asia community with a shared future.

    This pledge aligns with the core idea of what’s known as Xiplomacy: building a community with a shared future for mankind. Notably, the vision has been fully implemented at the bilateral level in Central Asia.

    Sheradil Baktygulov, director of the Institute of World Policy of Kyrgyzstan, said that the shared political will of Xi and the leaders of Central Asia is key to the sustained development of China-Central Asia cooperation.

    “This cooperation not only strengthens bilateral ties, but also lays the foundation for a new model of multilateral collaboration in the Eurasian region,” he added.

    Xi’s strong personal rapport with the leaders of Central Asia fuels these ties. At the Xi’an summit, Xi greeted Tajik President Emomali Rahmon as “my old friend.” In talks with Xi, Uzbek President Shavkat Mirziyoyev referred to him as his “dear brother.”

    Kazakh President Kassym-Jomart Tokayev, also a seasoned sinologist, arrived in Xi’an on his 70th birthday. Xi told him, “On this special occasion, your visit speaks volumes about the strength of our bilateral ties and reaffirms your unique bond with China.”

    REVIVING SILK ROAD

    “Start the shipment!” With this command, Xi and Tokayev jointly launched the China-Europe Trans-Caspian Express Route at a ceremony held in July 2024 in Astana.

    The occasion marked the formal establishment of a multidimensional connectivity network, integrating highways, railways, airlines and pipelines, to better link Asia with Europe via the Caspian Sea. It is expected to become a vibrant artery of the Belt and Road Initiative (BRI).

    While the ancient Silk Road witnessed robust trade and cultural exchanges between China and Central Asia, Xi sees in the region an important partner in modern-day Belt and Road cooperation.

    Back in September 2013, also in Astana, Xi delivered a landmark speech at Nazarbayev University, where he first laid out his vision for building the Silk Road Economic Belt — a key component of the BRI.

    “We can actively discuss the best way to improve cross-­border transportation infrastructure,” Xi said, “and work toward a transportation network connecting East Asia, West Asia and South Asia to facilitate economic development and travel in the region.”

    Over the years since then, that vision has steadily become a reality. In a recent instance, a commencement ceremony for the China-Kyrgyzstan-Uzbekistan railway project was held late last year in the Kyrgyz border city of Jalalabad. Xi, in a congratulatory letter, called for building the railway into a “new demonstration project” under Belt and Road cooperation.

    The line will originate from the ancient Silk Road hub of Kashgar, in China’s Xinjiang Uygur Autonomous Region, cross the Torugart Pass into Kyrgyzstan, proceed westward through Jalalabad, and reach the eastern Uzbek city of Andijan.

    This railway, said Kyrgyz President Sadyr Japarov, is not merely a transport corridor, but serves as an important strategic bridge connecting countries of the East and the West.

    Belt and Road cooperation has effectively boosted trade, travel and exchanges in the region. In 2024, China’s trade with Central Asia reached a record 94.8 billion U.S. dollars, fueled in part by a booming cross-border e-commerce sector. China now stands as Central Asia’s top trading partner and major investment source.

    Tajikistan became the first country to sign a memorandum of understanding with China regarding the Silk Road Economic Belt in 2014. Collaboration has since produced tangible outcomes, ranging from new highways and power plants to new city landmarks, many of which have been personally championed by Xi.

    Tajikistan is also home to the first Luban Workshop in Central Asia — a Chinese vocational training center that has already equipped more than 1,500 students with practical skills in engineering, architecture, water management and environmental protection, preparing talent for the nation’s future development.

    In a state visit to the country in 2024, Xi said to Rahmon: “I have seen a more prosperous Tajikistan.”

    WEAVING CULTURAL TAPESTRIES

    In the autumn of 2022, while visiting the storied Silk Road city of Samarkand, Xi presented Uzbek President Mirziyoyev with a special gift: a miniature of Khiva, a historic Silk Road outpost.

    Khiva is China’s first cultural heritage preservation project in Central Asia. Thanks to years of restoration led by Chinese experts, the ancient town has taken on a new look.

    “The preservation and restoration of historical sites in Khiva, a project launched during my visit to Samarkand in 2013, has been successfully concluded, further augmenting the charm of this ancient city,” Xi wrote in a signed article ahead of his 2022 visit to Uzbekistan.

    During an earlier trip to the country in 2016, Xi met with the Chinese experts working on the project. “Be sure to protect the cultural relics well,” he urged them.

    Over the years, joint archaeological efforts between Chinese and Central Asian scholars have expanded across the region, including the ancient city of Rahat in Kazakhstan and an ancient Buddhist temple of Krasnaya Rechka in Kyrgyzstan.

    Xi has repeatedly stressed that the China-Central Asia friendship is one steeped in history. On multiple occasions, he invoked the legacy of Zhang Qian, the Han Dynasty envoy who traveled westward more than 2,100 years ago and opened the door to enduring friendship and exchanges between China and the region. He has also emphasized the need to “carry forward our traditional friendship.”

    During his state visit to Kazakhstan in 2024, Xi, together with Tokayev, unveiled the Kazakhstan branch of Beijing Language and Culture University, the very institution where the Kazakh president studied Chinese in the 1980s. Xi expressed his hope that the new school would enhance mutual understanding between the two peoples, especially the young generation.

    As part of the visit, Xi met a group of schoolchildren who greeted him in Mandarin and sang a Chinese song. Some among them expressed their dream of one day studying at Tsinghua University, Xi’s alma mater.

    “I also wish, with all my heart, that you will be able to attend good universities in the future. And you are very welcome to pursue your studies in China,” the Chinese president smiled.

    Commenting on the broader impact of such exchanges, Uzbek political observer Sharofiddin Tulaganov noted that under the China-Central Asia cooperation mechanism, mutual learning among civilizations will be significantly enhanced.

    In today’s complex international environment, he added, institutionalized people-to-people exchanges like these will inject valuable cultural momentum into efforts at safeguarding regional peace and promoting shared development.

    MIL OSI China News

  • MIL-OSI United Kingdom: Plymouth to be national centre for marine autonomy

    Source: City of Plymouth

    Plymouth is to be the national centre for marine autonomy, the Defence Minister has announced in a keynote address at a major networking event in the city today.

    The city is already making waves in this area of marine technology, but the announcement made by the Right Honourable Maria Eagle, Minister of State (Defence Procurement and Industry) will catapult the city and its expertise into the spotlight.

    The timing of the news could not have been better – it came as the Plymouth City Council in partnership with the South West Regional Defence and Security Cluster, hosted an event in Devonport involving key figures from the world of marine and defence connecting with local companies to explore opportunities for future projects and investment.

    Council Leader Tudor Evans OBE said: “This is superb news. We knew Plymouth was creating something special in the blue/green skills sector, but it is always great to see others endorse what you believe.

    “We have some extraordinary businesses and organisations here in Plymouth who are at the cutting edge of this incredibly exciting sector. The world is waking up to all the possibilities marine autonomy offers and we are very keen indeed to help connect Plymouth businesses to the right people and the right organisations.

    “Investing in Plymouth’s businesses for testing and developing marine autonomy will enable UK PLC to build sovereign capabilities and secure a significant share in this growing market, particularly in the fields of defence, renewables, and oil and gas.”

    MP for Plymouth Sutton and Devonport Luke Pollard told the delegates that the nature of defence is changing. He said: “We have a strategic defence review that sets out that we will have fighting structure which includes marine autonomy.

    “Defence is an engine for growth. This an opportunity to develop, scale up and test marine autonomy. This sector is incredible, innovative and the work we are doing in the city is cutting edge.

    “There is a place for investment and that’s Plymouth.”

    Professor Richard Davies, Vice-Chancellor of the University of Plymouth, said: “This acknowledges the key role Plymouth is already playing in the development and delivery of marine autonomy.

    “But being recognised as the national centre of excellence represents a once in a lifetime opportunity that will open new doors for the University and our partners.

    “Working across existing and new collaborations, we can now push forward with ambitious plans to grow a sector that is critical to our nation’s defence and security, and has the potential to benefit the environment, business, health and much more besides. Together, we have the skills and expertise to deliver on those ambitions, fostering new opportunities that benefit the city, region and country in the long-term.”

    Plymouth and its surrounding area has a rich ecosystem of private sector businesses and world-renowned research capabilities across marine autonomy.

    It is a global centre of excellence for marine science and technology, with one of the largest clusters of expertise in the world and over 7,100 skilled people in marine manufacturing. Blue tech/marine sector accounts for 21 per cent of the national employment in this field and 11.3 per cent of the city’s total employment.

    Global research partners include Plymouth Marine Laboratory, Marine Biological Association, the University of Plymouth and marine autonomy companies already based in Plymouth include Thales, M Subs, Oshen, Zero USV, Sonardyne and Fugro.

    In 2020 M Subs successfully sailed the first autonomous vessel across the Atlantic.

    The Mayflower Autonomous Ship (MAS400) was the world’s first full-sized, fully autonomous, unmanned ship to cross the ocean. The revolutionary vessel set sail from Plymouth and arrived at Plymouth, Massachusetts via a pit stop in Halifax in Nova Scotia.

    The industry predicts a global marine autonomy market worth £103 billion by 2030, with the UK adopting a 10 per cent market share.

    Key speakers at the event included Sir Chris Gardner KBE Chief Executive Officer of the Submarine Delivery Agency and the Royal Navy’s Vice Admiral Andrew Burns.

    There were also representatives from Thales, Atlas Electronics as well as a themed discussion on advanced marine technology and how Plymouth will drive innovation in dual-use technology for UK Security by representatives from the University of Plymouth and PML.

    Over 170 people attended the event today Friday 13 June at the Market Hall in Devonport, UK.

    MIL OSI United Kingdom

  • MIL-OSI USA: Brian Daly Named Director of Division of Investment Management

    Source: Securities and Exchange Commission

    The Securities and Exchange Commission today announced that investment management industry leader Brian T. Daly will become the new Director of the Division of Investment Management, effective July 8.

    Mr. Daly brings decades of experience serving in prominent roles at global law firms and investment management firms while advising fund managers and sponsors on regulatory compliance.

    For the past four years, he has been a partner in the investment management practice at Akin Gump Strauss Hauer & Feld LLP in New York, where he has guided investment advisers and other clients on their legal and compliance programs, policies, and procedures as well as counseling on fund and management company formation, operational and trading issues, contentious matters, and management company transactions.

    “Brian has deep familiarity with all levels of the investment management industry, and I look forward to working with him as we address smart, effective oversight of the industry and its relationships with investors,” said SEC Chairman Paul S. Atkins. “I am looking forward to working with Brian on common-sense regulation that does not impose unnecessary burdens and genuinely embraces the public comment process.”

    Mr. Daly said, “I’ve long respected and appreciated the SEC’s commitment to regulatory oversight while advising clients on compliance and providing public comment from the investment management point of view during agency rulemaking. I am optimistic about this new day at the SEC and eager to get to work with Chairman Atkins and my new colleagues to ensure regulatory compliance by investment advisers and fund managers while tailoring rulemakings within our statutory authority.”

    Prior to Akin, Mr. Daly spent nearly a decade as a partner in the investment management group of Schulte Roth & Zabel LLP, advising investment advisers and fund managers on legal, compliance, and operational issues and matters. He was also a founding equity partner of Kepos Capital, a quantitative investment management company, while he served as chief legal and compliance officer. Among other prior positions, Mr. Daly served in general counsel and chief compliance officer positions at Millennium Partners, a Carlyle Group liquid markets fund manager, and Raptor Capital Management. He also taught legal ethics at Yale Law School and served on the board of directors of the Managed Funds Association.

    Mr. Daly earned his J.D., with distinction, from Stanford Law School, where he was an associate editor on the Stanford Law Review and the editor-in-chief of the Stanford Journal of International Law. He received his B.A., magna cum laude and Phi Beta Kappa, from Catholic University and his M.A. from the East-West Center at the University of Hawaii.

    MIL OSI USA News

  • MIL-OSI Analysis: Southern Baptists’ call for the US Supreme Court to overturn its same-sex marriage decision is part of a long history of opposing women’s and LGBTQ+ people’s rights

    Source: The Conversation – USA – By Susan M. Shaw, Professor of Women, Gender, and Sexuality Studies, Oregon State University

    A worship session at the 2025 Southern Baptist Convention annual meeting on June 10, 2025, in Dallas. AP Photo/Richard W. Rodriguez

    The Southern Baptist Convention has lost 3.6 million members over the past two decades and faces an ongoing sexual abuse crisis. At its June 2025 annual meeting, however, neither of those issues took up as much time as controversial social issues, including the denomination’s stance on same-sex marriage.

    The group called for the overturning of Obergefell v. Hodges – the Supreme Court decision that legalized same-sex marriage – and the creation of laws that “affirm marriage between one man and one woman.”

    Messengers – Southern Baptists’ word for delegates from local churches – also asked for laws that would “reflect the moral order revealed in Scripture and nature.”

    They also decried declining fertility rates, commercial surrogacy, Planned Parenthood, “willful childlessness,” the normalization of “transgender ideology,” and gender-affirming medical care.

    This detailed list targeting women’s and LGBTQ+ rights was justified by an appeal to a God-ordained created order, as defined by Southern Baptists’ interpretation of the Bible.

    In this created order, sex and gender are synonymous and are irrevocably defined by biology. The heterosexual nuclear family is the foundational institution of this order, with the father dominant over his wife and children – and children are a necessity if husbands and wives are to be faithful to God’s design for the family.

    The resolution, On Restoring Moral Clarity through God’s Design for Gender, Marriage, and the Family, passed easily in a denomination that was taken over from more moderate Southern Baptists by fundamentalists in the early 1990s, largely in response to women’s progress in society and in the denomination.

    Southern Baptists were always conservative on issues of gender and sexuality. As I was entering a Southern Baptist seminary in the early 1980s, the denomination seemed poised to embrace social progress. I watched the takeover firsthand as a student and then as a professor of women and gender studies who studies Southern Baptists. This new resolution is the latest in a long history of Southern Baptist opposition to the progress of women and LGBTQ+ people.

    Opposing LGBTQ+ rights

    Throughout the late 1960s and early 1970s, many Southern Baptists began to embrace the women’s movement. Women started to attend Southern Baptist seminaries in record numbers, many claiming a call to serve as pastors. While Southern Baptist acceptance of LGBTQ+ people lagged far behind its nascent embrace of women’s rights, progress did seem possible.

    Then in 1979, a group of Southern Baptist fundamentalists organized to wrest control of the denomination from the moderates who had led it for decades.

    Any hope for progress on changes regarding LGBTQ+ rights in the denomination quickly died. Across the next two decades, advances made by women, such as being ordained and serving as senior pastors, eroded and disappeared.

    The SBC had passed anti-gay resolutions in the 1970s defining homosexuality as “deviant” and a “sin.” But under the new fundamentalist rule, the SBC became even more vehemently anti-gay and anti-trans.

    In 1988, the SBC called homosexuality a “perversion of divine standards,” “a violation of nature and natural affections,” “not a normal lifestyle,” and “an abomination in the eyes of God.”

    In 1991, they decried government funding for the National Lesbian and Gay Health Conference as a violation of “the proper role and responsibility of government” because of its encouragement of “sexual immorality.”

    Predictably, across the years, the convention spoke out against every effort to advance LGBTQ+ rights. This included supporting the Boy Scouts’ ban of gay scouts, opposing military service by LGBTQ+ people, boycotting Disney for its support of LGBTQ+ people, calling on businesses to deny LGBTQ+ people domestic partner benefits and employment nondiscrimination to protect LGBTQ+ people, and supporting the Defense of Marriage Act that limited marriage to a woman and a man.

    Targeting same-sex marriage

    The gender and sexuality topic, however, that has received the most attention from the convention has been marriage equality. Since 1980, the SBC has passed 22 resolutions that touch on same-sex marriage.

    The SBC passed its first resolution against same-sex marriage in 1996 after the Hawaii Supreme Court indicated the possibility it could rule in favor of same-sex marriage. The court never decided the issue because Hawaii’s Legislature passed a bill defining marriage as between a man and a woman.

    In 1998, the convention amended its faith statement, the Baptist Faith and Message, to define marriage as “the uniting of one man and one woman in covenant commitment.”

    The denomination passed its next resolution in 2003 in response to the Vermont General Assembly’s establishment of civil unions. The resolution opposed any efforts to validate same-sex marriages or partnerships, whether legislative, judicial or religious.

    In 2004, after the Massachusetts Supreme Court allowed same-sex marriages in that state, the convention called for a constitutional amendment to define marriage as between a man and a woman. It reiterated this call in 2006.

    When the California Supreme Court struck down the state’s ban on same-sex marriage, the SBC passed another resolution in 2008 warning of the dire consequences of allowing lesbians and gay men to marry, as people from other states would marry in California and return home to challenge their states’ marriage bans.

    In 2011, the convention offered its support for the Defense of Marriage Act, followed in 2012 by a denunciation of the use of civil rights language to argue for marriage equality.

    Delegates at a Southern Baptist Convention meeting in 2012 in New Orleans.
    AP Photo/Gerald Herbert

    The resolution argues that homosexuality “does not qualify as a class meriting special protections, like race and gender.”

    When Obergefell was before the Supreme Court, the SBC called on the court to deny marriage equality. After Obergefell was decided in favor of same-sex marriage, the convention asked for Congress to pass the First Amendment Defense Act, which would have prohibited the federal government from discriminating against people based on their opposition to same-sex marriage. That same resolution also offers its support to state attorneys general challenging transgender rights.

    Opposing transgender people

    Messengers of the Southern Baptist Convention listen to remarks by its president, Clint Pressley, during the 2025 SBC annual meeting in Dallas.
    AP Photo/Richard W. Rodriguez

    This was not the first time the SBC had spoken about transgender issues. As early as 2007, the denomination expressed its opposition to allowing transgender people to constitute a protected class in hate crimes legislation.

    In 2014, the convention stated its belief that gender is fixed and binary and subsequently that trans people should not be allowed gender-affirming care and that government officials should not validate transgender identity.

    In 2016, the denomination opposed access for transgender people to bathrooms matching their gender identities. In 2021, the convention invoked women’s rights – in a denomination famous for its resistance to women’s equality – as a reason to undermine trans rights.

    In its resolution opposing the proposed Equality Act, which would have added sexual orientation and gender identity as protected classifications, the SBC argued, “The Equality Act would undermine decades of hard-fought civil rights protections for women and girls by threatening competition in sports and disregarding the privacy concerns women rightly have about sharing sleeping quarters and intimate facilities with members of the opposite sex.”

    This most recent resolution from June 2025 returns to the themes of fixed and binary gender, a divinely sanctioned hierarchical ordering of gender, and marriage as an institution limited to one woman and one man. While claiming these beliefs are “universal truths,” the resolution argues that Obergefell is a “legal fiction” because it denies the biological reality of male and female.

    Going further, this resolution claims that U.S. law on gender and sexuality should be based on the Bible. The duty of lawmakers, it states, is to “pass laws that reflect the truth of creation and natural law – about marriage, sex, human life, and family – and to oppose any law that denies or undermines what God has made plain through nature and Scripture.”

    By taking no action on sexual abuse while focusing its efforts on issues of gender and sexuality, the convention affirmed its decades-long conservative trajectory. It also underlined its willingness to encourage lawmakers to impose these standards on the rest of the nation.

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

    ref. Southern Baptists’ call for the US Supreme Court to overturn its same-sex marriage decision is part of a long history of opposing women’s and LGBTQ+ people’s rights – https://theconversation.com/southern-baptists-call-for-the-us-supreme-court-to-overturn-its-same-sex-marriage-decision-is-part-of-a-long-history-of-opposing-womens-and-lgbtq-peoples-rights-258883

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