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Category: Universities

  • MIL-OSI Global: Some economists have called for a radical ‘global wealth tax’ on billionaires. How would that work?

    Source: The Conversation – Global Perspectives – By Venkat Narayanan, Senior Lecturer – Accounting and Tax, RMIT University

    Rudy Balasko/Shutterstock

    Earlier this year, I attended a housing conference in Sydney. The event’s opening address centred on the way Australia seems to be becoming like 18th-century England – a country where inheritance largely determines one’s opportunities in life.

    There has been a lot of media coverage of economic inequities in Australian society. Our tax system has been partly blamed for this problem. The case for long-term, visionary tax reform has never been stronger. And one area of tax reform could be a wealth tax.

    First, let’s be clear about one thing. Unlike the superannuation tax reforms currently being debated for those with more than A$3 million in superannuation, the wealth tax we’re talking about would apply to a very different cohort: billionaires.

    A recent article in the Financial Times re-examined a proposal to impose such a tax on the world’s highest-net-worth individuals. It also pointed out these efforts would need to be globally coordinated.

    Such taxes could collect significant sums of money for governments. It’s previously been estimated a billionaire tax could raise US$250 billion (more than A$380 billion) globally if just 2% of the net worth of the world’s billionaires was taxed each year.

    The case for a wealth tax

    Inequality is on the rise and the argument for a wealth tax can’t be ignored – not least here at home. According to the Australia Institute, the wealth of Australia’s richest 200 people has soared as a percentage of our national gross domestic product (GDP) – from 8.4% in 2004 to 23.7% in 2024.

    If that sounds dramatic, the picture is far worse in the United States. So, what would a wealth tax look like in Australia (noting that in reality a globally coordinated effort would be needed)?

    The starting point for this is understanding of why high-net-worth individuals seemingly pay very low taxes.

    High net worth, low tax rate

    Income taxes only take into account any amounts that are received in the hands of the taxpayer – whether that is a company, a person or a trust.

    Most high-net-worth individuals do not receive much income directly but “store” their wealth in companies and other corporate structures.

    In Australia, the maximum applicable tax rate for companies is 30%. Note that the highest tax rate in Australia for individuals is 45% plus the 2% medicare levy, effectively 47%.

    Assets such as real estate may also be held by companies or trusts, and the increase in value of these assets is not taxed until they are sold (through capital gains tax).

    Even then, those gains may not be paid out directly to the high-net-worth individual who owns these entities.

    Unrealised gains

    So, how do we tax wealth that is sitting in various businesses (company structures) or other entities, but isn’t taxed at present because the “income” or “gains” from these are not taxable in the hands of the wealthy individuals who own them?

    This goes into the murky area of taxation of unrealised gains. Here, we need to tread very carefully. But we also need to recognise that we already do this, albeit rather subtly, and most of us are not billionaires.

    In your rates notice from your local council, for example, the increase in value of your residence or investment property is used to calculate your rates.

    The real difficulty, to carry on with this example, is that your residence or investment property is typically held in your name and so the tax can be directly levied on you.

    A luxury residence in Miami Beach, Florida, owned by Jeff Bezos, founder of Amazon. The US is home to the most billionaires of any country in the world.
    Felix Mizioznikov/Shutterstock

    Making tax unavoidable

    As we’ve already explained, the bulk of the assets or net worth of wealthy individuals is not directly attributable to them. Does this mean we should give up altogether?

    Not quite. UNSW professor Chris Evans has pointed out that while we may not be able to effectively tax all the net worth of the wealthy, there are some things we can tax and they can’t avoid it.

    An obvious example is real estate. You can pack your bags and bank accounts and move to a low-tax country, but you can’t move your mansion overlooking Sydney Harbour.

    Real estate, both residential and commercial, provides one clear way in which we could implement a partial wealth tax. This method (which also has fewer valuation issues than value stored in a company in the form of retained profits) also counters the argument that the wealthy will simply move to other jurisdictions that won’t tax them.

    There is plenty of academic research looking at various wealth tax initiatives in other countries. We should learn from these, including the experience in Switzerland and Sweden.

    In Sweden, for instance, research found the behavioural effects of wealth taxation were less pronounced than those of income taxation, but the system had so many loopholes that evasion was an option for some people.

    Change faces headwinds

    In a very uncertain world that features ongoing wars and an unpredictable US president, any change that seeks to address issues of inequity is going to be met with resistance by those who hold power.

    Some billionaires in the US, however, have expressed their support for being taxed more in a letter signed by heirs to the Disney and Rockefeller fortunes. That offers some hope, and suggests the discussion about wealth taxes should not be relegated to the “too hard” basket.

    Some steps towards taxing the uber-rich would be better than the status quo.

    Venkat Narayanan 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. Some economists have called for a radical ‘global wealth tax’ on billionaires. How would that work? – https://theconversation.com/some-economists-have-called-for-a-radical-global-wealth-tax-on-billionaires-how-would-that-work-257632

    MIL OSI – Global Reports –

    June 11, 2025
  • MIL-OSI Global: ‘He’d only have to show proof of life once in a while’: Joe Biden’s advisors hid his decline – and the media didn’t dig hard enough

    Source: The Conversation – Global Perspectives – By Matthew Ricketson, Professor of Communication, Deakin University

    Last week, President Donald Trump ordered an investigation into “who ran the United States while President Biden was in office”, alleging top aides masked the “cognitive decline” of his predecessor. The announcement referenced revelations in a new book by journalists Jake Tapper (CNN) and Alex Thompson (Axios).

    Original Sin made headlines last month for revealing that Biden’s declining physical and cognitive health had been hidden from the public by his closest aides and his loyal but overly protective wife, Jill Biden.

    Whatever merit there is in Trump’s order must be seen alongside his bottomless cynicism. He seizes on the two authors’ investigative journalism to continue tarnishing his predecessor’s reputation, while doing everything in his power to bully news companies such as CBS over almost meritless defamation cases and to cut the funding of public media organisations PBS and NPR.


    Review: Original Sin – Jake Tapper and Alex Thompson (Hutchinson Heinemann)


    In November 2020, Biden was seen by many as a hero. He won the American election and saved the country from Donald Trump, who scholars judged among the worst presidents in the nation’s history, not least because just over 384,500 people died from COVID-19 that year.

    Today, just as many see Biden as a villain. He said he would be a “bridge” president. He knew he would have ended his second term aged 86 if he had won and served it, so said he would hand over to a successor well in time for the 2024 election. But he didn’t. Not until three and a half weeks after his wincingly bad performance in a debate with Trump last June.

    By then it was too late for his Democratic Party to go through its usual primaries process. Biden anointed his vice president Kamala Harris as his successor, but with only 107 days to campaign before the election, it is more accurate to say he gave her what football commentators call a “hospital pass”.

    Donald Trump regained the presidency. Four months into his second term, all but his most loyal supporters (and this time he has made sure to surround himself only with loyal supporters) think it is already much worse than his first.

    Whatever Biden achieved in his presidency is being forgotten amid the horror at watching America’s democratic institutions assaulted by an authoritarian leader determined to undo Biden’s policies, especially on climate change.

    What on earth happened? How much responsibility does Biden bear? Did the news media subject Biden to sufficient scrutiny before the debate last June? Was everyone except the MAGA base suffering from a new variant of what conservative commentators long ago dubbed “Trump derangement syndrome”?

    In short order, the answers are: Biden declined faster and worse than had been anticipated; a lot; the media possibly didn’t scrutinise him enough, but it’s more complicated than that – and, yes, “Trump derangement syndrome” was a factor, though not quite in the way conservative commentators thought.

    Clooney’s alarm

    Original Sin’s most spectacular revelation was that at a Democrat fundraising event last year, Biden did not appear to recognise George Clooney – who as well as being an actor, is a longtime Democrat supporter and a friend of the president.

    Clooney was shocked by Biden’s frail appearance. “Holy shit,” he thought, according to the authors, as he watched Biden enter the room, taking tiny steps with “an aide guiding him by his arm”. The book describes the excruciating moment in detail:

    “You know George,” the assisting aide told the president, gently reminding him who was in front of him.
    “Yeah, yeah,” the president said to one of the most recognizable men in the world, the host of this lucrative fundraiser. “Thank you for being here.”
    “Hi, Mr. President,” Clooney said.
    “How are ya?” the president replied.
    “How was your trip?” Clooney asked.
    “It was fine,” the president said.
    It was obvious to many standing there that the president did not know who George Clooney was. […]
    “George Clooney,” the aide clarified for the president.
    “Oh, yeah!” Biden said. “Hi, George!”

    A Hollywood VIP who witnessed the moment told the authors “it was not okay”, describing it as “uncomfortable”. Clooney felt he had to sound the alarm publicly, which he did in an impassioned opinion piece for The New York Times a few weeks later, on July 10. He wrote about how he loved and respected Biden, but

    the one battle he cannot win is the fight against time. None of us can. It’s devastating to say it, but the Joe Biden I was with three weeks ago at the fund-raiser was not the Joe ‘big F-ing deal’ Biden of 2010. He wasn’t even the Joe Biden of 2020. He was the same man we all witnessed at the debate.

    Just days after publicity about the book began, news broke that Biden has stage four prostate cancer – and that he had not had a prostate test for more than a decade.

    The ‘loyalty police’

    Tapper and Thompson’s book derives not only from their day jobs, but from reporting they have done since last November’s election, including interviews with 200 people. Some of them, even now, prefer to speak on background rather than be named.

    Through them, they tell a bracing story with three main themes.

    First, there is the unblinking loyalty of close aides. Chief strategist Mike Donilon had been with Biden since 1981. Bruce Reed was a speechwriter and longtime political consultant. Steve Ricchetti had been Biden’s chief of staff when he was vice president, and was also a friend who would watch the morning political shows with him. All four of Richetti’s children worked in the Biden administration, the authors write.

    Jill Biden’s longtime aides, Annie Tomasini and Anthony Bernal, were fiercely protective of the Bidens as much as the office of the president. “Are you a Biden person?” they would ask, leading other aides to label them the “loyalty police”.

    Collectively, the close aides were known as The Politburo. Kamala Harris’ aides called them a “cabal of the unhelpful”. Time and again, they responded to queries about Biden’s health with firm assurances he was doing fine – even though the president needed to be supplied with cue cards when he was meeting his cabinet secretaries.

    Biden, like previous presidents, had an annual medical check-up and was given a clean bill of health. But doctors outside the White House noted that his cognitive abilities were not tested. Asked about this, aides – and Biden himself – would say he passed a cognitive test every day of his presidency, which was a superficially plausible but practically meaningless statement.

    Some aides genuinely believed in Biden, while others harboured doubts. The latter suppressed those to focus on the task of defeating Trump in 2024. One told Tapper and Thompson: “He just had to win, and then he could disappear for four years – he’d only have to show proof of life every once in a while.” Which sounds pretty much like the plot of the 1989 movie, Weekend at Bernie’s, except the situation was anything but comic.

    Biden’s aides admonished journalists, including Alex Thompson, for even raising the issue of the president’s health. Worse, they shielded Biden from what his own pollsters were saying about his dire prospects for re-election.

    The oldest presidential candidates

    For Biden, work usually began at 9am, included two hours in the afternoon for “POTUS time”, and finished at 4.30pm when he had dinner. Availability for evening events was limited. By 2024, cabinet secretaries in the Biden administration told Tapper and Thompson that Biden could not be relied upon to be available at 2am for the kind of emergency the presidency can require.

    Everyone knew, or at least suspected this. In 2020, Biden and Trump were the two oldest people to contest the presidency. When the 78-year-old Biden won, he became the oldest serving president in a country that has no upper age limits in the congress or the senate.

    After the Senate Republican Leader Mitch McConnell, born the same year as Biden, froze in public a second time, in 2023, his fellow Republican Nikki Haley said, “The Senate is the most privileged nursing home in the country […] You have to know when to leave.”

    When the Democrats did unexpectedly well at the 2022 midterm elections, Biden’s aides took that as a sign he should run again, rather than note the level of protest in the midterm vote, which came soon after the Supreme Court overturned the 1973 Roe v Wade decision on abortion.

    The opinion polls, though, were telling. An early November 2022 Ipsos poll had the president’s approval rating at a low 39%, Tapper and Thompson report. Two thirds of those surveyed said they thought the country was on the wrong track. When Ipsos ran a poll after the midterm election, 68% said Biden might not be up for the challenge of running in 2024. Worse, almost half of Democrats agreed.

    Biden’s aides may have been right to marvel at what their boss could still do, and to resent the media harping on about Biden’s age while turning a blind eye to his cheeseburger-chomping, Coke-slurping political nemesis, only four years younger. The bitter fact for them is that by 2020 Biden looked and sounded frail while Trump looked and sounded commanding.

    Trump may have lied repeatedly during the debate last June, but in a real sense that was not news; Trump lies as easily as he breathes. What was news was watching a mumbling, open-mouthed US president freeze on live television.

    Grisly anecdotes and Hunter Biden

    Original Sin is replete with grisly anecdotes about Biden’s decrepitude. “The guy can’t form a fucking sentence”, thought one aide attending to him onboard Air Force One. This leads to the second main theme: the tragic circumstances that appear to have accelerated the decline.

    It is well known that personal tragedy has scarred – and in crucial ways shaped – Biden’s life and career. He lost his first wife, Neilia, and their one-year-old daughter, Naomi, in a car accident in 1972. Their young sons, Beau and Hunter, were in the car. They survived but Hunter suffered a fractured skull, an injury with lifelong effects, according to Tapper and Thompson.

    Beau served as an army officer in the Iraq war. On his return, he was elected attorney-general of Delaware in 2006 and 2010. He planned to run for governor in 2016. But a year earlier, the brain cancer for which he was first treated in 2013 recurred; he died in May 2015. In a worrying precursor to later actions, the Bidens kept Beau’s illness a secret. “Beau’s death aged him significantly,” a longtime Biden confidant told Tapper and Thompson. “His shoulders looked smaller. His face looked more gaunt. In his eyes, you could just see it.”

    A year later, Hunter Biden became addicted to crack cocaine. Ashley, Biden’s daughter by his second wife Jill, also struggled with addiction. Both spiralled downwards after Beau’s death, which weighed heavily on their father. As the authors write:

    After Beau’s death in 2015, Biden desperately and understandably clung to Hunter. He would privately refer to him as ‘my only living son.’ But Biden aides felt that Hunter manipulated his father’s blind love for his own aims. The president struggled to say no to Hunter. Aides felt that he had tragically become Hunter’s chief enabler.


    In 2021 Hunter published a memoir, Beautiful Things, and travelled round the country in an effort to provide hope to others struggling with addiction. The memoir’s candour provided valuable information to David Weiss, a special counsel appointed by Attorney-General Merrick Garland in 2023.

    Weiss had been previously appointed by the first Trump administration to investigate the contents of a laptop Hunter Biden left at a repair shop. Biden had not interfered with Garland’s decision, as he did not want to be seen as behaving the way his predecessor had.

    Weiss charged Hunter Biden over his possession of a handgun while being addicted to cocaine. A plea deal broke down and Hunter faced trial in 2024. The Biden family attended each day of the trial. Biden felt guilty, believing Hunter would never have been on trial if he wasn’t the president’s son.

    There is little doubt the Republicans weaponised Hunter Biden’s actions, but he gave them plenty of ammunition. He had had an extramarital affair with his brother’s widow and had introduced her to cocaine, to which she became addicted. There is more, but you get the (tawdry) picture.

    Then, after the election in November, Biden did what he had repeatedly said he wouldn’t, exercising his power as president to pardon his son. It may have been the understandable action of a besieged father, but Biden did not frame it that way, blaming Garland, wrongly, for pursuing the case.

    Equally to the point, the authors report that Trump’s lawyers took note, believing the Hunter Biden pardon “gave them a great deal of leeway on whether they could pardon and free from prison the hundreds of convicted January 6 insurrectionists” from the 2021 Capitol riot. Which of course Trump did as soon as he took office in January 2025.

    The old adage has it that two wrongs don’t make a right. But for a politician who had won the presidency promising to be everything Trump was not, it was a fatal, final blow to Biden’s credibility.

    The media ‘missed a lot’

    The third theme of the book asks how much of all this the news media reported during Biden’s presidency. Some, but not all of it – including some by Thompson, who recently won a White House Correspondents’ Association award for his disclosures.

    Both he and his co-author acknowledge they and other journalists did not dig hard enough to reveal the extent to which the Biden administration was hampered by the president’s declining health. Said Thompson:

    Being truth-tellers also means telling the truth about ourselves. We – myself included – missed a lot of this story, and some people trust us less because of it […] We should have done better.“

    It is worth keeping this in perspective. The news media’s failings in the lead up to the Iraq war in 2003 were more significant. Then, too many journalists swallowed the administration’s lines justifying its decision to invade a country, while the work of those who did report sceptically was buried well inside the newspaper. There, it “played as quietly as a lullaby”, as The New York Times’ first public editor, Daniel Okrent, wrote in 2003.

    The war’s reporting led to a lot of soul searching in American newsrooms. If there was a coverup in the media about the Biden administration, it wasn’t very effective, wrote media critic Jon Allsop in the New Yorker. “Not least because the majority of the public thought Biden was too old long before the debate.”

    The other element infecting both the mainstream media and social media is divisiveness, rancour and hostility. It is hard, for journalists and the public, to see political information other than through a hyper-partisan lens. I felt this acutely when reading the section in Original Sin about Biden getting drawn into the FBI’s investigation of Trump for withholding classified documents – when the FBI found Biden had done essentially the same thing. (Though it should be stressed Biden, unlike Trump, cooperated at all times.)

    ‘Well-meaning, elderly man with a poor memory’

    It was through this investigation that special counsel Robert Hur’s recording of a long interview with Biden came to light. Journalists were backgrounded that Hur was a right-wing operative; he was anything but that, write Tapper and Thompson. He treated Biden fairly and respectfully. In the interview, excerpts of which run to seven pages of the book, Biden rambles and needs regular reminding of facts – including the year his son Beau died.

    In Hur’s report, released in 2024, he found Biden had inappropriately retained classified documents but he did not recommend pressing charges. To a jury, Hur concluded, Biden would present “as a sympathetic, well-meaning, elderly man with a poor memory”. He was making the kind of decision prosecutors routinely make about the likelihood of a conviction.

    Hur was attacked by the White House and much of the media as a partisan warrior who had brought up the death of the president’s son in the interview, when it was Biden who mentioned it himself. If Hur really had been a partisan warrior, the authors write, he would have recommended continuing with the prosecution.

    Several months later, after the disastrous Biden-Trump debate, friends and colleagues texted Hur saying he must have felt vindicated. “Hur told them that all he felt was sad. How could anyone look at Joe Biden at that debate and not feel bad?”

    It is true that aides, and sometimes the news media, have covered up previous presidents’ health issues, such as Franklin Roosevelt’s paralysis from polio, John Kennedy’s debilitating back pain that required heavy doses of painkillers, and Ronald Reagan’s Alzheimer’s disease.

    Tapper and Thompson argue the coverup of Biden’s health problems is the most consequential in presidential history.

    Underplays Biden’s achievements

    The authors successfully prosecute their case about Biden’s responsibility for his own demise. Perhaps worried they may not be believed by Democrat supporters, they continue amassing evidence well beyond that point, which means the minutiae of aides continuing to deny the reality of Biden’s decline becomes repetitive.


    Their relentless focus on Biden’s decline also means they underplay both his achievements as a president and the breadth of his character. At one point, they admiringly refer to Richard Ben Cramer’s book about the 1988 presidential campaign, What it Takes, which includes Biden’s failed attempt to win the Democratic nomination for the presidency.

    Cramer’s book is a massive 1,047 pages. He interviewed more than a thousand people and took so long on the book it came out during the next presidential campaign, in which Bill Clinton was elected.

    One reviewer, Richard Brownstein, wrote of it: “Presidential elections are the white whale of American journalism – and in Cramer they have found a manic Melville.” But it is written in an intimate, novelistic style, taking the reader deep into the lives and thoughts and feelings of the candidates, George H.W Bush, Bob Dole, Michael Dukakis, Richard Gephardt, Gary Hart and Biden.

    Cramer told Robert Boynton in an interview for his 2005 book, The New New Journalism, he was amazed political journalists spend so little time talking to childhood friends, family and early colleagues.

    If you want to understand how someone got to the point where he [sic] is a credible candidate for president of a nation of 250 million people, you’d better godamn-well know how he is wonderful. But most journalists don’t care about that.

    As such, Cramer provides a deeper, richer portrait of Biden as an idiosyncratic and flawed, but also impressive politician, who was a force of nature in his youth. By comparison, Original Sin reads like an autopsy: which in a way, it is. If you want to remember why Biden became an effective politician in the first place, seek out a copy of What it Takes.

    In the end, though, whatever achievements Biden had as president are being overtaken by his disastrous decision to try to hang on for a second term. By the evidence presented in Original Sin, “Honest Joe” was, like many politicians, prey to ego and overvaulting ambition, and prone to secrecy when it suited him.

    He and his aides thought – and astonishingly still do think – he was the person best able to repel the return of a person they feared (with good reason) would do enormous damage to the country. Biden said this after the November election, earning Harris’s ire, for which he apologised, and Donilon affirmed it in an interview with the authors early this year.

    The savage irony is, by their actions, Biden and his team eased Trump’s path to victory last November. Now, it is not just Americans but the rest of the world who are left to deal with the second Trump administration.

    Matthew Ricketson 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. ‘He’d only have to show proof of life once in a while’: Joe Biden’s advisors hid his decline – and the media didn’t dig hard enough – https://theconversation.com/hed-only-have-to-show-proof-of-life-once-in-a-while-joe-bidens-advisors-hid-his-decline-and-the-media-didnt-dig-hard-enough-257010

    MIL OSI – Global Reports –

    June 11, 2025
  • MIL-OSI Global: Those ‘what I eat in a day’ TikTok videos aren’t helpful. They might even be harmful

    Source: The Conversation – Global Perspectives – By Catherine Houlihan, Senior Lecturer in Clinical Psychology, University of the Sunshine Coast

    Iren_Geo/Shutterstock

    You may have come across those “what I eat in a day” videos on social media, where people – usually conventionally attractive influencers wearing activewear – list everything they consumed that day.

    They might seem like harmless fun but in fact they can reinforce dangerous ideas about food, weight and body image.

    I’ve worked with people with eating disorders who watch these videos and have seen first hand how harmful this content can be.

    Here’s what the research says and what you need to know.

    Videos that promote ‘health’ can be unhealthy

    “What I eat in a day” videos have been popular for over a decade, with views reaching in the billions.

    They target both men and women and many claim to promote health and nutrition. Yet videos such as these can do more harm than good.

    Very few of these creators have formal qualifications in health or nutrition, increasing the potential for misinformation.

    They often depict low calorie diets, exclude entire food groups or promote “clean eating” (a problematic idea at best).

    Some even encourage dangerous behaviours such as skipping meals, eating very little or using laxatives to purge food.

    They can also send harmful messages about body image. Many such videos use beauty filters to create images promoting unrealistic body ideals.

    These videos often feature shots of how the person looks from the front, the side, in the gym, and in tight, form-fitting clothes. There may even be some “before and after” weight loss pics, sending the harmful message this should be everyone’s goal.

    The subtext is clear: “eat what I eat in a day and you can look like me”.

    But that’s not just a dangerous idea – it’s a totally false and erroneous one.

    Knowing what a certain person “eats in a day” doesn’t mean you’ll look like them if you follow their lead.

    In fact, a 24-hour rundown of one person’s food intake doesn’t even provide accurate information about that person’s nutritional health – let alone yours.

    These videos can target both men and women.
    Veja/Shutterstock

    You are not them

    Like our health, our nutritional needs are unique to us and can vary day to day.

    What constitutes a “healthy” choice for one person might be totally different for another depending on things such as:

    • genetics
    • environment
    • age
    • what we enjoy eating
    • how much energy we use and
    • our medical history.

    Links between health and diet are best examined over time, not in a single day.

    Basing our food intake on a brief snapshot of what someone else eats is unlikely to lead to better health. It might leave you worse off overall.

    5 ways these videos can affect mental health

    What we watch online can affect our mood, behaviour and body image.

    Alarm bells should ring if you frequently see these videos and notice you’re doing or experiencing these five things:

    1. disordered eating. Eating less than your body needs, skipping meals, cutting out entire food groups, binge eating and purging are all signs of disordered eating that can lead to serious mental health problems such as eating disorders

    2. low mood. Watching videos promoting low-calorie diets can worsen our mood; you might find yourself feeling deflated after comparing yourself to others (or rather, to the version of themselves they promote online)

    3. poor body image. Research shows watching “what I eat in a day” videos can leave people feeling worse about their bodies and appreciating them less

    4. obsessive thinking and anxiety. Obsessing over the “perfect” diet can increase anxiety about food and eating. Diets that encourage a very detailed approach to nutrition – including breaking meals down into components such as carbohydrates and proteins or weighing food – can further fuel obsessive thoughts

    5. narrow life focus. Having your social media feed filled with these types of videos can create an overemphasis on the importance of food, eating and body image on your self-worth. This ultimately affects your health and wellbeing.

    What we watch online can affect our mood, behaviour, and body image.
    GaudiLab/Shutterstock

    OK, so what can I do?

    If you’re encountering “what I eat in a day” videos often and find they’re affecting your mood, eating behaviour or sense of self-worth you can try to:

    • understand that these videos are not tailored to your individual health or nutritional needs and that many contain harmful messaging
    • avoid engaging with videos that promote disordered eating, idealised beauty standards or that make you feel bad after you watch them
    • unfollow accounts that regularly post such videos, or tap “not interested” on the TikTok video to stop the algorithm showing you more of them
    • balance your social media feed with content focused on other areas of life besides food and eating (such as art, design, animals, books, sports or travel). Fill your feed with interests that improve your personal sense of wellbeing
    • consider taking regular breaks from social media and seeing if you feel better overall.

    If you do want to view posts about food, seek out creators attempting to buck these negative trends by focusing more on fun and taste.

    And if you’re experiencing low mood, disordered eating or body image issues, seek help from your local GP. They can connect you with practitioners who provide evidence-based therapies such as cognitive behavioural therapy.

    If you have a history of an eating disorder or suspect you may have one, you can contact the Butterfly Foundation’s national helpline on 1800 334 673 (or via their online chat).

    Ultimately, “what I eat in a day” videos aren’t really helpful. They contain very little useful information to guide your health or nutritional goals.

    If you are considering making changes to your diet, it’s important to consult a qualified professional, such as an accredited practising dietitian, who can learn about your situation and monitor any risks.

    Catherine Houlihan consults with an eating disorders service owned and operated by the Butterfly Foundation.

    – ref. Those ‘what I eat in a day’ TikTok videos aren’t helpful. They might even be harmful – https://theconversation.com/those-what-i-eat-in-a-day-tiktok-videos-arent-helpful-they-might-even-be-harmful-257127

    MIL OSI – Global Reports –

    June 11, 2025
  • MIL-OSI Global: Do you talk to AI when you’re feeling down? Here’s where chatbots get their therapy advice

    Source: The Conversation – Global Perspectives – By Centaine Snoswell, Senior Research Fellow, Centre for Health Services Research, The University of Queensland

    Pexels/Mikoto

    As more and more people spend time chatting with artificial intelligence (AI) chatbots such as ChatGPT, the topic of mental health has naturally emerged. Some people have positive experiences that make AI seem like a low-cost therapist.

    But AIs aren’t therapists. They’re smart and engaging, but they don’t think like humans. ChatGPT and other generative AI models are like your phone’s auto-complete text feature on steroids. They have learned to converse by reading text scraped from the internet.

    When someone asks a question (called a prompt) such as “how can I stay calm during a stressful work meeting?” the AI forms a response by randomly choosing words that are as close as possible to the data it saw during training. This happens so fast, with responses that are so relevant, it can feel like talking to a person.

    But these models aren’t people. And they definitely are not trained mental health professionals who work under professional guidelines, adhere to a code of ethics, or hold professional registration.

    Where does it learn to talk about this stuff?

    When you prompt an AI system such as ChatGPT, it draws information from three main sources to respond:

    1. background knowledge it memorised during training
    2. external information sources
    3. information you previously provided.

    1. Background knowledge

    To develop an AI language model, the developers teach the model by having it read vast quantities of data in a process called “training”.

    Where does this information come from? Broadly speaking, anything that can be publicly scraped from the internet. This can include everything from academic papers, eBooks, reports, free news articles, through to blogs, YouTube transcripts, or comments from discussion forums such as Reddit.

    Are these sources reliable places to find mental health advice? Sometimes.
    Are they always in your best interest and filtered through a scientific evidence based approach? Not always. The information is also captured at a single point in time when the AI is built, so may be out-of-date.

    A lot of detail also needs to be discarded to squish it into the AI’s “memory”. This is part of why AI models are prone to hallucination and getting details wrong.

    2. External information sources

    The AI developers might connect the chatbot itself with external tools, or knowledge sources, such as Google for searches or a curated database.

    When you ask Microsoft’s Bing Copilot a question and you see numbered references in the answer, this indicates the AI has relied on an external search to get updated information in addition to what is stored in its memory.

    Meanwhile, some dedicated mental health chatbots are able to access therapy guides and materials to help direct conversations along helpful lines.

    3. Information previously provided

    AI platforms also have access to information you have previously supplied in conversations, or when signing up to the platform.

    When you register for the companion AI platform Replika, for example, it learns your name, pronouns, age, preferred companion appearance and gender, IP address and location, the kind of device you are using, and more (as well as your credit card details).

    On many chatbot platforms, anything you’ve ever said to an AI companion might be stored away for future reference. All of these details can be dredged up and referenced when an AI responds.

    And we know these AI systems are like friends who affirm what you say (a problem known as sycophancy) and steer conversation back to interests you have already discussed. This is unlike a professional therapist who can draw from training and experience to help challenge or redirect your thinking where needed.

    What about specific apps for mental health?

    Most people would be familiar with the big models such as OpenAI’s ChatGPT, Google’s Gemini, or Microsofts’ Copilot. These are general purpose models. They are not limited to specific topics or trained to answer any specific questions.

    But developers can make specialised AIs that are trained to discuss specific topics, like mental health, such as Woebot and Wysa.

    Some studies show these mental health specific chatbots might be able to reduce users’ anxiety and depression symptoms. Or that they can improve therapy techniques such as journalling, by providing guidance. There is also some evidence that AI-therapy and professional therapy deliver some equivalent mental health outcomes in the short term.

    However, these studies have all examined short-term use. We do not yet know what impacts excessive or long-term chatbot use has on mental health. Many studies also exclude participants who are suicidal or who have a severe psychotic disorder. And many studies are funded by the developers of the same chatbots, so the research may be biased.

    Researchers are also identifying potential harms and mental health risks. The companion chat platform Character.ai, for example, has been implicated in ongoing legal case over a user suicide.

    This evidence all suggests AI chatbots may be an option to fill gaps where there is a shortage in mental health professionals, assist with referrals, or at least provide interim support between appointments or to support people on waitlists.

    Bottom line

    At this stage, it’s hard to say whether AI chatbots are reliable and safe enough to use as a stand-alone therapy option.

    More research is needed to identify if certain types of users are more at risk of the harms that AI chatbots might bring.

    It’s also unclear if we need to be worried about emotional dependence, unhealthy attachment, worsening loneliness, or intensive use.

    AI chatbots may be a useful place to start when you’re having a bad day and just need a chat. But when the bad days continue to happen, it’s time to talk to a professional as well.

    Aaron J. Snoswell previously received research project funding from OpenAI in 2024-2025 to develop new evaluation frameworks for measuring moral competence in AI agents.

    Laura Neil receives funding through the Australian government Research Training Program Scholarship.

    Centaine Snoswell 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. Do you talk to AI when you’re feeling down? Here’s where chatbots get their therapy advice – https://theconversation.com/do-you-talk-to-ai-when-youre-feeling-down-heres-where-chatbots-get-their-therapy-advice-257732

    MIL OSI – Global Reports –

    June 11, 2025
  • MIL-OSI Russia: NSU scientists patent photocatalyst for air purification from carbon monoxide

    Translation. Region: Russian Federal

    Source: Novosibirsk State University – Novosibirsk State University –

    Scientists from NSU have patented a catalyst for photooxidation of carbon monoxide (CO) under the influence of radiation of a wide spectral range. It effectively cleans gas-air mixtures and air from carbon monoxide at room temperature and is activated not only by ultraviolet radiation, like traditional photocatalysts used in this field, but also by natural light and by room light sources. The new catalyst also prevents the formation of carbon monoxide as a by-product during photocatalytic oxidation of a number of organic pollutants. In addition, it is capable of destroying chemicals, macromolecules, including DNA and RNA, and inactivating viruses and bacteria. Such a combined catalyst can be used in air purification systems and used as a photoactive coating for walls and other surfaces in office and residential premises. The authors of the invention emphasize that they created it in order to protect the environment and human health, since carbon monoxide is one of the most common pollutants.

    — As a result of human activity, (350–600) 106 tons of CO enter the atmosphere annually, with more than half of this amount (56–62%) coming from motor vehicles, since the CO content in the exhaust gases of mobile vehicles can reach 12%. Carbon monoxide is dangerous for humans, since when its molecules interact with blood hemoglobin, carboxyhemoglobin is formed, which blocks the processes of oxygen transport and cellular respiration. A person’s presence in a closed space with a CO concentration in the air of more than 1250 mg/m3 for an hour leads to death. Fortunately, the concentrations of these pollutants in residential and work areas are usually low, but air purification is still necessary, because prolonged contact with these substances can lead to a deterioration in people’s well-being and harm their health, — the research fellow said. Scientific and Educational Center of the Institute of Chemical Technologies (INHIT) NSU, leading researcher of the photo- and electrocatalysis group of the Institute of Catalysis SB RAS Dmitry Selishchev.

    Different approaches are used to solve the problem of removing molecular impurities from gas-air mixtures, but the most effective way to clean the air from small concentrations of pollutants under room conditions is photocatalytic oxidation. This oxidation method is based on the fact that under the action of light quanta with an energy exceeding the width of the forbidden zone of the semiconductor photocatalyst, electron-hole pairs are formed in the volume of the photocatalyst. The resulting electron and hole can migrate to the surface of the photocatalyst and participate in oxidation-reduction reactions with adsorbed compounds. This ensures a high oxidation rate even in the case of small concentrations of pollutants under room conditions.

    — The photocatalytic method is one of the effective ways to clean indoor air from various types of pollutants. It is based on the use of special substances (photocatalysts), which, under the influence of light, provide oxidation of various types of pollutants, as a result of which they are transformed from the original state, when they are capable of harming human health, into harmless substances, such as, for example, carbon dioxide and water. This method is very effective in cleaning the air from organic types of pollutants. Traditional photocatalysts practically do not solve the problem of its purification from carbon monoxide, showing very low efficiency. To increase it to the desired level, we carried out a number of modifications of the photocatalysts we had previously developed by applying nanoparticles of noble metals – platinum and palladium – to their surface. These particles provide intermediate adsorption of carbon monoxide molecules, due to which the rate of their oxidation significantly increases, — explained Dmitry Selishchev.

    The most famous semiconductor photocatalyst is titanium dioxide, which is inexpensive and virtually non-toxic, but at the same time allows for the complete oxidation of virtually any substance due to the formation of highly reactive particles. The main disadvantage of titanium dioxide as a photocatalyst is its fairly large band gap (3.0–3.2 eV), as a result of which it is activated only by ultraviolet radiation and is unable to absorb visible light quanta, which limits its area of application.

    As Dmitry Selishchev explained, the most active photocatalysts are based on nanocrystalline titanium dioxide of a certain phase composition. In order to shift its spectrum of action along the wavelength scale to the visible light region, they proposed a synthesis method that provides for the introduction of additional nitrogen impurities, which lead to the appearance of additional energy levels and thus reduce the width of the forbidden zone. In this case, the catalyst is activated under the influence of light radiation of lower energy, i.e. with a longer wavelength.

    — First-generation photocatalytic air purifiers were based on ultraviolet sources, such as low-pressure mercury lamps. Currently, mercury light sources are completely banned in a number of countries, while in other countries, restrictions are being introduced with the prospect of completely abandoning their use. Therefore, there was a need to transfer catalytic air purifiers from ultraviolet radiation sources to more efficient and safe, affordable LED sources. We set ourselves the task of creating a catalyst capable of activation in a wide spectral range. Other researchers had previously worked on it, using different approaches. We proposed combining the main advantages of titanium oxide catalysts, which provide high efficiency, with a modification of their structure by introducing a nitrogen impurity into it through the use of certain reagents and treatments, — explained Dmitry Selishchev.

    The modified catalyst obtained in this way can be distinguished from its predecessor by color. The original catalyst is a white powder. This color indicates that it does not absorb, but reflects visible light. The modified catalyst turns yellow during manipulations. This means that it absorbs visible spectrum radiation. Such a catalyst is activated not only by visible light, but also by ultraviolet radiation, and can be used in new generations of devices for cleaning air from molecular impurities.

    Another important disadvantage of titanium dioxide, like other traditional semiconductor photocatalysts, is its low adsorption capacity for carbon monoxide molecules, resulting in a low rate of photocatalytic oxidation and a low rate of air purification from impurities of this type. This is also important because CO can be formed as a by-product during photocatalytic oxidation of organic pollutants, especially aromatic compounds. This can result in secondary air pollution.

    Since CO molecules are poorly sorbed on the surface, it was necessary to create additional centers for their absorption, as well as centers for the transfer of photogenerated charges. For this purpose, nanoparticles of noble metals – platinum and palladium – were introduced into the composition of the new photocatalyst, using certain reagents that ensure uniform distribution of nanoparticles over the surface of the photocatalyst.

    — The new catalyst will find application in air purification systems. There are several large manufacturers on the Russian market who are interested in using a new type of catalyst to improve the efficiency of their products. NSU scientists work in cooperation with them and offer their developments for use in creating new generations of air purifiers. Also, the researchers of our laboratory are working on creating self-cleaning coatings for various materials and surfaces. These coatings consist of a photoactive component and binders. We intend to use the modernized catalyst in this area as well, in order to continuously provide passive cleaning of premises from carbon monoxide. Currently, testing of a wall coating based on a catalyst for photooxidation of carbon monoxide is underway in laboratory conditions, — said Dmitry Selishchev.

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

    MIL OSI Russia News –

    June 11, 2025
  • MIL-OSI Russia: NSU scientists have discovered that an archaeological site in Krasnoyarsk is 10,000 years older than previously thought

    Translation. Region: Russian Federal

    Source: Novosibirsk State University – Novosibirsk State University –

    The age of the archaeological site “Stoyanka Solnechny” (Krasnoyarsk) was determined by scientists from the Center for Collective Use “Accelerator Mass Spectrometry of the Novosibirsk State University and the Novosibirsk Scientific Center”. Radiocarbon analysis was performed on the bone remains of herbivores, which were discovered during large-scale rescue excavations conducted by researchers from Krasnoyarsk Geoarchaeology LLC and ANO “Archaeological Research of Siberia”. Based on the stratigraphic position of the finds in the deposits, types and technologies of manufacturing stone tools, they determined that the ancient hunters’ camp dates back to the early Holocene, namely the Mesolithic era, the general chronology of which is determined within 8-12 thousand years ago. The results obtained by Novosibirsk scientists using the accelerator mass spectrometry method came as a surprise to them – it turned out that the monument is 10 thousand years older and is not a continuation of the Paleolithic traditions in the subsequent geological era, as was previously believed, but a reflection of the earliest stages of the formation of the Afontovo culture. The results of the study were published in the International Peer-Reviewed Scientific Journal “Stratum plus. Archaeology and cultural anthropology”, which is published by the University “Higher Anthropological School”.

    The Afontovskaya culture is an archaeological culture of the Upper Paleolithic (20-12 thousand years ago) on the Yenisei. It is characterized by stone tools on pebbles and flake chips, a developed technology for producing microplates, and a variety of tools made of horn and bone. The culture received its name from the archaeological site of Afontova Gora, a group of sites on the left bank of the Yenisei, within the boundaries of the modern city of Krasnoyarsk.

    — We received 12 samples of bone material and analyzed them for the content of the rare isotope 14C using accelerator mass spectrometry. Sample preparation was carried out in advance — collagen was isolated, graphitization and subsequent measurements were carried out on a Micadas accelerator mass spectrometer. We analyzed the bone remains of herbivores that could have been the prey of ancient hunters who regularly used this site for a long time. The samples mainly included bones and teeth of reindeer, a tubular bone of a roe deer, a phalanx of a fossil horse, two bones of a fossil bison and one bone of a bird — a corncrake, which was found in a pit trap. The age of the finds varied due to the fact that the main cultural layer was partially disturbed and the site itself included evidence of ancient activity and natural events of various eras. The most ancient bones were those of fossil bisons — they were 29-30 thousand years old, and the “youngest” were those of roe deer — 1600-1900 years old. The most numerous were the bones of reindeer, whose age averaged 19-21 thousand years. We had no difficulties in studying the samples and interpreting the data obtained, but the results were unexpected for the research staff of the ANO “Archaeological Research of Siberia,” said Alexey Petrozhitsky, engineer at the UMS NSU-NNC Collective Use Center and research fellow at the G.I. Budker Institute of Nuclear Physics.

    The archaeological site “Solnechny Parking Lot” is located in the Yenisei Valley on the northern outskirts of Krasnoyarsk within the city limits. The ancient site got its name from the Solnechny microdistrict, on whose territory it is located. It is currently being actively built up, housing complexes and urban infrastructure facilities are being erected.

    “Solnechny Parking Lot” was discovered in 2017 by a detachment of OOO NPO “Archeological Design and Surveying” during a survey of the site of the planned construction of a highway. In 2019 and 2020, a detachment of OOO “Krasnoyarsk Geoarcheology” carried out security and rescue excavation work on the monument within the boundaries of the territory allocated for the construction of the road. The territory of the monument was significantly affected by anthropogenic activity. In the early 2000s, there was an arable field here. Ten years later, due to the expansion of the urban development zone, construction infrastructure facilities appeared on this territory, quarrying and embankment construction began. Also, the upper cover deposits over the entire area were disturbed during terrain planning, laying and operation of field roads. Most of it was covered with man-made deposits from fill and redeposited soil. Over a large area of the monument, artifacts were moved from their original position and mixed up, which significantly complicated the work of researchers and the dating of the monument.

    — An important feature of the Solnechny Parking lot is its location. Archaeologists traditionally look for Paleolithic sites on river banks, and this site is located about 7 kilometers from the Yenisei and there are no small rivers nearby. Despite the presence of individual such sites, this was unusual for us. We were interested in understanding how Stone Age people moved around the area and what places they inhabited. This was a campsite arranged on some unknown hunting routes of Paleolithic hunters. People came here periodically and their stay at the site was short-lived – despite the fact that the excavations affected significant areas, we were unable to find the remains or even traces of permanent dwellings or any objects indicating long-term residence in this place. We also did not find human remains. From all this, the conclusion was made: people did not live here permanently. They came to the camp to process hunting trophies, as well as other economic activities, the remains of which, in fact, are garbage, we recorded there. Unfortunately, it is difficult to say for sure why they were attracted to this particular place. Perhaps the key to the solution will be further research on new archaeological sites in this part of the Krasnoyarsk archaeological region – said Dmitry Gurulev, senior researcher at the ANO “Archaeological Research of Siberia”.

    Initially, archaeologists determined the age of this monument in the range of 9-12 thousand years. However, among the supposed finds of this period there were also later artifacts. For example, a pitfall trap. According to radiocarbon dating conducted later, its age was about 6 thousand years. Also found were an arrowhead, the so-called srezen, from the Middle Ages, bullets and a coin from the 19th century. However, these artifacts were isolated and uninformative, indicating that in subsequent times people no longer visited this place regularly and systematically until it was occupied by the modern city of Krasnoyarsk.

    The contents of the Solnechny Site artifact collection were quite typical for the Afontovo archaeological culture sites. It consisted mainly of stone tools that were used by Paleolithic people for all basic household needs. Quite simple tools were made from river pebbles – choppers, hammers, planers. These finds were combined with objects made using more complex and advanced technologies, such as squeezing stone splitting and obtaining micro-plate chips that were used as replaceable blades in composite cutting tools. These small and thin stone plates 6-7 mm wide were inserted into grooves of horn or wooden bases. When such an inserted blade became dull or split, it was replaced with a new one. Also among the finds were stone tools used to select such grooves – cutters. Since the site was a hunting site, archaeologists found various scrapers and piercers here, which were probably used to process skins. In total, more than 1,700 stone objects and about 1,000 fragments of animal bones were found at the excavation site, among which the remains of reindeer, which was the main object of hunting, predominate.

    -The dating of the monument, established by the scientists of the Central Committee of the SMS NSU-NNC, was a complete surprise for us. And for us these results are important for three reasons. Firstly, earlier we attributed the sunny parking to the early Golocene, but it turned out that it was much older and belongs to the very origin of the Athos culture of the upper Paleolithic. We evaluated the age of the object on the basis of his position in the stratigraphic context. In this case, he lay almost on the surface, at the minimum depth of about 20-30 cm. Of course, the depth of the occurrence depends on the type of deposits and the features of their accumulation, but usually the cultural layers of the Paleolithic are much deeper, in some cases at a depth of several meters. Here we are faced with a different situation, and now we can extrapolate the experience gained on other monuments in further excavation work. Secondly, the sunny parking is one of the few monuments with a reliably confirmed age, which shows us the stage of the formation of the Athos archaeological culture. Thanks to this, we know that at the very early stage of its existence, it was already formed in the form in which we know it according to later evidence: a set of stone guns and features of hunting fishing remained practically unchanged, namely, hunting for the northern deer. From all this, we can conclude that this archaeological culture was quite homogeneous throughout its existence, which is very important. Thirdly, it was important for us to explore a monument remote from a river network that did not have a clear binding to the landscape. Similar monuments are present in the vicinity of Krasnoyarsk, but today they are known only by separate random finds, and the sunny parking is the only object that was excavated on a wide area of ​​more than 3000 m2, and therefore may act as a standard in such research, Dmitry Gurulev explained.

    The specialists of the ANO “Archaeological Research of Siberia” have been working together with the UMS NSU-NNC Collective Use Center for years. Every year they send several dozen samples to determine their age using an accelerator mass spectrometer. Krasnoyarsk archaeologists intend to continue their joint work in the future, since there is a constant need to determine the age of new archaeological sites excavated annually, and the ability to conduct this kind of research in Russia is only available at the UMS NSU-NNC Collective Use Center.

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

    MIL OSI Russia News –

    June 11, 2025
  • MIL-OSI New Zealand: Christchurch Police renew call for help in search for Elisabeth Nicholls

    Source: New Zealand Police

    Attribute to Detective Sergeant Lucy Aldridge of Christchurch Police:

    Today marks a week since Elisabeth “Lis” Nicholls was last seen, and we are making a further appeal to the people of Christchurch for help. 

    Lis is 79 and has dementia and the last confirmed sighting of her was at the Chateau on the Park in Riccarton, at 7.54pm on Wednesday 4 June.

    Searchers and Police have gone door to door, reviewed CCTV footage and made extensive enquiries, but we have not been able to find Lis.

    We do not know where she travelled to after the Chateau and have not been able to locate any items that would lead us closer to her.

    Police have grave concerns for Lis’s welfare and need the help of the Christchurch community to bring her home.

    At the time she disappeared, Lis was wearing a black and grey checked long-sleeved shirt, a maroon long-sleeved top underneath, navy blue jeans and black leather shoes.

    She also has distinctive grey shoulder-length hair.

    Police are asking members of the public to please search your backyards, sheds and sleepouts, and look under anything where a person could seek shelter.

    For anyone with CCTV, Police would like you to review any footage you have from 6.40pm on Wednesday 4 June to 8am on Thursday 5 June. While Lis went missing in the Riccarton area, she is physically strong, and may have walked some distance.

    Finally, this past week has been extremely difficult on Lis’s family.

    While they have requested privacy, Gary Nicholls, Lis’s husband of nearly 60 years, has provided this statement on behalf of their family:

    “Lis is an adored wife, mother, grandmother, friend and colleague, who has always put other people first.

    “Her life has been about helping people, through nursing, Plunket and social work. She has been there for people when they needed help, and her influence has touched all our lives for the better.

    “We are deeply concerned and have been living with painful uncertainty for a week, but we have been grateful for the love and support that has been shown for Lis.

    “On behalf of Lis, our family and friends, I would like to sincerely thank the people of Christchurch for their help and concern, and for the information they have been providing.

    “We are also grateful to Police, the Search and Rescue teams, Canterbury University students and the Victoria Neighbourhood Association, who have been dedicating so much time and resource to help us find Lis.

    “You have been working in the cold, the rain, and the darkness to bring Lis home to us, and we are incredibly grateful.”

    • Anyone who sees Lis should ring 111 immediately and use the reference number 250604/5465. Non-urgent information can be provided online at 105.police.govt.nz, using “Update Report”, quoting the same reference number.

    ENDS

    Issued by the Police Media Centre

    MIL OSI New Zealand News –

    June 11, 2025
  • MIL-OSI China: More Chinese provinces extend marriage leave in family support push

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

    China is rolling out extended marriage leave in at least 27 provincial-level regions as part of ongoing efforts to foster a more family-friendly society.

    The government of Sichuan Province, one of the country’s most populous regions, has unveiled a plan to extend marriage leave from three to 20 days, with an additional five days for those who opt for a premarital medical checkup.

    The proposal is currently open for public comment throughout June.

    “Previously, with only three days off, it could be a challenge to get home for a wedding itself — forget about a honeymoon!” said Wang Mengdi, an employee at a Sichuan-based human resources firm. “But with 25 days, you have ample time to enjoy a decent honeymoon.”

    Shandong Province in east China, the ancestral home of Confucius, with a permanent population exceeding 100 million, further reinforced its cultural emphasis on family bonds by extending marriage leave from three days to a maximum of 18 days through legislative action in January.

    Currently, China grants newlyweds a three-day marriage leave at the national level, a tradition that dates back to 1980.

    “The one- to three-day marriage leave can barely meet the needs of today’s young couple for wedding preparation and ceremonies. This has even impacted marriage registration and fertility rates to some extent,” said Xu Jinmei, a senior legislator in Shandong.

    Amid rapid industrialization and urbanization, millions of young adults have migrated from their hometowns in pursuit of education and career opportunities. Despite this mobility, the deeply rooted tradition of returning home for wedding celebrations remains strong.

    The custom requires substantial time investments, as many must travel a long way back home to hold their weddings.

    Provincial-level regions in China have the autonomy to determine the length of marriage leave, often influenced by local customs and demographic policies. The provinces of Shanxi and Gansu offer the most generous policies, allowing up to 30 days of paid leave for newlyweds.

    The incentive measures were rolled out amid marriage registration declines in China. Official data show that 1.81 million couples registered to tie the knot in the first quarter of 2025, down 8 percent year on year. After a brief rebound in 2023, registrations fell again last year, reaching the lowest level since 1980.

    Scholars attribute the drop to several factors, including a shrinking pool of marriage-age adults and waning enthusiasm for matrimony.

    “In the 1980s, more than 20 million people were born each year in China. But since 2000, that number has dropped to just over 10 million annually. So naturally, the base number for marriage registrations is much lower now,” said Jiang Quanbao, a professor at the institute for population and development studies at Xi’an Jiaotong University.

    Li Ting, a demographer at Renmin University of China in Beijing, noted that higher levels of education and a growing sense of individualism have combined to significantly challenge traditional views on marriage.

    “In the past, young people got married around the time they graduated or started working, but now many won’t consider marriage until they’re planning to have children,” Li added.

    In a country where the traditional belief is that marriage should precede childbearing, declining marriage rates have become one of the factors behind falling birth rates.

    In response to these challenges, authorities across the country have introduced various measures to foster a newlywed-friendly society.

    China streamlined marriage registration. Since May, couples have been able to register their marriage anywhere in the country without presenting a household registration booklet.

    Local authorities have also extended maternity leave and paternity care leave to support family planning.

    However, some worry that extended marriage leave, maternity leave, and other benefits could end up becoming empty promises due to the economic pressures faced by enterprises.

    Zhai Zhenwu, president of the China Population Association, noted that the overall extension of marriage leave and maternity leave is not that costly. “This should not be a barrier to extending maternity leave,” he said.

    Zhai also proposed that local budgets help enterprises to offset some of the costs of maternity and marriage leave policies.

    The suggestion appears to have resonated with policymakers, as reflected in the draft policy statement from Sichuan provincial authorities.

    The policy document open for public consultation noted that governments at or above the county level should coordinate multi-channel funding to establish a reasonable cost-sharing mechanism for marriage and parental leave, striving to guarantee the full implementation of the leave. 

    MIL OSI China News –

    June 11, 2025
  • MIL-OSI China: China set to build future workforce with new tech-centric college majors

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

    With the grueling college entrance exams behind them, over 13 million Chinese students will begin exploring university options this year, amid an expanding array of tech-focused study programs.

    As China’s economy shifts toward high-tech manufacturing and services, new courses are part and parcel of its latest push to ensure the future workforce is equipped with the skills needed to support sustained growth and global competitiveness in an increasingly technology-driven world.

    The Ministry of Education has announced the addition of 29 new undergraduate majors across the country’s universities, many of them aligned with its strategic priorities in emerging sectors including artificial intelligence, carbon neutrality and low-altitude economy.

    One of the new majors is carbon neutrality science and engineering, with graduates likely to support the country’s ambitious climate goals of fulfilling its pledge to peak carbon emissions before 2030 and achieve carbon neutrality before 2060.

    The low-carbon program at University of Science and Technology Beijing, known for its steel programs, will integrate materials science with metallurgy to facilitate the transition of smoke-heavy traditional industries like steel.

    Institutions including Beihang University have designed programs that target China’s burgeoning drone and urban air mobility sectors, which hold trillion-yuan (about 140 billion U.S. dollars) market potential.

    Engineering disciplines like integrated circuits, marine technology, industrial software, intelligent molecular engineering, biomass, and medical device and equipment have also begun enrolling students, closely aligning with China’s national industrial development objectives.

    To drive digital transformation across consumer industries, China is also planning to cultivate next-generation professionals through new disciplines including intelligent emergency management, smart cities and intelligent imaging art.

    “China is essentially predicting what talent it will need five years from now,” explained Xiong Bingqi, an education researcher. “These new majors consider three key factors: national strategic development, technological advancement and social needs.”

    More than 500 universities now offer AI-related majors or have launched dedicated schools related to the field. Tsinghua University and Renmin University of China included AI into their 2025 enrollment expansion plans.

    However, some AI programs are affiliated with computer science colleges and lack faculty experienced in AI practice and application.

    Zhaopin.com data shows that in the month after the 2025 Spring Festival, AI instructor job postings doubled year-on-year, revealing a severe shortage of AI teaching staff.

    Xiong likened some superficial rebranding of existing programs with “smart” or “digital,” to “putting on a new coat without changing the essence.”

    This year, Beijing Normal University will launch a new major in AI education to address the shortage of AI teaching professionals.

    China’s education authorities have also approved 23 vocational undergraduate institutions, with programs focused technical workforce training for emerging industries, with practical training required to account for 50 percent of total class hours.

    Two vocational undergraduate institutions in Anhui, an eastern Chinese province, have set up majors in fields like new energy and intelligent connected vehicles, with a professional alignment rate to regional industries exceeding 90 percent.

    China wants vocational undergraduate enrollment to reach at least 10 percent of all higher vocational education admissions by 2025. 

    MIL OSI China News –

    June 11, 2025
  • MIL-OSI Russia: The 12th International Youth Gathering Started in Heihe and Blagoveshchensk

    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 11 (Xinhua) — The opening ceremony of the 12th International Youth Conference was held at Heihe University in Heihe, northeast China’s Heilongjiang Province, on Tuesday, the university’s website reported.

    The event, which will last five days, attracted more than a thousand students and teachers from 10 higher education institutions in China and Russia. According to the plan, the first stage of the gathering will be held from June 9 to 11 in Heihe, and the second from June 11 to 13 at Blagoveshchensk State Pedagogical University.

    The holding of various scientific, educational and cultural events has become a good tradition for the Chinese city of Heihe and the Russian city of Blagoveshchensk, which are separated from each other by the Heilongjiang River (Amur).

    The International Youth Gathering, which first took place in 2010, has gained great popularity among young people in both countries.

    The organizers of the 12th International Youth Gathering were the Heilongjiang Provincial Education Department, the Ministry of Education and Science of the Amur Region and other departments. -0-

    MIL OSI Russia News –

    June 11, 2025
  • MIL-Evening Report: Fiji coup culture and political meddling in media education given airing

    Pacific Media Watch

    Taieri MP Ingrid Leary reflected on her years in Fiji as a television journalist and media educator at a Fiji Centre function in Auckland celebrating Fourth Estate values and independence at the weekend.

    It was a reunion with former journalism professor David Robie — they had worked together as a team at the University of the South Pacific amid media and political controversy leading up to the George Speight coup in May 2000.

    Leary, a former British Council executive director and lawyer, was the guest speaker at a gathering of human rights activists, development advocates, academics and journalists hosted at the Whānau Community Centre and Hub, the umbrella base for the Fiji Centre, Auckland Rotuman Fellowship, Asia Pacific Media Network and other groups.

    She said she was delighted to meet “special people in David’s life” and to be speaking to a diverse group sharing “similar values of courage, freedom of expression, truth and tino rangatiratanga”.

    “I want to start this talanoa on Friday, 19 May 2000 — 13 years almost to the day of the first recognised military coup in Fiji in 1987 — when failed businessman George Speight tore off his balaclava to reveal his identity.

    She pointed out that there had actually been another “coup” 100 years earlier by Ratu Cakobau.

    “Speight had seized Parliament holding the elected government at gunpoint, including the politician mother, Lavinia Padarath, of one of my best friends — Anna Padarath.

    Hostage-taking report
    “Within minutes, the news of the hostage-taking was flashed on Radio Fiji’s 10 am bulletin by a student journalist on secondment there — Tamani Nair. He was a student of David Robie’s.”

    Nair had been dispatched to Parliament to find out what was happening and reported from a cassava patch.

    “Fiji TV was trashed . . . and transmission pulled for 48 hours.

    “The university shut down — including the student radio facilities, and journalism programme website — to avoid a similar fate, but the journalism school was able to keep broadcasting and publishing via a parallel website set up at the University of Technology Sydney.

    “The pictures were harrowing, showing street protests turning violent and the barbaric behaviour of Speight’s henchmen towards dissenters.

    “Thus began three months of heroic journalism by David’s student team — including through a period of martial law that began 10 days later and saw some of the most restrictive levels of censorship ever experienced in the South Pacific.”

    Leary paid tribute to some of the “brave satire” produced by senior Fiji Times reporters filling the newspaper with “non-news” (such as about haircuts, drinking kava) as an act of defiance.

    “My friend Anna Padarath returned from doing her masters in law in Australia on a scholarship to be closer to her Mum, whose hostage days within Parliament Grounds stretched into weeks and then months.

    Whanau Community Centre and Hub co-founder Nik Naidu speaking at the Asia Pacific Media Network event at the weekend. Image: Khairiah A. Rahman/APMN

    Invisible consequences
    “Anna would never return to her studies — one of the many invisible consequences of this profoundly destructive era in Fiji’s complex history.

    “Happily, she did go on to carve an incredible career as a women’s rights advocate.”

    “Meanwhile David’s so-called ‘barefoot student journalists’ — who snuck into Parliament the back way by bushtrack — were having their stories read and broadcast globally.

    “And those too shaken to even put their hands to keyboards on Day 1 emerged as journalism leaders who would go on to win prizes for their coverage.”

    Speight was sentenced to life in prison, but was pardoned in 2024.

    Taieri MP Ingrid Leary speaking at the Whānau Community Centre and Hub. Image: Nik Naidu/APMN

    Leary said that was just one chapter in the remarkable career of David Robie who had been an editor, news director, foreign news editor and freelance writer with a number of different agencies and news organisations — including Agence France-Presse, Rand Daily Mail, The Auckland Star, Insight Magazine, and New Outlook Magazine — “a family member to some, friend to many, mentor to most”.

    Reflecting on working with Dr Robie at USP, which she joined as television lecturer from Fiji Television, she said:

    “At the time, being a younger person, I thought he was a little bit crazy, because he was communicating with people all around the world when digital media was in its infancy in Fiji, always on email, always getting up on online platforms, and I didn’t appreciate the power of online media at the time.

    “And it was incredible to watch.”

    Ahead of his time
    She said he was an innovator and ahead of his time.

    Dr Robie viewed journalism as a tool for empowerment, aiming to provide communities with the information they needed to make informed decisions.

    “We all know that David has been a champion of social justice and for decolonisation, and for the values of an independent Fourth Estate.”

    She said she appreciated the freedom to develop independent media as an educator, adding that one of her highlights was producing the groundbreaking 1999 documentary Maire about Maire Bopp Du Pont, who was a Tahitian student journalist at USP and advocate for the Pacific community living with HIV/AIDs.

    She became a nuclear-free Pacific campaigner in Pape’ete and was also founding chief executive of  the Pacific Islands AIDS Foundation (PIAF).

    Leary presented Dr Robie with a “speaking stick” carved from an apricot tree branch by the husband of a Labour stalwart based in Cromwell — the event doubled as his 80th birthday.

    In response, Dr Robie said the occasion was a “golden opportunity” to thank many people who had encouraged and supported him over many years.

    Massive upheaval
    “We must have done something right,” he said about USP, “because in 2000, the year of George Speight’s coup, our students covered the massive upheaval which made headlines around the world when Mahendra Chaudhry’s Labour-led coalition government was held at gunpoint for 56 days.

    “The students courageously covered the coup with their website Pacific Journalism Online and their newspaper Wansolwara — “One Ocean”.  They won six Ossie Awards – unprecedented for a single university — in Australia that year and a standing ovation.”

    He said there was a video on YouTube of their exploits called Frontline Reporters and one of the students, Christine Gounder, wrote an article for a Commonwealth Press Union magazine entitled, “From trainees to professionals. And all it took was a coup”.

    Dr Robie said this Fiji experience was still one of the most standout experiences he had had as a journalist and educator.

    Along with similar coverage of the 1997 Sandline mercenary crisis by his students at the University of Papua New Guinea.

    He made some comments about the 1985 Rainbow Warrior voyage to Rongelap in the Marshall islands and the subsequent bombing by French secret agents in Auckland.

    But he added “you can read all about this adventure in my new book” being published in a few weeks.

    Taieri MP Ingrid Leary (right) with Dr David Robie and his wife Del Abcede at the Fiji Centre function. Image: Camille Nakhid

    Biggest 21st century crisis
    Dr Robie said the profession of journalism, truth telling and holding power to account, was vitally important to a healthy democracy.

    Although media did not succeed in telling people what to think, it did play a vital role in what to think about. However, the media world was undergoing massive change and fragmentation.

    “And public trust is declining in the face of fake news and disinformation,” he said

    “I think we are at a crossroads in society, both locally and globally. Both journalism and democracy are under an unprecedented threat in my lifetime.

    “When more than 230 journalists can be killed in 19 months in Gaza and there is barely a bleep from the global community, there is something savagely wrong.

    “The Gazan journalists won the UNESCO/Guillermo Cano World Press Freedom Prize collectively last year with the judges saying, “As humanity, we have a huge debt to their courage and commitment to freedom of expression.”

    “The carnage and genocide in Gaza is deeply disturbing, especially the failure of the world to act decisively to stop it. The fact that Israel can kill with impunity at least 54,000 people, mostly women and children, destroy hospitals and starve people to death and crush a people’s right to live is deeply shocking.

    “This is the biggest crisis of the 21st century. We see this relentless slaughter go on livestreamed day after day and yet our media and politicians behave as if this is just ‘normal’. It is shameful, horrendous. Have we lost our humanity?

    “Gaza has been our test. And we have failed.”

    Dr Robie praised the support of his wife, social justice activist Del Abcede, and family members.

    Other speakers included Whānau Hub co-founder Nik Naidu, one of the anti-coup Coalition for Democracy in Fiji (CDF) stalwarts; the Heritage New Zealand’s Antony Phillips; and Multimedia Investments and Evening Report director Selwyn Manning.

    MIL OSI Analysis – EveningReport.nz –

    June 11, 2025
  • MIL-Evening Report: Jacaranda, black locust and London plane: common street trees show surprising resilience to growing heat in Australia

    Source: The Conversation (Au and NZ) – By Manuel Esperon-Rodriguez, Senior Lecturer in Ecology, Western Sydney University

    Kokkai Ng/Getty Images

    As Australian cities heat up and dry out, street trees are emerging as frontline defenders of urban liveability.

    Street trees make city life more bearable during heatwaves. They also improve human health and wellbeing, filter pollutants and support biodiversity.

    But as climate change intensifies droughts and dials up more extreme heat, can urban forests survive in a hotter, drier future?

    To find out, we studied how ten of Australia’s most common non-native street trees grow and tolerate drought across seven cities. The familiar species we chose are the well-loved jacaranda and widely planted London plane tree as well as box elder, European nettle tree, honey locust, sweetgum, southern magnolia, callery pear, black locust and Chinese elm.

    Unexpectedly, our new research shows several species tolerate drought better than predicted, including jacaranda and London plane. Some even put on growth spurts during droughts of unprecedented duration and heat. But others showed greater sensitivity than we had anticipated, including honey locust and black locust.

    As cities plan for a hotter future, our research will help urban planners choose the toughest, most resilient street trees.

    Penrith street trees faced the hottest conditions.
    Author provided

    What did we do?

    Street trees cool cities both through their shade and by giving off water through transpiration. These effects can lower local temperatures by several degrees, which helps offset the extra heat trapped by roads, rooftops and hard surfaces.

    But the trees we rely on for cooling are vulnerable to mounting pressures from climate change. Drought, heatwaves and limited soil and water availability in cities can all threaten tree health, growth and survival.

    To test how these species were coping, we chose over 570 street trees in Adelaide, Melbourne and Sydney, as well as Mildura in regional Victoria, Mandurah south of Perth and Parramatta and Penrith in Western Sydney.

    We extracted small cores of wood from the trunk, in a process that leaves the tree alive and largely unaffected. The oldest tree we sampled was a 70-year-old southern magnolia in Sydney.

    Growth rings in these cores let us reconstruct their growth histories and assess how they responded both to long-term climate patterns and extreme events such as the Black Summer of 2019–20 and the Millennium Drought from 1997–2009.

    How resilient are these trees?

    What we found was both reassuring and surprising.

    Across all seven cities, the fastest average growth for all species was recorded in Mildura in northern Victoria. Overall, the slowest growth was found in the warmest location – Penrith.

    Some species behaved predictably. The black locust grew faster in cooler, wetter cities such as Melbourne, as expected, while honey locust and Chinese elms grew more slowly in hotter cities.

    But others defied expectations. Species such as London plane and southern magnolia showed consistent growth trends across cities despite the difference in heat, while others varied depending on local conditions.

    Crucially, the growth records showed many street trees responded positively to wetter conditions during the warmest months, most likely due to the longer growing season and increased access to water.

    Surprisingly, species such as box elder and Callery pear actually increased their growth during the very hot periods over the Black Summer of 2019–20 as well as during wetter La Niña periods in 2021–22. This suggests these species have adapted to warm urban environments – or that care and watering was provided.

    Jacarandas have become popular street trees in warmer cities.
    Snowscat/Unsplash, CC BY-NC-ND

    What happened during drought?

    During drought, street trees generally demonstrated strong resistance. This means they maintained their growth during dry periods.

    But their resilience – measured by their ability to bounce back to pre-drought growth rates – was often limited, especially in drier cities.

    While many street trees can withstand short-term stress, this suggests repeated or prolonged droughts can still take a toll on their long-term health.

    Interestingly, species identified as vulnerable in climate models did not always show greater sensitivity to drought or climate extremes in our real-world study.

    Why? Local conditions and species-level characteristics such as leaf size, wood density and water use strategy may play a significant role in determining which individual trees will thrive as the climate changes.

    We also know care provided by council staff or local residents is extremely useful. When trees are irrigated during stressful conditions, they can help get the tree through tough times.

    Why no eucalypts?

    During their growing season each year, many northern hemisphere trees produce growth rings. These rings make it possible to reliably reconstruct their growth histories using our methods.

    But most eucalypts don’t form clear annual growth rings. This is why we didn’t include spotted gums and other common eucalypts seen on city streets.

    Eucalypts tend to grow whenever conditions are favourable rather than being constrained by a strict annual cycle. Only a few native species reliably produce datable annual rings, such as snow gums and alpine ash. This is because they live in cold, high elevation areas, where winter consistently limits growth each year. These conditions aren’t found in any major Australian city.

    What does this mean for city planners?

    Our research shows that species selection matters a great deal.

    Some street trees such as jacarandas, London plane and the European nettle tree can thrive even under extreme heat and drought, while honey locust and Chinese elms are more sensitive to local conditions.

    Authorities can maximise the benefits of urban forests and reduce tree decline or loss by choosing resilient species and matching them to the specific climate of each city or neighbourhood.

    As climate extremes become more common, even resilient species may face new challenges.

    Planting and maintaining diverse, climate-adapted urban forests will help ensure our cities remain liveable, healthy, and green in the decades to come.

    Mark G Tjoelker receives funding from The Australian Research Council.

    Manuel Esperon-Rodriguez, Matthew Brookhouse, and Sally Power 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. Jacaranda, black locust and London plane: common street trees show surprising resilience to growing heat in Australia – https://theconversation.com/jacaranda-black-locust-and-london-plane-common-street-trees-show-surprising-resilience-to-growing-heat-in-australia-257247

    MIL OSI Analysis – EveningReport.nz –

    June 11, 2025
  • MIL-OSI Global: The AI hype is just like the blockchain frenzy – here’s what happens when the hype dies

    Source: The Conversation – Global Perspectives – By Gediminas Lipnickas, Lecturer in Marketing, University of South Australia

    Izf/Shutterstock

    In recent years, artificial intelligence (AI) has taken centre stage across various industries. From AI-generated art to chatbots in customer service, every sector is seemingly poised for disruption.

    It’s not just in your news feed every day – venture capital is pouring in, while CEOs are eager to declare their companies “AI-first”. But for those who remember the lofty promises of other technologies that have since faded from memory, there’s an uncanny sense of déjà vu.

    In 2017, it was blockchain that promised to transform every industry. Companies added “blockchain” to their name and watched stock prices skyrocket, regardless of whether the technology was actually used, or how.

    Now, a similar trend is emerging with AI. What’s unfolding is not just a wave of innovation, but a textbook example of a tech hype cycle. We’ve been here many times before.

    Understanding the hype cycle

    The tech hype cycle, first defined by the research firm Gartner, describes how emerging technologies rise on a wave of inflated promises and expectations, crash into disillusionment and, eventually, find a more realistic and useful application.


    The Conversation, CC BY-ND

    Recognising the signs of this cycle is crucial. It helps in distinguishing between genuine technological shifts and passing fads driven by speculative investment and good marketing.

    It can also mean the difference between making a good business decision and a very costly mistake. Meta, for example, invested more than US$40 billion into the metaverse idea while seemingly chasing their own manufactured tech hype, only to abandon it later.




    Read more:
    Why the metaverse isn’t ready to be the future of work just yet


    When buzz outpaces reality

    In 2017, blockchain was everyone’s focus. Presented as a revolutionary technology, blockchain offered a decentralised way to record and verify transactions, unlike traditional systems that rely on central authorities or databases.

    US soft drinks company Long Island Iced Tea Corporation became Long Blockchain Corporation and saw its stock rise 400% overnight, despite having no blockchain product. Kodak launched a vague cryptocurrency called KodakCoin, sending its stock price soaring.

    These developments were less about innovation and more about speculation, chasing short-term gains driven by hype. Most blockchain projects never delivered real value. Companies rushed in, driven by fear of missing out and the promise of technological transformation.

    But the tech wasn’t ready, and the solutions it supposedly offered were often misaligned with real industry problems. Companies tried everything, from tracking pet food ingredients on blockchain, to launching loyalty programs with crypto tokens, often without clear benefits or better alternatives.

    In the end, about 90% of enterprise blockchain solutions failed by mid-2019.

    The generative AI déjà vu

    Fast-forward to 2023, and the same pattern started playing out with AI. Digital media company BuzzFeed saw its stock jump more than 100% after announcing it would use AI to generate quizzes and content. Financial services company Klarna replaced 700 workers with an AI chatbot, claiming it could handle millions of customer queries.

    The results were mostly negative. Klarna soon saw a decline in customer satisfaction and had to walk back its strategy, rehiring humans for customer support this year. BuzzFeed’s AI content push failed to save its struggling business, and its news division later shut down. Tech media company CNET published AI-generated articles riddled with errors, damaging its credibility.

    These are not isolated incidents. They’re signals that AI, like blockchain, was being over hyped.

    Why do companies chase tech hype?

    There are three main forces at play: inflated expectations, short-term view and flawed implementation. Tech companies, under pressure from investors and media narratives, overpromise what AI can do.

    Leaders pitch vague and utopian concepts of “transformation” without the infrastructure or planning to back them up. And many rush to implement, riding the hype wave.

    They are often hindered by a short-term view of what alignment with the new tech hype can do for their company, ignoring the potential downsides. They roll out untested systems, underestimate complexity or even the necessity, and hope that novelty alone will drive the return on investment.

    The result is often disappointment – not because the technology lacks potential, but because it’s applied too broadly, too soon, and with too little planning and oversight.

    Where to from here?

    Like blockchain, AI is a legitimate technological innovation with real, transformative potential.

    Often, these technologies simply need time to find the right application. While the initial blockchain hype has faded, the technology has found a practical niche in areas like “asset tokenization” within financial markets. This allows assets like real estate or company shares to be represented by digital tokens on the blockchain, enabling easier, faster and cheaper trading.

    The same pattern can be expected with generative AI. The current AI hype cycle appears to be tapering off, and the consequences of rushed or poorly thought-out implementations will likely become more visible in the coming years.

    However, this decline in hype doesn’t signal the end of generative AI’s relevance. Rather, it marks the beginning of a more grounded phase where the technology can find the most suitable applications.

    One of the clearest takeaways so far is that AI should be used to enhance human productivity, not replace it. From people pushing back against the use of AI to replace them, to AI making frequent and costly mistakes, human oversight paired with AI-enhanced productivity is increasingly seen as the most likely path forward.

    Recognising the patterns of tech hype is essential for making smarter decisions. Instead of rushing to adopt every new innovation based on inflated promises, a measured, problem-driven approach leads to more meaningful outcomes.

    Long-term success comes from thoughtful experimentation, implementation, and clear purpose, not from chasing trends or short-term gains. Hype should never dictate strategy; real value lies in solving real problems.

    Gediminas Lipnickas 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. The AI hype is just like the blockchain frenzy – here’s what happens when the hype dies – https://theconversation.com/the-ai-hype-is-just-like-the-blockchain-frenzy-heres-what-happens-when-the-hype-dies-258071

    MIL OSI – Global Reports –

    June 11, 2025
  • MIL-OSI Russia: Polytechnic University climbed to 8th position in the ranking of IT universities in Russia

    Translation. Region: Russian Federal

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

    The SuperJob online recruiting service presented a rating of Russian universities by the level of salaries of young specialists employed in the IT industry who graduated from the university in 2019-2024. Over the year, the Polytechnic University rose by 1 position and took 8th place among Russian universities and third place among IT universities in St. Petersburg. On average, graduates of Peter the Great Polytechnic University in the field of information technology earn 220,000 rubles, which is 30,000 rubles higher than last year.

    Technological progress is impossible to imagine without the development of digitalization and IT technologies. Training highly qualified personnel in this area is a strategically important state task. It is the focus on the development of computer science, cybersecurity, information technology and artificial intelligence that will contribute to the technological leadership of our country, – notes the rector of SPbPU Andrey Rudskoy.

    The recruiting service notes that 97% of Polytechnic graduates look for work in St. Petersburg after completing their studies, which has a positive effect on strengthening the city’s human resources potential, reducing the brain drain, and also contributes to the development of local industry and the economy.

    Intellectual capital is the main strategic resource of any country. In the field of IT, digitalization and AI, we create strong competition for other countries. Therefore, the development and support of these areas is already an existential choice. And the university is the main partner of the state in the development of human potential capable of competing at a high level. Polytechnic University has shown positive dynamics this year, which means we are on the right track, – comments Vice-Rector for Human Resources Policy Maria Vrublevskaya.

    The SuperJob study involves public universities: classical and specialized technical universities. The SuperJob resume database (more than 30 million resumes) and other open sources are used as a source of information. Resumes for positions in the fields of development, information security, software testing, DevOps, analytics, data research, Machine Learning, Data engineering and others are considered.

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

    MIL OSI Russia News –

    June 11, 2025
  • MIL-Evening Report: Those ‘what I eat in a day’ TikTok videos aren’t helpful. They might even be harmful

    Source: The Conversation (Au and NZ) – By Catherine Houlihan, Senior Lecturer in Clinical Psychology, University of the Sunshine Coast

    Iren_Geo/Shutterstock

    You may have come across those “what I eat in a day” videos on social media, where people – usually conventionally attractive influencers wearing activewear – list everything they consumed that day.

    They might seem like harmless fun but in fact they can reinforce dangerous ideas about food, weight and body image.

    I’ve worked with people with eating disorders who watch these videos and have seen first hand how harmful this content can be.

    Here’s what the research says and what you need to know.

    Videos that promote ‘health’ can be unhealthy

    “What I eat in a day” videos have been popular for over a decade, with views reaching in the billions.

    They target both men and women and many claim to promote health and nutrition. Yet videos such as these can do more harm than good.

    Very few of these creators have formal qualifications in health or nutrition, increasing the potential for misinformation.

    They often depict low calorie diets, exclude entire food groups or promote “clean eating” (a problematic idea at best).

    Some even encourage dangerous behaviours such as skipping meals, eating very little or using laxatives to purge food.

    They can also send harmful messages about body image. Many such videos use beauty filters to create images promoting unrealistic body ideals.

    These videos often feature shots of how the person looks from the front, the side, in the gym, and in tight, form-fitting clothes. There may even be some “before and after” weight loss pics, sending the harmful message this should be everyone’s goal.

    The subtext is clear: “eat what I eat in a day and you can look like me”.

    But that’s not just a dangerous idea – it’s a totally false and erroneous one.

    Knowing what a certain person “eats in a day” doesn’t mean you’ll look like them if you follow their lead.

    In fact, a 24-hour rundown of one person’s food intake doesn’t even provide accurate information about that person’s nutritional health – let alone yours.

    These videos can target both men and women.
    Veja/Shutterstock

    You are not them

    Like our health, our nutritional needs are unique to us and can vary day to day.

    What constitutes a “healthy” choice for one person might be totally different for another depending on things such as:

    • genetics
    • environment
    • age
    • what we enjoy eating
    • how much energy we use and
    • our medical history.

    Links between health and diet are best examined over time, not in a single day.

    Basing our food intake on a brief snapshot of what someone else eats is unlikely to lead to better health. It might leave you worse off overall.

    5 ways these videos can affect mental health

    What we watch online can affect our mood, behaviour and body image.

    Alarm bells should ring if you frequently see these videos and notice you’re doing or experiencing these five things:

    1. disordered eating. Eating less than your body needs, skipping meals, cutting out entire food groups, binge eating and purging are all signs of disordered eating that can lead to serious mental health problems such as eating disorders

    2. low mood. Watching videos promoting low-calorie diets can worsen our mood; you might find yourself feeling deflated after comparing yourself to others (or rather, to the version of themselves they promote online)

    3. poor body image. Research shows watching “what I eat in a day” videos can leave people feeling worse about their bodies and appreciating them less

    4. obsessive thinking and anxiety. Obsessing over the “perfect” diet can increase anxiety about food and eating. Diets that encourage a very detailed approach to nutrition – including breaking meals down into components such as carbohydrates and proteins or weighing food – can further fuel obsessive thoughts

    5. narrow life focus. Having your social media feed filled with these types of videos can create an overemphasis on the importance of food, eating and body image on your self-worth. This ultimately affects your health and wellbeing.

    What we watch online can affect our mood, behaviour, and body image.
    GaudiLab/Shutterstock

    OK, so what can I do?

    If you’re encountering “what I eat in a day” videos often and find they’re affecting your mood, eating behaviour or sense of self-worth you can try to:

    • understand that these videos are not tailored to your individual health or nutritional needs and that many contain harmful messaging
    • avoid engaging with videos that promote disordered eating, idealised beauty standards or that make you feel bad after you watch them
    • unfollow accounts that regularly post such videos, or tap “not interested” on the TikTok video to stop the algorithm showing you more of them
    • balance your social media feed with content focused on other areas of life besides food and eating (such as art, design, animals, books, sports or travel). Fill your feed with interests that improve your personal sense of wellbeing
    • consider taking regular breaks from social media and seeing if you feel better overall.

    If you do want to view posts about food, seek out creators attempting to buck these negative trends by focusing more on fun and taste.

    And if you’re experiencing low mood, disordered eating or body image issues, seek help from your local GP. They can connect you with practitioners who provide evidence-based therapies such as cognitive behavioural therapy.

    If you have a history of an eating disorder or suspect you may have one, you can contact the Butterfly Foundation’s national helpline on 1800 334 673 (or via their online chat).

    Ultimately, “what I eat in a day” videos aren’t really helpful. They contain very little useful information to guide your health or nutritional goals.

    If you are considering making changes to your diet, it’s important to consult a qualified professional, such as an accredited practising dietitian, who can learn about your situation and monitor any risks.

    Catherine Houlihan consults with an eating disorders service owned and operated by the Butterfly Foundation.

    – ref. Those ‘what I eat in a day’ TikTok videos aren’t helpful. They might even be harmful – https://theconversation.com/those-what-i-eat-in-a-day-tiktok-videos-arent-helpful-they-might-even-be-harmful-257127

    MIL OSI Analysis – EveningReport.nz –

    June 11, 2025
  • MIL-Evening Report: The AI hype is just like the blockchain frenzy – here’s what happens when the hype dies

    Source: The Conversation (Au and NZ) – By Gediminas Lipnickas, Lecturer in Marketing, University of South Australia

    Izf/Shutterstock

    In recent years, artificial intelligence (AI) has taken centre stage across various industries. From AI-generated art to chatbots in customer service, every sector is seemingly poised for disruption.

    It’s not just in your news feed every day – venture capital is pouring in, while CEOs are eager to declare their companies “AI-first”. But for those who remember the lofty promises of other technologies that have since faded from memory, there’s an uncanny sense of déjà vu.

    In 2017, it was blockchain that promised to transform every industry. Companies added “blockchain” to their name and watched stock prices skyrocket, regardless of whether the technology was actually used, or how.

    Now, a similar trend is emerging with AI. What’s unfolding is not just a wave of innovation, but a textbook example of a tech hype cycle. We’ve been here many times before.

    Understanding the hype cycle

    The tech hype cycle, first defined by the research firm Gartner, describes how emerging technologies rise on a wave of inflated promises and expectations, crash into disillusionment and, eventually, find a more realistic and useful application.


    The Conversation, CC BY-ND

    Recognising the signs of this cycle is crucial. It helps in distinguishing between genuine technological shifts and passing fads driven by speculative investment and good marketing.

    It can also mean the difference between making a good business decision and a very costly mistake. Meta, for example, invested more than US$40 billion into the metaverse idea while seemingly chasing their own manufactured tech hype, only to abandon it later.




    Read more:
    Why the metaverse isn’t ready to be the future of work just yet


    When buzz outpaces reality

    In 2017, blockchain was everyone’s focus. Presented as a revolutionary technology, blockchain offered a decentralised way to record and verify transactions, unlike traditional systems that rely on central authorities or databases.

    US soft drinks company Long Island Iced Tea Corporation became Long Blockchain Corporation and saw its stock rise 400% overnight, despite having no blockchain product. Kodak launched a vague cryptocurrency called KodakCoin, sending its stock price soaring.

    These developments were less about innovation and more about speculation, chasing short-term gains driven by hype. Most blockchain projects never delivered real value. Companies rushed in, driven by fear of missing out and the promise of technological transformation.

    But the tech wasn’t ready, and the solutions it supposedly offered were often misaligned with real industry problems. Companies tried everything, from tracking pet food ingredients on blockchain, to launching loyalty programs with crypto tokens, often without clear benefits or better alternatives.

    In the end, about 90% of enterprise blockchain solutions failed by mid-2019.

    The generative AI déjà vu

    Fast-forward to 2023, and the same pattern started playing out with AI. Digital media company BuzzFeed saw its stock jump more than 100% after announcing it would use AI to generate quizzes and content. Financial services company Klarna replaced 700 workers with an AI chatbot, claiming it could handle millions of customer queries.

    The results were mostly negative. Klarna soon saw a decline in customer satisfaction and had to walk back its strategy, rehiring humans for customer support this year. BuzzFeed’s AI content push failed to save its struggling business, and its news division later shut down. Tech media company CNET published AI-generated articles riddled with errors, damaging its credibility.

    These are not isolated incidents. They’re signals that AI, like blockchain, was being over hyped.

    Why do companies chase tech hype?

    There are three main forces at play: inflated expectations, short-term view and flawed implementation. Tech companies, under pressure from investors and media narratives, overpromise what AI can do.

    Leaders pitch vague and utopian concepts of “transformation” without the infrastructure or planning to back them up. And many rush to implement, riding the hype wave.

    They are often hindered by a short-term view of what alignment with the new tech hype can do for their company, ignoring the potential downsides. They roll out untested systems, underestimate complexity or even the necessity, and hope that novelty alone will drive the return on investment.

    The result is often disappointment – not because the technology lacks potential, but because it’s applied too broadly, too soon, and with too little planning and oversight.

    Where to from here?

    Like blockchain, AI is a legitimate technological innovation with real, transformative potential.

    Often, these technologies simply need time to find the right application. While the initial blockchain hype has faded, the technology has found a practical niche in areas like “asset tokenization” within financial markets. This allows assets like real estate or company shares to be represented by digital tokens on the blockchain, enabling easier, faster and cheaper trading.

    The same pattern can be expected with generative AI. The current AI hype cycle appears to be tapering off, and the consequences of rushed or poorly thought-out implementations will likely become more visible in the coming years.

    However, this decline in hype doesn’t signal the end of generative AI’s relevance. Rather, it marks the beginning of a more grounded phase where the technology can find the most suitable applications.

    One of the clearest takeaways so far is that AI should be used to enhance human productivity, not replace it. From people pushing back against the use of AI to replace them, to AI making frequent and costly mistakes, human oversight paired with AI-enhanced productivity is increasingly seen as the most likely path forward.

    Recognising the patterns of tech hype is essential for making smarter decisions. Instead of rushing to adopt every new innovation based on inflated promises, a measured, problem-driven approach leads to more meaningful outcomes.

    Long-term success comes from thoughtful experimentation, implementation, and clear purpose, not from chasing trends or short-term gains. Hype should never dictate strategy; real value lies in solving real problems.

    Gediminas Lipnickas 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. The AI hype is just like the blockchain frenzy – here’s what happens when the hype dies – https://theconversation.com/the-ai-hype-is-just-like-the-blockchain-frenzy-heres-what-happens-when-the-hype-dies-258071

    MIL OSI Analysis – EveningReport.nz –

    June 11, 2025
  • MIL-Evening Report: The Project really did do news differently. Its demise is our loss

    Source: The Conversation (Au and NZ) – By Andrew Dodd, Professor of Journalism, Director of the Centre for Advancing Journalism, The University of Melbourne

    The most unsettling thing about the closure of Network Ten’s The Project is that it might come to be seen as the moment commercial network television gave up on young audiences for news programming.

    If that’s what’s happening, it’s a worrying thought. Bringing news and current affairs to young audiences is exactly what The Project has done so well over its 16-year lifespan, and it’s hard to imagine how the channel will replace it in ways that work for audiences already disengaged with mainstream media.

    The Project will be missed. Perhaps not by those such as a caller to ABC Melbourne’s Drive program yesterday afternoon, who described The Project as Behind the News for grown-ups.

    The caller’s tone signalled an insult but that discredits both the long-running ABC program for schoolchildren and the goal of engaging young adult audiences in news and current affairs.

    Declining numbers

    In 2010, a year after the program launched, it was rating 1.1 million in the country’s capital cities, which made it competitive with other commercial TV news services.

    By last weekend, the program was drawing an average national audience of 270,000 across the regions as well as the capital cities, according to media commentator, Tim Burrowes’, Unmade newsletter. Even allowing for the overall decline in the number of people watching television since 2010, those ratings figures are dismal.

    Burrowes, the author of Media Unmade: Australian Media’s Most Disruptive Decade, suggests the controversial hiring of former Nine Network star, Lisa Wilkinson, in 2017, to present the program’s Sunday edition may have unsettled The Project’s internal harmony after the Bruce Lehrmann defamation trial she was involved in.

    A winning format for younger audiences

    The Project’s formula of combining news with comedy emerged from the success of The Panel, the weekly show produced in the late 1990s by Working Dog and featuring the D-Generation team of Rob Sitch, Santo Cilauro and Tom Gleisner, along with Kate Langbroek, Glenn Robbins and, for a while, Jane Kennedy.

    The Panel opening theme song, Working Dog Productions.

    It was edgy and topical. It bounced off current events with short piss-take scene-setting video grabs, followed by wry observations and silly gags.

    It was just as much comedy as it was current affairs, and it was all about appealing to young and disenfranchised viewers.

    The Panel anticipated the exodus away from the po-faced solemnity of commercial terrestrial TV news well before streaming had taken hold.

    Rove McManus and his production company saw its potential, as did Ten, which knew it needed to try new things. It could not compete with Seven and Nine, who were then – and in many ways still are – locked in a perpetual ratings war while being almost identical to one another.

    The Project’s producers knew they had a winning format. They ensured the show was rarely boring and avoided the predictability of worthiness. They weren’t afraid to ask the non-PC question, or laugh at themselves, or debate or discuss or delve.

    But that didn’t mean they resorted to meanness or took pleasure in others’ misfortune. Admittedly, Steve Price did need to be reined in from time to time.

    The format encouraged audiences to stick with them and in the process they actually learnt stuff. Young, disengaged kids saw politicians discussing matters of substance, with the show challenging assumptions.

    News for the social media era

    As increasing numbers of young people stopped turning on TVs, The Project became consumable in bite-size chunks on social media.

    The show’s producers cottoned on to this earlier than most and began crafting segments that could be easily shared. Waleed Aly became an Instagram star for his impassioned, informed editorialising about racial issues, along the way earning nominations for several Logie awards, and winning the Gold Logie in 2016.

    Peter Helliar, Dave Hughes and Charlie Pickering made audiences laugh. And another Gold Logie winner, Carrie Bickmore, made them care, especially in 2013 when she broke the fourth wall of television to talk about the need to improve public awareness of brain cancer following a story about a potential cure for the disease in ten years’ time. A few years previously Bickmore’s husband had died of the disease.

    The loss of another media town square

    While The Project was on air, the network was at least making an effort to inform a section of the market that had long been under-served by the news media.

    With relatively recent entrants, like the Daily Aus, stepping in to that gap, perhaps Ten thought it was becoming too crowded?

    We’ll have to assess what the network does next to see if it thinks investing in current affairs is no longer worth the effort.

    With the ABC threatening to walk away from Q&A, it looks like commercial and public networks are coming to the same view: that panel-based current affairs programming is a turn-off for audiences, regardless of whether they’re young or old.

    This is especially troubling because the closure of each program means the loss of another media town square, where the capacity to listen to, and learn from one another, in civil ways also disappears.

    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 Project really did do news differently. Its demise is our loss – https://theconversation.com/the-project-really-did-do-news-differently-its-demise-is-our-loss-258588

    MIL OSI Analysis – EveningReport.nz –

    June 11, 2025
  • MIL-OSI Russia: The Caribbean Challenge: Fostering Growth and Resilience Amidst Global Uncertainty

    Source: IMF – News in Russian

    June 10, 2025

    As prepared for delivery

    Introduction and Road Map

    Good evening, everyone.

    It is a great pleasure to join you here in Brasilia for the 55th Annual Meeting of the Caribbean Development Bank (CDB or the Bank).

    Thank you Valerie for your very kind introduction. I also take this opportunity to thank the Bank for giving me the honor of delivering this year’s lecture in memory of Dr. William Gilbert Demas.

    It is highly symbolic that this year’s meeting takes place in Brazil for the very first time. This symbolizes a new beginning and demonstrates the CDB’s broad and international coalition of shareholders all vested in CDB’s success.

    The CDB is an incredibly important institution that has a vital role to play in the Caribbean’s development. It must be cherished, and supported, even as it delivers value to its borrowing and non-borrowing membership in harmonious partnership with all its stakeholders.

    This is also the first CDB Annual General Meeting under the presidency of Mr. Daniel Best. It is therefore in order to, again, congratulate President Best and to wish him tremendous success.

    Dr. Demas’s contributions throughout his career—as a policymaker, as an academic, and as an economist—cannot be overstated. He left a legacy of far-sighted vision and Caribbean excellence. A legacy that the whole region can be proud of.

    We need to channel that vision and that excellence to meet two urgent priorities for the region. First, to lift growth prospects and living standards. And second, to build resilience against persistent economic shocks and natural disasters. These two objectives go hand in hand. We need the second to sustainably deliver on the first.

    At a moment of exceptional uncertainty in the global economy, these tasks become even harder—and our efforts become even more urgent.

    Today, I will address the growth and resilience challenge: both in the global context and in the context of the Caribbean region.

    I will then discuss how regional policymakers can respond—by implementing sound macroeconomic policies and by following through on necessary structural reforms.

    Finally, I will share how the IMF is supporting our members to boost growth prospects and build resilience in today’s uncertain global environment.

    The Global Growth Challenge

    Let me start with the global growth outlook.

    After a series of shocks over the past five years, the global economy seemed to have stabilized—at steady but underwhelming rates, as compared with recent experience.

    However, the landscape has now changed. Major policy shifts have signaled a resetting of the global trading system. In early April, the US effective tariff rate jumped to levels not seen in a century.

    And, while trade talks continue and there’s been a scaling back of some tariffs, trade policy uncertainty remains off the charts.

     

    As a result, we significantly downgraded our most recent global growth projections in the April World Economic Outlook—by 0.5 percentage point for this year, from 3.3 to 2.8 percent; and 0.3 percentage point in 2026, from 3.3 to 3.0 percent. This represents the lowest global growth in approximately two decades, outside of 2020, the year of the pandemic.

    A natural question is: if trade tensions and uncertainty persist, what could be the impact on global growth?

    To start, we know that uncertainty imposes huge costs. With complex modern supply chains and changing bilateral tariff rates, planning becomes very difficult. Businesses postpone shipping and investment decisions. We also know that the longer uncertainty persists, the larger the costs imposed.

    In addition, rising trade barriers hit growth upfront. Tariffs do raise fiscal revenues but come at the expense of reducing and shifting economic activity—and evidence from past episodes suggests higher tariff rates are not paid by trading partners alone. These costs are passed on to importers and, ultimately, to consumers who pay higher prices.

    Protectionism also erodes productivity over the long run, especially in smaller economies. Shielding industries from competition reduces incentives for efficient resource allocation. Past productivity and competitiveness gains from trade are given up, which hurts innovation.

    Tariffs will impact economic growth differently across countries, but no nation is immune. The IMF’s most significant downgrades to growth are concentrated in countries affected the most by recent trade measures. Low-income countries face the added challenge of falling aid flows, as donor countries reprioritize resources to deal with domestic concerns.

    And we have already seen an increase in global financial market volatility. Equity market valuations declined sharply in response to the April tariff announcements. Unusual movements in the US government bond and currency markets followed.

    Equity markets have since regained ground on the hopes of a swift resolution of trade tensions. But with continued uncertainty and tighter financial conditions, we assessed in our most recent Global Financial Stability Report that risks to global financial stability have increased significantly.

    These global realities result in three main vulnerabilities.

    First, valuations remain high in some key segments of global equity and corporate bond markets. If the economic outlook worsens, these assets are vulnerable to sharp adjustments. This could, in turn, affect emerging markets’ currencies, asset prices, and capital flows.

    Second, in more volatile markets, some financial institutions could come under strain, especially highly leveraged nonbank financial institutions, with implications for the interconnected financial system.

    Third, sovereign bond markets are vulnerable to further turbulence, especially where government debt levels are high. Emerging market economies—which already face the highest real financing costs in a decade—may now need to refinance their debt and finance fiscal spending at even higher costs.

     

    These vulnerabilities, and the potential for impact in emerging economies, should not be underestimated nor ignored.

    But let me step back from these most recent economic and financial developments. As I mentioned, global growth prospects were already underwhelming.

    And looking over the medium term, these global growth prospects, as I mentioned previously, remain at their lowest levels in decades.

    What is driving this? Our analysis shows that a significant and broad-based slowdown in productivity growth accounts for more than half of the decline in global growth.

    This is partly because global labor and capital have not been flowing to the most dynamic firms. Lower private investment after the Global Financial Crisis and slower working-age-population growth in major economies exacerbated the problem. Our studies show that, without a course correction, global growth rates by the end of this decade would be below the pre-pandemic average by about 1 percentage point.

    Simply put, new uncertainties on top of already weak economic prospects make for a very challenging global growth backdrop.

    The Caribbean Growth and Resilience Challenge

    It is not surprising, then, that most Caribbean countries also face a challenging outlook.

    In our latest World Economic Outlook, we already projected tepid growth in the Caribbean region overall—even before accounting for the US trade policy announcements. Stronger performance in some countries—such as Jamaica and Trinidad and Tobago—was offset by slower growth in others.

    And in several countries, crime weighs on growth prospects. Particularly in Haiti, where the security situation hampers efforts to sustain economic activity, implement reforms, and attract aid and foreign direct investment.

    On top of that, we estimate that the April tariff announcement and its global spillovers would lower Caribbean regional growth by at least 0.2 percentage point on average.

    But the impact varies across countries.

    In tourism-dependent economies, where growth is closely tied to US economic activity, the impact will mainly depend on the size of the US tourist base (Figure).

    In oil-exporting countries, lower commodity prices and higher volatility are the main channels of transmission. Lower global growth means lower demand for these commodities which adversely impacts the economies of commodity exporting countries.

    Slower growth, while a relatively recent phenomena from a global perspective, is, unfortunately, not new to the Caribbean. Declining growth trends in the Caribbean region have loomed over the longer horizon as well. Recent IMF analysis finds that most Caribbean countries had significantly slower growth over the last decades: 2001–2023, as compared with the previous two decades: 1980–2000 (Figure).

    For tourism-dependent Caribbean economies, we estimate a decline in potential growth from 3.3 percent over the 1981 – 2000 period to 1.6 percent over the following two decades, 2001-2019.

    This presents the Caribbean with an aggravated challenge – to reverse the trend of slower growth at a time when global growth is also declining. That is, the challenge is to reverse the trend of slower growth when the wind in the proverbial sail is weaker and has changed direction.

    Let’s be clear about what is at stake.

    Slower growth in the Caribbean slows the improvement in living standards and stymies the aspirations of Caribbean people for better opportunities. Slowing growth, in the past, has also meant that convergence in income levels between the Caribbean and advanced economies has stalled. In other words, the gap between the economic fortunes of the Caribbean national and that of her counterpart in the advanced world is growing wider.

     

    Of course, there are exceptions to the regional trend. In particular, Guyana’s economy has grown rapidly over the past two decades, progressing from low-middle-income to high-income status. Growth accelerated to over 45 percent on average in the past three years, making Guyana the fastest growing economy in the world!

    But for the Caribbean more broadly, the questions on which we should focus is – what explains the pattern of declining growth? And, what is the appropriate menu of policy responses to this pattern?

    With respect to the first question, and as in the rest of the world, a key explanation for declining growth is weak productivity growth.

    The growth challenge is not a mystery. Growth potential can be decomposed into its constituent factors and we can compare how the Caribbean’s growth potential has declined over time. Such an analytical and data-driven approach reveals that the Caribbean’s growth potential is a half of what it was a few decades ago. Addressing the Caribbean growth challenge requires systematic and comprehensive policies to strategically improve the factors that contribute to growth potential. Zooming in on one of the important factors: the Caribbean’s productivity growth has declined to almost zero. This is at the root of the Caribbean’s growth challenge. In addition to productivity growth, physical and human capital development need to be accelerated. So, ladies and gentlemen, there is no magic solution to the Caribbean growth challenge. There is no quick fix either. In fact, great danger exists if we believe that the growth challenge can be addressed with quick fixes. Solving the growth question will require as much effort as the effort put into the macro stability reforms successfully undertaken in Jamaica, Barbados and Suriname.

    What Should Policymakers Do? – Maintain and Entrench Macro Stability

    The goal for policymakers is clear: to foster resilient and inclusive growth that sustainably raises living standards.

    How should this be achieved?

    1. Maintain and entrench macro-economic stability and
    2. Decisively and comprehensively address the factors that raise growth potential

    As a pre-requisite, countries should strive to pursue policies that restore, maintain and entrench macroeconomic stability – stable prices, sustainable fiscal trajectories, adequate foreign exchange reserves and financial sector stability.

    The collective Caribbean experience powerfully demonstrates the transformative potential of macroeconomic stability. Jamaica, for example, which was burdened with unemployment rates that averaged 20% between the early 1970’s and the end of the 1980’s and 15% between over the 1990’s to the mid 2000’s only achieved the previously unimaginable result of low single digit unemployment rates, in the region of 4% and lower, when stability became entrenched.

    Stability is also a friend to the poor as Jamaica’s experience also highlights.

    Jamaica achieved the lowest rate of poverty in its history in 2023, again on the back of entrenched macroeconomic stability in the context of an institutionalized social protection framework supplemented by temporary and targeted counter-cyclical measures at times of distress.

    Friends, our history and global economic history clearly demonstrate that economic stability is indispensable to national success, regardless of chosen social and political organization. Economic stability should therefore be guarded and protected as a national asset, allowing for focus on higher order challenges like structural reforms to unlock growth potential. Also, the requirements of stability should act as a constraint on policy. Any proposed policy action that has the prospect of jeopardizing any of the components of stability should not make it through the policy formation gauntlet. Securing economic stability into the future requires laws but laws are insufficient. Stability over the long term is best preserved by developing, empowering, and strengthening institutions.

    Build fiscal buffers, strengthen fiscal frameworks, and bolster resilience.

    The Caribbean region hosts different currency regimes. The key requirement is internal consistency within the chosen currency regime. Floating rate and fixed rate currency regimes impose their own constraints. These need to be observed for success.

    While there is always room for improvement in monetary frameworks, the areas within the macro stability complex, that require urgent attention in the Caribbean, are rebuilding fiscal buffers, strengthening fiscal frameworks and bolstering resilience.

    Let’s face it: on top of all the other challenges, government budgets in the region are strapped. Providing extraordinary support in response to extraordinary shocks has depleted buffers.

    Public debt ratios have come down since the pandemic—this is good news. However, in many countries—including Caribbean countries—debt and financing needs are still too high.

    In fact, for some Eastern Caribbean Currency Union (ECCU) members, achieving their regional debt target of 60 percent of GDP by 2035, a full decade from now, will require sizeable efforts.

    With timely fiscal consolidation, countries can bring down debt ratios and by so doing, they can protect themselves against future shocks. And they can make space to invest in crucial human and physical capital—an investment in their own future.

    In addition, some Caribbean countries have pegged exchange rates, which have been a long-standing anchor of stability—for example, in the Eastern Caribbean. The ECCU is one of only four currency unions in the entire world[1] and stands as a testimony to the capacity of Caribbean people to collaborate, cooperate and innovate.

    However, to safeguard the stability provided by this currency union long into the future, fiscal policies must be sustainable, resilient, and consistent with the exchange rate regime. Inconsistency only serves to compromise the currency union with the potential for destabilizing consequences.

    Our advice to policymakers on how to rebuild buffers and strengthen frameworks is straightforward: mobilize tax revenue, spend wisely, and plan ahead.

    Let’s start with mobilizing tax revenue. The tax revenue yield in Eastern Caribbean countries is falling short of peers. Inefficient tax exemptions and weak tax administrations are leading to large revenue losses.

    Broadening the tax base and removing distortions will not only increase revenues but also support investment and growth. The Fund has provided technical assistance to our members in the Caribbean to support their ongoing efforts in this area.

    Let me turn to spending wisely. Not all spending is productive spending. With limited fiscal space focus must be on spending that has the potential to deliver quantifiable social and economic returns within reasonable timeframes. Policymakers should keep the quality and composition of spending under review, including by containing unproductive spending, enhancing efficiency, and digitalizing government services.

    Finally, plan ahead. With conviction. Credibility is critical to allow fiscal consolidation to proceed gradually with lower financing costs and better growth results.

    Strong medium-term fiscal frameworks, with well-designed fiscal rules and specific plans for fiscal policies and reforms, can help bring debt down and investment up.

    Frameworks that combine debt and operational targets—and are backed by adequate capacity and institutions—can be particularly powerful.

    This approach worked well in Jamaica, where fiscal responsibility was written into law under the Financial Administration and Audit Act. The Act established a public debt goal of 60 percent of GDP and a rule that determines the annual target fiscal balance consistent with that objective. An Independent Fiscal Commission is the arbiter of Jamaica’s fiscal rules and provides an opinion on fiscal policy sustainability, strengthening credibility and accountability.

    Planning ahead also means being ready for the certainty of economic shocks. A golden rule in policymaking in a country is to design policies that fit the country’s circumstances. Shocks are a permanent feature of Caribbean small state reality. Caribbean economic policy ought, therefore, to make provisions for the inevitability of economic shocks. In Jamaica’s Act, there are clear escape clauses for large shocks and an automatic adjustment mechanism to secure a return to the debt target.

    Well-designed and transparent sovereign wealth funds can also help stabilize public finances when shocks hit. For example, Trinidad and Tobago’s sovereign wealth fund insulates fiscal policy from oil price fluctuations. Guyana’s fund helps manage its natural resource revenues, finance investment, and save for the future. And St. Kitts and Nevis is considering a fund to smooth volatile revenues from the Citizenship-by-Investment program.

    Planning for shocks is ever more important in regions like the Caribbean that face recurrent threats from natural disasters.

    Our countries need to be prepared before disasters hit.

    Recurring natural disasters impair productive infrastructure and hinder human development, constraining productivity growth even further.

    Major natural disasters cost an average of 2 percent of GDP per year in Caribbean countries and close to 4 percent of GDP in the Eastern Caribbean countries.

    There is a physical dimension to disaster preparedness, which involves investing in resilient infrastructure.

    There is also a financial dimension, which involves developing resilient risk transfer, contingent claim and insurance mechanisms.

    Unfortunately, rising global private re-insurance premiums are making the task even harder. Domestic insurance premiums have also been rising. The result is lower insurance coverage in the private sector, and thus potentially more burden on governments when a natural disaster strikes.

    Caribbean countries can secure a comprehensive insurance framework with multiple layers: self-insurance through their own fiscal buffers, participation in pooled risk transfer arrangements, contingent financing and catastrophe bonds.

    With respect to the first layer, in Jamaica, there is a legislated requirement to save annually in a natural disaster fund. I recognize, however, that for some countries individual buffers have declined since the pandemic and need to be restored.

    On the second layer, the Caribbean Catastrophe Risk Insurance Facility (CCRIF) helps fill an important gap. Coverage has steadily improved since its inception, and the CCRIF has made prompt payouts after various natural disasters. This included US$85 million across five countries, Grenada, St Vincent & the Grenadines, Trinidad and Tobago, the Cayman Islands and Jamaica, in a matter of days after Hurricane Beryl, underscoring the Facility’s regional importance. Further expanding coverage would pay off in the long term.

    On the third layer of contingent financing, the World Bank has approved catastrophe deferred drawdown options for Barbados, Dominica, Grenada, Jamaica, St. Lucia, St. Vincent and the Grenadines, among other countries in the pipeline. Furthermore, Grenada and St. Vincent and the Grenadines have already drawn on these instruments following natural disasters.

    In addition, the IDB has credit contingent facilities with Antigua and Barbuda, the Bahamas, Barbados, Jamaica, St Vincent and the Grenadines among other countries.

    On the fourth layer, Jamaica has, with World Bank assistance, independently sponsored two catastrophe bonds.

    Now, to be clear, stability, resilience and risk transfer by themselves, do not automatically deliver the elevated growth needed. However, elevated levels of economic growth cannot be achieved without stability. Furthermore, stability and resilience set the stage for elongating the economic cycle by significantly lowering a country’s risk premium, lowering the cost of capital, expanding the frontier of project economic viability and providing the counter-cyclical capacity to respond to shocks, thereby limiting the duration and intensity of downturns, and providing for longer unbroken periods of consecutive economic growth. The Jamaican experience demonstrates these relationships.

    To achieve higher growth, in addition to stability, policymakers have to decisively address factors that elevate growth potential beginning with the productivity gap.

    Decisively address structural obstacles to lift firm level productivity

    Addressing the growth challenge requires reversing the decline in the Caribbean’s growth potential by 1) improving total factor productivity and 2) boosting investment in physical and human capital.

    Our analysis for the ECCU shows that the bulk of total factor productivity losses come from high costs of finance, cumbersome tax administration, inefficient business licensing and permits, and skills mismatches in the workforce. From my experience, this can also be applied to most of the Caribbean beyond the ECCU.

    Overcoming these obstacles could bring substantial productivity gains ranging from 34 to 65 percent— which would be an incredible result! This could close the gap in income per capita with the US by 9 to 27 percentage points.

    Simplify and Digitalize Regulation, Business Licensing, Permits and Tax Payment Procedures

    One practical step is to promote digitalization of Caribbean societies which can significantly boost productivity. This will require a multifaceted strategy including investment in digital infrastructure, digital transformation of government, reducing the cost and increasing the availability of data transmission, improving digital literacy, among other factors.

    Application of digital tools and digital technologies to improve access to government services, while reducing time, ought to be seen as a non-negotiable imperative. As an obvious example, further enhancing taxpayer access to digital government services—through e-payment, e-filing, and e-registration—would not only reduce the administrative burden but also encourage compliance, fostering a better environment for entrepreneurship.

    In much of the Caribbean, businesses have to navigate a complex labyrinth of licensing, permitting and regulatory regimes. This is a drag on productivity. While the largest enterprises have the scale to absorb the inefficiencies, smaller firms suffocate from overly burdensome processes. We know that the economic vitality of a country is linked to the level of hospitability of the business environment to its small and medium-sized firms.

    There is, therefore, tremendous scope in the region to greatly simplify regulatory processes and eliminate unnecessary steps. Furthermore, the digitalization of licensing, permitting and regulatory procedures promises to enhance the efficiency of firms, boosting productivity.

    Improving Access to Finance

    That leads me to another practical step: improving access to finance, which can encourage new businesses and support a transition into the more productive formal sector. Finance is the oxygen of business, and its affordable and widespread availability is essential for having a dynamic business environment.

    There could be an entire session on improving access to finance as it is so fundamental, yet so multifaceted and complex.

    Many factors hinder access to finance in the Caribbean. I will touch on a few.

    First, legacy weaknesses in banks’ balance sheets limit access to credit, investment, and growth across the region. So it is important to address vulnerabilities in the banking sector. This includes timely compliance with regulatory standards and easier ways to dispose of impaired assets. Progress is happening: banks are building buffers and reducing non-performing loan ratios. But more work is needed to ensure all banks meet regulatory minimums.

    Reducing the costs of non-performing loan resolutions, ultimately reduces the cost of loans. This can be achieved by modernizing insolvency regimes to encourage faster out-of-court debt workouts. Asset management companies—if they are properly funded—would facilitate asset disposals.

    Collateral infrastructure should also be strengthened through effective credit registries and partial credit guarantee schemes. For example, the recently created regional credit bureau in the Eastern Caribbean can help lower the cost and time of credit risk assessments and close information asymmetry gaps. This will help small and medium enterprises access credit while safeguarding credit quality.

    Stronger anti-money laundering and anti-terrorism financing frameworks can help protect the financial system from external threats and retain correspondent banking relationships, the absence of which impedes access to credit.

    The above financial sector measures are absolutely necessary but hardly revolutionary.

    Revolutionizing access to credit in the region could be achieved by enabling mobile real-time, instant, 24/7 payment system platforms as exist in India through their Unified Payments Interface (UPI) and right here in Brazil through Pix.

    In both India and Brazil, access to finance and to financial services have been transformed, and inclusiveness expanded, by these innovations. Transactions are free, or ultra-low cost, and these payment platforms are integrated into banking apps and into e-commerce platforms.

    Of course, these systems only exist within the context of national identification systems that provide the necessary identity verifications as required.

    Seize the Opportunities from the Renewable Energy Transition.

    The use of oil imports for electricity generation is costly and has led to very high electricity prices which undermines competitiveness—particularly for the tourism industry—at the expense of potential growth.

    As we explored last December in the Caribbean Forum in Barbados, a successful energy transition can foster inclusive, sustainable, and resilient growth.

    That transition will look different for energy-importing and energy-exporting countries.

    For energy importers, diversifying into renewable energy, with fast declining costs, can reduce reliance on expensive and volatile oil imports. It would also offer relief from some of the highest electricity costs in the world. Consider this key fact: electricity in many countries in the Caribbean costs, a minimum of, twice as much as in advanced economies. We have been discussing this in the region for a long time. Too long.

    The energy transition would enhance external sustainability for energy importers, while making them more competitive, more resilient to shocks, and more likely to grow faster and on a sustainable basis.

    But seizing these opportunities requires tackling key obstacles. For example, high upfront investment costs. Limited fiscal space. Regulatory hurdles for private investment. And small market sizes and isolated grids that hinder economies of scale.

    So, the transition to renewables will take time and investment. It will also take efforts coordinated on a regional scale.

    One immediate, cost-effective step is to implement energy efficiency measures. For example, both Barbados and Jamaica have retrofitted government buildings with energy-efficient equipment. This delivers quick savings, typically without large upfront costs.

    On the regional front, initiatives like the Resilient Renewable Energy Infrastructure Investment Facility—championed by the Eastern Caribbean Central Bank and supported by the World Bank—offer a promising step forward.

    Regional mechanisms to promote pooled procurement and to harmonize regulatory frameworks will also be key.

    Energy exporters in the Caribbean face a different set of challenges. Most notably, they have the difficult task of managing changes in fossil fuel demand and fiscal revenues while maximizing the value of existing reserves.

    But the energy transition is also an opportunity to diversify into the green energy sectors of the future, such as green petrochemicals and green hydrogen.

    Energy exporters will also need to watch out for spillovers from other regions’ climate policies, such as border carbon adjustment mechanisms. For example, Trinidad and Tobago faces exposure to the EU Carbon Border Adjustment Mechanism, which could, potentially, affect over 5 percent of the country’s total exports. And a further 5 percent is at risk if the EU expands its Mechanism.

    But energy exporting countries can also turn this type of spillover into an advantage. By introducing their own carbon pricing systems, they can retain revenue in their economies rather than have it collected by their trading partners.

    Invest in Human Capital, Bridge the Skills Gap and Invest in Physical Infrastructure

    The most important investment Caribbean countries can make is in boosting the human capital of the region. Human capital development is multifaceted, but today I will focus on the central elements of education and skills.

    Invest in Human Capital; Address the Skills Gap

    Given the small size of Caribbean economies, and the absence of economies of scale, economic success will be determined by the level and quality of human capital in the region.

    Elevated levels of economic growth will require substantial improvements in education and skills outcomes across the region, and in some countries more than others. This is deserving of the region’s energy and focus.

    A recent survey for the ECCU highlights a shortage of skilled labor as a key constraint for businesses. I know this skills gap is also a reality in Jamaica and can be generalized across much of the Caribbean.

    What can be done? The answer is twofold: enhance the skills of those employed and provide opportunities to those who have skills but are not in the labor market.

    Expanding vocational training and modernizing education systems, coupled with active labor market policies, can help mitigate the skills gap. And digital tools can connect employers with potential employees.

    Emerging technologies—such as artificial intelligence—make closing the skills gap all the more important. The opportunity is that rapidly evolving technologies could bring high productivity gains, with the threat that failure to upgrade skills could expose industries important to the region such as business process outsourcing.

    Harnessing that potential in Caribbean countries includes, for instance, integrating AI and data science into all levels of education.

    The good news is that many countries in the region are facing the skills challenge head on.

    For example, my home country of Jamaica launched a national initiative—supported by the World Bank—for secondary school students in the areas of Science, Technology, Engineering, Arts, and Mathematics, also known as the STEAM initiative.

    In Barbados, the 2022 Economic Recovery and Transformation Plan aims to enhance the business environment by advancing digitalization and skills training.

    In St. Vincent and the Grenadines, an ongoing education reform is focused on modernizing and expanding post-secondary technical and vocational education to better align skills with labor market needs.

    And in Antigua and Barbuda, the planned expansion of the University of the West Indies Five Islands Campus will provide new opportunities for higher education and regional talent development.

    However more can be done, and should be done, in each of these countries. The goal of policy should be to have Caribbean schools rank in the upper quartile of the Program for International Student Assessment (PISA) benchmarks.

    On creating more opportunities, bringing more women into the labor market can contribute to economic growth.

    We estimate that eliminating the gender gap in the ECCU—which is over 11 percentage points, on average—could boost regional GDP by roughly 10 percent. That is a powerful economic case for inclusive labor policies, such as enhanced access to childcare and elderly care.

    It is also imperative to foster opportunities for youth. Caribbean countries have some of the highest youth unemployment rates in the world, ranging from 10 to 40 percent. Empowering future generations is at the core of addressing the growth and resilience challenge in the region.

    I want to acknowledge the important efforts led by the Caribbean Community, CARICOM, to work towards deeper social and economic integration.

    Earlier this year, we saw tangible progress. CARICOM members are working to enable free movement of CARICOM nationals for willing countries. Importantly, this initiative also includes access to primary and secondary education, emergency healthcare, and primary healthcare for migrating individuals.

    Boost Investment in Infrastructure

    Improved infrastructure enhances the productivity of capital as well as the productivity of labor. The Caribbean will need much higher levels of investment to restore and boost its growth potential.

    Workers depend on public transportation to get from home to work and back home again. If this, for example, routinely takes an hour and a half each way, on average, and costs a third of weekly wages, then labor productivity will suffer. Efficient, affordable, accessible mass transportation enhances productivity. While taxis complement bus transportation, they cannot be an effective substitute. This is more of a problem in larger Caribbean territories and I know that Jamaica is tackling this problem head-on.

    Similarly, road and highway connectivity that opens new investment opportunities and reduces the cost of transportation of people and goods enhances productivity of capital as well as the productivity of labor and enhances growth potential.

    Modern commerce relies on communication and, importantly, on data. I mentioned this earlier. There is scope for telecommunications and broadband infrastructure to be improved, for data costs to be lowered, and for data access to be expanded. This will require investment. Hopefully, private investment, but investment that will need to be facilitated by government policy.

    Water is the source of life. Without water, communities are less productive, and businesses cannot function. Across the region, significant investment in water treatment, storage, and distribution infrastructure will be required to support economic growth and improve standards of living over the medium term.

    All of these elements of infrastructure – transportation, broadband, roads, water, and energy, dealt with earlier, – need considerable investment to keep Caribbean societies competitive and to raise the growth potential.

    However, Caribbean governments will not have the required resources to finance these investments from tax revenues, and at the same time fund education, health, security and other essential services.

    As such, governments will need to consider attracting local, regional, and international private capital in well-structured transactions to finance the productivity enhancing infrastructure needs of the region.

    This can be accomplished through the variety of Public Private Partnerships (PPP) modalities that exist and with the advice of multilateral partners, such as the International Finance Corporation (IFC) and the Inter-American Development Bank (IDB) who are very experienced in structuring these kinds of transactions, and who know what is required to generate investor interest.

    I can speak from experience – the IFC has been instrumental in assisting Jamaica to develop its pipeline of PPP’s.

    My advice however is to not develop PPP’s sequentially, one at a time, starting one as the other concludes. Given the preparation period required for each, sequential PPP development will take too long. Instead, pursue PPP’s using a programmatic approach. That is, develop a pipeline of infrastructure PPP’s in parallel so you can bring these to market in rapid succession. The time and resources required for investors to familiarize themselves with the macro-environment, the legislative framework, the regulatory architecture, the country risks etc., with uncertainty around bid success, needs to be amortized over a number of transactions – in order to attract deep pocketed and experienced investors prepared to provide competitive bids.

    Open, transparent and competitive PPP’s, that are well structured, can help bridge the infrastructure gap and boost productivity.

    The Role of the IMF

    These are not easy times, and these are not easy steps to take. They require clarity of vision, coordination, partnerships, technical expertise and lots of energy.

    But these steps can put Caribbean countries on a path toward greater growth and resilience.

    Rest assured that the IMF remains fully committed to supporting our members across the region.

    Our near-universal membership provides us with a unique global perspective and we are informed by a large range of cross-country experiences over the last 80 years.

    With 191 member countries the IMF, as compared to the United Nations with 192 member countries, is as global as it gets. We engage with each of our members on a country-by-country basis, as well as on a regional basis with currency unions, including the Eastern Caribbean Currency Union.

    Our member countries, including Caribbean states, are shareholders and owners of the IMF. We work for you. And we do so through three primary modalities – (i) surveillance, where we provide a review and analysis of our member countries’ economy on an annual or biennial basis. This review, called the Article IV Consultation report, named after the clause in our articles that mandates this exercise, is a principal obligation of IMF membership. This review, which contains country specific policy advice, is published, and freely available, online. I encourage media practitioners, economists, financial analysts, public policy advocates, and citizens interested in their country and region to access these Article IV reports for your country and make good use of the information and analysis contained therein.

    The second modality through which the IMF provides a service to its member countries is capacity development. Here we provide technical analysis and tailor-made policy advice on specific issues that countries may be grappling with. For example, designing of tax policy measures, improving efficiency in public spending, optimizing public debt management, bolstering the capacity of statistics agencies and the development of monetary policy tools to name a few. Under this modality we also provide training courses for public officials through regional institutions such as CARTAC and also in courses at the IMF’s headquarters in Washington, DC.

    Our third modality is the one that most are familiar with – the IMF provides financing designed to address balance of payments challenges. Our long-established lending toolkit helps countries restore macroeconomic stability. In this goal of restoring macroeconomic stability many countries have had successful engagements with the IMF. In the region, Jamaica, Barbados, and Suriname come immediately to mind.

    At the recent IMF Spring Meetings I moderated a panel where the Greek Finance Minister made the point that at this juncture of very challenging fiscal circumstances in the Eurozone, only six countries within the 27 member EU have fiscal surpluses, and it so happens that four of these had IMF programs during the Global Financial Crisis.

    And the IMF continues to evolve to meet the needs of our member countries. Our rapid facilities provide emergency financing when shocks hit. And our newer Resilience and Sustainability Facility provides affordable long-term financing to support resilience-building efforts.

    In the Caribbean, Barbados and Suriname have made great strides in positioning their economies for growth while reducing vulnerabilities under their economic programs supported by the Extended Fund Facility. These countries’ ownership of the reforms has been critical to their success.

    Jamaica had access to—but did not draw on—the Fund’s Precautionary and Liquidity Line, which provided an insurance buffer against external shocks. It supported efforts to keep the economy growing, reduce public debt, enhance financial frameworks, and upgrade macroeconomic data.

    The Fund also provided rapid financing to seven Caribbean member countries during the pandemic.

    And Barbados and Jamaica have benefitted from the Resilience and Sustainability Facility. Reforms have helped integrate climate-related risks in macroeconomic frameworks, provide incentives for renewable energy to support growth, and catalyze financing for investment in resilience.

    We are also engaging closely with Haiti through a Staff-Monitored Program. This Program is designed to support the authorities’ economic policy objectives and build a track record of reform implementation, which could pave the way for financial assistance from the Fund.

    Of course, the effectiveness of our advice and financial support is enhanced by our continued efforts in capacity development. In particular, I would like to highlight the work of CARTAC, which has been operating since 2001.

    CARTAC offers capacity building and policy advice to our Caribbean members across several areas: from public finance management, to tax and customs administration, to financial sector supervision and financial stability, and beyond.

    We greatly appreciate the generous support received so far for CARTAC. But more is needed to close the financing gap. I hope we can count on your advocacy with development partners to sustain CARTAC’s essential work.

    In my time at the Fund thus far, I have seen how much advanced countries rely on, and use, the IMF’s intellectual output to the benefit of their countries and how this output features in, and informs, public discourse in many member countries. The IMF is an incredibly powerful resource that works for you and I strongly encourage Caribbean countries to strategically maximize their use of the IMF and what it has to offer.

    A Call to Action

    Let me conclude.

    Policymakers in the Caribbean are facing a complex set of old and new challenges.

    But challenging times can also be times of opportunity, action, and resolve.

    The Caribbean is a region of immense promise, with rich cultural heritage, natural beauty, and vibrant population.

    The world is undergoing profound change. This change introduces global vulnerabilities to which the Caribbean is not immune. The resilience of small open economies like those in the Caribbean is likely to be tested.

    It is imperative, therefore, that Caribbean countries work to put their macro-fiscal houses in order while engaging in deep and meaningful structural reforms to increase the growth potential of Caribbean economies.

    You hold the keys to the future of the region. You have the tools, the talent, and the tenacity to chart a new path for growth and resilience. Your actions can make a difference to the Caribbean’s prospects.

    We have seen many steps in the right direction to address bottlenecks and boost productivity. And we encourage you to keep going.

    Implement those reforms that are under your control.

    Continue to work together across the region.

    Capitalize on CARICOM to achieve a larger market for the movement of people, investment, and trade.

    Stay focused on the goal: delivering more economic resilience, higher growth prospects, and better living standards for people across the Caribbean.

    And, you can count on the Fund along the way.

    Thank you.


    [1] The other currency unions are: Economic Community of Central African States (CEMAC); West African Economic and Monetary Union (WAEMU); and the European Economic and Monetary Union (EMU).

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    https://www.imf.org/en/News/Articles/2025/06/10/dmd-clarke-cdb-speech-june-10

    MIL OSI

    MIL OSI Russia News –

    June 11, 2025
  • MIL-OSI USA: Court Appointments Announced

    Source: US State of New York

    overnor Kathy Hochul today announced 17 appointments to the New York State Court of Claims, 5 appointments to the Supreme Court and 2 appointments to Family Court.

    “Our judicial system works best when we have talented, qualified jurists on the bench,” Governor Hochul said. “These 24 individuals have the experience and knowledge to serve as members of the judiciary, and will play a critical role in the fair and impartial dispensation of justice across New York.”

    As Judges of the Court of Claims:

    Monica Wallace

    Monica Piga Wallace was first elected to the Assembly in 2016. Wallace worked her way through college and law school, earning her undergraduate degree with honors from SUNY Binghamton, and her J.D., cum laude, from SUNY Buffalo Law School. Before her election to the Assembly, Monica spent much of her legal career as a law clerk in federal court, where she helped ensure that justice was served and that laws were applied equally to all parties appearing before the court. Monica also served on the faculty at her alma mater, SUNY Buffalo Law School, teaching students how the law can be used as a vehicle for positive social change.

    Gregory McCaffrey

    Gregory McCaffrey served as the District Attorney of Livingston County, New York; a position he held from May 2012 until December 2024. McCaffrey oversaw a team of legal professionals prosecuting serious criminal cases including homicides, violent felonies, and child sex offenses. Prior to this role, he practiced at Jones and Skivington Law Firm, focusing on litigation, municipal law, and criminal defense, and served as Town Attorney for Conesus, New York.

    Earlier in his career, he was an Assistant District Attorney in Monroe County, where he handled a progression of increasingly complex felony cases. He holds a Juris Doctor from the University at Buffalo School of Law and a Bachelor of Arts in Political Science from Nazareth College of Rochester. McCaffrey was born and raised in Livingston County where he resides with his family.

    John Bringewatt

    John Bringewatt currently serves as the Monroe County Attorney. In that role, he oversees a team of attorneys responsible for all of the County’s civil legal work. He previously maintained a wide-ranging litigation practice at Harter Secrest & Emery LLP. Early in his career, he served as a Law Clerk to Judge Susan L. Carney of the U.S. Court of Appeals for the Second Circuit.

    He holds a J.D. from the University of Michigan Law School and a B.A. in Political Science and Psychology from Colgate University.

    Abby Perer

    Abby Perer has served as in-house counsel for Syracuse University for nearly 10 years. In that role, she oversees all litigation and regulatory compliance matters. Before joining the University, Perer was a litigation associate for DLA Piper LLP, where she represented corporate and individual clients in commercial litigation, as well as civil and criminal investigations.

    Perer was once a Legal Intern for the Office of NYS Attorney General Eric T. Schneiderman. She attended Brooklyn Law School for her JD, and Hamilton College for her BA. She is a resident of Fayetteville, New York.

    Noel Mendez

    A native New Yorker, Noel Mendez was born and raised in the Bronx. He attended Lehman College and graduated with a degree in theater. Before attending the University at Buffalo School of Law, Noel worked as a police officer in the NYPD. Since graduating from law school, Noel obtained a Master of Laws in securities regulation from Georgetown University Law Center and subsequently moved to the Capital Region, where he worked as a court attorney for the New York State Court of Appeals. He later became a law clerk to the Honorable Jenny Rivera.

    Noel has held a variety of legal positions in the Capital Region since then. Most notably, he worked as a staff attorney for the Legal Aid Society of Northeastern New York and briefly as a prosecutor at the Albany County District Attorney’s Office. Most recently, Noel served as counsel to New York State Senator Jamaal T. Bailey.

    Noel lives in Albany County with his wife, Marlene and daughter, Annabelle.

    Natacha Carbajal-Evangelista

    Natacha Carbajal-Evangelista serves as the General Counsel for the NYS Department of State. In this role, Natacha oversees the Office of General Counsel, which provides legal advice and support to the New York Secretary of State and the diverse programs, divisions, boards, and commissions housed within the Department.

    Previously, Natacha served as Assistant Secretary for Labor & Workforce for New York State, leading the Statewide implementation of groundbreaking initiatives, including New York’s Paid Family Leave. Natacha also served as Senior Deputy Counsel and the Executive Deputy Superintendent for Operations at the NYS Department of Financial Services and Deputy Director at the NYS Workers’ Compensation Board.

    Prior to joining State government, Natacha was a senior associate at BakerHostetler, serving as counsel to the SIPA Trustee for the liquidation of Bernard L. Madoff Investment Securities LLC (BLMIS). Natacha served as a Judicial Law Clerk to the Hon. Elizabeth S. Stong of the U.S. Bankruptcy Court, E.D.N.Y. and the Hon. Arthur J. Gonzalez, former Chief Judge of the U.S. Bankruptcy Court, S.D.N.Y.

    Natacha is a graduate of Fordham Law School and Cornell University’s School of Industrial and Labor Relations.

    Mary Lynn Nicolas-Brewster

    Mary Lynn Nicolas-Brewster is the Executive Director of the Franklin H. Williams Judicial Commission, a permanent statewide commission dedicated to promoting racial and ethnic fairness in the court system. The Williams Commission, chaired by Hon. Shirley Troutman, Associate Judge of the New York State Court of Appeals, and Hon. Troy K. Webber, Associate Justice of the Appellate Division, First Department, strives to make the court system more responsive to the concerns of people of color and works to enhance diversity, equity and inclusion in the legal profession and the court system. The Commission’s namesake, Ambassador Franklin H. Williams, a distinguished attorney and civil rights leader, was a visionary and trailblazer who devoted his life to the pursuit of equal justice. The Commission stands as a testament to his life and legacy as the Commission pursues its mission to ensure justice and equity for all in the courts.

    Prior to this position, Nicolas-Brewster, a former Village Judge with the Village of Spring Valley, served as Court Attorney-Referee for the New York State Supreme Court, Ninth Judicial District, and as a Hearing Officer for the Office of Court Administration. Nicolas-Brewster also held multiple positions at the Office of the Westchester County Attorney, including Associate County Attorney, Senior Assistant County Attorney, and Assistant County Attorney. She has also served as Assistant Solicitor General for the New York State Attorney General’s Office, Senior Appellate Court Attorney for the New York State Appellate Division, Second Judicial Department, and Pro Se Law Clerk with the United States Court of Appeals for the Second Circuit. She has also been a member of the adjunct faculty at SUNY-Rockland Community College in the Legal Studies Department.

    Ms. Nicolas-Brewster obtained a J.D. from the New York University School of Law in 1992 and a B.A. in Literature and Rhetoric at Binghamton University, SUNY, in 1989.

    Erin Guven

    Erin Guven brings over 20 years of experience as an attorney dedicated to public interest to her new role as Court of Claims judge. In her most recent role as Westchester Family Court Support Magistrate, she conducted child support, spousal support and paternity hearings in a high-volume court. Erin has also held many other vital positions during her tenure including Court Attorney-Referee in the Supreme Court, 9th JD, Pro Bono Director & Staff Attorney at Legal Services of the Hudson Valley and Small Claims Assessment Review Hearing Officers. She is an active member of her legal and local communities and holds and undergraduate degree from Georgetown University and a JD from Brooklyn Law School.

    Menachem Mirocznik

    Menachem “Mendy” Mirocznik has served as a Court Attorney to the Hon. Orlando Marrazzo, Jr. in various Civil Courts since 2009. Since 2020, he has supported Justice Marrazzo in presiding over Richmond County’s Supreme Court, Civil Term. He conducts legal research and analysis, reviews cases, and drafts decisions. Between 2001 and 2008, he supported various Housing Court Judges for New York City’s Civil Court. He began his career in 1997 as a Legal Intern for Main Street Legal Services, representing indigent clients in cases regarding public assistance benefits and benefit termination.

    Mirocznik is a graduate of Touro College, from which he obtained a Political Science B.A. He received his J.D. from CUNY School of Law and was the President of the Jewish Law Students Association. He has been an active member of Community Board 2 since 2010, a board member of the Jewish Community Center of Staten Island since 2014, and President of the Council of Jewish Organizations of Staten Island since 2012.

    Jay Kim

    Jay Kim is currently the Principal Law Clerk to the Hon. Dena E. Douglas, a New York State Supreme Court Justice in Kings County, Criminal Term. He started his career in public service in 2008 as an Assistant Corporation Counsel in the Tort Division of the New York City Law Department. He subsequently served as a Principal Law Clerk to the Hon. Theodore T. Jones (Dec.) and the Hon. Jenny Rivera, Associate Judges of the New York State Court of Appeals, from 2010 to 2013. After his Court of Appeals clerkship, he served as a Senior Counsel in the Labor & Employment Division of the New York City Law Department from 2013 to 2015 and as an attorney within the Office of Legal Services of the New York City Department of Education from 2015 to 2018. Kim obtained his J.D. from St. John’s University School of Law and his B.A. in Sociology from New York University.  He is a member of the Asian American Bar Association of New York and the Korean American Lawyers Association of Greater New York.

    Denis Reo

    Denis Reo began his career in the Unified Court System in 2004, working as a Secretary to the Honorable Carol Edmead. He then went to work for the Honorable George J. Silver in January 2005 and served as Judge Silver’s Court Attorney, Senior Court Attorney, Principal Court Attorney and Principal Law Clerk from 2005 through 2017. During this time, he was assigned to Civil Court, Kings County; Family Court, Bronx County; and Supreme Court, Civil Term, New York County. In July 2017 Judge Silver was appointed Deputy Chief Administrative Judge for New York City Courts and Denis was named a Special Assistant to the Deputy Chief Administrative Judge. He was promoted to Chief of Staff to the Deputy Chief Administrative Judge in January 2019. In August 2019 he was appointed Chief Clerk of the Supreme Court, Civil Term, New York County where he assisted the Administrative Judge overseeing daily court operations as well as managing 350 non-judicial personnel within the court. Since December 2024 he has served as Chief of Staff to Deputy Chief Administrative Judge Adam Silvera, assisting Judge Silvera in overseeing the trial courts within New York City.

    Denis is a graduate of Sacred Heart University and St. John’s University School of Law. He resides in Farmingdale, NY with his wife and two children.

    Ilene Fern

    Ilene P. Fern is the Principal Law Clerk to the Honorable Lee A. Mayersohn of the 11th Judicial District of the New York State Supreme Court, a position she has held since 2021. Prior to that, Fern was the Principal Law Clerk to the Honorable Martin J. Schulman of the 11th Judicial District of the New York State Supreme Court from 1995-2020. From 1992 to 1994, Fern was the Senior Court Attorney to the Honorable Robert J. McDonald of the 11th Judicial District in the New York City Criminal Court. From 1989 to 1991, Fern was the Court Attorney to the Honorable Arnold N. Price in the New York City Civil Court. Fern was the President of the Queens County Women’s Bar Association from 1998-1999. She is currently a member of the Executive Board of the Brandeis Association. Fern obtained a J.D., from Jacob D. Fuchsberg Law Center at Touro University in 1985, where she was a Senior Editor of the Law Review, and a B.A., from the State University of New York at Binghamton in 1981.

    Darlene Goldberg

    Darlene Goldberg is a Principal Law Clerk for Hon. Caryn R. Fink with the NYS Unified Court System. Alongside Judge Fink, Goldberg researches and analyzes legal issues, advises on court proceedings and sentencing matters, drafts opinions, conducts discovery and pre-trial conferences, and leases with the Office of Court Administration. She previously operated her own criminal defense law firm for 13 years, specializing in major felonies through Nassau County’s indigent defense panel. She covered criminal cases ranging from misdemeanors to violent felonies and led counsel in both jury ad non-jury trials. She was also a Trial Attorney for the Legal Aid Society of Nassau County. She managed criminal cases from inception through disposition.

    Goldberg volunteered with the Moreland Shelter and Birthday Wishes of Long Island, which she coordinated tutoring services for the homeless children residing at the shelter as well as temporary to permanent housing transitioning. Goldberg is a graduate of Fordham University’s School of Law and Boston University for her undergraduate degree. She resides in Melville with her family. Her husband is also a lawyer.

    Gordon Cuffy

    Gordon Cuffy was appointed by Governor Hochul in June 2025 to serve as an Acting Supreme Court Justice. Cuffy previously served as a Court of Claims Judge in Onondaga County Court, where he presided over felony criminal cases. He was appointed to the bench in 2017 by Governor Andrew Cuomo, becoming the first African-American judge to oversee felony matters in Onondaga County. Prior to his appointment, he served as Onondaga County Attorney under County Executive Joanie Mahoney and also worked as a prosecutor and as General Counsel to New York State Thruway Authority. He previously ran for County Court Judge in 2012.

    James Ferreira

    James H. Ferreria was appointed to the Court of Claims by Governor George E. Pataki on June 16, 2006 and confirmed by the Senate on June 21, 2006. Judge Ferreira was reappointed to the Court of Claims for a full nine year term by Governor Eliot Spitzer on April 30, 2007 and confirmed again by the Senate on June 19, 2007. One June 10, 2016 Judge Ferreira was reappointed by Governor Andrew Cuomo and the Senate confirmed Judge Ferreira to an additional nine year term on June 15, 2016. Judge Ferreira was additionally designated as an Acting Justice of the Supreme Court in 2014 in the Third Judicial District. Judge Ferreira presides over civil actions pending in the Court of Claims, Albany County Supreme Court and Schoharie County Supreme Court.

    Judge Ferreira graduated from Cornell University in 1984, Syracuse University College of Law in 1989, cum laude, and the Maxwell School of Citizenship and Public Affairs at Syracuse University in 1989.

    In 1989, Judge Ferreira began his legal career as a law clerk at the New York State Supreme Court, Appellate Division, Fourth Department. He then went on to work at the law firm of Harris Beach LLP as an associate in 1991. In 1995, he joined the New York State Attorney General’s office as a Deputy Bureau Chief in the Environmental Protection Bureau. He then worked between 1999 and 2006 at the New York State Department of Environmental Conservation in various capacities, including as Assistant Commissioner in the Office of Hearing and Meditation Services and as Deputy Commissioner and General Counsel.

    Rhonda Tomlinson

    Judge Rhonda Ziomaida Tomlinson, a Brooklyn native raised by her Panamanian mother, was appointed to the New York State Court of Claims in June 2021. She earned her B.S. from Cornell University’s School of Industrial and Labor Relations and her J.D. from Hofstra University School of Law. Prior to her appointment, she served as Chief Administrative Law Judge for the NYS Board of Parole, overseeing statewide adjudications and participating in the Harlem Reentry Court.

    Her legal career includes roles as a principal court attorney, administrative law judge, Legal Aid defense attorney, and private practitioner in criminal and family law. She has been active in bar association committees and initiatives related to parole, sex trafficking, and the effects of incarceration on families. Judge Tomlinson has also taught legal and multicultural studies at CUNY School of Law, John Jay College, and St. John’s University. She is an engaged member of St. Gregory the Great R.C. Church, serving as a scout leader, lector, and school board member.

    Cheryl Joseph

    Judge Cheryl Joseph serves as Supervising Judge of the Matrimonial Parts in the Suffolk County Supreme Court and has been a Judge of the New York State Court of Claims since 2015. Appointed as an Acting Supreme Court Justice, she previously served for nine years as a Support Magistrate in Bronx and Suffolk County Family Courts.

    Judge Joseph earned her J.D. from NYU School of Law and her B.A. in Political Science and Philosophy from NYU, graduating magna cum laude and Phi Beta Kappa. She has also taught family law and civil litigation as an adjunct professor at Touro Law Center, where she was named Adjunct Professor of the Year twice.

    As Interim Supreme Court Justices:

    J. David Sampson

    Judge John David Sampson was appointed to the New York State Court of Claims in 2015 by Governor Andrew Cuomo and serves as a Court of Claims Judge and as an Acting Supreme Court Justice. He previously served as Executive Deputy Commissioner of the New York State Department of Motor Vehicles (2011–2015) and as Deputy Attorney General for Regional Affairs in the New York Attorney General’s Office (2008–2010). Earlier in his career, he spent over 25 years in private practice, including as a partner at Underberg Kessler LLP.

    Judge Sampson earned his J.D. from Albany Law School (1982) and his B.A. in Economics from Canisius University (1977). He is based in the Buffalo/Niagara area.

    Denise Hartman

    Hon. Denise Hartman was first appointed to the Court of Claims in 2015, and has served as an Acting Supreme Court Justice in Albany County for the last 10 years. She handles a full civil docket, including proceedings against governmental agencies, personal injury and contract actions, matrimonial cases, commercial litigation, and more. She also presides over the statewide Litigation Coordinating Panel.

    Prior to her judicial appointment, she was an Assistant Solicitor General in the New York State Attorney General’s Office from 1985 to 2015. There she briefed and argued many, many appeals in the New York State Appellate Divisions, Court of Appeals, U.S. Court of Appeals for the Second Circuit, and U.S. Supreme Court. She was formerly a Confidential Law Clerk at the Appellate Division, 4th Department, and was once a Law Assistant at Langan, Grossman, Kinney & Dwyer, PC.

    She obtained a BS in Civil and Environmental Engineering from Cornell University, and her JD from Syracuse University School of Law.

    Walter Rivera

    Judge Walter Rivera was appointed to the New York State Court of Claims by Governor Andrew Cuomo in 2017 and served one term as an Acting Supreme Court Justice in the 9th Judicial District. A native of Hell’s Kitchen in Manhattan, he is a graduate of Columbia College (1976) and the University of Pennsylvania Carey Law School (1979).

    He began his legal career as a law clerk at the New York State Court of Appeals and later served as an Assistant Attorney General before entering private practice. Rivera was elected Town Justice in Greenburgh, NY, serving from 2011 until his Court of Claims appointment. He was an adjunct professor at the Elisabeth Haub School of Law at Pace University for six years, past president of the Latino Judges Association, and a co-founder of the Hudson Valley Hispanic Bar Association.

    Michael Kitsis

    Michael Kitsis is an Acting Justice of the Supreme Court of the State of New York, serving since 2021. He has also served as a Judge in the Criminal Court of the City of New York since 2016. Prior to his judicial appointments, he spent over three decades as an Assistant District Attorney in the Manhattan District Attorney’s Office from 1983 to 2016.

    He holds a J.D. from the University of Virginia School of Law and a B.A. from the University of Pennsylvania.

    Jonathan Svetkey

    Jonathan Svetkey is currently an Acting Supreme Court Justice sitting in Manhattan, Criminal Term. His first appointment was to the New York City Civil Court in 2019 and a year later he was re-appointed to serve as a New York City Criminal Court Judge. Prior to taking the bench, Judge Svetkey was the Court Attorney for the Honorable Joanne B. Watters from 2017 to 2019. Before that he spent twenty years in private practice as a criminal defense attorney with the law firm of Watters & Svetkey, LLP. He also served as an Assistant District Attorney in the Bronx County District Attorney’s Office Appeals Bureau from 1990 to 1995. His first job out of law school was with the Kings County District Attorney’s Office. Judge Svetkey received his undergraduate degree from the University of Rochester and graduated from the Columbus School of Law at the Catholic University of America in 1984.

    As Interim Family Court Judges:

    Tonia Ettinger

    Tonia M. Ettinger was appointed by Governor Hochul in June 2025 to serve as a Family Court Attorney for Monroe County. Ettinger most recently served as the Principal Court Attorney for Honorable Fatimat O. Reid in the 7 th Judicial District (Monroe County Family Court), a position she has held since 2019. A dedicated and experienced family law attorney, Ettinger has spent her career advocating for children and families throughout Monroe County. She served for nearly a decade as an Attorney for the Child at the Legal Aid Society of Rochester, representing children in Monroe County Family Court (2009-2018).

    A graduate of the University at Buffalo School of Law (magna cum laude) and SUNY Geneseo (cum laude), Ettinger has been recognized as one of the Top Women in Law by the Daily Record. Ettinger is equally dedicated to embracing and uplifting the Rochester community, actively participating in events under the 7th Judicial District’s “Embracing Our Community” initiative. With 21 years of legal experience—16 years dedicated exclusively to Monroe County Family Court—she has demonstrated a deep and consistent commitment to justice, particularly for vulnerable youth and families navigating the family court system.

    Jessica Wilcox

    Jessica R. Wilcox serves as a Principal Law Clerk for the Honorable James H. Ferreira of the New York State Court of Claims, and previously served under Honorable Glen T. Bruening of the New York State Court of Claims from 2011-2022. Before that, she was the Principal Law Clerk for the Honorable John C. Egan Jr. of the Appellate Division of the Third Department for the New York State Supreme Court from 2007 to 2011. Wilcox was a Senior Associate at Barclay Damon f/k/a Bouck, Holloway, Kiernan, and Casey from 2000 to 2007 and an Associate Attorney at Rowley Forrest, O’Donnell & Beaumont from 1999 to 2000. From 1998 to 1999, Wilcox was an Associate at Brennan, Rehfuss, and Ligouri P.C.

    Wilcox obtained a J.D. from Albany Law School in 1997 and a B.A., cum laude, in Philosophy and German from Wells College in 1993.  She was found HQ by the Statewide Judicial Department Screening Committee on March 28, 2022.

    MIL OSI USA News –

    June 11, 2025
  • MIL-OSI USA: Charleston Native Joins Boozman’s Washington Staff

    US Senate News:

    Source: United States Senator for Arkansas – John Boozman

    WASHINGTON—River Valley residents who contact U.S. Senator John Boozman’s Washington, D.C. office may now wind up interacting with an acquaintance from their own community. Charleston native Katie Gage recently joined the senator’s staff on Capitol Hill as a press assistant.

    “It is an honor to join Senator Boozman’s team and contribute to the work he is doing on behalf of Arkansans. I’m excited to support the senator’s communications efforts and help share the stories and priorities that matter most to the people of our state,” Gage said.

    “Katie has already shown her strong commitment to public service during her time as an intern, and I am excited to have her back on the team. Her energy and passion for Arkansas will be a great asset to my staff as we reflect Natural State priorities and values in the nation’s capital,” Boozman said. 

    Senator Boozman welcomes Charleston High School graduate to his Washington team.

    In the press assistant role, Gage supports the senator’s communications efforts by assisting with media outreach, drafting press materials and helping develop messaging that highlights Senator Boozman’s priorities and legislative work. She also contributes to internal communications.

    Gage is a 2021 graduate of Charleston High School and a 2025 graduate of the University of Arkansas-Fayetteville. She earned her bachelor’s degree in finance with a minor in legal studies. She is the daughter of Misty Hiatt and Trey Gage.

    MIL OSI USA News –

    June 11, 2025
  • MIL-OSI United Kingdom: Scotland to host UK’s national supercomputer as Chancellor confirms £750 million investment

    Source: United Kingdom – Executive Government & Departments 2

    Press release

    Scotland to host UK’s national supercomputer as Chancellor confirms £750 million investment

    Scotland will become home to the UK’s most powerful supercomputer, with up to £750 million for the project confirmed in the Spending Review.

    Scotland to host the UK’s most powerful supercomputer.

    • Up to £750 million for a new supercomputer in Edinburgh will be confirmed by the Chancellor at Spending Review – giving scientists across the UK access to compute power found in only a handful of other nations.
    • Commitment follows the Prime Minister committing an extra £1 billion of funding to ramp up the UK’s AI compute power twenty fold as he opened London Tech Week.
    • AI Research Resource coming into operation soon, as Isambard supercomputer named one of the most powerful in the world.

    Scotland will be home to the UK’s most powerful supercomputer to drive forward innovations that grow our economy and ensure people are better off, putting Edinburgh at heart of the UK’s plans to unlock a decade of national renewal through artificial intelligence.

    The news comes after the Prime Minister kicked off London Tech Week by unveiling £1 billion of extra funding to scale up the country’s AI compute power twenty-fold. Following that announcement, the Chancellor has now confirmed up to a further £750 million to build the UK’s new national supercomputer at the University of Edinburgh, strengthening Britain’s position as an AI-maker and research power, with researchers and start-ups backed to deliver new waves of innovations and discoveries.

    Edinburgh’s new supercomputer will give scientists from across the UK the compute power they need for cutting edge research and making the next big breakthrough – whether that’s personalised medical treatments, making air travel more sustainable, or modelling climate change. This will form part of the Chancellor’s commitment to investing in Britain’s renewal at the Spending Review today (Wednesday), ensuring the British people are better off – from better health to economic growth.

    The supercomputer will work alongside the AI research resource, a network of the UK’s most powerful supercomputers that were built to bolster scientific research. The AI Research Resource, which is due to come into operation soon, is already being used to research Alzheimer’s vaccines and treatments for cancer by simulating how drugs work inside the body and ‘testing’ millions of potential drugs virtually to speed up the creation of new medicines. 

    Ahead of that moment, the Isambard system has this week been ranked in the top ten globally and top 5 in Europe for publicly available supercomputers. According to the latest Top500 rankings, it also ranks as a leader in terms of efficiency, setting a clear benchmark of how the UK government is delivering on its AI ambitions while driving forward its mission to become a clean energy superpower.

    UK Secretary of State for Science, Innovation, and Technology, Peter Kyle said:

    From the shipyards of the Clyde to developments in steam engine technology, Scottish trailblazers were central to the industrial revolution – so the next great industrial leap through AI and technology should be no different.  

    Basing the UK’s most powerful supercomputer in Edinburgh, Scotland will now be a major player in driving forward the next breakthroughs that put our Plan for Change into action.

    Chancellor of the Exchequer Rachel Reeves said:

    We are investing in Scotland’s renewal, so working people are better off. 

    Strong investment in our science and technology sector is part of our Plan for Change to kickstart economic growth, and as the home of the UK’s largest supercomputer, Scotland will be an integral part of that journey.

    Secretary of State for Scotland Ian Murray said:

    This is a landmark moment and will place Scotland at the forefront of the UK’s technological revolution. The £750 million investment in Edinburgh’s new supercomputer places Scotland at the cutting edge of computing power globally.

    This will see Scotland playing a leading role in creating breakthroughs that have a global benefit – such as new medicines, health advances, and climate change solutions. This is the Plan for Change – delivering real opportunities and economic growth for communities across Scotland.

    Principal and Vice-Chancellor of the University of Edinburgh, Professor Sir Peter Mathieson said: 

    This significant investment will have a profoundly positive impact on the UK’s global standing, and we welcome the vast opportunities it will create for research and innovation.

    Building on the University of Edinburgh’s expertise and experience over decades, this powerful supercomputer will drive economic growth by supporting advancements in medicine, bolstering emerging industries and public services, and unlocking the full potential of AI. We look forward to working alongside the UK government and other partners to deliver this critical national resource.

    The new supercomputer will vastly exceed the capacity of the UK’s current national supercomputer, ARCHER2. 

    The government will set out more details about the system in our upcoming Compute Roadmap, which we will publish this summer. It will outline the government’s strategic approach to building world-class compute infrastructure in the UK – which will include the new national supercomputer in Edinburgh and our investment to expand the AI Research Resource by at least 20 times by 2030. 

    DSIT and UKRI will work to ensure that the Edinburgh supercomputer’s system size represents value for money on our investment and meets the needs of the diverse user groups of the UK’s compute infrastructure.

    DSIT media enquiries

    Email press@dsit.gov.uk

    Monday to Friday, 8:30am to 6pm 020 7215 3000

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    Published 11 June 2025

    MIL OSI United Kingdom –

    June 11, 2025
  • MIL-OSI Australia: Happy to hand over the keys to a robot? Augmented reality might help

    Source:

    11 June 2025

    Would you trust a driverless car? A 2024 global survey involving nearly 8000 participants suggests most people are wary of handing over the steering wheel to sensors, cameras and computer algorithms.

    However, a new study by Australian and French researchers shows that augmented reality (AR) could increase overall confidence in autonomous vehicles by simulating the experience and allowing drivers to personalise the AR interface.

    The University of South Australia (UniSA) and IMT Atlantique created a sophisticated virtual reality driving simulator using headsets, testing seven AR visualisations with 28 participants, where information about driving conditions was added, modified and even removed from the simulation.

    The participants were aged 22-50 and included 18 males and 10 females.

    AR can deliver real-time, critical information directly onto the windshield or dash, alerting drivers to potential hazards and obstacles, speed limits and navigation directions. The technology uses sensors to deliver the data, ensuring that drivers stay focused on the road while accessing critical information.

    Driving-related AR visuals included navigation paths, incoming vehicle alerts and pedestrians; and non-driving visuals ranged from aesthetic modifications to points of interest, such as cafes and dinosaur parks.

    The researchers found that participants’ trust in autonomous vehicles was “significantly increased” when AR was used to add or change driving-related information, tailoring visual cues based on a driver’s preference, attention patterns and stress levels.

    “Trust is a major barrier to the widespread adoption of autonomous vehicles,” says UniSA and IMT Atlantique PhD candidate Hoa Tran, who led the study.

    “Despite autonomous vehicles being generally safer than human drivers in routine conditions, there is a global reluctance to fully embrace them, but augmented reality might be able to change that.

    “The AR visuals helped participants understand the autonomous vehicle’s decision-making process, which is especially important in complex traffic scenarios,” Hoa says.

    Even non-driving related additions, like landmarks or interior design enhancements in the car, improved trust among users. However, they also carried a greater risk of driver distraction.

    Conversely, removing certain types of information – such as unnecessary pedestrian visuals or visual obstructions in the car – was helpful for reducing mental clutter, but it negatively affected user confidence.

    “The message is that less isn’t always more,” says co-author UniSA researcher Dr James Walsh.

    “The design of AR in autonomous vehicles needs to balance clarity with user comfort and personal preference.”

    Researchers suggest future work should involve real-world testing in higher-quality simulators, as well as trials involving a more diverse demographic.

    “Our findings support the idea that trust in driverless cars can be built not just through more information, but the right information,” Dr Walsh says.

    “Impact of Adding, Removing and Modifying Driving and Non-Driving Related Information on Trust in Autonomous Vehicles” is authored by Thi Thanh Hoa Tran, Assoc Prof Etienne Peillard and Prof Guillaume Moreau from IMT Atlantique, and Dr James Walsh and Prof Bruce Thomas from the University of South Australia. DOI: 10.1109/VRW66409.2025.00277

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

    Contacts for interview:

    Dr James Walsh E: james.walsh@unisa.edu.au
    Hoa Tran E: thi-thanh-hoa.tran@imt-atlantique.fr

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

    Other articles you may be interested in

    MIL OSI News –

    June 11, 2025
  • MIL-OSI Europe: Answer to a written question – Circumscribing Treaty rights of non-national workers to equal treatment over the course of their careers by invoking domestic statute of limitations legislation – E-001324/2025(ASW)

    Source: European Parliament

    The Commission has been following the case of former lettori in Italian Universities very closely with the aim that Italy complies with the judgments of the Court of Justice of the European Union in cases C-212/99[1] and C-119/04[2].

    In July 2023, the Commission decided to refer Italy to the Court of Justice of the European Union for maintaining discrimination of foreign lecturers[3]. Case C-519/23[4] is currently pending at the Court of Justice.

    The aim of the infringement procedure is to ensure that Italy puts appropriate measures in place to accommodate the requirements of the Court judgments.

    It is, however, for Italy to decide how to best accommodate the requirements of the Court judgments. Member States have a primary responsibility to monitor the application of the relevant legal provisions and to take the necessary steps for enforcement.

    In October 2024, the Italian authorities indicated to the Commission that the implementation of the procedure laid down in Ministerial Decree No 688/2023 of 24 May 2023 has ensured that former lettori had the right to reconstruct their career, in compliance with the obligations arising from EU and national legislation and the procedure has concluded with the payment of the sums due to former lettori.

    In March 2025, the Italian trade unions provided the Commission with recent information regarding the case, which the Commission has transmitted to the Italian authorities for their reaction.

    The Commission is following the developments of the case.

    • [1] Judgment of the Court of Justice of 26 June 2001, Commission of the European Communities v Italian Republic, Case C-212/99, ECLI:EU:C:2001:357 eur-lex.europa.eu/legal-content/EN/TXT/PDF/?uri=oj:JOC_2001_227_R_0002_02.
    • [2] Judgment of the Court of Justice of 18 July 2006, Commission of the European Communities v Italian Republic, Case C-119/04, ECLI:EU:C:2006:489 https://eur-lex.europa.eu/legal-content/EN/TXT/?uri=CELEX:62004CJ0119.
    • [3] https://curia.europa.eu/juris/liste.jsf?num=C-519/23.
    • [4] Case C-519/23: Action brought on 10 August 2023, European Commission v Italian Republic, OJ C 338, 25.9.2023, p. 15 https://eur-lex.europa.eu/legal-content/EN/TXT/?uri=CELEX:62023CN0519.
    Last updated: 10 June 2025

    MIL OSI Europe News –

    June 11, 2025
  • MIL-OSI Submissions: Universities – Bones to pick: New Aussie animal database comes to life with modern 3D tech – Flinders

    Source: Flinders University

    For the first time, the remarkable features of Australia’s unique wildlife – from platypus, bilby, kangaroo and emu to mammals gone extinct – are available for all to see, via their bones and skeletons in a new free online collection.

    Using 3D imaging technology, Flinders University and partners have launched the ‘Ozboneviz’ virtual database,  which goes ‘inside’ the anatomy of dozens of Australia’s most famous animals for the public, schools, researchers, artists, nature-lovers and others to access.

    Described in a new article published in the journal BioScience, the new collection of more than 1600 specimens has been collated and uploaded on to the high-tech MorphoSource repository, by Flinders University Associate Professor Vera Weisbecker’s ‘Bones and Biodiversity Lab’ and colleagues around Australia.

    “We are all fascinated by bones and this new database is a way to go behind the glass cases at the museum, see specimens up close and understand their special features,” says Associate Professor Weisbecker, who hopes Ozboneviz will fuel better scientific and public appreciation of Australia’s amazing mammals around the world.

    “Australia leads the world in mammal extinctions, but we are losing far more than a few fluffy rat-like critters. Our mammals have evolved in isolation for nearly 40 million years – there is simply nothing like them anywhere else.

    “Victorian-era scientists deemed Australian wildlife ‘primitive’, but now we can marvel at the elongated leg bones that make the kangaroo the largest hopping animal ever, or the bizarre shovel-like arms of the marsupial mole, and chances are that you will change your mind!

    “3D models of skeletons are a charismatic way to engage adults and children alike with Australia’s precious fauna, making it a key asset in science communication and school education.”

    Now Australia’s largest open-access library of 3D biodiversity data, the project was funded by the Australian Research Council Centre of Excellence for Australian Biodiversity and Heritage (CABAH), with support from the Australian Museum, SA and NT museums, the Australian National Wildlife Collection, and several universities.

    “Our core team spent three years travelling to four Australian museums and three universities. We mostly used surface scanners to digitise ten key bones of 189 iconic Australasian species: the skull, shoulder blade, pelvis and limb bones,” explains CABAH and Flinders archaeologist Dr Erin Mein.

    Jacob van Zoelen, PhD candidate at Flinders University and digitisation manager, says: “We used a structured light scanner to image the outside of most bones. But for particularly rare species, like the presumed-extinct ngudlukanta or desert rat-kangaroo, we opted for computed tomography, because it also images the internal structure of the bones at resolutions of 10-50 micrometers.”

    The resulting 3D files are deposited on the MorphoSource platform, which is important for scientists because it has the same rigorous cataloguing as any physical museum. But the files are open access, with anyone able to download them for non-commercial use.

    To facilitate public access, Dr Mein also built a Sketchfab site with more than 500 of the most precious and informative bones, with examples including the skull of an extinct marsupial tiger, or thylacine, the pig-footed bandicoot, desert-rat kangaroo and rare marsupial mole.  

    “This means the public can compare the cranium of a fox to a thylacine and dingo, for example, and compare the size and shape of limb bones of common marsupials,” adds Dr Mein. “There are also plenty of annotations to help non-specialist users learn about vertebrate anatomy and compare anatomical attributes between species.”

    As well as the focus on large native mammals such as kangaroos, possums, and bandicoots, the database includes some non-native mammals that people tend to come across, like goats and sheep, as well as a selection of large birds, lizards and frogs.

    The MorphoSource collection includes a number of specimens with interesting features or stories, including:

    • The skeleton of Billie, the Port River dolphin well known to Adelaide residents.
    • An Attenborough’s long-beaked Echidna (Zaglossus attenboroughi)- previously considered extinct but was reobserved in the wild around the time the specimen was scanned
    • The extinct pig-footed bandicoot (Chaeropus ecaudatus), the only marsupial with something like hooves.
    • CT scan of two whole marsupial moles (genus Notoryctes), which is Australia’s “weirdest skeleton,” according to Associate Professor Weisbecker.

    Associate Professor Weisbecker says there is no Australian precedent for open-access databases of this kind.

    “Hopefully this will lead the way to an even wider use of digitisation to make Australia’s unique local biodiversity accessible to the global public.”

    The article, ‘Ozboneviz: An Australian precedent in FAIR 3D imagery and extended biodiversity collections’ (2025) by Vera Weisbecker (Flinders University), Diana Fusco (Flinders), Sandy Ingleby (Australian Museum), Ariana BJ Lambrides (James Cook University), Tiina Manne (University of Queensland), Keith Maguire (South Australian Museum), Sue O’Connor (ANU), Thomas J Peachey (Australian Museum), Sofia C Samper Carro (ANU), David Stemmer (SA Museum), Jorgo Ristevski (Griffith University and Max Planck Institute of Geoanthropology), Jacob D van Zoelen (Flinders), Pietro Viacava (CSIRO), Adam M Yates (Museum and Art Gallery of the NT) and Erin Mein (Flinders) has been published in Bioscience (Oxford University Press) DOI: 10.1093/biosci/biaf064

    First published: 10 June https://doi.org/10.1093/biosci/biaf064

    Acknowledgements: Ozboneviz was funded by the Australian Research Council (ARC) Centre of Excellence for Australian Biodiversity and Heritage (grant CE170100015). VW was, in addition, supported by an ARC Future Fellowship (FT180100634). We gratefully acknowledge the support of Duke University’s MorphoSource team,  MAGNT experts and Flinders University Medical Device Research Institute imaging, and imagery and segmentation experts.

    MIL OSI – Submitted News –

    June 11, 2025
  • MIL-OSI Australia: Pointing to success: Marathon potential is in your hands – literally

    Source:

    11 June 2025

    Is your ring finger longer than your index finger? If so, you may be great in endurance sports.

    Whether it’s a personal challenge, for charity, or on your bucket list, marathons are one of the most sought-after goals for amateur and recreational runners worldwide.

    Now, a world-first study from the University of South Australia and the University of North Dakota suggests that a person’s marathon potential may be identified through a simple check of their hands.

    In a meta-analysis of 22 studies (representing 5293 participants and 12 countries) researchers found that a lower digit ratio – when a person’s ring finger is longer than their index finger – is a biomarker of cardiorespiratory fitness, specifically exercise tolerance and endurance performance.                                      

    The findings indicate that someone with longer ring fingers than index fingers may perform better in endurance sports like marathons or long-distance cycling.

    While previous studies have explored digit ratio and sports performance, this is the most comprehensive synthesis of evidence for digit ratio and cardiorespiratory fitness, and the first meta-analysis to link it specifically to exercise tolerance and endurance performance.

    Exercise tolerance is the level of physical activity an individual can endure before experiencing excessive fatigue. Endurance performance is the ability to sustain physical activity for long periods, often at a moderate to high intensity.

    UniSA researcher and PhD candidate Bethany Gower says that digit ratios could present a useful, low-cost screening tool for spotting potential in high-performance endurance athletes.

    “Measuring and comparing finger lengths might seem like a novelty, but research shows that this is a proven and biologically sound method for identifying muscle strength – and now, endurance performance,” Gower says.

    “Our research found that digit ratio is significantly linked to exercise tolerance, which reflects the highest intensity of exercise you can tolerate for a long time before it becomes too challenging to continue.

    “What this means is that people with lower digit ratios – a ring finger longer than their index finger – are more likely to tolerate increasing exercise intensity and perform better in longer-duration activities, such as marathons or distance cycling.

    “It’s a significant finding that could help coaches and sports scientists identify talent, or help recreational athletes better understand their endurance potential.”

    With elite athletes soon to compete in the Tour de France (5 July – 20 July) or the TCS Sydney Marathon (31 August), it’s a curiosity that could be put to the test.

    Prof Grant Tomkinson says that digit ratios are determined during early foetal development.

    “Greater exposure to testosterone in the womb has been linked with the development of lower digit ratios, which could influence a person’s ability to exercise intensely,” Prof Tomkinson says.  

    “It also has short-term benefits in later life by helping ‘charge’ the endocrine system to respond to challenging situations, like intense exercise, by suddenly spiking testosterone levels.

    “This could manifest as people having stronger body systems or organs that physically improve their ability to tolerate intense aerobic exercise, or as a stronger psychosocial, competitive response to being challenged when exercising.”

    For everyday athletes curious about their fitness potential, Gower says there’s a simple way to get a clue – just look at your fingers.

    “Digit ratio is easy to measure – just compare the length of your index and ring fingers of your hand. If your ring finger is longer, you’ve got a lower ratio.

    “You never know – your fingers might just reveal you’re built for endurance.”

    The University of South Australia and the University of Adelaide are joining forces to become Australia’s new major university – Adelaide University. Building on the strengths, legacies and resources of two leading universities, Adelaide University will deliver globally relevant research at scale, innovative, industry-informed teaching and an outstanding student experience. Adelaide University will open its doors in January 2026. Find out more on the Adelaide University website.

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

    Contacts for interview:

    Bethany Gower E: bethany.gower@unisa.edu.au

    Prof Grant Tomkinson E: grant.tomkinson@unisa.edu.au

    UniSA media contacts:

    Josh Owen-Thomas M: +61 428 715 401 E: josh.owen-thomas@unisa.edu.au

    Annabel Mansfield M: +61 479 182 489 E: Annabel.Mansfield@unisa.edu.au

    MIL OSI News –

    June 11, 2025
  • MIL-Evening Report: Novelty, negativity and no politicians: research reveals what makes some images more engaging than others

    Source: The Conversation (Au and NZ) – By T.J. Thomson, Senior Lecturer in Visual Communication & Digital Media, RMIT University

    T.J. Thomson

    We see hundreds or thousands of images each day – but not all of them stand out to us. Why are some visuals more engaging than others? In an attention economy, where creators and organisations battle for our eyeballs, knowing the answer has never been more important.

    To address this question, we asked about 100 people across three different communities in Australia to rank photos from least to most engaging. We analysed the rankings, and interviewed respondents to understand the “why” behind their choices.

    Our new research reveals three interrelated criteria that affect why audiences engage with some images more than others. These are: the content of an image, how the images is presented, and who is seeing and reacting to it.

    What content makes for an engaging image?

    Who or what is shown, and how, markedly affects how someone engages with an image.

    We found viewers generally considered images with other people in them – and particularly images with faces – as more engaging than those without.

    The number of people or objects in the frame also mattered. Fewer objects resulted in simpler compositions that were easier to parse and, as a result, more eye-catching.

    Along the same lines, images were generally more engaging when they had a focal point (which would ideally be offset from the centre of the frame), compared to those with a lack of a focal point and arbitrary framing.

    However, centring the focal point worked well in symmetrical compositions, or when the frame was square.

    Participants ranked posed photos as less engaging than seemingly candid shots – appreciating the authenticity of the latter. They also ranked text-heavy images, such as those with people standing by or holding signs, as less engaging than action shots.

    In terms of emotional tone, images that showed negativity, conflict, or drama were ranked as more engaging than those that showed positivity. In the words of one interviewee:

    People always have a weird interest in yucky things. You’re like, ‘Oh, is
    someone dead?’ or you’re interested in the ‘Why?’ It’s intriguing.

    Participants preferred images that showed something they didn’t see every day, such as a rare double rainbow, or a visit from a prominent figure to a community.

    Novel camera angles also generated interest. This is partly why drone shots are so popular. They provide a new perspective and tend to be less “cluttered” than vision captured from the ground.

    In terms of visual depth, images with a clear foreground, mid-ground, and background were found to be more visually interesting than those with just a mid-ground and background.

    Presentation factors

    If you’re always tempted to apply black and white or muted filters to your images, think again.

    Our participants regarded images with bright and bold colours as more engaging than drab ones. This was even true for photos with conventionally boring subject matter. Colour, we found, can make or break an image.

    Size mattered, too. Viewers generally regarded larger images as more engaging than their smaller counterparts. Larger images were more eye-catching and could accommodate “busier” compositions, compared to smaller images that might be viewed on smaller smartphone screens.

    Viewers also relied on captions or accompanying descriptions to determine whether an image was relevant, local, or produced by trustworthy or notable figures – all three of which played a role in how “engaging” they found a particular image.

    What you bring to the viewing

    Your personal attributes and experiences shape how you interact with visual media.

    For instance, seeing a photo of the Sydney Opera House when you’ve never been there is different to seeing a photo after you’ve seen it in person. In the latter case, you bring your own memories and experiences to the viewing, and these can positively or negatively affect your engagement.

    We found engagement with an image was likely to be higher if the image depicted faces or places that were “local” to the viewer. For most viewers, obviously posed stock images were forgettable.

    To a degree, engagement behaviours were also shaped by what was interesting to a viewer’s friends, families, and other people they deemed important. As one 70-year-old participant explained:

    My grandchildren play sport, so I’m always interested in [seeing photos of] that.

    Winning and losing themes

    On average, some topics were considered more engaging than others. For example, images related to health and crisis situations were more widely relevant and engaging than sports or education.

    That said, not all widely relevant topics were necessarily engaging. For example, our participants ranked photos of politicians as unengaging. Although they acknowledged politics is important, many said these photos were boring or off-putting.

    How to stand out with your images

    The above insights into engagement behaviours can be used by anyone looking to spruce up their photos.

    When you’re making, editing, or publishing an image, carefully consider its content, the presentation circumstances and your audience.

    One key piece of advice is to focus on the action rather than the outcome. For instance, rather than showing an award-winner with their trophy, show what they did to earn that trophy. Also remember to keep your audience’s attributes in mind, and try to cater for them.

    Doing so will give your images the best chance to stand out among the billions of others circulating online each day.

    T.J. Thomson receives funding from the Australian Research Council. He is an affiliated researcher with the ARC Centre of Excellence for Automated Decision-Making & Society.

    Rachael Anderson 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. Novelty, negativity and no politicians: research reveals what makes some images more engaging than others – https://theconversation.com/novelty-negativity-and-no-politicians-research-reveals-what-makes-some-images-more-engaging-than-others-255612

    MIL OSI Analysis – EveningReport.nz –

    June 11, 2025
  • MIL-OSI USA: NASA Student Challenge Prepares Future Designers for Lunar Missions

    Source: NASA

    At NASA’s Johnson Space Center in Houston, the next generation of lunar explorers and engineers are already hard at work. Some started with sketchbooks and others worked with computer-aided design files, but all had a vision of how design could thrive in extreme environments.Thanks to NASA’s Student Design Challenge, Spacesuit User Interface Technologies for Students (SUITS), those visions are finding their way into real mission technologies.

    The SUITS challenge invites university and graduate students from across the U.S. to design, build, and test interactive displays integrated into spacesuit helmets, continuing an eight-year tradition of hands-on field evaluations that simulate conditions astronauts may face on the lunar surface. The technology aims to support astronauts with real-time navigation, task management, and scientific data visualization during moonwalks. While the challenge provides a unique opportunity to contribute to future lunar missions, for many participants, SUITS offers something more: a launchpad to aerospace careers.
    The challenge fosters collaboration between students in design, engineering, and computer science—mirroring the teamwork needed for real mission development.

    Keya Shah
    Softgoods Engineering Technologist

    Keya Shah, now a softgoods engineering technologist in Johnson’s Softgoods Laboratory, discovered her path through SUITS while studying industrial design at the Rhode Island School of Design (RISD).
    “SUITS taught me how design can be pushed to solve for the many niche challenges that come with an environment as unique and unforgiving as space,” Shah said. “Whether applied to digital or physical products, it gave me a deep understanding of how intuitive and thoughtfully designed solutions are vital for space exploration.”
    As chief designer for her team’s 2024 Mars spacewalk project, Shah led more than 30 designers and developers through rounds of user flow mapping, iterative prototyping, and interface testing.
    “Design holds its value in making you think beyond just the ‘what’ to solve a problem and figure out ‘how’ to make the solution most efficient and user-oriented,” she said, “SUITS emphasized that, and I continually strive to highlight these strengths with the softgoods I design.”
    Shah now works on fabric-based flight hardware at Johnson, including thermal and acoustic insulation blankets, tool stowage packs, and spacesuit components.
    “There’s a very exciting future in human space exploration at the intersection of softgoods with hardgoods and the digital world, through innovations like smart textiles, wearable technology, and soft robotics,” Shah said. “I look forward to being part of it.”

    For RISD alumnus Felix Arwen, now a softgoods engineer at Johnson, the challenge offered invaluable hands-on experience. “It gave me the opportunity to take projects from concept to a finished, tested product—something most classrooms didn’t push me to do,” Arwen said.
    Serving as a technical adviser and liaison between SUITS designers and engineers, Arwen helped bridge gaps between disciplines—a skill critical to NASA’s team-based approach.
    “It seems obvious now, but I didn’t always realize how much design contributes to space exploration,” Arwen said. “The creative, iterative process is invaluable. Our work isn’t just about aesthetics—it’s about usability, safety, and mission success.”
    Arwen played a key role in expanding RISD’s presence across multiple NASA Student Design Challenges, including the Human Exploration Rover Challenge, the Micro-g Neutral Buoyancy Experiment Design Teams, and the Breakthrough, Innovative, and Game-changing Idea Challenge. The teams, often partnering with Brown University, demonstrated how a design-focused education can uniquely contribute to solving complex engineering problems.
    “NASA’s Student Design Challenges gave me the structure to focus my efforts on learning new skills and pursuing projects I didn’t even know I’d be interested in,” he said.

    Felix Arwen
    Softgoods Engineer

    Both Arwen and Shah remain involved with SUITS as mentors and judges, eager to support the next generation of space designers.
    Their advice to current participants? Build a portfolio that reflects your passion, seek opportunities outside the classroom, and do not be afraid to apply for roles that might not seem to fit a designer.
    “While the number of openings for a designer at NASA might be low, there will always be a need for good design work, and if you have the portfolio to back it up, you can apply to engineering roles that just might not know they need you yet,” Arwen said.

    As NASA prepares for lunar missions, the SUITS challenge continues to bridge the gap between student imagination and real-world innovation, inspiring a new wave of space-ready problem-solvers.
    “Design pushes you to consistently ask ‘what if?’ and reimagine what’s possible,” Shah said. “That kind of perspective will always stay core to NASA.”
    Are you interested in joining the next NASA SUITS challenge? Find more information here.
    The next challenge will open for proposals at the end of August 2025.

    MIL OSI USA News –

    June 11, 2025
  • MIL-Evening Report: Assessment in the age of AI – unis must do more than tell students what not to do

    Source: The Conversation (Au and NZ) – By Thomas Corbin, Research fellow, Center for Research in Assessment and Digital Learning, Deakin University

    Matheus Bertelli/ Pexels , CC BY

    In less than three years, artificial intelligence technology has radically changed the assessment landscape. In this time, universities have taken various approaches, from outright banning the use of generative AI, to allowing it in some circumstances, to allowing AI by default.

    But some university teachers and students have reported they remain confused and anxious, unsure about what counts as “appropriate use” of AI. This has been accompanied by concerns AI is facilitating a rise in cheating.

    There is also a broader question about the value of university degrees today if AI is used in student assessments.

    In a new journal article, we examine current approaches to AI and assessment and ask: how should universities assess students in the age of AI?




    Read more:
    Researchers created a chatbot to help teach a university law class – but the AI kept messing up


    Why ‘assessment validity’ matters

    Universities have responded to the emergence of generative AI with various policies aimed at clarifying what is allowed and what is not.

    For example, the United Kingdom’s University of Leeds set up a “traffic light” framework of when AI tools can be used in assessment: red means no AI, orange allows limited use, green encourages it.

    For example, a “red” light on a traditional essay would indicate to students it should be written without any AI assistance at all. An “amber” marked essay would perhaps allow AI use for “idea generation” but not for writing elements. A “green” light would permit students to use AI in any way they choose.

    In order to help ensure students comply with these rules, many institutions, such as the University of Melbourne, require students to declare their use of AI in a statement attached to submitted assessments.

    The aim in these and similar cases is to preserve “assessment validity”. This refers to whether the assessment is measuring what we think it is measuring. Is it assessing students’ actual capabilities or learning? Or how well they use the AI? Or how much they paid to use it?

    But we argue setting clear rules is not enough to maintain assessment validity.

    Our paper

    In a new peer-reviewed paper, we present a conceptual argument for how universities and schools can better approach AI in assessments.

    We begin by making the distinction between two approaches to AI and assessment:

    • discursive changes: only modify the instructions or rules around an assessment. To work, they rely on students understanding and voluntarily following directions.

    • structural changes: modify the task itself. These constrain or enable behaviours by design, not by directives.

    For example, telling students “you may only use AI to edit your take-home essay” is a discursive change. Changing an assessment task to include a sequence of in-class writing tasks where development is observed over time is a structural change.

    Telling a student not to use AI tools when writing computer code is discursive. Developing a live, assessed conversation about the choices a student has made made is structural.

    A reliance on changing the rules

    In our paper, we argue most university responses to date (including traffic light frameworks and student declarations) have been discursive. They have only changed the rules around what is or isn’t allowed. They haven’t modified the assessments themselves.

    We suggest only structural changes can reliably protect validity in a world where AI use means rule-breaking is increasingly undetectable.

    So we need to change the task

    In the age of generative AI, if we want assessments to be valid and fair, we need structural change.

    Structural change means designing assessments where validity is embedded in the task itself, not outsourced to rules or student compliance.

    This won’t look the same in every discipline and it won’t be easy. In some cases, it may require assessing students in very different ways from the past. But we can’t avoid the challenge by just telling students what to do and hoping for the best.

    If assessment is to retain its function as a meaningful claim about student capability, it must be rethought at the level of design.

    Phillip Dawson receives funding from the Australian Research Council, and has in the past recieved funding from the Tertiary Education Quality and Standards Agency (TEQSA), the Office for Learning and Teaching, and educational technology companies Turnitin, Inspera and NetSpot.

    Danny Liu and Thomas Corbin 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. Assessment in the age of AI – unis must do more than tell students what not to do – https://theconversation.com/assessment-in-the-age-of-ai-unis-must-do-more-than-tell-students-what-not-to-do-257469

    MIL OSI Analysis – EveningReport.nz –

    June 11, 2025
  • MIL-Evening Report: Do you talk to AI when you’re feeling down? Here’s where chatbots get their therapy advice

    Source: The Conversation (Au and NZ) – By Centaine Snoswell, Senior Research Fellow, Centre for Health Services Research, The University of Queensland

    Pexels/Mikoto

    As more and more people spend time chatting with artificial intelligence (AI) chatbots such as ChatGPT, the topic of mental health has naturally emerged. Some people have positive experiences that make AI seem like a low-cost therapist.

    But AIs aren’t therapists. They’re smart and engaging, but they don’t think like humans. ChatGPT and other generative AI models are like your phone’s auto-complete text feature on steroids. They have learned to converse by reading text scraped from the internet.

    When someone asks a question (called a prompt) such as “how can I stay calm during a stressful work meeting?” the AI forms a response by randomly choosing words that are as close as possible to the data it saw during training. This happens so fast, with responses that are so relevant, it can feel like talking to a person.

    But these models aren’t people. And they definitely are not trained mental health professionals who work under professional guidelines, adhere to a code of ethics, or hold professional registration.

    Where does it learn to talk about this stuff?

    When you prompt an AI system such as ChatGPT, it draws information from three main sources to respond:

    1. background knowledge it memorised during training
    2. external information sources
    3. information you previously provided.

    1. Background knowledge

    To develop an AI language model, the developers teach the model by having it read vast quantities of data in a process called “training”.

    Where does this information come from? Broadly speaking, anything that can be publicly scraped from the internet. This can include everything from academic papers, eBooks, reports, free news articles, through to blogs, YouTube transcripts, or comments from discussion forums such as Reddit.

    Are these sources reliable places to find mental health advice? Sometimes.
    Are they always in your best interest and filtered through a scientific evidence based approach? Not always. The information is also captured at a single point in time when the AI is built, so may be out-of-date.

    A lot of detail also needs to be discarded to squish it into the AI’s “memory”. This is part of why AI models are prone to hallucination and getting details wrong.

    2. External information sources

    The AI developers might connect the chatbot itself with external tools, or knowledge sources, such as Google for searches or a curated database.

    When you ask Microsoft’s Bing Copilot a question and you see numbered references in the answer, this indicates the AI has relied on an external search to get updated information in addition to what is stored in its memory.

    Meanwhile, some dedicated mental health chatbots are able to access therapy guides and materials to help direct conversations along helpful lines.

    3. Information previously provided

    AI platforms also have access to information you have previously supplied in conversations, or when signing up to the platform.

    When you register for the companion AI platform Replika, for example, it learns your name, pronouns, age, preferred companion appearance and gender, IP address and location, the kind of device you are using, and more (as well as your credit card details).

    On many chatbot platforms, anything you’ve ever said to an AI companion might be stored away for future reference. All of these details can be dredged up and referenced when an AI responds.

    And we know these AI systems are like friends who affirm what you say (a problem known as sycophancy) and steer conversation back to interests you have already discussed. This is unlike a professional therapist who can draw from training and experience to help challenge or redirect your thinking where needed.

    What about specific apps for mental health?

    Most people would be familiar with the big models such as OpenAI’s ChatGPT, Google’s Gemini, or Microsofts’ Copilot. These are general purpose models. They are not limited to specific topics or trained to answer any specific questions.

    But developers can make specialised AIs that are trained to discuss specific topics, like mental health, such as Woebot and Wysa.

    Some studies show these mental health specific chatbots might be able to reduce users’ anxiety and depression symptoms. Or that they can improve therapy techniques such as journalling, by providing guidance. There is also some evidence that AI-therapy and professional therapy deliver some equivalent mental health outcomes in the short term.

    However, these studies have all examined short-term use. We do not yet know what impacts excessive or long-term chatbot use has on mental health. Many studies also exclude participants who are suicidal or who have a severe psychotic disorder. And many studies are funded by the developers of the same chatbots, so the research may be biased.

    Researchers are also identifying potential harms and mental health risks. The companion chat platform Character.ai, for example, has been implicated in ongoing legal case over a user suicide.

    This evidence all suggests AI chatbots may be an option to fill gaps where there is a shortage in mental health professionals, assist with referrals, or at least provide interim support between appointments or to support people on waitlists.

    Bottom line

    At this stage, it’s hard to say whether AI chatbots are reliable and safe enough to use as a stand-alone therapy option.

    More research is needed to identify if certain types of users are more at risk of the harms that AI chatbots might bring.

    It’s also unclear if we need to be worried about emotional dependence, unhealthy attachment, worsening loneliness, or intensive use.

    AI chatbots may be a useful place to start when you’re having a bad day and just need a chat. But when the bad days continue to happen, it’s time to talk to a professional as well.

    Aaron J. Snoswell previously received research project funding from OpenAI in 2024-2025 to develop new evaluation frameworks for measuring moral competence in AI agents.

    Laura Neil receives funding through the Australian government Research Training Program Scholarship.

    Centaine Snoswell 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. Do you talk to AI when you’re feeling down? Here’s where chatbots get their therapy advice – https://theconversation.com/do-you-talk-to-ai-when-youre-feeling-down-heres-where-chatbots-get-their-therapy-advice-257732

    MIL OSI Analysis – EveningReport.nz –

    June 11, 2025
  • MIL-Evening Report: Family law changes will better protect domestic violence victims – and their pets

    Source: The Conversation (Au and NZ) – By Meri Oakwood, Lecturer in Law, Southern Cross University

    Zivia Kerkez/Shutterstock

    Welcome changes to family law come into effect this week to better support victims of domestic violence in property settlements.

    Importantly, the Family Law Amendment Bill 2024 will provide a new framework for determining ownership of the family pet in divorce and separation proceedings. Pets will no longer be recognised merely as property, but as “companion animals”.

    Family law courts must now consider animal abuse, including threats to harm pets, when deciding which partner is awarded ownership.

    Research suggests up to 15% of all animal cruelty cases involve domestic violence offending. Therefore, the new laws will provide some relief to partners whose beloved pets have suffered abuse.

    Part of the family

    Australia has high pet ownership, with 69% of households owning an animal companion. Some 48% have dogs and 33% have cats.

    For victims of violence, the bond with their pet is very important for emotional support. Because of this attachment, abusers often target animals as one of the ways to control their victims.

    The new laws recognise the strong emotional bond between owners and pets.
    Ksenia Raykova/Shutterstock

    Disturbing research has found animals living in violent households may be kicked, punched, held by their ears, thrown and poisoned. Injuries are common. Pets can be killed.

    When a person experiences family violence in their home, they are often asked “Why don’t you just leave?” The reasons are complicated. Perpetrators of coercive control can make their victims fearful for their own safety and their children’s – and for the safety and wellbeing of their pets.

    If victims do leave an abusive relationship, family pets are often left behind because it is too hard to find suitable accommodation. Also, the pet may be registered in the name of the abuser.

    Court’s past view of pets

    Previously, if a victim asked for ownership of their pet, courts could not consider the animal’s safety or wellbeing.

    In Australian family law, pets were viewed as personal property, similar to other possessions such as cars, furniture and electronic equipment.

    In any dispute about pets, courts would consider the following:

    • who paid for it?
    • was it a gift?
    • whose name is on the ownership documents?
    • who has possession?
    • who paid the expenses?

    In deciding custody, courts were not thinking about where the pet would be out of harm’s way. Instead the focus was on who had the superior right to title, a common question in personal property law.

    The safety and survival of a dog or cat was irrelevant in decision-making.

    Hope on the horizon

    Many Australians do not view pets as just another item of personal property. They see them as treasured family members who should be protected.

    The amended Family Law Act redefines pets as companion animals, rather than as mere property. The shift recognises the deep emotional attachments between pets and their owners.

    Any species of animal owned by a couple as a companion will be covered under the new sections of the Act. However, disputes in family law are more commonly about dogs.

    When a marriage or de facto relationship breaks down, the court will consider any past cruelty towards a pet when deciding future ownership.

    Matters for consideration will include:

    • was there family violence?
    • was there animal abuse, actual or threatened?
    • who has ownership or possession of the animal?
    • is there any attachment by an adult or child to the animal?
    • how much did each person in the household care for the animal?

    Courts will only be able to assign ownership to one party. There will be no joint custody to prevent ongoing disputes over the ownership of the pet.

    Under the new laws, custody of a pet will not be awarded to an abuser.
    Nejec Vesel/Shutterstock

    If an abused partner is confident they would be allowed to keep their companion animal if they leave a violent relationship, there is a greater chance they will seek safety.

    If a victim has fled to accommodation where they cannot keep their pet, the new laws will allow for a court order to transfer the animal to another person. A safe person.

    The sentience of animals – their ability to feel pain and fear – is still not recognised in Australian family law.

    Nevertheless, this week’s changes should lead to large numbers of companion animals gaining protection from future abuse.

    Financial abuse may constitute family violence

    Other changes to family law also come in to force this week.

    Family law courts must consider the economic effects of family violence on the victim when making decisions about property and finances after separation.

    Critically, the definition of family violence is being broadened. It will now include economic or financial abuse-related conduct, such as sabotaging the victim’s employment, forcibly controlling their money or forcing them to go into debt.

    Not paying child support for a long time might also count. Intentionally damaging a property to reduce its value will also be in the equation.

    There will also be greater protections to prevent the misuse of sensitive information that arise from confidential conversations with healthcare professionals, or with specialist support services.

    The property changes will apply to all new and existing proceedings, except where a final hearing has already commenced.

    These reforms to better protect victim-survivors of family violence and the animals they love, are long overdue.

    Meri Oakwood 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. Family law changes will better protect domestic violence victims – and their pets – https://theconversation.com/family-law-changes-will-better-protect-domestic-violence-victims-and-their-pets-258189

    MIL OSI Analysis – EveningReport.nz –

    June 11, 2025
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