Category: Universities

  • MIL-OSI Russia: Polytech is a participant of the international exhibition “Metalworking – 2025”

    Translation. Region: Russian Federal

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

    Today, the exhibition “Metalloobrabotka – 2025” opened in Moscow, in which the Polytechnic University is taking part. This is a traditional industry event, which for 40 years has regularly brought together the best specialists and largest companies from Russia, the CIS countries, the Middle and Far East and other regions of the world. The exhibition has been held in Moscow since 1984 and is recognized as the largest project in Russia and the CIS in the field of machine tool building. This year, over 1,200 companies are presenting advanced solutions for industry on an area of 50,000 sq. m. The number of participants is about 50,000 people.

    “I am glad to welcome all participants of the International Exhibition “Metalloobrabotka – 2025″, one of the largest and most authoritative professional platforms in the field of machine tool building in Russia and the CIS countries. For all exhibitors, partners of the exhibition and guests of Expocentre, this is a unique opportunity to get acquainted with the most relevant industrial trends and advanced production technologies,” said SPbPU Rector Andrey Rudskoy. – At the end of 2024, the Government of the Russian Federation completed work on the formation of eight national projects of technological leadership, and the most important of them is dedicated to the industrial sector: the national project on means of production and automation, the main subjects of which are machine tool building in metalworking, technological equipment, additive technologies. These are the topics that are the focus of both the business program discussions and the key exhibits of the exhibition, in which Peter the Great St. Petersburg Polytechnic University, a traditional participant with many years of experience in developing and implementing high-tech technologies in various industries and acting as an executor of the main federal programs for technological development, is a traditional participant. I invite all colleagues to a dialogue on the thematic tracks of the exhibition and to further productive cooperation.”

    The main topics of the 25th anniversary exhibition are innovations in machine tool building, automated production lines, modern tools and materials. The focus is also on digital solutions: software for production management, robotic systems, artificial intelligence technologies. The business program of the exhibition will be focused on applied tasks of industry and issues of strategic development.

    “It is a great honor for us to be part of this forum, where traditions and innovations of the industry meet. Our institute has been a flagship in the field of mechanical engineering and materials science for many years. We actively develop metalworking technologies, introducing modern solutions in turning, milling and casting processes. Our developments are successfully used at enterprises of the aerospace, automotive and energy industries, ensuring high precision and reliability of products, – noted the director of the Institute of Mechanical Engineering, Materials and Transport of SPbPU Anatoly Popovich. – We pay special attention to additive technologies, which open up new horizons for industry. Together with industrial partners, we create unique methods of 3D printing of metal components, reducing production times and reducing resource costs. It is important that we not only improve technologies, but also train personnel capable of working at the intersection of disciplines. Our students and researchers are actively involved in projects that combine classical metalworking and digital innovations. I am confident that the exhibition will become a platform for fruitful dialogue, and the synergy of experience and new ideas will help us move the industry forward together.”

    SPbPU will demonstrate not just scientific developments, but technological solutions ready for implementation. This year, our university will present a wide range of advanced developments in key areas of modern production – from 3D metal printing to robotic welding and the creation of intelligent materials.

    Additive manufacturing

    Polytechnic University takes metal 3D printing to a new level: from developing heat-resistant nickel powders to laser synthesis of critically loaded components. The university has more than ten domestic SLP printers with a multi-laser system, which allows creating complex parts for gas turbines and aviation. Thus, the VPLS “Mercury” installation developed by SPbPU jointly with ZAO “Biograd” allows printing gas turbine components from heat-resistant nickel alloys at a heating temperature of up to 1300 degrees Celsius. A powerful laser (1000 W) and precise control of the material structure provide high performance. This is no longer a prototype – it is a response to import substitution in aerospace and energy. In addition, multi-material synthesis, plasma and flame spraying technologies have been implemented. They print not only with alloys – SPbPU has piezoceramics, carbide ceramics, and high-entropy composites in its arsenal. All this is in the interests of import independence and accelerated implementation in real production.

    The Polytechnic University is also equipped with stationary and mobile technological complexes for direct laser deposition, laser cladding, laser and hybrid laser-arc welding of thick metals, and laser welding of thin metals (up to 100 microns).

    Electric Arc Growing (WAAM)

    SPbPU offers a full cycle of WAAM implementation — from design to integration into production processes. The technology of layer-by-layer wire surfacing using an electric arc is used to create large-sized and complex-shaped products from titanium, steel, aluminum and other metals. Robotic complexes are adapted to the tasks of specific customers, providing up to 6 kg/h of printing and full automation. The robotic complex (RC) for additive electric arc growing is a robotic cell that has everything necessary for electric arc growing. In addition, the Polytechnic University supplies the systems with its own software that allows monitoring the status of the manipulator and peripheral equipment, as well as generating control programs for the implementation of the electric arc growing technology. Unique examples: gas turbine engine impellers and wheel rims, which have passed strength tests and demonstrated competitiveness compared to cast products.

    Design and manufacture of laser technological complexes

    Polytechnic University develops turnkey laser systems — from foil welding to repair and manufacturing of components for power and mining equipment. The arsenal includes robotic laser cladding systems, mobile units, robotic systems with 5-kW lasers, direct laser deposition with powders and wire, as well as hybrid systems with an inert atmosphere. Using a robotic laser welding system for thin metals (up to 100 microns), serial welding of fuel elements of a hydrogen energy source for Russia’s first passenger ship, Ecobalt, was implemented.

    The university developed a technology for surfacing a porous coating with a thickness of 600 microns with an open porosity of 60-80% and the ability to control these parameters. The cups successfully passed preliminary clinical tests for integration and toxicity of the surfacing layer with bone material.

    Repair of power equipment components was carried out: nozzle and working blades Man Turbo, SGT-700, TV 3-117, VP2500, VPT-50-2, Man Turbo, MARS100, Taurus 60, Man Turbo, MS5002E, TV 3-117, NK-12ST, DR59L, GPA GTK-10I, MS3142J.

    As part of cooperation with the company JSC UK KER-Holding, the Polytechnicians created and delivered a technological complex for direct laser growth.

    Together with TsNIITMASH, a demonstration separation module of a power plant was created using direct laser growth. The result is a reduction in the number of welding operations, an increase in anti-corrosion properties and reliability in extreme Arctic conditions. The university is conducting projects with Rosatom, Gazprom and other industrial giants, offering customers not just equipment, but fully adapted technological solutions.

    Friction stir welding (FSW)

    SPbPU is one of the few in the country that uses STP and TSTP on a large scale: both in spot and seam configurations. This is a solid-phase welding technology that does not involve melting, but has high strength, minimal deformations, and the ability to weld even dissimilar materials — aluminum with copper, composites with metals. The university produces seams up to 8 meters long, develops its own equipment, and trains customer personnel. The use of STP is relevant for aviation, shipbuilding, energy, and military equipment — wherever precision and durability are important.

    We invite you to the Polytechnic stand 1A25, where you can see and evaluate the latest technologies and innovations from SPbPU in the field of metalworking.

    Exhibition address: Moscow, Krasnopresnenskaya embankment 14, Expocentre Central Exhibition Complex

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

    MIL OSI Russia News

  • MIL-OSI Russia: Alexey Likhachev became an Honorary Doctor of SPbPU

    Translation. Region: Russian Federal

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

    A solemn ceremony of presenting the mantle and diploma of the Honorary Doctor of SPbPU to the General Director of the State Corporation Rosatom Alexey Likhachev took place at Peter the Great St. Petersburg Polytechnic University.

    The ceremonial event opened with the performance of the Polytechnic University anthem by the SPbPU youth choir “Polyhymnia”.

    It is especially gratifying that this important event is taking place in the year of the 80th anniversary of the Russian nuclear industry, to the development of which Polytechnicians made a significant contribution. Such names as Abram Fedorovich Ioffe, Isaak Konstantinovich Kikoin, Abram Isaakovich Alikhanov, Yuliy Borisovich Khariton, Nikolay Leonidovich Dukhov are inscribed in gold letters in the history of the development of Russian science. Today, Polytechnic University and Rosatom, under the leadership of Alexey Evgenievich, closely cooperate for the benefit of the development of Russian nuclear technologies: both in education and in science. By order of Rosatom, our Institute of Power Engineering annually graduates more than 250 specialists in the field of nuclear energy, thermal power engineering, electric power engineering and power engineering. Together with Rosatom, we are successfully implementing the project of the advanced engineering school “Digital Engineering”, acting in the interests of the technological leadership of our country, – emphasized the rector of SPbPU, academician of the Russian Academy of Sciences Andrey Rudskoy.

    The members of the SPbPU Academic Council unanimously voted to award the title to Alexey Likhachev on April 28 this year. The Scientific Secretary of the Polytechnic University Dmitry Karpov presented the new honorary doctor.

    If we try to pick three key words that would define the spirit of modern scientific and technological development in Russia, these words should be: professionalism, leadership and Victory. And these are the words that come to mind when we talk about the State Corporation Rosatom. For the Polytechnic University, whose history is closely connected with the nuclear project, participation in the development of nuclear energy is one of the key, strategic areas of work. And scientific and industrial cooperation with the national leader in several related industries at once is a great honor and responsibility for the university, – noted Dmitry Karpov.

    Cooperation between the Rosatom State Corporation and SPbPU, which is one of the flagship universities and its long-term strategic partner, is actively developing. This is a significant amount of work carried out by the Institute of Mechanical Engineering, Materials and Transport, the Institute of Power Engineering, the Physics and Mechanical Engineering Institute, the Advanced Engineering School “Digital Engineering” and other university structures. This is significant international cooperation, in particular, in the interests of the Turkish and Egyptian nuclear energy. This is the training of specialists in a wide range of engineering and technical areas of training – primarily in nuclear, energy, mechanical engineering and construction specialties. This is a cell of the Rosatom Student Council, whose activists participate in organizing meetings with representatives of the corporation’s enterprises, technical tours of production facilities, strategic sessions as part of the university’s career events and other activities. In the context of the 80th anniversary of the nuclear industry, about 40 events are planned at the Polytechnic University, covering more than 4,000 people.

    Dmitry Karpov named several completed projects. An optimal design of a vibrating screen for cleaning drilling mud was developed by order of NPO Centrotech. The project was a real breakthrough in the industry: with a target vibration acceleration of 7 g, engineers from PISh SPbPU designed a product that exceeded these parameters in just six months. The results of digital modeling were confirmed from the first factory test of the prototype – the vibration acceleration was 8.2 g. The product and its modifications have been successfully used for many years now.

    A digital twin of the VVER-1000 fuel assembly with an anti-debris filter and mixing grids was developed by order of JSC TVEL. Due to digital design and additive manufacturing, the filtration efficiency has been increased tenfold, and the created models, virtual test benches and testing grounds will significantly reduce costs and improve the quality and speed of further developments.

    At the request of the Mayak production association, for the first time in engineering practice, the architecture of a highly adequate multiphysical digital model of a furnace for vitrification of high-level radioactive waste has been developed.

    By order of JSC TsKBM, key proprietary technological equipment for the ODU-150 hydrogen production unit was developed. The design solutions of the created key hydrogen technology devices are the starting point in the development of a new generation of equipment and future medium- and large-tonnage devices for the hydrogen, petrochemical, and nitrogen industries.

    At the request of the composite division of Rosatom, a technology for the production of filaments from continuous carbon fiber was developed, and the customer received pilot equipment. On the official website of the corporation, this installation is listed among the most important achievements of Rosatom in 2024.

    At the enterprise of the State Corporation Rosatom — JSC Proryv — the URANIA data and process management system for computational and experimental scientific research was put into operation. It is based on the CML-Bench® Digital Platform — an in-house development of the Engineering Center of our university.

    In 2023, under the leadership of Alexey Evgenievich, the State Corporation approved the Unified Digital Strategy, which became the most important step towards accelerating the digital transformation of the industry, including ensuring import substitution. In this regard, Dmitry Karpov noted that specialists from SPbPU and the All-Russian Research Institute of Experimental Physics developed the national GOST “Computer models and modeling. Digital twins of products. General provisions” – the world’s first document regulating the relevant activities.

    The scale of the projects of the State Corporation Rosatom is truly astounding. And it is quite obvious that the management of such a system is the lot of rare leaders and true professionals. This entire vast field – from the development and implementation of advanced technologies, solving the most complex multidisciplinary problems of the world level to the transfer of unique competencies and the organization of expert discussion platforms – all this and much more became possible, including thanks to the personal professionalism and leadership of Alexey Evgenievich. Perhaps, being a leader is destiny. Destiny to be born in Arzamas-75 – Sarov, the city-forming enterprise of which is the Russian Federal Nuclear Center. And, having gone the way of an engineer, politician, adviser and Deputy Minister of Economic Development of Russia, still to head the State Atomic Energy Corporation Rosatom. And to become a leader, ensuring its brilliant victories, – emphasized Dmitry Karpov.

    Students in the uniform of the Polytechnic University of the early 20th century brought in a doctoral robe and cap, the Polyhymnia choir performed the Gaudeamus anthem. Andrei Rudskoi presented Alexei Evgenievich with a book about honorary doctors of the Polytechnic University, which has a page dedicated to the CEO of the state corporation Rosatom.

    It is a great honor for me to receive this title from one of the leading technical universities in the country, which stands at the origins of the Russian engineering school. St. Petersburg Polytechnic University is a forge of personnel for the nuclear industry, and we highly value the contribution of its teachers, scientists and students to the development of advanced technologies. I am confident that our partnership will continue to contribute to breakthrough achievements in nuclear energy, medicine and new materials, – said Alexey Likhachev in his response speech.

    Alexey Likhachev also met with students studying at the Institute of Power Engineering. He spoke about the development of the State Corporation’s systemic cooperation with universities, how contacts with students are built, and shared Rosatom’s corporate values. The Polytechnicians spoke about the activities of the Rosatom student council cell, asked questions about the prospects for the development of nuclear science and the training of personnel for the corporation’s high-tech projects.

    You are the future not only of Rosatom and the nuclear industry, but of the entire country. It is you who will manage enterprises, represent the industry on the international stage and develop our technological power. Therefore, such meetings with students are of particular value: we get to know each other better and understand to whom we are transferring responsibility for the future, Alexey Likhachev emphasized.

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

    MIL OSI Russia News

  • MIL-OSI Russia: International tournament Inter Football Cup: sport, friendship, Vyshka!

    Translation. Region: Russian Federal

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

    © Higher School of Economics

    On May 18, the Higher School of Economics hosted the international football tournament Inter Football Cup, in which HSE students and staff from all over the world took part for the third year in a row. This event became a real holiday not only for football fans, but also for everyone who wants to make new acquaintances and immerse themselves in an atmosphere of friendship and unity.

    The football tournament is held with the support of Directorates of Internationalization And Department of Physical Education HSE University. Opening the event, department lecturer Artem Yemelyanov congratulated everyone on the sports festival and wished them to demonstrate their best sports skills and team spirit. Director Center for Support and Career of International Students and Graduates Zhanna Sorokina noted that for the first time, not only student teams are participating in the tournament, but also a team formed from international specialists – foreign teachers and research staff of the university.

    This time, 12 teams met on the field, bringing together representatives of more than 50 countries – from Australia to Ethiopia, from Italy to India. Each match was a real battle, full of emotions and excitement. The participants not only demonstrated their football skills, but also shared the cultural traditions of their countries, which added a special flavor to the tournament. “This is not just football, it is a great chance to take a break from studying, warm up and relax, and also meet our friends and students from other faculties,” shared Ikenna Mbatha (Nigeria) from Institute for Statistical Research and Economics of Knowledge HSE. His team, despite losing in the semi-finals, had unforgettable impressions and made many new acquaintances.

    “This is not my first time participating in the tournament, and it is one of the best events that the university organizes for international students,” says Bernard Baako (Ghana) Faculty of Economic Sciences“Such drive, such emotions – it’s an amazing release!”

    As the tournament organizers note, the number of participants increases every year, which indicates a growing interest in the sporting event. “We are glad to see how students from different countries unite through sport. This is important not only for their socialization, but also for creating a friendly atmosphere at the university,” noted Zhanna Sorokina.

    Marco Mellina (Italy), Research Fellow Schools of Historical Sciences, said that he was a big football fan and, having just learned about the tournament, persuaded his colleagues to participate. The team of international specialists was extremely happy to spend the day at the stadium and impose a fight on their opponents. Even the rain that began during the final games did not spoil the mood of those gathered. The players’ passion in the fight for prize places was uncontrollable, once again confirming the truth of the classic formula of big-time sports: “The match will take place in any weather.”

    The tournament ended with a spectacular finale in which the team Faculty of Social Sciences defeated the team Institute of Cognitive Neurosciences — another debutant of the tournament. But, as many participants noted, the main thing is not the victory, but participation and the opportunity to meet new people.

    Benjamin Sarpong (Ghana), captain of the winning team, boasted that he has won the cup for the second year in a row: at the Inter Football Cup 2024, he was a prize winner as part of the team of the preparatory department for foreign citizens. “Today I personally scored two goals, and they determined the outcome of the final game! I am absolutely happy!” admitted Ben.

    The HSE Inter Football Cup has once again proven its importance as a platform for cultural exchange and friendship, and the participants are looking forward to the next tournament.

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

    MIL OSI Russia News

  • MIL-OSI Russia: Chinese-Uzbek archaeological team held an open day

    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, May 26 (Xinhua) — A team of archaeologists from China and Uzbekistan held an open day in Surkhandarya region of Uzbekistan last week, according to the official website of the Cultural Heritage Protection Administration of northwest China’s Shaanxi Province.

    The event, attended by 40 local schoolchildren, took place at the Bandikhon No. 2 archaeological site, located in the Surkhandarya and Sherabadarya river valley. Since September 2023, experts from China and Uzbekistan have been conducting joint excavations at this early Iron Age site.

    The archaeological group includes researchers from Northwest University (NWU, Shaanxi Province, China), Termez State University and Termez State Archaeological Museum (Uzbekistan).

    The event, which aimed to educate the public about archaeology, allowed the teenagers to expand their historical knowledge and strengthen their awareness of the importance of protecting cultural heritage sites, said Ma Jian, head of the Chinese archaeological team.

    In cooperation with the Samarkand Archaeological Institute, the State Archaeological Center and the Fergana State University of Uzbekistan, SZU has been conducting archaeological work in the city of Samarkand, the Surkhandarya and Fergana regions of this country for 18 years in a row.

    The collaboration between archaeologists from both sides proved fruitful. Experts filled a number of gaps in Central Asian archaeological research, discovering the monuments of Sazagan and Chinartepa and the burial grounds of Rabat and Serharakat. -0-

    MIL OSI Russia News

  • MIL-OSI Russia: China hosts symposium on traditional cultures along the Silk Road

    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, May 26 (Xinhua) — A 2025 symposium on the protection, development and application of traditional cultures along the Silk Road opened in Xi’an, capital of northwest China’s Shaanxi Province, on Friday.

    The symposium, co-organized by the Shaanxi Provincial People’s Government, the Provincial Department of Education and Northwest University (NWU), brought together more than 100 experts from higher education institutions in China, Kazakhstan, Tajikistan, Turkmenistan, Uzbekistan, Egypt, Morocco and the United Kingdom.

    The event included the opening ceremony of the Intelligent Perception Laboratory for Situational Awareness in Countries Along the Silk Road, aimed at enhancing the level of cooperation between research organizations in China, Central Asia and Arab countries.

    Speaking at the symposium, SZU Rector Sun Qingwei introduced those present to the university’s achievements in research related to the Great Silk Road.

    The Silk Road served as a channel for trade and economic interaction and civilizational exchanges between the East and the West, and in modern times it has gained new vitality. Sun Qingwei called on the two sides to make joint efforts to deeply integrate production, education, research and application.

    The main theme of the symposium is “The Great Silk Road: civilizational mutual learning and innovation in culture.” Within its framework, two sub-forums were held on issues of Chinese-Arab and Chinese-Central Asian civilizational exchanges. -0-

    MIL OSI Russia News

  • MIL-OSI Global: Promoting social inclusion through pet companionship

    Source: The Conversation – Canada – By Renata Roma, Postdoctoral Fellow, Center of Behavioural Sciences and Justice Studies/Pawsitive Connections Lab, University of Saskatchewan

    The benefits of pet companionship have been widely researched and celebrated.

    Pets can improve our mood and immune system. They can also encourage staying active and fit, offer emotional comfort and companionship, and foster social connections. Pets can even increase life expectancy.

    Unfortunately, pet companionship is not always easily accessible to everyone. Several groups face hurdles when it comes to sharing time or living with a pet. Some of the hurdles that people can face when accessing pets include the lack of pet-friendly housing and financial resources to afford pet food and veterinary care.

    There can also be more concrete barriers to pet companionship, such as no-pet clauses in rental agreements or no-pet policies in retirement homes.

    As we strive for social equality, it is essential to address hurdles that prevent some people from experiencing the known benefits of spending time or living with a pet.

    Challenges and misconceptions

    Several factors can make pet companionship less accessible. Some of these factors include lack of appropriate housing and lack of financial resources for pet food and pet-related veterinary services. A Canadian survey found that new immigrants and young people aged 18 to 34 years are the groups most affected by these factors and, often, elderly people experience housing-related and financial challenges.

    For pet guardians, the inability to pay for grooming services, food or health-care services can create feelings of distress and, for their pets, this can lead to a reduced quality of life. In this case, we see that the well-being of both pet guardians and their beloved pets can be compromised.

    Moreover, some studies link higher income to an increased likelihood of living with companion animals. When it comes to economic factors, it is concerning that some believe certain groups of people should not be pet guardians. The Michelson Found Animals Foundation highlights several misconceptions about living with companion animals, which are often associated with financial hardships.

    For example, some people believe that people who live in apartments, rather than homes with backyards and green space, should only have small dogs as pets. However, this belief ignores a dog’s energy level as some small dogs are highly energetic while some big dogs are less energetic. This belief also does not consider the guardian’s ability to provide mental and physical stimulation for their dog.

    Still other people believe that if someone cannot afford the costs associated with caring for a pet, they should not have a one. This belief only reinforces social inequalities and reflects a deeper form of discrimination.

    Financial problems and housing restrictions may force people to give up their pets, and this is an emotionally difficult decision. Research by Christine Yvette Tardif-Williams, one of the authors of this story, with childhood and youth researcher Rebecca Raby and graduate students at Brock University shows how homeless children often navigate feelings of emotional intimacy towards their pets alongside feelings of loss and grief. In this research, homeless children shared stories about missing or losing companion animals either through separation or death.

    Research also shows that most people experiencing homelessness are responsible pet guardians, and that their pets are often very healthy and that they too benefit from human companionship — it’s a mutually beneficial, two-way emotional connection.

    A more equitable future in pet companionship

    Pet companionship and systemic inequalities are interconnected. For instance, many socioeconomically disadvantaged and marginalized families and communities — including, but not limited to, racialized, Indigenous, homeless, immigrant and refugee families and their children — face barriers to pet companionship.

    We need targeted strategies and policies to reduce the barriers faced by these families and communities. It is important to create more opportunities for people and pets to live together. This can help us to address social inequality in pet companionship among diverse groups.

    Some studies highlight the need for increasing access to free or low-cost veterinary care. Making shelters and housing more pet-friendly is also essential. Promoting campaigns to reduce misconceptions about pet companionship among diverse groups of people is another key strategy.

    One example of a program that helps make pet companionship more accessible is Community Veterinary Outreach (CVO).This is a registered charity located across different provinces in Canada. They provide health care for people and preventive care for pets. They also run education programs covering topics such as animal behaviour, nutrition, and dental care. Together, these services help to support vulnerable populations living with pets.

    Another example is the PetCard program, a Canadian financing program that offers flexible options for people to split the payment of veterinary-related services.




    Read more:
    How ‘One Health’ clinics support unhoused people and their pets


    However, we need more consistent collaborative work that begins by raising awareness about the importance of pet companionship for diverse groups of people. Expanding this discussion can help us design fairer policies about pet companionship, foster social justice and bring communities together.

    Overlooking the relevance of this discussion can reinforce discriminatory views around pet companionship.

    Supporting pet companionship

    It is problematic when access to pet companionship is restricted due to a family’s economic status or housing opportunities, since it means they’re less likely to experience the well-being benefits of pet companionship. In this way, pet-related benefits are limited to a select and privileged group.

    We can help people and animals build meaningful bonds by promoting equitable access to companionship. The needs of pets must also be prioritized in any effort to increase access to pet companionship. This means making sure pets’ physical and emotional needs are met and that they also benefit from the human-pet bond. Pets’ well-being and rights should always come first when making pet companionship more accessible.

    To create a fair approach to supporting pet companionship among diverse populations, we need to balance human and pet needs and ensure the well-being of both humans and their pets.

    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. Promoting social inclusion through pet companionship – https://theconversation.com/promoting-social-inclusion-through-pet-companionship-255089

    MIL OSI – Global Reports

  • MIL-OSI Africa: SA, Tanzania research funders sign landmark MoU to deepen bilateral scientific cooperation

    Source: South Africa News Agency

    The National Research Foundation (NRF) and the Tanzania Commission for Science and Technology (COSTECH) have signed a memorandum of understanding (MoU) aimed at strengthening and expanding their scientific partnership.

    This agreement was signed during the 13th Annual Meeting of the Global Research Council (GRC), which was hosted by Saudi Arabia’s King Abdulaziz City for Science and Technology (KACST) in collaboration with the Research, Development and Innovation Authority (RDIA) this week.

    According to the NRF, this new MoU establishes a strategic framework for enhanced cooperation in science, technology, and innovation, including the social sciences and humanities. 

    Rooted in principles of equality, reciprocity, and mutual benefit, it marks a significant milestone in a long-standing relationship that has fostered impactful collaboration between the two institutions.

    This move recognises the importance of science, technology, and innovation (STI) and its strong systems in promoting the growth and competitiveness of national economies and thereby improving the socio-economic standards of life in both countries. 

    Both the research funders have agreed that the MoU will serve as a reflection of their mutual intention to cooperate, coordinate, and combine their resources, experience, and expertise to effectively execute their mandates.

    CEO of the NRF, Dr Fulufhelo Nelwamondo, said this partnership reaffirms the NRF’s commitment to advancing scientific excellence and innovation through strategic continental partnerships. 

    “With COSTECH, we are not only strengthening bilateral research cooperation but building shared capabilities that will benefit both our societies in areas critical to sustainable development,” said Nelwamondo. 

    The bilateral partnership between the NRF and COSTECH began following an intergovernmental agreement signed in 2011. 

    In 2012, the two organisations jointly launched a call for collaborative research proposals, resulting in the co-funding of 15 projects across priority areas such as health, information and communication technology (ICT), palaeontology, nanomaterials, and agricultural value addition. 

    This programme facilitated collaboration among 54 research institutions, including four outside Africa and led to the training of 11 doctoral and seven postdoctoral students, alongside 27 peer-reviewed publications.

    It also enabled mobility exchanges for over 30 researchers and academics.

    “This MoU reflects the spirit of mutual respect and shared purpose that defines the relationship between COSTECH and the NRF. 

    “Together, we are co-creating knowledge, advancing innovation, and jointly addressing the development challenges and opportunities that our countries and the broader region face,” said Director General of COSTECH, Dr Amos Nungu.

    In addition to bilateral efforts, both the NRF and COSTECH are active partners in regional and multilateral initiatives. 

    COSTECH hosts two OR Tambo Africa Research Chairs at Sokoine University of Agriculture and the Nelson Mandela African Institution of Science and Technology. 

    It has also participated in joint initiatives under programmes such as the African–Japanese Collaboration (AJ-CORE), the Long-term Europe–Africa Water-Energy-Food Nexus (LEAWEF), and the COVID-19 Africa Rapid Grant Fund.

    Tanzania also participates in the u’GOOD Research Programme, coordinated by the NRF and implemented in partnership with Foundation Botnar and the Human Sciences Research Council. 

    In addition, both NRF and COSTECH play an active role in the Global Research Council through participation in its Sustainable Development Goals (SDG) Pilot Initiative and contributing to its governance structures.

    The MoU provides a platform to co-develop programmes that enhance research excellence, support innovation ecosystems, and contribute to sustainable development across Africa. – SAnews.gov.za

    MIL OSI Africa

  • MIL-OSI Europe: Diversity : European Parliaments are falling behind

    Source: Universities – Science Po in English

    People of foreign origin continue to be underrepresented in national parliaments across Europe, according to a comparative study conducted in Germany, Spain, the Netherlands, the United Kingdom, and Switzerland. Laura Morales, a researcher at the Centre for European Studies and Comparative Politics (Sciences Po / CNRS), contributed to this study. In particular, individuals with immigrant backgrounds remain underrepresented relative to their share of the general population. This is also the case in France, according to earlier research by Laura Morales. Discover the main findings in this article. 


    Members of parliament with immigrant backgrounds remain underrepresented in the national parliaments of major European countries, according to the recent REPCHANCE Europe study, funded by the Robert Bosch Stiftung. Covering five European democracies—Germany, Spain, the Netherlands, the UK, and Switzerland—between 2012 and 2021, the study defines individuals of immigrant origin as those born abroad with foreign nationality, or with at least one parent meeting that condition. The study shows that, despite progress over the past decade, the proportion of individuals of immigrant origin among national parliamentarians remains lower than their share in the population of each country. This observation also applies to France, which Laura Morales examined in a separate project funded by Sciences Po, InclusiveParl

    Disparities in the Representation of Social Diversity Over Time and Space

    As of 2021, the Netherlands leads with the highest proportion of MPs of immigrant origin (19%), though this is still below the percentage of immigrants in the general population (24.6% according to StatLine). The same is true for all other countries studied, including Switzerland (14% in the National Council, compared to 39.5% in the population according to the BFS) and Germany (11% in the Bundestag, compared to 27.2% according to Destatis). 

    For Spain, France, and the UK, only the proportion of those born abroad or with foreign nationality is known. These figures—drawn from OECD statistics for comparability—thus underestimate the population of foreign descent, yet they still exceed or at best equal the share of immigrant-origin MPs: Spain’s Congress of Deputies includes 2% immigrant-origin MPs (versus 15.4% foreign-born residents), France’s National Assembly 9.8% (versus 13.3%), and the UK’s House of Commons 15% (versus 14%). The discrepancies would be even larger if descendants of foreign-born individuals with foreign nationality were considered in the general population.

    Parliamentary representation of individuals with immigrant backgrounds has improved over time, but progress has varied greatly by country (see chart below).

    Share of MPs of Immigrant Origin in Five European National Parliaments (2012–2021). 
    Depending on the country, this period includes a variable number of legislative sessions: 5 in Spain, 4 in Germany and the UK, 3 in Switzerland, and 2 in the Netherlands. 
    Source : REPCHANCE Europe. Drivers and Obstacles to Minority Representation.

    In comparison with these five countries, the proportion of foreign-origin MPs in France’s National Assembly was 7.5% during the 14th legislature (2012–2017) and 9.8% during the 15th (2017–2022). These figures place parliamentary diversity in France at a level similar to Germany during the same period. 

    These contrasting developments in diversity within European parliaments are partly due to differing immigration timelines and levels in each country—a longer migration history in the UK, more intense immigration in Switzerland—but also to the degree of attention political parties pay to diversity in their ranks and candidate selections,” explains Laura Morales, university professor at the Centre for European Studies and Comparative Politics and lead researcher of the study for Spain and the UK. “The role of political parties is evident in the non-linear increase in diversity in the Dutch and Swiss parliaments and the lack of real progress in Spain, despite growing social diversity in all of these countries.

    Persistent Obstacles

    Another part of the REPCHANCE Europe study is based on interviews with elected officials of immigrant origin at national, regional, or local levels. These interviews help to understand how such individuals become politically engaged and what barriers they face. For example, people of immigrant origin more often run under left-wing parties, particularly in Germany and Switzerland, and to a lesser extent in the UK and the Netherlands. Decisions to run for office are often influenced by growing up in politically active families, but mobilization by party officials also plays a crucial role. Whether they are actually elected depends on factors such as the constituency assigned or list placement in proportional voting systems. 

    Once in office, foreign-origin MPs often face discrimination (with women experiencing both sexism and racism), hate speech, or tokenism—being used to give the appearance of diversity—according to the study. Furthermore, these MPs are often expected (or limited) to focus on migration and integration issues, even without prior expertise in these areas.

    Towards Greater Political Inclusion

    In their report, the researchers propose concrete measures to achieve more balanced representation of people of immigrant origin. These recommendations include extending voting rights for certain elections (e.g., local or regional), educational initiatives, but most importantly, measures targeted at political parties: more active recruitment of immigrant-origin individuals, stronger anti-discrimination policies, and a focus on training, which would benefit all newcomers to politics. 

    Ferdinand Mirbach, an expert at the Robert Bosch Stiftung, emphasizes that “increasing the political representation of people of immigrant origin is essential for the proper functioning of democracy. Political parties, civil society, and institutions must actively create opportunities and remove obstacles to ensure a diversity of voices are heard in decision-making.
     

    > To learn more, access the comparative research report REPCHANCE Europe

    Translation from French to English by Hannah Ashburn

    MIL OSI Europe News

  • MIL-OSI United Kingdom: ARU sharpens the focus on African photography

    Source: Anglia Ruskin University

    A photograph by Patrick Chilaisha, which will be on display in Lusaka next month

    Anglia Ruskin University (ARU) is playing a role in establishing Zambia’s first-ever international photographic festival, which aims to give a platform to African photography within the continent.

    The first Bakashimika International Photography Festival, taking place in the capital Lusaka between 12-18 June, is currently the only international photography festival in southern Africa.

    Bakashimika will showcase bold, innovative work that reflects contemporary African narratives; spotlighting both emerging and established photographers from Zambia and neighbouring countries.

    With 20 exhibitions and more than 40 photographers from Angola, Congo, Zimbabwe, Nigeria and South Africa, as well as Zambia, the festival will celebrate photography as a powerful tool for storytelling, cultural expression, and connection.

    Bakashimika is being supported through Anglia Ruskin University’s QR impact planning funding, recognising the festival’s potential to shift the creative and cultural landscape in the region.

    Dr Kerstin Hacker from Anglia Ruskin University (ARU) has been researching visual self-governance in Zambia since 2008 and has collaborated with Geoffrey Phiri, former Chairperson of the Zambian National Visual Arts Council, to organise exhibitions and workshops for emerging photographers in the country since 2016.

    “Currently there are no international networking opportunities for photographers and lens-based artists in southern Africa, let alone Zambia itself. This festival is about creating space for southern African stories, promoting south-to-south engagement, achieving global visibility, and nurturing the next generation of African photographers.

    “The festival will celebrate indigenous African visual storytelling and spark a new wave of creative talent and visual self-governance in Zambia. Bakashimika also aims to be a meeting place for Zambian, southern African and international photographers, educators and industry experts.”

    Dr Hacker, Senior Lecturer in Photography at ARU

    Alongside Dr Kerstin Hacker and Geoffrey Phiri, the festival is organised by Edith Chiliboy, the artistic director and a leading voice in Zambia’s photography scene, and Patrick Chilaisha, operational director of Bakashimika, who is shaping the festival’s digital presence.

    The week-long celebration of lens-based art begins on 12 June and will include exhibitions, artist talks, workshops, screenings, and portfolio reviews. For further information, visit https://bakashimika.com

    MIL OSI United Kingdom

  • MIL-OSI United Kingdom: University hosts World Energy Business Schools (WEBS) Conference 2025 On 22 May 2025, the University of Aberdeen hosted the second World Energy Business Schools (WEBS) Conference, reaffirming its commitment to global collaboration on energy and sustainability challenges.

    Source: University of Aberdeen

    On 22 May 2025, the University of Aberdeen hosted the second World Energy Business Schools (WEBS) Conference, reaffirming its commitment to global collaboration on energy and sustainability challenges.
    Building on the success of the inaugural event in 2024, this year’s conference – entitled ‘Strengthening Global Ties for a Sustainable Future’ – brought together academics from across Europe and Australia to share research and foster partnerships aimed at advancing the energy transition.
    While the first conference laid the groundwork for collaboration between the University of Aberdeen, Curtin University (Australia), and the University of Calgary (Canada), the 2025 event expanded the network, drawing participation from seven universities:

    University of Aberdeen, Scotland
    University of Dundee, Scotland
    Curtin University, Australia
    University of Insubria, Italy
    University of Southern Denmark
    University of Groningen, Netherlands
    University of Stavanger, Norway

    This broader engagement marks a significant step in the evolution of the WEBS initiative, reinforcing its potential as a platform for international cooperation in research and education on energy and sustainability.
    Although held primarily online, the event also welcomed in-person attendees at the Sir Duncan Rice Library in Aberdeen, with School Director of Research, Professor Keith Bender, serving as host. The one-day conference featured a full schedule of presentations grouped around four key thematic areas:

    Sustainable Workers and Firms
    Public and Private Environmental Policy
    Energy Transitions
    Finance and Policy in Sustainable and Circular Economies

    Presentations addressed diverse topics, ranging from workforce sustainability and peer effects in low-carbon housing adoption, to friend-shoring, circular economy challenges and financial risks in the context of climate change. A highlight of the day included cross-national insights into renewable energy governance, corporate sustainability, and collaborative consumption strategies in business-to-business networks.
    The WEBS 2025 Conference underscored the value of sustained dialogue among business schools in energy-active regions. As global energy systems evolve, the WEBS network provides a forum for collaborative research, joint funding bids and PhD training opportunities.
    With two successful conferences now completed, the WEBS initiative is poised to become a leading academic network driving forward interdisciplinary insights and policy-relevant research on the future of energy.
    The Business School at the University of Aberdeen looks forward to continuing this important collaboration in the years ahead. Academics, researchers, and graduate students interested in energy, sustainability, and global collaboration are encouraged to engage with the WEBS network.
    Whether through joint research projects, future conference participation, or knowledge exchange, WEBS offers a growing platform for impactful interdisciplinary work. For further information or to express interest in future events, please contact the Business School at bs-research@abdn.ac.uk.

    MIL OSI United Kingdom

  • MIL-OSI USA: Cook, A View on Financial Stability

    Source: US State of New York Federal Reserve

    Thank you, Alessandra, for organizing us today, and thanks to you, Veronica Guerrieri, and Marina Azzimonti for initiating this effort seven years ago. I am honored to be with so many friends in macroeconomics at the 2025 Women in Macro Conference. I still read, recommend, and cite your work and am grateful to New York University and the University of Chicago for supporting this conference and this research.1
    How has the arc of mainstream macroeconomic research become more closely integrated with issues related to financial stability? This question is what I would like to discuss today. I applaud the advances in incorporating financial stability into macroeconomic models, which have significantly enhanced our understanding of financial market functioning and its effect on the economy. It is a topic that holds special importance to me as a macroeconomist who has worked at the intersection of macroeconomics and finance since my dissertation and as the chair of the Federal Reserve Board’s Committee on Financial Stability. I would like to then offer my assessment of the stability of the U.S. financial system.
    Financial stability supports the objectives assigned to the Federal Reserve, including full employment and stable prices, a safe and sound banking system, and an efficient payments system. A financial system is considered stable when banks, other lenders, and financial markets are able to provide households, communities, and businesses with the financing they need to invest, grow, and participate in a well-functioning economy—and can do so even when hit by adverse events, or “shocks.”2 Financial instability, by contrast, arises when vulnerabilities—such as asset bubbles, excessive leverage, liquidity mismatches, or interconnected exposures—can build up to such an extent that they can amplify different shocks and threaten the core functions of the system and the functioning of the broader economy.
    Macroeconomic Research and Financial StabilityThe idea that supply creates its own demand, or Say’s law, was the prevailing economic orthodoxy of the 1800s. As a result, the core content of macroeconomics as a separate discipline did not exist. Prolonged periods of involuntary unemployment were considered to be impossible. Money and credit were thought to act as a “veil” with no real effects, so money was seen as neutral and banks and other financial intermediaries as essentially passive, despite what we now know.
    The Great Depression fundamentally put an end to this comforting orthodoxy and prompted decades of work to better understand the causes of, and policy responses to, economic fluctuations. For the first time, financial factors took center stage in economic theory. Directly responding to the failures of economic theory exposed by the Depression, John Maynard Keynes introduced the concept of a “liquidity trap,” in which fear pushes the demand for money so high that the usual corrective measures become ineffective.3 Friedrich Hayek and the Austrian school of economics emphasized the role of unsustainable credit booms, noting that booms in “malinvestment” would lead to fundamental mismatches that would need to be addressed.4 Despite the early focus on panics, credit booms, and extreme dynamics, macroeconomic research evolved in a way that de-emphasized the role of the financial system, likely reflecting technical limitations and, more broadly, the need to develop policy frameworks for the post–World War II economy where the Great Depression seemed less relevant. Modeling financial crises requires addressing complex nonlinear dynamics, feedback loops, and discontinuities, like defaults and bank runs. All of these were analytically intractable and computationally unmanageable with the tools available at the time.
    As a result, the macroeconomic framework that originated from the ideas of Keynes generally assumed stable and frictionless financial markets. The IS-LM, or Investment-Saving Liquidity Preference-Money Supply framework, which describes how the goods market and the money market interact to determine aggregate output and interest rates in the economy, emerged as the central analytical tool for understanding short-run output and interest rate dynamics.5
    However, the neoclassical synthesis was not without its critics. Joan Robinson argued that capital accumulation and investment behavior were inherently volatile and criticized the prevailing framework for overlooking important sources of instability.6 Milton Friedman’s work challenged the Keynesian paradigm by highlighting the importance of monetary policy and the destabilizing effects of monetary mismanagement.7 Even as the rational expectations revolution in macro ushered in explicit modeling of micro foundations and dynamic optimization, financial intermediaries, credit frictions, and the potential for systemic crises remained largely absent. Neoclassical growth models prioritized capital accumulation and technological progress as drivers of long-run growth, and real business cycle models emphasized productivity shocks as drivers of fluctuations in employment and growth.8
    Two papers familiar to many of you here and published in 1983 were instrumental in bringing financial stability considerations back into macroeconomic research. Douglas Diamond and Philip Dybvig showed how banks’ role in providing liquidity makes them vulnerable to runs, while Ben Bernanke demonstrated how bank failures deepened the Great Depression.9 These contributions, which were recognized with a Nobel Prize in 2022, have helped pave the way for researchers wishing to explore both directions of the relationship between financial fragility and macroeconomic outcomes. In parallel, Hyman Minsky’s financial instability hypothesis advanced a dynamic view of systemic risk, emphasizing how periods of sustained economic and financial stability tend to encourage excessive leverage and risk-taking—culminating in what we now call a “Minsky moment.” This phenomenon is when a rapid unwinding of financial positions triggers broader economic distress.10
    Ultimately, it took the Global Financial Crisis to bring home just how deeply the financial system and macroeconomic dynamics are intertwined, as evidenced by the explosion of research on financial stability and financial frictions. Models incorporating financial intermediaries, leverage cycles, and endogenous risk became more central to macroeconomic analysis, while empirical work confirmed the critical role of credit booms in preceding financial crises.11
    Over the past few years, macroeconomic research, to which some of you have contributed, continued to incorporate important financial stability aspects, ranging from endogenous leverage and bank runs to models studying the effects of monetary policy in the presence of heterogenous banks.12 Much of this research is also being done at the Fed, and it has informed our current work in the area. I thought it would be helpful to describe some of that work to you.
    Monitoring Financial StabilityCentral banks around the world routinely monitor the financial system for risks, because financial crises can lead to severe recessions. A cornerstone of the Fed’s work in this area is our framework for monitoring and assessing vulnerabilities. The most recent version of our semiannual Financial Stability Report (FSR) was released last month.13 Our framework distinguishes between two fundamental elements: shocks and vulnerabilities.14 Shocks are adverse events that by their nature are difficult to predict and, unfortunately, are all too frequent. Recent examples include the pandemic, Russia’s invasion of Ukraine, the collapse of Silicon Valley Bank, and many geopolitical events that still warrant headlines. Vulnerabilities, which are aspects of the financial system that would amplify stress, tend to build up over time and can be identified and assessed. We monitor vulnerabilities in four key categories: asset valuation pressures, household and business borrowing, financial-sector leverage, and liquidity and maturity transformation, or funding risks. Policies to build resilience in the financial system are appropriately targeted at reducing vulnerabilities, because they do not require foreknowledge of any particular shocks.
    The financial cycle is recognized as being lower in frequency than the business cycle, with vulnerabilities building over years and typically only to be crystallizing in a short-lived stress event—the classic dynamic of going up by the stairs but down by the elevator.15 Further, as I mentioned earlier, vulnerabilities often build during prolonged expansions as, for example, investor optimism leads to greater tolerance of risk, excess borrowing, and increased leverage. The realization of stress and associated contraction can put these forces into reverse, resulting in decreased vulnerabilities. But the economic and human costs of such an adjustment can be significant.
    Financial Stability AssessmentOur most recent FSR reflects data and information generally available as of April 11, a point when financial market volatility and risk-off sentiment were elevated, with, for example, the S&P 500 having fallen more than 10 percent from its prior peak. Nonetheless, the report echoes many of the themes that we had been highlighting for the previous couple of years. I will discuss our most recent report in the context of some of those themes and illustrate a few lessons from the April volatility.
    Let me start with one theme that is quite encouraging. Generally, businesses and household finances are in solid shape. Most households are able to service their debt, and overall household debt relative to GDP has declined over the past five years. While we are seeing some stress among low-to-moderate-income borrowers and those with subprime credit scores, the risks posed by overall household borrowing remain moderate. Stable balance sheets and solid income have supported the ability of most nonfinancial businesses to service their debt. At the same time, smaller and riskier businesses—which tend to have lower debt service capacity, measured by the interest coverage ratio—are sensitive to income shocks.
    Most households are able to service their debt, and overall household debt relative to GDP has declined over the past five years. While vulnerabilities posed by overall household borrowing remain moderate, we are seeing some signs of stress among borrowers with subprime credit scores, which include many low- and moderate-income households. For instance, auto and credit card delinquency rates for borrowers with subprime credit scores increased substantially in 2022 and 2023 and are at or near their highest levels since the financial crisis. More generally, a sufficiently large income shock could strain the debt-servicing capacity of a broader group of households and push up delinquency and default rates, resulting in more substantial losses for lenders.
    Asset prices have fluctuated significantly over the past several years. Although we do look at asset prices, we tend to focus more on “valuations pressures,” which essentially measure how much prices differ from a variety of benchmarks. For instance, we care whether prices, relative to measures of risk, appear to be out of step with historical experience. In such circumstances, the potential price declines—should risk appetite revert to historical averages—would be larger than normal. Additionally, when the compensation for risk is low, borrowing or leverage could also increase and put further upward pressure on valuations. Coming into the April volatility, valuation pressures were elevated, consistent with the strong economy.
    Allow me to discuss our view of valuation pressures in property markets and come back shortly to the imprint of the April volatility on stock and bond prices. The significant rise in house prices during and after the pandemic has slowed substantially over the past couple of years, but price-to-rent ratios and model-based valuation measures are around the record levels last seen in 2005. Two key differences are that lax underwriting standards do not appear to have driven the increase in house prices and owners’ equity appears to be more solid, using both price- and model-based measures.
    We also noted that commercial real estate (CRE) valuations had been elevated going into 2022 but declined significantly through the period of higher interest rates and deteriorating CRE fundamentals. Prices and fundamentals appear to have moderated, and valuations are closer to historical norms. Given the significant volume of CRE that is maturing and will need to be refinanced, I am continuing to watch this market closely.
    Let me now turn to financial system leverage and funding risks. Capital in the banking system continues to be at historically high levels. However, as you no doubt remember, the intersection of interest rate and liquidity risks played a prominent role in the March 2023 banking-sector stress. High reliance on funding from uninsured deposits was a key vulnerability among some of the most affected banks, including those that failed. When higher interest rates resulted in substantial unrealized losses, we observed rapid outflows of uninsured deposits from a handful of banks. In the April FSR, we describe how over the past couple of years, the share of uninsured deposits relative to total bank funding has decreased for most banks, especially for those that previously relied heavily on uninsured deposits. This outcome is a welcome signal. However, sizable exposure to fixed-rate assets remains, suggesting ongoing exposure to interest rate risk.
    Since 2019, our FSRs have noted another development in markets—a decline in market liquidity. “Market liquidity” refers to the cost of quickly buying or selling a desired quantity of a security and being able to do so without having a significant effect on the market price. During periods of asset-price volatility, it is not surprising that liquidity often declines, so we consider whether market liquidity measures are low given the level of volatility. As discussed in previous FSRs, some evidence indicates that a number of measures of liquidity have shifted down over time, particularly in Treasury markets, where volatility has also been relatively high.16 We have done a lot of work, as have others, to analyze the causes and what lower liquidity in normal times may imply for market functioning during periods of severe stress. One area we are exploring is broker-dealers’ intermediation capacity, which has been affected by a number of factors, including elevated Treasury issuance and increased client demand for secured financing—which is typically collateralized by Treasury securities.
    With that backdrop, let me now turn to last month’s events. The details of the tariff announcements in early April were unexpected. Corporate earnings calls and our own broad-based market outreach suggest three areas of concern among businesses and market participants: One, significantly heightened uncertainty, two, an increased risk of a slowdown in economic activity, and three, prospects for higher inflation. With subsequent announcements some of this uncertainty has ebbed. Nonetheless, the episode offers some insights relevant for financial stability.
    Asset prices fell sharply, particularly in equities, but also in corporate bond and other securities markets. By the second week of April, major stock indices had declined almost 20 percent from their mid-February peaks, with over half of the declines coming in a seven-day period in early April. The Chicago Board Options Exchange’s Volatility Index, the VIX, was extremely elevated through this period, closing at levels not seen since the onset of the pandemic. Some of the decline in equity prices likely reflected a change in the economic outlook, but investor risk appetite likely fell as well, although this is harder to assess because data on changes in earnings expectations arrive with a lag. As we have flagged in previous FSRs, large asset-price declines, whatever the cause, can trigger margin spirals and other feedback loops that are self-reinforcing, if there is excessive leverage or liquidity mismatches in the system.
    Highly leveraged investors, including some large hedge funds, have rapidly unwound positions during past bouts of market volatility. While such dynamics likely contributed to some of the price declines in early April, the overall volumes appear limited. As Roberto Perli, the manager of the Federal Open Market Committee’s System Open Market Account, noted in a recent speech, while there is evidence of some unwinding of the swap spread trade, it was orderly. He said there is no evidence of an unwinding of the cash-futures basis trade, a large and highly leveraged trade that exploits small differences in the prices of Treasury securities and Treasury futures contracts. This stability likely owes in part to the resilience of funding markets through this episode.17
    Large asset-price declines also prompt outflows from open-end mutual funds. Some funds specialize in relatively illiquid assets, such as high-yield corporate bonds or leveraged loans. This is another potential vulnerability we have tracked over time, because a large redemption wave can overwhelm these funds’ cash reserves, leading to fire-sale dynamics in the underlying markets. And redemptions from some funds were quite large in April, particularly given that, in contrast with previous episodes, the general level of interest rates did not fall. Nonetheless, funds were able to handle these redemptions without contributing to stress in corporate debt markets.
    Treasury markets also continued to function in an orderly fashion throughout the episode. To be sure, market depth and other liquidity measures decreased from already low levels, but the decline was in line with what would be anticipated, given the elevated volatility in markets. This outcome is in contrast to what we saw in March 2020, when trading became much more difficult than would have been expected, given the level of volatility because of the broad market dysfunction that characterized the onset of the pandemic.
    The episode provided a real-life example of the large asset-price declines and sudden bursts of volatility that can result from shocks when asset valuations are stretched, as well as the importance of stable and resilient funding markets in absorbing shocks. The experience will surely help us hone our ongoing assessment of financial system vulnerabilities and areas of resilience.
    ConclusionI would like to conclude my remarks with a few examples of research areas that I think would be interesting and helpful to me and, perhaps, to other policymakers.
    First, I understand the difficulty of developing macroeconomic models in which financial risk is endogenously determined by leverage and liquidity mismatch rather than a reliance on exogenous risk shocks. But I hope that the prospect of making highly impactful policy-relevant contributions will induce researchers to dig in on this topic.
    Second, episodes of strain in U.S. Treasury markets over the past several years illustrate the importance of nonbank financial intermediaries, a term that encompasses hedge funds, mutual funds, life insurers, finance companies, and money market funds. This is particularly true in the U.S., where credit is provided by a combination of banks and nonbanks that are often connected through counterparty relationships or common exposure. It would be helpful to have deeper insights into the potential macroeconomic consequences of the shifting interaction between banks and nonbanks.
    Third, relatedly, efforts to incorporate private credit and private equity into macroeconomic models could spur important lines of research. Layered leverage in intermediation chains involving private equity, private credit funds, banks, and businesses can transmit and amplify real-economy shocks to different parts of the financial sector. In addition, private equity and private credit are macro-relevant sectors that can transmit shocks to the real economy.
    I understand that it is easy to throw out a research wish list and walk away, leaving the substantial modeling and operational challenges to others. But I do think it is worth developing new tools and approaches for better characterizing our evolving macro-financial reality. I hope some of you and your graduate students will take up the challenge.
    Thank you again for the opportunity to join you today.

    1. The views expressed here are my own and are not necessarily those of my colleagues on the Federal Reserve Board or the Federal Open Market Committee. Return to text
    2. See Board of Governors of the Federal Reserve System (2024), Financial Stability Report (Washington: Board of Governors, April). Return to text
    3. See John Maynard Keynes (1936), The General Theory of Employment, Interest, and Money (London: Macmillan). Return to text
    4. See Friedrich A. Hayek (1931), Prices and Production (London: George Routledge & Sons). Return to text
    5. See J. R. Hicks (1937), “Mr. Keynes and the ‘Classics’; A Suggested Interpretation,” Econometrica, vol. 5 (April), pp. 147–59; and Franco Modigliani (1944), “Liquidity Preference and the Theory of Interest and Money,” Econometrica, vol. 12 (January), pp. 45–88. Return to text
    6. See Joan Robinson (1956), The Accumulation of Capital (London: Macmillan). Return to text
    7. See Milton Friedman and Anna Jacobson Schwartz (1963), A Monetary History of the United States, 1867–1960 (Princeton, N.J.: Princeton University Press). Return to text
    8. See Robert M. Solow (1956), “A Contribution to the Theory of Economic Growth,” Quarterly Journal of Economics, vol. 70 (February), pp. 65–94; and Finn E. Kydland and Edward C. Prescott (1982), “Time to Build and Aggregate Fluctuations,” Econometrica, vol. 50 (November), pp. 1345–70. Return to text
    9. See Douglas W. Diamond and Philip H. Dybvig (1983), “Bank Runs, Deposit Insurance, and Liquidity,” Journal of Political Economy, vol. 91 (June), pp. 401–19; Ben S. Bernanke (1983), “Nonmonetary Effects of the Financial Crisis in the Propagation of the Great Depression,” American Economic Review, vol. 73 (June), pp. 257–76; and Ben S. Bernanke, Mark Gertler, and Simon Gilchrist (1983), “The Financial Accelerator in a Quantitative Business Cycle Framework,” in John B. Taylor and Michael Woodford, eds., vol. 1: Handbook of Macroeconomics (Amsterdam: Elsevier), pp. 1341–93. Return to text
    10. See Hyman P. Minsky (1982), Can “It” Happen Again? Essays on Instability and Finance (Armonk, N.Y.: M.E. Sharpe).  Return to text
    11. See, for example, Mark Gertler and Nobuhiro Kiyotaki (2010), “Financial Intermediation and Credit Policy in Business Cycle Analysis” in Benjamin M. Friedman and Michael Woodford, eds., vol. 3: Handbook of Monetary Economics (Amsterdam: Elsevier), pp. 547–99; Markus K. Brunnermeier and Yuliy Sannikov (2014), “A Macroeconomic Model with a Financial Sector,” American Economic Review, vol. 104 (February), pp. 379–421; Mark Gertler and Simon Gilchrist (2018), “What Happened: Financial Factors in the Great Recession,” Journal of Economic Perspectives, vol. 32 (Summer), pp. 3–30; Òscar Jordà, Moritz Schularick, and Alan M. Taylor (2013), “When Credit Bites Back,” Journal of Money, Credit and Banking, vol. 45 (December), pp. 3–28; Carmen M. Reinhart and Kenneth S. Rogoff (2009), This Time is Different: Eight Centuries of Financial Folly (Princeton, N.J.: Princeton University Press). Return to text
    12. See, for example, Mark Gertler, Nobuhiro Kiyotaki, and Andrea Prestipino (2020), “A Macroeconomic Model with Financial Panics,” Review of Economic Studies, vol. 87 (January), pp. 240–88; and Marco Bellifemine, Rustam Jamilov, and Tommaso Monacelli (2022), “Monetary Policy with Heterogeneous Banks,” CEPR Discussion Paper No. 17129 (Washington: Center for Economic and Policy Research, March 22). Return to text
    13. See Board of Governors of the Federal Reserve System (2025), Financial Stability Report (PDF) (Washington: Board of Governors, April). Return to text
    14. Details of the approach are outlined in the framework developed by Tobias Adrian, Daniel Covitz, and Nellie Liang (2013), “Financial Stability Monitoring (PDF),” staff report no. 601 (New York: Federal Reserve Bank of New York, February; revised June 2014). Return to text
    15. See Claudio Borio (2014), “The Financial Cycle and Macroeconomics: What Have We Learnt?” Journal of Banking & Finance, vol. 45 (August), pp. 182–98. Return to text
    16. See, for example, Board of Governors of the Federal Reserve System (2023), Financial Stability Report (PDF) (Washington: Board of Governors, May); and Board of Governors of the Federal Reserve System (2024), Financial Stability Report (PDF) (Washington: Board of Governors, November). Return to text
    17. See Roberto Perli (2025), “Recent Developments in Treasury Market Liquidity and Funding Conditions,” speech delivered at the 8th Short-Term Funding Markets Conference, sponsored by the Board of Governors of the Federal Reserve System, Washington, May 9. Return to text

    MIL OSI USA News

  • Musk’s DOGE expanding his Grok AI in U.S. government, raising conflict concerns

    Source: Government of India

    Source: Government of India (4)

    Billionaire Elon Musk’s DOGE team is expanding use of his artificial intelligence chatbot Grok in the U.S. federal government to analyze data, said three people familiar with the matter, potentially violating conflict-of-interest laws and putting at risk sensitive information on millions of Americans.

    Such use of Grok could reinforce concerns among privacy advocates and others that Musk’s Department of Government Efficiency team appears to be casting aside long-established protections over the handling of sensitive data as President Donald Trump shakes up the U.S. bureaucracy.

    One of the three people familiar with the matter, who has knowledge of DOGE’s activities, said Musk’s team was using a customized version of the Grok chatbot. The apparent aim was for DOGE to sift through data more efficiently, this person said. “They ask questions, get it to prepare reports, give data analysis.”

    The second and third person said DOGE staff also told Department of Homeland Security officials to use it even though Grok had not been approved within the department.

    Reuters could not determine the specific data that had been fed into the generative AI tool or how the custom system was set up. Grok was developed by xAI, a tech operation that Musk launched in 2023 on his social media platform, X.

    If the data was sensitive or confidential government information, the arrangement could violate security and privacy laws, said five specialists in technology and government ethics.

    It could also give the Tesla and SpaceX CEO access to valuable nonpublic federal contracting data at agencies he privately does business with or be used to help train Grok, a process in which AI models analyze troves of data, the experts said. Musk could also gain an unfair competitive advantage over other AI service providers from use of Grok in the federal government, they added.

    Musk, the White House and xAI did not respond to requests for comment. A Homeland Security spokesperson denied DOGE had pressed DHS staff to use Grok. “DOGE hasn’t pushed any employees to use any particular tools or products,” said the spokesperson, who did not respond to further questions. “DOGE is here to find and fight waste, fraud and abuse.”

    Musk’s xAI, an industry newcomer compared to rivals OpenAI and Anthropic, says on its website that it may monitor Grok users for “specific business purposes.” “AI’s knowledge should be all-encompassing and as far-reaching as possible,” the website says.

    As part of Musk’s stated push to eliminate government waste and inefficiency, the billionaire and his DOGE team have accessed heavily safeguarded federal databases that store personal information on millions of Americans. Experts said that data is typically off limits to all but a handful of officials because of the risk that it could be sold, lost, leaked, violate the privacy of Americans or expose the country to security threats.

    Typically, data sharing within the federal government requires agency authorization and the involvement of government specialists to ensure compliance with privacy, confidentiality and other laws.

    Analyzing sensitive federal data with Grok would mark an important shift in the work of DOGE, a team of software engineers and others connected to Musk. They have overseen the firing of thousands of federal workers, seized control of sensitive data systems and sought to dismantle agencies in the name of combating alleged waste, fraud and abuse.

    “Given the scale of data that DOGE has amassed and given the numerous concerns of porting that data into software like Grok, this to me is about as serious a privacy threat as you get,” said Albert Fox Cahn, executive director of the Surveillance Technology Oversight Project, a nonprofit that advocates for privacy.

    His concerns include the risk that government data will leak back to xAI, a private company, and a lack of clarity over who has access to this custom version of Grok.

    DOGE’s access to federal information could give Grok and xAI an edge over other potential AI contractors looking to provide government services, said Cary Coglianese, an expert on federal regulations and ethics at the University of Pennsylvania. “The company has a financial interest in insisting that their product be used by federal employees,” he said.

    “APPEARANCE OF SELF-DEALING”

    In addition to using Grok for its own analysis of government data, DOGE staff told DHS officials over the last two months to use Grok even though it had not been approved for use at the sprawling agency, said the second and third person. DHS oversees border security, immigration enforcement, cybersecurity and other sensitive national security functions.

    If federal employees are officially given access to Grok for such use, the federal government has to pay Musk’s organization for access, the people said.

    “They were pushing it to be used across the department,” said one of the people.

    Reuters could not independently establish if and how much the federal government would have been charged to use Grok. Reporters also couldn’t determine if DHS workers followed the directive by DOGE staff to use Grok or ignored the request.

    DHS, under the previous Biden administration, created policies last year allowing its staff to use specific AI platforms, including OpenAI’s ChatGPT, the Claude chatbot developed by Anthropic and another AI tool developed by Grammarly. DHS also created an internal DHS chatbot.

    The aim was to make DHS among the first federal agencies to embrace the technology and use generative AI, which can write research reports and carry out other complex tasks in response to prompts. Under the policy, staff could use the commercial bots for non-sensitive, non-confidential data, while DHS’s internal bot could be fed more sensitive data, records posted on DHS’s website show.

    In May, DHS officials abruptly shut down employee access to all commercial AI tools – including ChatGPT – after workers were suspected of improperly using them with sensitive data, said the second and third sources. Instead, staff can still use the internal DHS AI tool. Reuters could not determine whether this prevented DOGE from promoting Grok at DHS.

    DHS did not respond to questions about the matter.

    Musk, the world’s richest person, told investors last month that he would reduce his time with DOGE to a day or two a week starting in May. As a special government employee, he can only serve for 130 days. It’s unclear when that term ends. If he reduces his hours to part time, he could extend his term beyond May. He has said, however, that his DOGE team will continue with their work as he winds down his role at the White House.

    If Musk was directly involved in decisions to use Grok, it could violate a criminal conflict-of-interest statute which bars officials — including special government employees — from participating in matters that could benefit them financially, said Richard Painter, ethics counsel to former Republican President George W. Bush and a University of Minnesota professor.

    “This gives the appearance that DOGE is pressuring agencies to use software to enrich Musk and xAI, and not to the benefit of the American people,” said Painter. The statute is rarely prosecuted but can result in fines or jail time.

    If DOGE staffers were pushing Grok’s use without Musk’s involvement, for instance to ingratiate themselves with the billionaire, that would be ethically problematic but not a violation of the conflict-of-interest statute, said Painter. “We can’t prosecute it, but it would be the job of the White House to prevent it. It gives the appearance of self-dealing.”

    The push to use Grok coincides with a larger DOGE effort led by two staffers on Musk’s team, Kyle Schutt and Edward Coristine, to use AI in the federal bureaucracy, said two other people familiar with DOGE’s operations. Coristine, a 19-year-old who has used the online moniker “Big Balls,” is one of DOGE’s highest-profile members.

    Schutt and Coristine did not respond to requests for comment.

    DOGE staffers have attempted to gain access to DHS employee emails in recent months and ordered staff to train AI to identify communications suggesting an employee is not “loyal” to Trump’s political agenda, the two sources said. Reuters could not establish whether Grok was used for such surveillance.

    In the last few weeks, a group of roughly a dozen workers at a Department of Defense agency were told by a supervisor that an algorithmic tool was monitoring some of their computer activity, according to two additional people briefed on the conversations.

    Reuters also reviewed two separate text message exchanges by people who were directly involved in the conversations. The sources asked that the specific agency not be named out of concern over potential retribution. They were not aware of what tool was being used.

    Using AI to identify the personal political beliefs of employees could violate civil service laws aimed at shielding career civil servants from political interference, said Coglianese, the expert on federal regulations and ethics at the University of Pennsylvania.

    In a statement, the Department of Defense said the department’s DOGE team had not been involved in any network monitoring nor had DOGE been “directed” to use any AI tools, including Grok. “It’s important to note that all government computers are inherently subject to monitoring as part of the standard user agreement,” said Kingsley Wilson, a Pentagon spokesperson.

    (Reuters)

  • MIL-OSI USA: Hear from the Health Experts About the Human Harm of HHS’ Mass Terminations 

    US Senate News:

    Source: United States Senator Peter Welch (D-Vermont)
    WASHINGTON, D.C. — U.S. Senators Peter Welch (D-Vt.) and Tammy Baldwin (D-Wis.) this week held a two-day spotlight forum, entitled “Trump’s Destruction of HHS: Mass Firings, Reorganization, and the Human Harm Caused.”  The forum examined the human harm caused by the Trump Administration’s sweeping reorganization and mass terminations at the Department of Health and Human Services (HHS).  
    Watch the forums on Senator Welch’s YouTube. 
    Tuesday’s forum featured testimony from Dr. Robert Califf, the former Commissioner of the Food and Drug Administration (FDA); Dr. Meg Sullivan, the former Acting Secretary for Administration for Children and Families (ACF); Ms. Chiquita Brooks La-Sure, the former Administrator of the Centers for Medicare and Medicaid Services (CMS); and Ms. Carole Johnson, the former Administrator of the Health Resources and Services Administration (HRSA).  
    Wednesday’s forum featured Dr. Anne Schuchat, the former Principal Deputy Director, Center for Disease Control and Prevention (CDC); Ms. Trina Dutta, the former Chief of Staff, Substance Abuse and Mental Health Services Administration (SAMHSA); Dr. Sean Bruna, the former Senior Advisor, Agency for Healthcare Research and Quality (AHRQ); Professor Alison Barkoff, the former Administrator for Administration for Community Living (ACL); and Dr. Jeremy Berg – former Director of the National Institute of General Medical Sciences at NIH.  
    Watch the livestreams of the hearings below, and hear directly from the health experts: 
    “The multiple rounds of firings that have occurred have had a significant impact on both the physical ability of the FDA to do its work and the morale of the organization…It’s hard for me to imagine a more effective approach to demoralizing a workforce. The bottom line is that the firings have left the FDA with not enough people to do the work, and we lost so many of the most experienced people that making the most complex judgements needed in the day-to-day work of the agency and multiple-regulated industries,” said Dr. Robert Califf, Former Commissioner of the U.S. Food and Drug Agency (FDA). “These issues are leading to, first: many of aspects of the industry looking to go overseas to develop their products. And perhaps, most importantly—China is now emboldened to overtake the United States in the infrastructure needed for this vital part of our public health and the economy,” 
    “Gutting the staff that administer ACF programs will make children, families, and communities suffer. In addition, when the programs are cut or disappear, everyone feels the impact and longer wait lists, fewer providers, and local organizations stretched to the breaking point,” said Dr. Meg Sullivan, Former Acting Assistant Secretary of the Administration for Children and Families (ACF), U.S. Department of Health and Human Services (HHS). “ACF programs, including those not mentioned just now, support the services communities rely on in every corner of America. They can be the difference for your child care center staying open, your local diaper bank having supplies, meal delivery for older adults, or for a child remaining safely at home. We should be investing in our children and families, but firing child well-being experts at ACF and proposing senseless cuts will unquestionably cause them harm.” 
    “The current proposals drown both Medicaid and ACA Marketplace in excessive red tape that will hurt everyone—including seniors, mothers, children, those with disabilities, and it will cause more uncertainty, more churn, and more people delaying lifesaving treatments,” said Chiquita Brooks-LaSure, Former Administrator of the Centers for Medicare and Medicaid Services. “The proposals in the House Reconciliation bill that target both Medicaid and the Marketplace seek to undermine the very progress that the Affordable Care Act sought to achieve in making our health care system more affordable and accessible to everyone regardless of their income or health care needs. The bill aims to increase friction in the health care system for enrollees and does so at the same time that many of the staff, who could help reduce this friction, were fired. These changes not only hurt the millions of people that rely on those programs, but our providers and, in fact, our entire health care system.” 
    “Rather than strengthen this essential safety net, the Administration is prioritizing dismantling it. The Administration has already slashed health center program staffing, put the widely acclaimed pediatrician who oversaw maternal and child health programs on leave, fired the transplant surgeon recruited to help reform the nation’s transplant system, and eliminated entire offices that are essential to any organization — like HR and communications,” said Carole Johnson, Former Administrator of the Health Resources and Services Administration (HRSA). “If the current Administration follows through on its plans, HRSA will cease to exist and the families and communities in your states that most depend on this help will lose it just as the majority looks to make it harder for them to get and keep Medicaid coverage. The safety net may never have been more fragile than it is at this moment.” 
    “The cuts are dangerous for the American public. You, your families and communities are less safe. If you are pregnant, your risk of dying after you deliver will be higher because the Perinatal Quality Collaborative was cut and the pregnancy risk factor assessment monitoring system, or PRAMS was also eliminated. If you have a toddler, they’ll have a higher chance of losing IQ points to lead poisoning because CDC’s lead poisoning program was canceled. Last year, more than 500 children were affected by lead contamination of cinnamon flavored applesauce and CDC led the response. Next year there will be no one to call,” said Dr. Anne Schuchat, Former Principal Deputy Director of the Center for Disease Control and Prevention (CDC). 
    “Proposed cuts of more than $1 billion threaten to stymie progress just as we’re seeing real, measurable results. Such cuts to SAMHSA’s discretionary grant portfolio will impact on-the-ground programs that serve millions of Americans. SAMHSA’s discretionary grants serve as a powerful innovation engine, which have allowed the government to scale up interventions like coordinated specialty care for first episode psychosis, peer support services, and crisis care. Cuts to programs like those that support pregnant and postpartum women with substance use disorder, that foster mental health awareness training, and that promote the wellness of young children, would force states to use their block grant dollars to pick up the slack. And at a time when looming Medicaid cuts will put even more pressure on those block grants, communities will be left in a precarious position as they address their mental health and substance use disorder needs,” said Trina Dutta, Former Chief of Staff of the Substance Abuse and Mental Health Services Administration (SAMHSA). 
    “Dismantling AHRQ will have nationwide consequences. It weakens evidence-based care. It hinders health care from addressing emerging threats and dismantles grant programs that support current research and the training of future researchers. It eliminates mandatory funding from the Patient-Centered Outcomes Research Trust Fund, requiring an Affordable Care Act amendment, and strips vital tools from state and local health systems working to improve care. In short, the two applied science strands that facilitate medical progress and aid in implementing scientific innovations in our healthcare systems would be lost,” said Dr. Sean Bruna, Former Senior Advisor to the director of the Agency for Healthcare Research and Quality (AHRQ).  
    “Dismantling the Administration for Community Living and cutting its programs will devastate the tens of millions of older adults and disabled people who rely on them to stay in their own homes and communities,” said Alison Barkoff, a George Washington University professor who led ACL during the Biden Administration. “Cuts to ACL’s programs will force people into institutions like nursing homes, taking away their independence and increasing costs to programs like Medicaid and Medicare.”       
     “I can summarize the consequences of these terminations in one word: delay…Termination of grants management specialists may make it even harder and will affect all aspects of the NIH mission. The most time-sensitive component of NIH are clinical trials…A delay of a month or two might not seem like a lot, but many of the patients in these trials don’t have many months left. These treatments represent a chance for a strong, favorable outcome for individual patients and an opportunity for researchers to learn how to make these treatments work better in the future. I honestly cannot imagine how frustrating it must be for these patients and their loved ones,” said Dr. Jeremy Berg, Former Director of the National Institute of General Medical Sciences at NIH. “The number of research subjects and patients at the clinical center is down apparently by 30% or more. This prevents patients from receiving care, slows research, and is a colossal waste of resources for the world’s greatest research hospital. That this is all being done in the name of ‘efficiency’ would make George Orwell blush.” 

    MIL OSI USA News

  • MIL-OSI Global: Russia is facing fresh sanctions, but Putin is used to dealing with a struggling economy

    Source: The Conversation – UK – By Yerzhan Tokbolat, Lecturer in Finance, Queen’s University Belfast

    The UK and the EU have agreed to hit Russia with a raft of new economic sanctions after hopes of a ceasefire with Ukraine came to nothing. One French minister commented that it is time to “suffocate” the Russian economy.

    Since the country’s fullscale invasion of Ukraine in 2022, that economy has certainly suffered. Sanctions on Russia have already led to a depreciation of the rouble, high inflation, very high interest rates and a stagnating economy.

    But it remains unclear what effect any new measures will have. And Vladimir Putin has a history of riding out economic hardship.

    When he became president of Russia just over 25 years ago, the country’s economy was in dire straits. Attempts by his predecessors Mikhail Gorbachev and Boris Yeltsin to build a more open and capitalist system had not worked well for most Russian citizens.

    Instead, a rapid wave of privatisations, which reformers hoped would build strong institutions, had mostly benefited a small group of oligarchs who exploited a weak and corrupt state to seize key oil, gas and mineral assets.

    Those oligarchs resisted legal reform, moved wealth abroad, failed to invest in the domestic economy, and gradually gained control of major corporations and media, expanding their political influence. By 1995, nearly half of Russians were living in poverty.

    The 1998 crisis worsened the situation, as a global recession and falling commodity prices led to fiscal imbalances and doubts about Russia’s ability to service its debt and uphold the fixed exchange rate. The central bank raised interest rates to 150% to try and stabilise the rouble, but this failed.

    It eventually allowed the rouble to float, and the currency lost about two-thirds of its value. When he came to power in 2000, Putin was then confronted with the challenge of rebuilding the Russian economy.

    Luckily for him, between 2000 and 2008, an oil and gas boom drove GDP growth, increasing incomes, and allowing for early repayment of national debts. Putin – and national pride – received a boost.

    Rising energy revenues helped stabilise the economy and enabled the state to tighten its grip on the energy sector. By 2006, Gazprom accounted for 20% of government tax revenue.

    Putin then shifted his focus to Europe. With German support, the Nord Stream pipeline was completed in 2011, enabling direct gas exports to western Europe while bypassing Ukraine. This increased European dependence on Russian energy.

    But Putin’s oil and gas-driven economic model struggled to sustain growth, and by 2013, his approval ratings had fallen to their lowest point since 2000.

    The annexation of Crimea in 2014, along with a very expensive Winter Olympics in the Black Sea resort city of Sochi, temporarily boosted his popularity.

    Running on empty

    However, these accomplishments did little to address Russia’s core economic problems, particularly its failure to build a diversified economy.

    By 2018, Russia’s economy was again stagnant, with a weak currency and declining living standards, and Putin’s popularity fell in part due to unpopular budget-saving reforms, including raising the retirement age.

    There was widespread doubt about Putin’s model of lasting prosperity, which relied on state-led growth, but was marked by instability, resource dependence and growing geopolitical ambition.

    In this light, Putin’s full-scale invasion of Ukraine in 2022 appeared to be a familiar tactic to boost support. Indeed, his approval jumped to 83% after invading Ukraine, matching levels seen after the 2014 Crimea annexation. His ratings have remained high since, with recent polls still showing approval levels above 80%.

    But the Russian economy will still be a worry. Sustaining a “war economy”, where manufacturing and investment are focused on conflict cannot go on forever, particularly as the manufacturing product is being rapidly depleted as the Russian military uses it the field. And reliance on commodities has amplified the impact of sanctions, hitting key banks and energy firms such as Gazprom and Rosneft.

    Meanwhile, the US has significantly expanded its presence in Europe’s energy market, supplying nearly 50% of the EU’s liquid natural gas imports after tripling exports between 2021 and 2023.

    Major Russian pipeline projects such as Nord Stream 2 and Power of Siberia 2 remain in limbo. And the decline in oil prices in April 2025, the biggest since November 2021, poses further risks.

    If a ceasefire is agreed, a pause in the war could offer Russia the chance to regroup and recover economically. Sanctions are often temporary, and global demand for oil and gas remains strong. Some countries may re-engage in trade.

    But future economic stagnation could once again fuel aggression. Unless Russia undertakes structural reforms and redefines its role in the global economy by reducing reliance on resource exports and engaging more constructively with global markets, the cycle of confrontation may repeat itself, with far-reaching global consequences.

    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. Russia is facing fresh sanctions, but Putin is used to dealing with a struggling economy – https://theconversation.com/russia-is-facing-fresh-sanctions-but-putin-is-used-to-dealing-with-a-struggling-economy-255732

    MIL OSI – Global Reports

  • MIL-OSI Global: Freeze branding: the new body modification technique causes serious and irreversible harm

    Source: The Conversation – UK – By Adam Taylor, Professor of Anatomy, Lancaster University

    If you’re a fan of the TV show Yellowstone, you’ll know the deal – you earn your place on the ranch by being branded. On the show, this means having a red-hot iron pressed into your flesh, leaving a permanent scar of loyalty to Yellowstone Dutton Ranch and its patriarch, John Dutton.

    In life imitating art, people are getting themselves branded, but instead of using heat, they are using freeze branding. The branding iron is cooled using dry ice, isopropyl alcohol or liquid nitrogen, and then pressed against the skin to leave a permanent mark.

    In 1966, Dr R. Keith Farrell at Washington State University developed freeze branding (also known as CryoBranding) as a less painful way to mark animals for identification. Aside from being less painful, it also produces less scarring than hot branding.

    Cattle skin is much thicker than human skin and can take more punishment. Scratches that would cause pain and bleeding in humans would barely mark the surface of cattle. Horse and cattle skin is anywhere between two and four times thicker than human skin.


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    When a person is freeze branded, the super cold causes ice crystals to form inside skin cells. As the water inside the cells freezes, it expands and breaks the cells’ walls. This kills the cells and stops them from making melanin, the pigment that gives your skin and hair colour.

    Because of the relative thinness of human skin (2mm), it’s more likely to get badly burned from extreme cold. It can take as little as 20 seconds for liquid nitrogen to cause second, third and even fourth degree burns.

    These burns can lead to serious problems, such as infection, frostbite or even loss of fingers or limbs.

    Second, third and fourth degree burns can go deep enough to damage muscles, tendons and even bones. As these deeper tissues heal, scarring can form and cause long-term problems called contractures – a medical condition in which muscles, tendons or other soft tissues permanently tighten or shorten, causing restricted movement.

    This is a bigger risk if the branding is done near the arms or legs, and it might need physiotherapy or even surgery to fix.

    Like any serious burn, freeze-branding also increases the risk of dehydration. That’s because burns damage the skin’s protective barrier, and your body loses fluid while trying to heal from the trauma.

    As mentioned above, freeze branding destroys melanocytes, special skin cells that give your skin its colour.

    When you are exposed to sunlight – or the UV rays from a tanning bed – these cells produce more melanin to protect your skin. They pass this melanin to nearby skin cells, where it forms a kind of shield around the cell’s DNA to help prevent damage from UV rays. That’s why your skin tans after time in the sun. It’s your body’s way of protecting itself.

    If you permanently damage your melanocytes, this protective shield is lost. People with albinism, who don’t produce melanin, have a much higher risk of skin cancer for this reason. We don’t yet know all the long-term risks of losing melanocytes – but they could be serious.

    You’re not a cow

    There are strict safety protocols for branding animals. There are zero for humans. And in the UK, it’s illegal to brand people – whether with heat or cold.

    So if you’re looking for a statement piece, stick with tattoos or body art that has been tested and regulated and won’t put you at risk of burns, nerve damage or some types of cancer.

    Your skin is your largest organ with many important roles, including protecting your internal structures from germs and helping synthesise key vitamins. Don’t treat it like livestock.

    Adam Taylor 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. Freeze branding: the new body modification technique causes serious and irreversible harm – https://theconversation.com/freeze-branding-the-new-body-modification-technique-causes-serious-and-irreversible-harm-255786

    MIL OSI – Global Reports

  • MIL-OSI Global: History shows that Donald Trump is making a serious error in appeasing Vladimir Putin

    Source: The Conversation – UK – By Tim Luckhurst, Principal of South College, Durham University

    The policy of appeasement – strategic concessions to an aggressor that are designed to avoid war – is generally most closely associated in the UK with the Conservative leader Neville Chamberlain, prime minister between May 1937 and May 1940.

    When Chamberlain moved into 10 Downing Street, Adolf Hitler’s willingness to ignore international agreements was already apparent, having broken the Versailles treaty with a massive expansion of Germany’s armed forces, the occupation of the Rhineland.

    Faced with the prospect of Germany moving on Czechoslovakia, Chamberlain continued to work to appease Hitler by agreeing to territorial concessions in his favour. He believed that by appeasing the Führer, Europe could avoid war and save lives.

    Chamberlain’s failure, and the subsequent outbreak of the second world war after Germany’s invasion of Poland in September 1939, are recognised as evidence that the appeasement of expansionist nationalists always fails. Such leaders will simply take all that is offered and demand more.


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    There are parallels with the relationship between the current US president, Donald Trump, and the Russian president, Vladimir Putin. Trump and his senior officials have also repeatedly suggested that Ukraine should secure a peace deal by acquiescing to Putin’s demands, including for sovereign Ukrainian territory and assurances that Ukraine won’t be allowed to join Nato.

    This makes it seem as if Trump believes that peace can be achieved by appeasing Putin. Like Chamberlain at Munich, Trump has suggested offering the sovereign territory of an independent nation to appease a bully.

    Trump is not the first American president to make this mistake. Franklin D. Roosevelt, who served between March 1933 and April 1945, also tried to appease Hitler. The historian Frederick W. Marks III notes that “the keynote of his approach … beginning in 1933 was appeasement”.

    Before he was inaugurated, Roosevelt sought to persuade Sir Ronald Lindsay, the British ambassador to the US between 1930 and 1939, that Poland should be persuaded to concede the Polish Corridor to Germany. When German troops seized the Rhineland, Roosevelt’s White House made no protest.

    Between 1935 and 1937, Roosevelt made speeches condemning autocracy – but his actions did not match his words. In 1938, he appointed the appeaser Joseph Kennedy as US ambassador to the UK. Kennedy assured the German ambassador in London that he “sympathised not only with Germany’s racial policy but also with her economic goals”.

    In Berlin, the US ambassador, Hugh Wilson, insisted that defence of Czechoslovakia’s borders would be unrealistic. The Czechs should surrender the Sudetenland to Germany. Roosevelt continued his efforts to arrange a compromise peace when German forces seized Poland in September 1939.

    Echoes of the past

    The parallels continue. Confronted by Russia’s invasion of its democratic neighbour and relentless attacks on Ukrainian towns and cities, Trump’s response, shortly after taking office, was to bully the Ukrainian president, Volodymyr Zelensky, and negotiate directly with Russia. This approach signally failed and the killing continued and even intensified.

    Now, following his two-hour conversation with Putin on Monday, Trump has abandoned his insistence on an unconditional 30-day ceasefire. He now insists that the war is not his to fix. The US will step back. It is another hard blow to Ukrainian hopes for negotiation and compromise.




    Read more:
    After another call with Putin, it looks like Trump has abandoned efforts to mediate peace in Ukraine


    To a much greater extent than Roosevelt, Trump appears to treat weakness as evidence of moral inadequacy. In a recent essay, Ivan Mikloš, the former deputy prime minister of Slovakia who has advised successive Ukrainian governments in various capacities, writes of what he sees as Trump’s “affinity for the Kremlin boss”. Miklos believes that Trump admires Putin, and concludes that:

    President Putin, of course, sees that Mr Trump has a soft spot for him. This does not deter him in his maximalist demands, it encourages him even more.

    The US president’s treatment of Zelensky in the Oval Office at the end of February, and repeated statements since, suggest he lacks the patience for diplomacy – a concern that has been widely reported. Trump is said to admire Putin because the Russian president exercises power with minimal restraint.

    Meanwhile, Zelensky must plead for the military and financial support he requires to continue fighting a foe with a population four times larger.

    Lessons from history

    There is scant evidence that Trump pays attention to history. He should, because for Putin, history is central to strategy. A graduate of law who studied at Leningrad State University, graduating in 1975, Putin appears to have embraced an idealist version of his homeland as it operated in his youth as the Soviet Union – under the hardline leadership of Leonid Brezhnev, Yuri Andropov and Konstantin Chernenko.

    That Soviet Union included all of the territory of modern Ukraine. Putin aspires to recapture it. His vision is a Russia restored to a status comparable to that of the Soviet Union during the cold war years of his youth.

    Trump appears to forget that throughout the cold war, the Soviet Union’s powerful armed forces and ideological hostility to democracy cost the US an average of 3.6% of its GDP in defence spending each year. It’s one thing for Trump to demand that the European members of Nato must increase their defence budgets. It’s another to imagine that Nato can immediately provide a reliable deterrent to Russian aggression without US involvement.

    Trump’s newly appointed defense secretary, Pete Hegseth, suggested at a meeting of the Ukraine Defence Contact Group in Brussels in February that the US would reorientate its security policy away from Europe, saying Europe must “take ownership of conventional security on the continent”.

    This is essential, Hegseth said, because China is the real threat, and the US lacks the military resources to face in two directions simultaneously. It was a confession of weakness that places both America and Europe at increased risk.

    The philosopher George Santayana is credited with the warning: “Those who cannot remember the past are condemned to repeat it.”. Chamberlain’s version of appeasement failed to prevent Adolf Hitler’s aggression in the 20th century. Trump’s version appears equally incapable of deterring Vladimir Putin’s territorial ambitions in the 21st.

    Tim Luckhurst has received funding from News UK and Ireland Ltd. He is a fellow of the Royal Society of Arts and a member of the Society of Editors and the Free Speech Union

    ref. History shows that Donald Trump is making a serious error in appeasing Vladimir Putin – https://theconversation.com/history-shows-that-donald-trump-is-making-a-serious-error-in-appeasing-vladimir-putin-257252

    MIL OSI – Global Reports

  • MIL-OSI Global: We found a germ that ‘feeds’ on hospital plastic – new study

    Source: The Conversation – UK – By Ronan McCarthy, Professor in Biomedical Sciences, Brunel University of London

    Amparo Garcia/Shutterstock.com

    Plastic pollution is one of the defining environmental challenges of our time – and some of nature’s tiniest organisms may offer a surprising way out.

    In recent years, microbiologists have discovered bacteria capable of breaking down various types of plastic, hinting at a more sustainable path forward.

    These “plastic-eating” microbes could one day help shrink the mountains of waste clogging landfills and oceans. But they are not always a perfect fix. In the wrong environment, they could cause serious problems.

    Plastics are widely used in hospitals in things such as sutures (especially the dissolving type), wound dressings and implants. So might the bacteria found in hospitals break down and feed on plastic?


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    To find out, we studied the genomes of known hospital pathogens (harmful bacteria) to see if they had the same plastic-degrading enzymes found in some bacteria in the environment.

    We were surprised to find that some hospital germs, such as Pseudomonas aeruginosa, might be able to break down plastic.

    P aeruginosa is associated with about 559,000 deaths globally each year. And many of the infections are picked up in hospitals.

    Patients on ventilators or with open wounds from surgery or burns are at particular risk of a P aeruginosa infection. As are those who have catheters.

    We decided to move forward from our computational search of bacterial databases to test the plastic-eating ability of P aeruginosa in the laboratory.

    We focused on one specific strain of this bacterium that had a gene for making a plastic-eating enzyme. It had been isolated from a patient with a wound infection. We discovered that not only could it break down plastic, it could use the plastic as food to grow. This ability comes from an enzyme we named Pap1.

    Biofilms

    P aeruginosa is considered a high-priority pathogen by the World Health Organization. It can form tough layers called biofilms that protect it from the immune system and antibiotics, which makes it very hard to treat.

    Our group has previously shown that when environmental bacteria form biofilms, they can break down plastic faster. So we wondered whether having a plastic-degrading enzyme might help P aeruginosa to be a pathogen. Strikingly, it does. This enzyme made the strain more harmful and helped it build bigger biofilms.

    To understand how P aeruginosa was building a bigger biofilm when it was on plastic, we broke the biofilm apart. Then we analysed what the biofilm was made of and found that this pathogen was producing bigger biofilms by including the degraded plastic in this slimy shield – or “matrix”, as it is formally known. P aeruginosa was using the plastic as cement to build a stronger bacterial community.

    Pathogens like P aeruginosa can survive for a long time in hospitals, where plastics are everywhere. Could this persistence in hospitals be due to the pathogens’ ability to eat plastics? We think this is a real possibility.

    Many medical treatments involve plastics, such as orthopaedic implants, catheters, dental implants and hydrogel pads for treating burns. Our study suggests that a pathogen that can degrade the plastic in these devices could become a serious issue. This can make the treatment fail or make the patient’s condition worse.

    Thankfully, scientists are working on solutions, such as adding antimicrobial substances to medical plastics to stop germs from feeding on them. But now that we know that some germs can break down plastic, we’ll need to consider that when choosing materials for future medical use.

    Ronan McCarthy receives funding from the BBSRC, NC3Rs, Academy of Medical Sciences, Horizon 2020, British Society for Antimicrobial Chemotherapy, Innovate UK, NERC and the Medical Research Council. He is also Director of the Antimicrobial Innovations Centre at Brunel University of London.

    Rubén de Dios receives funding from the BBSRC and the Medical Research Council.

    ref. We found a germ that ‘feeds’ on hospital plastic – new study – https://theconversation.com/we-found-a-germ-that-feeds-on-hospital-plastic-new-study-256945

    MIL OSI – Global Reports

  • MIL-OSI Global: Linguistics could make language learning more relevant – and attractive – for school pupils

    Source: The Conversation – UK – By Jonathan Kasstan, Senior Lecturer in French and Linguistics, University of Westminster

    BearFotos/Shutterstock

    A 2023 YouGov poll found that only 21% of UK adults can hold a conversation in a language other than their mother tongue. About half of the other 79% regretted not engaging more with languages at school, and more than half of all those polled were interested in learning a new language.

    By comparison, some 60% of EU citizens surveyed in 2022 reported good or proficient foreign language skills.

    Something is clearly going wrong with foreign language learning in UK schools, and this is not improving. For example, A-level entries in modern languages in England as a percentage of all A-level entries has fallen since 2010.

    Yet our research shows that many pupils in England and Wales are curious about how language has been shaped by society, culture and history, and how contact between people from different backgrounds leads to language change. A languages curriculum oriented around linguistics – the critical and analytical study of language itself – could meaningfully address the decline in language learning.


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    In March 2025, the interim report of an ongoing review of school curriculum and assessment in England was published. This called for changes to how language learning takes place in schools.

    Some of the issues identified are not exclusive to the languages curriculum. The authors point out that, in general, pupils do not see their lives and interests represented in what they are taught, and that the curriculum is not responsive to social change. At the same time, the report recognises that young people’s understanding of culture through language is essential.

    The national languages curriculum has been recognised as problematic for some time. Unlike all other subjects at GCSE and A-level, including highly practical subjects like physical education and music, languages in schools are taught and assessed almost purely as skills: reading, writing, speaking and listening. They lack critical, theoretical and analytical dimensions.

    Furthermore, the topics covered, while broad, are socially skewed to the point that it can make them difficult for pupils to relate to: discussions of alpine skiing holidays abroad, for instance. This does little to change the view that studying languages is the preserve of the elite.

    Our work with language teachers, together with colleagues Alice Corr, Norma Schifano and Sascha Stollhans, suggests that including linguistics in the languages curriculum can tackle some of these shortcomings.

    Linguistics could also contribute to learning in other subjects.
    Juice Flair/Shutterstock

    Linguistics allows a language – with all of its richness and complexity – to be studied as a psychological, cultural and historical object, enabling pupils to probe how it is shaped by (and shapes) society. Rather than simply learning vocabulary and grammar, and using them to talk about, say, regional identity or multiculturalism, linguistics-based lessons focus on how language relates to these topics.

    Linguistics could also enhance the teaching of other subjects including English as a first or additional language, as well as subjects such as history, geography, maths and science. This is because linguistics encourages a framework for analysis that is readily applicable to other subjects.

    What’s more, the soft skills obtained from this approach to language learning can enhance employability, fostering language experts that are better prepared for the real world. This would make school languages an attractive choice even for those not wishing to pursue a languages degree.

    For the UK to meet its societal, economic and commercial challenges, we require more linguists of all kinds, as this 2020 proposal for a national languages strategy from institutions including the British Council and Universities UK highlights.

    Our own research shows that a languages curriculum enriched with linguistics is appealing to both students and teachers. It can enhance motivation and confidence among pupils, while contributing to a more diverse and comprehensive learning experience.

    We have also shown that it can easily be integrated into language teaching without additional teacher training. Above all, a linguistics-rich curriculum can help students feel represented in their learning, allowing them to reflect on cultural and social issues they understand and feel strongly about.

    The numbers speak volumes

    Language learning in schools in England in particular has long been in decline. The statistics mask wider systemic problems, too. School language departments are increasingly under-resourced or are closing altogether. This means fewer pupils learning languages at A-level and beyond, and many fewer training to be language teachers.

    Plugging this shortage with teachers from abroad has also become increasingly difficult, particularly since Brexit, creating a vicious circle.

    There is a knock-on impact for higher education. Ongoing closures of university language programmes have led to “cold spots” emerging in parts of the country: areas where no universities offer language degrees. Access to higher language learning thus risks becoming a postcode lottery, especially for those without the financial means to study far away from their home town.

    A significant change in how languages are taught is needed – and enriching language teaching with linguistics could be effective, feasible, and potentially transformative.

    Jonathan Kasstan receives funding from the British Academy.

    Michelle Sheehan receives funding from The British Academy and The Leverhulme Trust.

    Anna D. Havinga 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. Linguistics could make language learning more relevant – and attractive – for school pupils – https://theconversation.com/linguistics-could-make-language-learning-more-relevant-and-attractive-for-school-pupils-255068

    MIL OSI – Global Reports

  • MIL-OSI Global: Still Wakes The Deep deserves its three Baftas for superlative survival horror game thrills

    Source: The Conversation – UK – By Thomas Hainey, Senior Lecturer/Programme Leader of Computer Games Development, University of the West of Scotland

    The survival horror game genre is very much like the survival horror-movie genre. It is a niche genre which appeals to people who crave good scares and want to get their adrenaline pumping. Some of the most popular games, such as Resident Evil – a game so influential it spawned an 11-film franchise – have raked in millions of dollars.

    In the summer of 2024, along came Still Wakes the Deep, developed by The Chinese Room, a British video game developer based in Brighton that is famous for exploration games including Everybody’s Gone to the Rapture. A creepy thriller set on a Scottish oil rig, Still Wakes The Deep was nominated for eight Bafta games awards.


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    Last month it scooped three of them (including two for best performance for Scots actors Alec Newman and Karen Dunbar), even though it was up against titles appealing to a far wider audience such as Astro Bot and Helldivers 2. The third Bafta was for new intellectual property which is awarded to the best game not part of an established series.

    December 1975. Disaster strikes the Beira D oil rig off the coast of Scotland. Navigate the collapsing rig to save your crew from an otherworldly horror on the edge of all logic and reality.

    The setting is probably the most realistic oil rig in any game I’ve seen. It a state of dank disrepair, the rig feels totally authentic in its 1970s period details. Just walking around is perilously treacherous and keeps players on edge.

    Players adopt the persona of Glaswegian electrician Cameron “Caz” McCleary. It’s Christmas and he’s dodging the police and an angry wife after a bar fight. To top it off he’s just been fired by the rig boss for his sins.

    Despite the unsafe nature of the rig and a storm threatening, the rapacious manager insists on drilling deeper which unleashes a nameless, timeless terror that infects the workers who soon start turning into hideous mutants. Caz is running desperately back and forth, fighting against the storm, fires, and the bloodthirsty mutant creatures.

    Level design (the structuring of the game’s spaces and environments) is creative. The spaces inside are dark and claustrophobic. Those outside are chaotic, as the rig starts collapsing above a roiling North Sea. The use of a linear narrative is executed well, and Caz is desperately trying to save himself and his crew by either launching lifeboats or making it to the helicopter pad. But absolutely nothing is going to plan.

    The graphics and aesthetics are beautifully crisp and the attention to detail even in the crew quarters and mess is really something, not to mention the particle effects (such as fire and electrical sparks). Looking over the edge at the North Sea or at the rain drumming against the window is pretty realistic.

    The level design is intuitive for experienced and novice gamers alike and players can customise the experience with “hints” which you can turn off, for example, if you want a more challenging time. The hints are usually marked in yellow paint and show you where to go, where to hide and how to solve puzzles.

    Obstacles include former crew who have transformed into terrifying creatures. The linear narrative and the atmosphere ramp up the tension as players try to make it stealthily past the monsters. The game requires “well-ordered” problem solving which makes the experience both nerve racking and “pleasantly frustrating”, as academic James Gee describes the process in his paper Learning by Design: Good Video Games as Learning Machines.

    Digital games-based learning uses computer games for education and training. Highly realistic, problem-solving games such as Still Wakes The Deep present immersive environments that can provide an authentic experience that could be used in supplementary training.

    Imagine, for example, learning about safely launching lifeboats in a crisp 3D environment like this, with no risk from weather or water (or mutants). Video games can be tailored to teach a plethora of skills that can shape careers. They don’t have to just be about entertainment.

    But entertainment this definitely is. Still Wakes The Deep keeps players on edge like an interactive narrative horror movie with a fair share of jump scares and plenty of death-defying leaps, as Caz hangs by his fingernails or bolts for his life.

    The game plays on a number of psychological fears including burning, fear of drowning, vertigo, infection and being munched by now fully mutated, tendril-dragging ex-crewmates.

    It has a touch of Resident Evil and Aliens, and one YouTube walkthrough hails it it as “every fear in one horror game”. In a column praising the game’s brilliance, Neil Mackay of the Glasgow Herald said: “Let me deliver a quick kill-shot to the notion that games are somehow a substandard art form in comparison to the novel, theatre, film or visual arts. In many ways today the best games combine the best of each discipline.”

    The Guardian’s Melinda Hetfield described it as “the Thing, but on a Scottish oil rig in the 1970s”. Which just happens to be the original pitch by Dan Pinchbeck, the studio’s co-founder. So safe to say – mission accomplished.

    For me, the Scots actors really bring it to life. Bafta winners Alec Newman (famous for his portrayal of Paul Atreides in the Dune series) and comedian Karen Dunbar give fantastically convincing performances that help to build the atmosphere of dread.

    It’s good to see working-class Scottish voices in all their sweary glory here, as they are not commonly represented in games. Diversity is an area that many developers are seeking to address with better representation. Some of the Scots vernacular might cause a few lost-in-translation moments for players from other countries (subtitles may be needed), but there is much grim humour to be enjoyed here that just adds to the terrifying fun.

    Thomas Hainey 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. Still Wakes The Deep deserves its three Baftas for superlative survival horror game thrills – https://theconversation.com/still-wakes-the-deep-deserves-its-three-baftas-for-superlative-survival-horror-game-thrills-254732

    MIL OSI – Global Reports

  • MIL-OSI Global: How the UK could monetise ‘citizen data’ and turn it into a national asset

    Source: The Conversation – UK – By Ashley Braganza, Professor of Business Transformation, Brunel University of London

    Aleksandr Ozerov/Shutterstock

    Data is the lifeblood of artificial intelligence (AI) and as such is a hugely valuable resource. Entrepreneur Matt Clifford’s report on the AI Opportunities Action Plan, commissioned by the UK government, has set out some ambitious recommendations for unlocking UK public data to power AI development – and serve as a state asset.

    Making UK-owned datasets available for training AI, according to innovation secretary Peter Kyle, could help the country become a global leader in the technology. The government has accepted all 50 recommendations in the action plan.

    But the plan lacks a clear strategy to ensure that UK citizen-generated data – which could include anything from crime and healthcare information to local authority data – serves as a public asset rather than merely a source of private profit.

    The government’s planned National Data Library (NDL) could address this effectively. In evidence we presented to the government, we set out how the NDL should be structured, managed and monetised in the form of a UK sovereign data fund. This would ensure that the value derived from AI is retained responsibly and reinvested for wider public benefit.


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    Across all sectors, UK citizens produce vast amounts of data. This data is increasingly needed to train AI systems. But it is also of enormous value to private companies, which use it to target adverts to consumers based on their behaviour or to personalise content to keep people on their site.

    Yet the economic and social value of this citizen-generated data is rarely returned to the public, highlighting the need for more equitable and transparent models of data stewardship.

    AI companies have demonstrated that datasets hold immense economic, social and strategic value. And the UK’s AI Opportunities Action Plan notes that access to new and high-quality datasets can confer a competitive edge in developing AI models. This in turn unlocks the potential for innovative products and services.

    However, there’s a catch. Most citizens have signed over their data to companies by accepting standard terms and conditions. Once citizen data is “owned” by companies, this leaves others unable to access it or forced to pay to do so.

    Commercial approaches to data tend to prioritise short-term profit, often at the expense of the public interest. The debate over the use of artistic and creative materials to train AI models without recompense to the creator exemplifies the broader trade-off between commercial use of data and the public interest.

    Countries around the world are recognising the strategic value of public data. The UK government could lead in making public data into a strategic asset. What this might mean in practice is the government owning citizen data and monetising this through sale or licensing agreements with commercial companies.

    In our evidence, we proposed a UK sovereign data fund to manage the monetisation of public datasets curated within the NDL. This fund could invest directly in UK companies, fund scale-ups and create joint ventures with local and international partners.

    The fund would have powers to license anonymised, ethically governed data to companies for commercial use. It would also be in a position to fast-track projects that benefit the UK or have been deemed to be national priorities. (These priorities are drones and other autonomous technologies as well as engineering biology, space and AI in healthcare.)

    AI in healthcare could be a beneficiary of a sovereign data fund.
    Gerain0812/Shutterstock

    At the heart of the sovereign data fund, there would be a broad social mission. This would allow it to invest its profits to fund projects that work towards improved healthcare provision, greater social mobility and digital inclusion, as well as better digital infrastructure. The fund could also support job creation and help cover the costs associated with widespread AI adoption.

    A data-driven sovereign fund could become a key fiscal instrument, especially in light of the £400 billion windfall expected from AI adoption in the UK by 2030. Establishing such a fund could ensure that innovation is coupled with effective regulation and social responsibility. Importantly, this model could also prevent public datasets from becoming undervalued giveaways to foreign-owned entities.

    Of course, many citizens may have valid concerns about how their data is used and monetised. Ethical safeguards should be embedded into the system through clear rules and protocols that prevent misuse at the point of data access.

    Gaining public trust

    Public confidence in how citizen data is handled will be vital. Trust should be at the heart of AI governance. While unlocking data can accelerate AI development, it also raises legitimate public concerns around surveillance, manipulation, discrimination and exploitation.

    The sovereign data fund model can help mitigate these risks by offering transparent and accountable structures for managing public data, while ensuring that the benefits are shared equitably. This business model ensures clarity around data ownership by affirming that citizens remain the primary beneficiaries of the data they generate.

    It will require a commitment to licensing transparency, with all commercial agreements made available to the public.

    An independent oversight board, comprising finance and business experts, ethicists, academics, tech experts and representatives from civil society, would reinforce strong governance.

    Arguably, in the global AI race, data is as valuable as semiconductors or energy. The UK must consider data sovereignty a matter of national security.

    A sovereign data fund with controlled licensing could strengthen data diplomacy on UK terms. This approach would provide a stronger negotiating position in data-sharing partnerships, research alliances and AI ethics agreements.

    The UK’s future in AI depends on innovation and economic productivity, as well as principled stewardship of public resources. Citizen data sourced from public services must be perceived as both a financial and strategic asset.

    The sovereign fund model ensures that benefits of data-driven AI innovation extend beyond immediate shareholder returns. It recognises the importance of sharing profits derived from citizen data, enriching the UK as a whole.

    A sovereign data fund could transform the NDL from a mere repository into a central pillar of UK digital resilience. The government’s response to the AI action plan makes a promising start. But without a bold vision, it risks giving away one of the UK’s most valuable resources in the AI era – public data generated by its citizens.

    S Asieh Hosseini Tabaghdehi receives funding from UKRI (ESRC) to investigate the ethical implication of digital footprint data in SMEs value creation.

    Ashley Braganza 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. How the UK could monetise ‘citizen data’ and turn it into a national asset – https://theconversation.com/how-the-uk-could-monetise-citizen-data-and-turn-it-into-a-national-asset-256176

    MIL OSI – Global Reports

  • MIL-OSI Global: For many island species, the next tropical cyclone may be their last

    Source: The Conversation – UK – By Simon Valle, Conservation Planning Officer at IUCN SSC Conservation Planning Specialist Group & Honorary Lecturer in Conservation Science, Bangor University

    The Bahama warbler, a species which suffered greatly as a result of Hurricane Dorian in 2019. David Pereira

    When a major cyclone tears through an island nation, all efforts rightly focus on saving human lives and restoring livelihoods. However, these storms have permanent consequences for other species that are often forgotten.

    As the world continues to heat, cyclones are expected to become more frequent, intense and unpredictable. The International Union of Conservation of Nature (IUCN), the global authority on biodiversity, lists storms as one factor threatening species. But just how much of a threat is still poorly understood.

    The effects of cyclones on biodiversity are easily neglected because the damage is sudden, scattered and hard to measure. Extinctions can be abrupt and go unnoticed. This largely overlooked extinction crisis is likely to worsen with climate change.

    In a new study, we measured the threat posed by tropical cyclones on the diversity of land-based mammals, birds, amphibians and reptiles globally. We mapped all severe tropical cyclones that occurred between 1972 and 2022 and checked how many overlapped with areas widely recognised to be exceptionally rich in species, otherwise known as biodiversity hotspots.


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    We focused on severe cyclones only – those with wind speeds exceeding 130 mph – as historically, it is these that have caused species to severely decline or go extinct.

    What we found surprised us: three-quarters of all severe cyclones struck hotspots which are entirely comprised of islands. This seemed alarming. Islands have an inherently high extinction risk anyway because they support many species that are found nowhere else and which evolved in isolation. These species often have very small populations and nowhere to escape when disaster strikes.

    Even more worrying, more than 95% of the severe cyclones that struck island biodiversity hotspots hit the same five ones. In descending order of cyclone frequency these are: Japan, Polynesia-Micronesia, the Philippines, Madagascar and the Indian Ocean islands, and the Caribbean islands.

    We clearly identified high-risk areas, but what does this mean for the animal species that live there? To find out we consulted the red list of threatened species which is compiled and regularly updated by the IUCN to see how many vertebrate species were noted for their vulnerability to storms.

    One cyclone away from extinction

    The hotspots experiencing the most severe cyclones are not necessarily those that have the most storm-threatened species. For example, Japan has the most storms but the fewest species at risk, whereas the Caribbean has fewer storms but over 128 species are threatened by them. This suggests that the frequency of cyclones alone does not determine the danger to each region’s biodiversity.

    Other aspects are likely to play a role. In particular, the data indicates that species in island biodiversity hotspots made up of a lot of small islands are more at risk of local or global extinction.

    The more we learned about the dangers posed by cyclones, the more concerned we became. Many species are so restricted in range that they could be entirely wiped out by just one cyclone. It has happened before. The Bahama nuthatch (Sitta insularis), a small forest-dwelling songbird, is thought to have gone extinct following the passage of Hurricane Dorian in 2019.

    One of the last known sightings of the Bahamas nuthatch.

    Preparing for the unpredictable

    To begin raising awareness and help conservationists prioritise their efforts, we compiled a watchlist of the species that are most at risk from tropical cyclones. This includes 60 storm-threatened species which are present only on a single location on a single island.

    For each of these 60 species, the next severe tropical cyclone may be their last. A better understanding of the distribution and status of these species is only the beginning. Conservationists need to plan how to help them avoid a sudden demise.

    The need to act quickly is clear. Of the 60 species on our list, only 24 are part of any active conservation effort and just six are in captive breeding programmes. Coordinated efforts are our best bet and we propose a task force under the IUCN to allow better preparation, rapid response and international support.

    With the right knowledge and foresight, we can ensure human recovery and ecological survival for future generations.


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    Tom Martin, head of research at Operation Wallacea, contributed to this article.

    Simon Valle and David Jorge Pereira 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 appointments.

    ref. For many island species, the next tropical cyclone may be their last – https://theconversation.com/for-many-island-species-the-next-tropical-cyclone-may-be-their-last-256600

    MIL OSI – Global Reports

  • MIL-OSI Global: Trump’s proposed Golden Dome missile defence system – an expert explains the technical challenges involved

    Source: The Conversation – UK – By Jack O’Doherty, PhD Candidate in Nuclear Strategy, University of Leicester

    The Trump administration’s recent announcement of a “Golden Dome” strategic missile defence shield to protect the US is the most ambitious such project since President Ronald Reagan’s Strategic Defense Initiative (SDI) of the 1980s.

    The SDI programme – better known by its somewhat mocking nickname of “Star Wars” – sparked a heated debate over its technical feasibility. Ultimately, it would never become operational. But do we now have the technologies to realise the Golden Dome shield – or is this initiative similarly destined to be shelved?

    A completed Golden Dome missile defence shield would supposedly defend the US against the full spectrum of air and missile threats, including long-range intercontinental ballistic missiles (ICBMs) and those with shorter ranges – any of which could be armed with nuclear warheads.

    But Golden Dome would also aim to work against cruise missiles and hypersonic weapons such as boost-glide vehicles, which use a rocket to reach hypersonic speeds (more than five times the speed of sound) before continuing their trajectory unpowered.

    The missile defence shield could theoretically also protect against warheads placed in space that can be commanded to re-enter the atmosphere and destroy targets on Earth – known as fractional orbital bombardment systems.


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    Ballistic missiles arguably pose the biggest threat because of the sheer numbers in the hands of other nuclear armed nations. ICBMs follow a three-phase trajectory: the boost, midcourse and terminal phases.

    The boost phase consists of a few minutes of powered flight as the missile’s rocket engines propel it into space. In the midcourse phase, the missile travels unpowered through space for about 20-25 minutes. Finally, during the terminal phase, the missile re-enters the atmosphere and hits the target.

    Plans for the Golden Dome are likely to involve defensive weapons that target ballistic missiles during all three phases of their trajectory.

    Boost-phase missile defence is attractive because it would only require shooting down a single target. During the midcourse phase, the ballistic missile will deploy its warhead – the section that includes the explosive charge – but could also release several decoy warheads. Even with the best radar systems, discriminating the real warhead from the decoys is incredibly difficult.

    One part of Golden Dome will involve targeting ballistic missiles during their boost phase.
    US Air Force

    However, there are big questions over the technical feasibility of targeting ballistic missiles during their boost phase – and there is also a limited time window, given that this phase is relatively short.

    The weapons platforms designed to target a ballistic missile in its boost phase could consist of a large satellite in low-Earth orbit, armed with multiple small missiles called interceptors. An interceptor could be deployed if a nuclear armed ballistic missile is launched at the US.

    One study conducted by the American Physical Society suggested that, under generous assumptions, a space-based interceptor platform might be able to destroy a target from 530 miles (850km) away. This measure is known as the weapon’s “kill radius”.

    Even with a kill radius of this size, a space-based interceptor system would require hundreds or even thousands of satellites, each armed with small missiles to achieve effective regional coverage. It might be possible to get round this constraint, though, by using directed-energy weapons such as powerful lasers or even particle beam weapons, which use high-energy beams of atomic or subatomic particles.

    A critical vulnerability of such a system, however, is that an adversary could use anti-satellite weapons – missiles launched from the ground – or other offensive actions such as cyberattacks to destroy or disable some of the interceptor satellites. This could establish a temporary corridor for an adversary’s ballistic missile to pass through.

    ‘Brilliant Pebbles’

    An idea for a space-based boost-phase defence system called Brilliant Pebbles was proposed towards the end of the 1980s. Rather than having large satellites with multiple missiles, it entailed having around 1,000 small individual missiles in orbit. It would have also used about 60 orbiting sensors called Brilliant Eyes to detect launches.

    Brilliant Pebbles was cancelled by President Bill Clinton’s administration in 1994. But it provides another template for technologies that could be used by Golden Dome.

    Options for destroying ballistic missiles during the midcourse of their trajectories include existing weapons systems such as the Ground-based Midcourse Defense system and the US Navy’s ship-based Aegis platform.

    Unlike midcourse-phase missile defence (which must cover a large geographical area), terminal-phase interception is a last line of defence. It usually involves destroying incoming warheads that have re-entered the atmosphere from space.

    A plan for destroying single warheads during the terminal trajectory phase could use future versions of existing weapons platforms, such as the Patriot Advanced Capability 3 Missile Segment Enhancement or the Terminal High Altitude Area Defense.

    However, while there has been progress in this technology in the decades since Star Wars was proposed, the debate continues over whether these systems work effectively.

    Ultimately, it is the huge costs, as well as political opposition, that could pose the biggest hurdles to implementing an effective Golden Dome system. Trump’s proposal has revived the idea of missile defence in the US. But it remains unclear whether its most ambitious components will ever be realised.

    Jack O’Doherty is affiliated with the NATO Defense College, as a Junior Associate Fellow.

    ref. Trump’s proposed Golden Dome missile defence system – an expert explains the technical challenges involved – https://theconversation.com/trumps-proposed-golden-dome-missile-defence-system-an-expert-explains-the-technical-challenges-involved-257473

    MIL OSI – Global Reports

  • MIL-OSI Global: As Trump’s ratings slide, polling data reveals the scale of Fox News’s influence on US politics

    Source: The Conversation – UK – By Paul Whiteley, Professor, Department of Government, University of Essex

    Donald Trump’s ratings continue to slide on most issues. Recent Economist/YouGov polling across the US, completed on May 9-12, shows 51% think the country is on the wrong track, while only 45% have a favourable impression of his job as president. On inflation and prices in the shops, only 35% approve of his handling of this policy.

    Trump seems to be scoring particularly badly with young voters. Around 62% of young people (18 to 29s) have an unfavourable opinion of the president, compared with 53% of the over-65s.

    Meanwhile, the Trump administration continues to pursue an agenda to close down, or shackle, much of the media it considers not on his side.

    Funding for national public service radio NPR and television PBS, as well as the global news service Voice of America, is under threat. Some national news outlets are under investigation by the Federal Communications Commission (FCC) for their coverage.


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    In a speech in March, Trump said broadcasters CNN and MSNBC, and some newspapers he didn’t name “literally write 97.6% bad about me”. He added: “It has to stop. It has to be illegal.”

    The Trump team clearly see the role of the media as important to establishing and retaining support, and have taken steps to shake up White House coverage – including by changing who can attend the White House press pool.

    About seven in ten members of the American public say they are following the news for updates on the Trump administration. It is interesting, therefore, to consider the role of the media in influencing Trump’s popularity, and insights can be found in the massive US Cooperative Election Study, conducted during the presidential contest last year.

    That survey showed 57% of Americans had watched TV news in the previous 24 hours. Around 81% had used social media during the same period, but only 20% had used it to comment on politics.

    There is a lot of attention being paid to fake news on the internet, which is helping to cause polarisation in the US. But when it comes to news about politics, TV coverage is still very important for most Americans.

    The survey asked respondents about the TV news channels they watched, and Fox News came out on top with 47% of the viewers. ABC came second with 37%, and CBS and CNN tied on 35%. Fox News is Trump’s favourite TV station, with its rightwing populist agenda and regular output of Trump-friendly news.

    Relationship between Trump voters and Fox News’s audience in 2024 US presidential election:


    Source: Author graph based on Cooperative Election Study 2024, CC BY

    The Cooperative Election Study had 60,000 respondents, which provides reasonably sized samples in each of the 50 states. The Trump vote varied quite a lot across states, with only 34% of voters in Maryland supporting him, compared with 72% in Wyoming. The electoral college formally decides the results of presidential elections, and this is based on states – so, looking at voting in this way can be quite revealing.

    The connection between watching Fox News and Trump’s vote share can be seen in the chart above. It varies from 21% who watched the channel in Vermont to 60% in West Virginia.

    Vermont is represented in Congress by Senator Bernie Sanders, a self-described socialist from a radical political tradition, and only 32% voted for Trump there. In contrast, West Virginia is part of the rust belt of impoverished states hit by deindustrialisation and the decline of the coal mining industry, and 71% voted for Trump there.

    We can use a regression model (which looks at the relationship between variables) to predict support for Trump using key measures that drive the vote share for Trump in each state. The model uses three variables to predict the results with 95% accuracy, which means while not perfect, it gives a very accurate prediction of Trump’s vote.

    Not surprisingly, partisanship – that is, the percentage of registered Republicans in each state – is one of the key metrics. In addition, ideology – the percentage of respondents who say they are conservatives – is another.

    Perhaps more surprisingly, the third important predictor is viewership of Fox News. The relationship between watching the channel and voting for Trump is very strong at the state level. Also, the more time people spend watching the channel, the more likely they are to have voted for Trump.

    Impact of key factors on Trump voting in 2024 US election:


    Source: Author based on Cooperative Election Study , CC BY

    This chart calculates the relationship between watching Fox News and other factors and the strength of a state’s support for Trump in 2024. If a variable is a perfect predictor of Trump voting, it would score 1.0 on the scale. If it is a perfect non-predictor, it would score 0.

    So, the most important predictor of being a Trump voter was the presence of conservatives in a state, followed by the percentage of registered Republicans, and the third was watching Fox News. A high score on all three meant greater support for Trump.

    To illustrate this, 45% of Texans considered themselves conservatives, 33% were registered Republicans, and 51% watched Fox News. Using these measures, the model predicts that 57% would vote for Trump. In fact, 56% voted for him in that state in 2024. So, while the prediction was not perfect, it was very close.

    A similar predictive model can be used to forecast former Democratic presidential candidate Kamala Harris’s vote shares by state. In her case, we need four variables to predict the results with 95% accuracy – the percentage of registered Democrats, liberals and moderates in a state, and also Fox News viewership.

    Not surprisingly in Harris’s case, the relationship between Fox News viewing and voting is strongly negative (correlation = -0.64). When viewership was high, the Harris vote was low.

    Years ago, the “fairness doctrine” used to mandate US broadcasters to fairly reflect different viewpoints on controversial issues in their coverage. Candidates for public office were entitled to equal air time.

    But this rule was removed by the FCC in 1987, and has led to an era of some broadcasters becoming far more partisan. The FCC decision followed a period of debate and challenges to the fairness doctrine. This led to its abolition under Ronald Reagan, the Republican president who inspired Project 2025 – the document that in turn appears to be inspiring the Trump government’s policy agenda.

    When the Trump era is over, incumbent Democrats are going to have to repair US institutions that this administration has damaged. If they want to do something about the polarisation of US politics, they may also need to restore the fairness doctrine.

    Had it not been removed in the first place, it is possible that Harris would have won the 2024 presidential election, since Fox News would not exist in its present form. Whatever happens next, the US media is likely to play an important role.

    Paul Whiteley has received funding from the British Academy and the ESRC.

    ref. As Trump’s ratings slide, polling data reveals the scale of Fox News’s influence on US politics – https://theconversation.com/as-trumps-ratings-slide-polling-data-reveals-the-scale-of-fox-newss-influence-on-us-politics-256274

    MIL OSI – Global Reports

  • MIL-OSI USA: Project Spotlight: USGS Scientists Work with Kenai Peninsula Communities to Define Baseline Water Data Amid Climate Uncertainty

    Source: US Geological Survey

    Homes and a fisher along the Kenai River. Photo: Christian Thorsberg.

    Seldovia, Alaska — a quintessential sleepy fishing town on the southern edge of the Kenai Peninsula — starts to wake up around late May. 

    By then, the first salmon are running. Water taxis come and go. Fishing charters fill. Bellies, too. During a busy year, the community of roughly 500 people doubles in size from the influx of tourists eager to soak up the Arctic sun. 

    The summer of 2019 began with its usual verve, and as May turned to June turned to July, the height of the busy season, the sleepy town was still dreaming. “The summer was great. I remember midway through, people were so happy,” says Cassidi Cameron, who at the time was Seldovia’s city manager. “We had all these visitors. Everybody had a smile on their face.”

    But as inns brimmed, freezers filled, and coffers replenished, one site in town felt emptier. “And then it started to dawn on us,” Cameron says. “Wow, there hasn’t been very much rain.”

    All of Seldovia draws its water from a single reservoir, which sits within city limits no more than 200 feet above sea level. A gravity-fed treatment facility rests below, and water flows naturally into a distribution system. The operation is entirely dependent on rainfall and melting snow, and summer is a time of increased water usage. But between June and August of 2019, fewer than three inches of rain had fallen, roughly half a foot behind seasonal averages.  

    Early signs of water shortages began to reveal themselves, though they could be explained away by leakages, which were a common occurrence in town. “Alaska’s infrastructure is very much aged-out, and we were having several issues with our water lines deteriorating and breaking or just plain not working,” Cameron says. Some of Seldovia’s oldest residents didn’t seem too worried, either. They recalled the 1970s and ‘80s, when a booming fish cannery industry meant frequent water overconsumption.

    But as the pleasurable string of sunny days turned to unseasonable warmth, Cameron remained diligent. She ordered an underwater scan of the reservoir to check for leaks in its bed. She monitored the water usage of the state ferry, which was still docking in Seldovia three times each week and taking 20,000 to 50,000 gallons of water with each stop. Regular visits to the reservoir revealed it was losing several inches of surface water each day, both to usage and evaporation. By August, consumption spiked at more than 200,000 gallons per day. This seemed like a lot, but Cameron had no historical numbers for comparison. Seldovia held its breath for the reliable late-summer rainy season. But August came and went — nothing. 

    What had once seemed an impossibility to Cameron, who moved to the coastal community in 2008 from Idaho and began working for the city in 2009, was suddenly her problem to fix: “How could you have a drought and water shortages in Alaska?” she wondered.

    This question was addressed at a standing-room-only town hall meeting — “I’ve never seen one so well-attended,” Cameron recalls. Many residents were well-aware that the reservoir in neighboring Nanwalek had recently been reduced to mud. That Wrangell, too, was running dry. As a potential Day Zero loomed locally, community members were cautioned to limit their showering, cooking, and cleaning. Library hours were shortened. Restaurants switched to disposable utensils. Pallets of drinking water were imported and delivered door-to-door for several weeks. 

    The city received a permit to pump water from a regional creek and set up a non-potable tank of gray water for public use. Still, Suzie Stranik, the chair of the Seldovia Arts Council, recalls shutting down her greenhouse early and flushing her toilets sparingly. “It was quite a time here in our community,” she says.

    Looming above town, the reservoir dwindled. At its lowest point, it held just 14 days of water. 

    Today, Cameron works as the executive director of the Kenai Peninsula Economic Development District. When she recalls that stressful summer, it is above all the massive learning curve, and the lack of readily available science, that floats to the top of her mind. 

    “It was a bigger situation than what we were prepared for,” she says. “I needed a crash course in hydrology. It was a reality check.”

    Cameron’s experience is not unfamiliar to many leaders in small communities across the Kenai Peninsula and Alaska more broadly. Often, they have few resources — and little time — to prepare for potentially life-altering weather events. Had September not brought rains and cooler temperatures, a bad situation could easily have been worse. 

    “I wish there were more resources and data back in 2019 to help me understand our water situation and reservoir capacity,” she says. “A good rule of thumb for the future would be: get a baseline understanding, get familiar with your water source.”


    A Beaver Creek Baseline 

    Three years later and roughly 80 miles north of Seldovia, U.S. Geological Survey (USGS) scientists Josh Koch, Meg Haserodt, and Andy Leaf eased their kayaks through the freshwater lowlands of the peninsula’s northwestern bogs. Marshes and muck marked the peaty landscape, many hidden ponds threatening to overtop their waders and bows. 

    Compared to 2019, the summer of 2022 was significantly wetter. Mosquitos swarmed as the trio installed wells in the shallow peat. For weeks, they measured the interactions of surface water and groundwater, temperature, and vegetation cover along the narrow banks of Beaver Creek. 

    As he was pounding in a well, USGS scientist Andy Leaf (right) lost his wedding ring. “It’s still out there, as far as I know,” he says. “An archaeologist will find it one day.” Photo: Meg Haserodt.

    A 10-mile-long tributary of the mighty Kenai River, Beaver Creek is a critical watershed for the city of Kenai, the peninsula’s most populous community. Nearly all of its 7,500 year-round residents depend heavily on pumped groundwater for clean drinking water, and thousands of Pacific salmon — the lifeblood of the community’s economy and staple of its meals — have spawned in its gravel for generations. 

    “If you live in Kenai, Beaver Creek is your backyard,” says Ben Meyer, an environmental scientist and water quality coordinator with the Kenai Watershed Forum, and a Kenai resident. “For both people and wildlife, it’s a crucial place where water needs intersect.”

    Beaver Creek is one of the many watersheds in the Cook Inlet region that is currently intact yet sensitive to shifting climate regimes. Laying within a rain shadow, the area averages only 19 inches of precipitation each year. From May through September, 64 percent of the watershed’s slow-moving streams are supplied by groundwater flows.

    “Nineteen inches of precipitation is not a lot,” Leaf says. “Some people have talked about the possibility of the wetlands drying up due to climate change.” Koch adds: “We anticipate these lowland streams to be the ones most potentially impacted by changes to the climate, namely temperature and precipitation.”

    On the upper Kenai Peninsula, the annual average temperature is expected to increase by roughly 11 degrees Fahrenheit by 2100, according to the Scenarios Network for Arctic Planning (SNAP). Greater rainfall is also possible, with SNAP models projecting 45 percent more precipitation in spring alone. But deluges may be interspersed with long, dry stretches — a “more rain, more drought” phenomenon expected to affect many parts of south-central and southeast Alaska by mid-century.

    “As average air temperatures warm, we anticipate more summers like 2019 could happen,” Meyer says. “It behooves us to be prepared.”


    Hot Pockets and Salmon Refugia

    With an uncertain climate in mind, USGS and the Kenai Watershed Forum collaborated on a recently published study that establishes baseline streamflow and temperature measurements and future scenarios for Beaver Creek. The team projects that the volume of groundwater and streamflow discharge will remain about the same through 2050. Atmospheric warming, however, will almost certainly affect the water’s quality.

    “By far the biggest concern is rising temperatures,” Leaf says. “Both from an acute standpoint, like heat waves, but also warmer temperatures for longer periods of time.”

    Between 1950 and 2009, the average summer temperature on the upper Kenai Peninsula was 53.6 degrees Fahrenheit. According to the team’s models, by mid-century, waters near the mouth of Beaver Creek will experience 34 to 63 extra days each year with average weekly temperatures above 55.4 degrees, and 14 to 81 extra days above 59 degrees. 

    Extended periods of warmth are likely to produce at least some negative impacts on Pacific salmon incubation, spawning, rearing, and migration. The team also projects “routine exceedances” of 68 degrees — the water temperature at which salmon succumb to disease and heat stress.

    “On the Kenai, as for so much of Alaska, important hydrologic questions are related to salmon and salmon habitat,” Koch says.

    Fishers on the Kenai River. Photo: Christian Thorsberg.

    While identifying areas of concern, the team also looked for bright spots. Their report identifies several streams in the basin that, despite warming air temperatures, are expected to remain cool enough for salmon to thrive or rest within during days of extreme heat. Because Beaver Creek flows through the Kenai National Wildlife Refuge, the team hopes these potential areas of salmon refugia will benefit from dedicated habitat conservation. 

    Coho and king salmon, which both migrate through and spawn in lowland waters like Beaver Creek, have seen precipitous declines in the Kenai River watershed in recent years. According to preliminary data from the Alaska Department of Fish and Game, the watershed’s king salmon late run escapement last year was a mere 6,630 — well below the 15,000 – 30,000 goal range — even with no permitted harvest. And while coho escapement is not monitored, their 2024 commercial harvest estimate of 24,750 was 86 percent below the recent 20-year average.

    These findings again contribute to a baseline understanding of the watershed’s health, Meyer says, as no escapement, for any salmon species, is currently measured in Beaver Creek specifically.

    “It was exciting to see that our model could find and identify those safer locations,” Koch says.  “Hopefully, that’s information that land managers can use to think about preservation of important habitat.”


    Future Stressors

    By 2046, the city of Kenai is expected to see its population grow by 13.3 percent, relative to 2015. Nearby Soldotna, home to about 4,500 people, is likely to grow at a similar rate. The researchers don’t anticipate water shortages from this alone, though local development could bring additional water demands.

    If built, the proposed Alaska LNG pipeline — which would transport natural gas 800 miles through the heart of Alaska, from the North Slope to the Kenai Peninsula — would likely cross through and then terminate adjacent to the Beaver Creek watershed near Nikisi. The area would also host the pipeline’s liquefaction plant, where natural gas is condensed for export. The facility, Meyer says, could potentially draw from the municipality’s water supply. 

    An active petroleum exploration project is also underway near the last few miles of Beaver Creek, just outside the Kenai National Wildlife Refuge, though drilling is occurring below the water table. Oil and gas impacts were not considered as part of this study.

    “Our goal was not to assign value between different uses, but to simply demonstrate how the water moves and how that might change in the future,” Koch says. “We’re hopeful that we’ve provided new information that can be used by the community to weigh those trade-offs and manage those resources.”

    The Kenai River in late September, the tail end of the seasonal salmon run. Photo: Christian Thorsberg. 

    Resource considerations are magnified on the 25,000 square-mile peninsula, where roughly 60,000 people call home. Every community — from Seldovia to Seward, from Kenai to Hope — is connected to Anchorage and the rest of Alaska by just a single road and several small airports. 

    Sustainable living is equally sensitive to both longer-term climate changes, Cameron says, as it is to sudden events. 

    “It isn’t all about drought,” she says. “How do you manage your resources in the event of a catastrophe, or something significant that affects basic living needs? Water is one of them, and we need to raise awareness for planning and preparation.”

    The peninsula’s unique geography and location makes it susceptible to natural disasters including landslides, earthquakes, tsunamis, and the expected eruption of Mt. Spurr, a stratovolcano just 60 miles from Kenai. Such events can suddenly make any given town, possibly in crisis, unreachable. Having reliable science during times of need is crucial, the researchers say. They hope similar studies will be a priority for other Kenai communities soon.

    “Generating baseline data sets can be challenging to convince people to fund,” Haserodt says. “But they’re really useful. They’re an investment in our understanding of the future of our water resources and ability to make data-driven management decisions.”


    This news announcement was written by Christian Thorsberg, University of Alaska Fairbanks. Read the original post on the Alaska CASC website: Kenai Peninsula Communities Struggle for Baseline Water Data Amid Climate Uncertainty | AK CASC

    MIL OSI USA News

  • MIL-OSI Global: What action can Israel’s allies take over its expansion of military operations in Gaza?

    Source: The Conversation – UK – By Catherine Gegout, Associate Professor in International Relations, University of Nottingham

    The British, French and Canadian leaders issued a joint statement on May 19 in which they condemned Israel’s “egregious actions” in Gaza, warning that concrete action could follow if it does not stop its military offensive. They said an 11-week blockade on humanitarian aid reaching the territory had led to an “intolerable” level of human suffering.

    Israel’s prime minister, Benjamin Netanyahu – who the International Criminal Court (ICC) alleges is responsible for war crimes in Gaza – responded angrily. He accused the leaders in London, Ottawa and Paris of offering Hamas a “huge prize” for its October 7 attack on Israel.

    This drew a rebuttal from the British foreign secretary, David Lammy, who declared that “opposing the expansion of a war that’s killed thousands of children is not rewarding Hamas”. So, what action can Israel’s western allies take over its offensive in Gaza?

    The most realistic option is probably the recognition of Palestinian statehood. The Netanyahu government has expressed fierce opposition to the establishment of a Palestinian state, saying recently it would be a “win for terrorism”.


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


    But this recognition would send a strong message of support for a two-state solution, which most of the world has long seen as the only way to end the Palestinian-Israeli conflict. And the UK, along with Canada, has said it is joining a French initiative to recognise Palestine as a state at a June conference in New York, organised to advance a two-state solution.

    By doing so, the UK, France and Canada would join 160 states that already recognise Palestine. These include 11 states in the EU: Bulgaria, Cyprus, the Czech Republic, Hungary, Ireland, Poland, Romania, Slovakia, Slovenia, Spain and Sweden.

    Stop selling arms

    Another option is for western states to stop selling arms to Israel. France has done this already. And the British government partially suspended arms exports to Israel in September 2024 over concerns they could be used unlawfully in Gaza.

    However, in the three months that followed, the government reportedly approved US$169 million (£126 million) worth of military equipment to Israel. This is more than the total amount it approved between 2020 and 2023.

    The UK maintains that its “exports of military goods to Israel are low”, and the same is true for Canada. The UK and Canada together provide less than 1% of the annual value of Israel’s military imports. But a full suspension would be a major political statement, demonstrating diminishing international support for Israel’s military offensive in Gaza.

    For a total ban to have any effect on the Israeli military’s operations, it needs to be complemented by similar action from more significant arms providers. Germany, for instance, accounted for 30% of Israel’s arms imports between 2019 and 2023.

    The UK and Canada are also part of the global F-35 jet fighter programme, with the UK alone supplying 15% of the value of each jet. F-35 jets play a key role in Israel’s military operations in Gaza. But stopping British-made parts for F-35s from being supplied to Israel is unlikely.

    It would involve pulling out of the entire programme, which the government says is crucial for international security. However, given the High Court is hearing a case that alleges the sale of components for F-35s indirectly to Israel breaks domestic and international law, its stance could change.

    Western countries could also suspend their trade with Israel. The EU accounts for almost 30% of Israeli exports, with a similar amount of Israeli imports coming from the EU. The UK is the 11th-largest importer of Israeli goods.

    This option would have a significant impact on Israel’s economy, and is being considered by both the UK and EU. On May 20, Lammy announced the suspension of negotiations over a new free trade deal between the UK and Israel. And the EU has said it will review its trade association deal with Israel, after 17 of the bloc’s 27 foreign ministers backed the move.

    A complete suspension of the EU’s trade agreement with Israel would require unanimity, so it is unlikely. But a partial suspension is possible, as this would only require at least 55% of member states to vote in favour.

    Sanction Israeli settlers

    One more option is the expansion – and coordination – of efforts to sanction Israeli nationals who promote violence against Palestinians. In 2024, France, Canada and the EU imposed financial sanctions and travel bans against extremist Israeli settlers who had been found guilty of using violence against Palestinian civilians in the West Bank.

    The UK has now taken a similar approach, introducing sanctions on several individuals and entities involved in the Israeli settler movement. This includes prominent Israeli settler Daniella Weiss, who featured in Louis Theroux’s recent documentary, The Settlers. Weiss has dismissed the sanctions, saying they will not affect her or the broader settler movement.

    Britain’s government is also reportedly considering sanctions against Israel’s finance minister, Bezalel Smotrich, and national security minister Itamar Ben-Gvir. Lammy referred to Smotrich’s recent comments that the Israeli military offensive will be “destroying everything that’s left” of Gaza as “monstrous”.

    Sanctions could, in theory, be complemented by bans on the import of goods from Israeli settlements. Israel’s finance ministry says that 2.5% of the country’s agricultural exports and 1.5% of industrial exports to the EU originate in settlements.

    This type of ban would be difficult for France to introduce due to EU law, but it might not be impossible. Ireland is also trying to ban the trade of goods from such settlements.

    Above all, Israel’s allies should step up their efforts to respect international law. In November 2024, the ICC issued an arrest warrant for Netanyahu over alleged war crimes relating to the Gaza war.

    The UK and Canada have said they would arrest Netanyahu if he travels to either country – and they could apply pressure on France to join them. France has not said whether it would arrest Netanyahu if he sets foot on French territory.

    The humanitarian situation in Gaza is likely to worsen over the coming weeks and months. If Israel’s western allies want to use their influence to force the Israeli government to end the conflict, now is the time.

    Catherine Gegout 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. What action can Israel’s allies take over its expansion of military operations in Gaza? – https://theconversation.com/what-action-can-israels-allies-take-over-its-expansion-of-military-operations-in-gaza-257154

    MIL OSI – Global Reports

  • MIL-OSI United Kingdom: Insect trafficking poses risk to wildlife and human health

    Source: Anglia Ruskin University

    Rhinoceros beetles are just one of the insect species being traded illegally

    By Angus Nurse, Anglia Ruskin University and Elliot Doornbos, Nottingham Trent University

    Four men were recently arrested and fined for attempting to smuggle more than 5,000 ants out of Kenya. Aiming to sell them as part of the exotic pet trade, these ants were being stored in individual test tubes and syringes with small amounts of cotton wool for transportation. This unusual case highlights an important yet overlooked aspect of wildlife trafficking.

    Wildlife trafficking is a crime against nature which occurs mainly because of consumer demand. Trafficking refers to the illegal smuggling and continued exploitation of wild animals, plants or timber. That includes, as in this case, insects.

    Much conservation effort, reporting, study and enforcement activity focuses on recognised species such as rhinos. Wildlife trafficking is often associated more with these charismatic species and products made from them such as elephant tusks and rhino horn.

    But wildlife trafficking includes a whole spectrum of illicit animal trade from poaching and smuggling to the distribution of protected and endangered species. There is also thriving illegal trade in insects.

    For avid collectors, trophies and the exotic pet trade a wide array of insects have been seized over the years including rhino beetles into Japan, praying mantis eggs into the US and butterflies out of Sri Lanka.

    Globally, insect species are declining. This is caused by an array of threats such as pollution, pesticides, climate change and urbanisation. Although the extent of the harm being caused by trafficking is unknown, this adds further pressure to species that already face extinction.

    Protections for insects vary. The conservation status of each ant species affects their level of protection both nationally and internationally.

    Ants that are on the red list – which is the largest classification of endangered species produced by the International Union for the Conservation of Nature (IUCN) – and classed as critically endangered or endangered cannot be captured, killed or disturbed in any manner. An example is the anathema ant, which is currently listed as an endangered species.

    International law puts controls on wildlife that may be threatened by trade. Some ants are protected under UK law which makes it an offence to disturb or destroy the nests of species like the red wood ant.

    This case shows how wildlife trafficking extends to areas such as the smuggling of, and illegal trade, in ants. Some organised crime groups have moved from smuggling drugs and weapons to trafficking in plants, medicinal compounds and animals – including insects. Organised crime can include smaller and partially disorganised groups and networks. Where there is money to be made smuggling, networks will target wildlife.

    The scale of the insect smuggling problem is unknown. Many cases will go unreported due to the clandestine nature of the trade. As such, both law enforcement and the wider public might not know or care about this being an offence.

    Although there have been some insect trade seizures, law enforcement agencies are often underresourced and may view wildlife crimes as a low priority in comparison to other areas of criminality, such as drugs.

    Often, insects are easily concealed. For example, 37 rhino beetles were discovered at Los Angeles International airport hidden within sweet and crisp packets.

    Even once insects are seized, it can be difficult to identify the species to find out whether they are protected, given so many different levels of protections for species internationally.

    Invasive species risk

    Insect trafficking could introduce non-native species to new places. If they establish a breeding population and pose a threat to local ecosystems, they can become known as “invasive species”. Invasive species can outcompete native species for food. Some destroy habitats. Others have the potential to bring new diseases to a country.

    Not only can invasive insects pose threats to the environment such as the ongoing issue of invasive Asian hornets within Europe, but also affect people. Hawaii spends US$10 million (£7.5 million) on invasive species control measures – US$2.4 million of that is set aside just for coconut rhinoceros beetles.

    Although predicting which species and when they may become invasive is a challenge, insect trafficking can cause serious consequences. Undervaluing some species protections provides avenues for traffickers, so enforcing trafficking laws for all wildlife, including insects, is crucial.

    Elliot Doornbos, Senior Lecturer of Criminology, Nottingham Trent University and Angus Nurse, Professor of Law and Environmental Justice, Anglia Ruskin University

    This article is republished from The Conversation under a Creative Commons license. Read the original article.

    The opinions expressed in VIEWPOINT articles are those of the author(s) and do not necessarily reflect the views of ARU.

    If you wish to republish this article, please follow these guidelines: https://theconversation.com/uk/republishing-guidelines

    MIL OSI United Kingdom

  • MIL-OSI United Kingdom: New study shows millions still lack access to glasses

    Source: Anglia Ruskin University

    Millions of people across the world still lack access to basic eye care such as glasses according to a new study led by Professor Rupert Bourne of Anglia Ruskin University (ARU).

    The research, published in The Lancet Global Health, measured the global availability and quality of treatment for uncorrected refractive error, one of the most common forms of vision loss.

    The study used data from 815,273 participants from 76 countries and found that global refractive correction (eREC) is currently at 65.8%, just six percentage points higher than in 2010.

    The researchers say the results mean the World Health Organisation (WHO)’s target, set in 2021, of a 40 percentage point increase in eREC by 2030 is likely to be missed unless urgent action is taken across the world to increase the access to basic treatments such as spectacles.

    The results are grouped into ‘super regions’: north Africa and the Middle East; Sub-Saharan Africa; Latin America and the Caribbean; south Asia; southeast Asia, east Asia and Oceania; central Europe, eastern Europe and central Asia; and high income (areas of north America and western Europe, which includes the UK).

    The burden of uncorrected vision loss falls more heavily on low-income countries, women, and older adults. In the high income region, eREC is at 85% for men and 83% for women, while in sub-Saharan Africa the figure is around 30% for men and 27% for women. The WHO targets are set at country level, with high income countries such as the UK expected to strive for 100% eREC by 2030.

    The data shows some encouraging trends. Between 2000 and 2023, there was a 50% improvement in the number of people receiving the correct prescription for eyeglasses. However, the authors note that the need for glasses has also increased, largely driven by lifestyle-related risk factors, for example increased screen time and reduced outdoor activities during childhood.

    The research cites examples of action that individual countries have already taken and could be adopted by others. In France, full reimbursement of the cost of spectacles was introduced as part of universal health insurance in 2021/22. Pakistan has implemented a series of national eye-care plans over the past 20 years that have increased spectacle use and reduced vision impairment caused by uncorrected refractive error.

    Rupert Bourne, Professor of Ophthalmology at Anglia Ruskin University, is Principal Investigator for the Vision Loss Expert Group, a global network of health researchers that carried out the study.

    “Correction of refractive error is the safest, most efficient, and most economical intervention to improve daily vision quality for the majority of individuals affected by vision impairment worldwide, contributing to reducing poverty and improvements in wellbeing, work productivity, education, and equity.

    “Data from 815,000 people across 76 countries in our new study shows that we are off track to meet World Health Organisation targets. Urgent global action is needed to reach the goal of a 40% increase in eyeglasses coverage by 2030.”

    Professor Rupert Bourne of Anglia Ruskin University

    To read the study, visit https://www.thelancet.com/journals/langlo/article/PIIS2214-109X(25)00194-9/fulltext

    MIL OSI United Kingdom

  • MIL-OSI New Zealand: University Research – Daytime boosts immunity, scientists find – UoA

    Source: University of Auckland (UoA)

    Kiwi scientists have discovered how daylight can boost the immune system’s ability to fight infections.

    NZT 6am Saturday 24 May: A breakthrough study, led by scientists at Waipapa Taumata Rau, University of Auckland, has uncovered how daylight can boost the immune system’s ability to fight infections.

    The team focused on the most abundant immune cells in our bodies, called ‘neutrophils’, which are a type of white blood cell. These cells move quickly to the site of an infection and kill invading bacteria.

    The researchers used zebrafish, a small freshwater fish, as a model organism, because its genetic make-up is similar to ours and they can be bred to have transparent bodies, making it easy to observe biological processes in real time.

    “In earlier studies, we had observed that immune responses peaked in the morning, during the fish’s early active phase,” says lead researcher Associate Professor Christopher Hall, from the Department of Molecular Medicine and Pathology.

    “We think this represents an evolutionary response such that during daylight hours the host is more active so more likely to encounter bacterial infections,” says Hall.

    However, the scientists wanted to find out how the immune response was being synchronised with daylight.

    With this new study, published in Science Immunology, and led by two doctoral researchers, neutrophils were found to possess a circadian clock that alerted them to daytime, and boosted their ability to kill bacteria.

    Most of our cells have circadian clocks to tell them what time of day it is in the outside world, in order to regulate the body’s activities. Light has the biggest influence on resetting these circadian clocks.

    “Given that neutrophils are the first immune cells to be recruited to sites of inflammation, our discovery has very broad implications for therapeutic benefit in many inflammatory diseases,” Hall says.

    “This finding paves the way for development of drugs that target the circadian clock in neutrophils to boost their ability to fight infections.”

    The research was funded through the Royal Society of NZ’s Marsden Fund.

    Current research is now focussed on understanding the specific mechanisms by which light influences the neutrophil circadian clock.

    Find out about animal-based research at the University of Auckland: http://www.auckland.ac.nz/en/research/about-our-research/openness-in-animal-research.html

    MIL OSI New Zealand News

  • MIL-OSI Global: Supreme Court’s one-sentence order closes the door to Catholic charter school – but leaves it open for future challenges

    Source: The Conversation – USA – By Charles J. Russo, Joseph Panzer Chair in Education and Research Professor of Law, University of Dayton

    Supreme Court justices heard arguments April 30, 2025, and issued a 4-4 order just a few weeks later. AP Photo/J. Scott Applewhite

    The saga over St. Isidore of Seville, which hoped to become the nation’s first religious charter school, has come to a surprising end – for now.

    In April 2025, Supreme Court justices heard arguments in the case from Oklahoma, which dealt with how to interpret the First Amendment’s religion clauses. Proponents argued that prohibiting local public school boards from contracting with a faith-based organization would be unconstitutional because it hinders “free exercise” of religion. Critics warned a faith-based charter would be an unconstitutional breach of the “establishment clause,” which forbids the government from establishing an official religion or promoting particular faiths over others.

    Both sides anticipated a pivotal ruling. However, in an anticlimatic outcome, the Supreme Court issued a brief order May 22, 2025. The 4-4 outcome leaves a lower court judgment in place that prevented St. Isidore’s from opening – but did not explain why.

    The Conversation U.S. asked Charles Russo, who teaches education law at the University of Dayton, to walk us through what happened.

    What does the order do?

    On its face, the Supreme Court’s terse, one-sentence opinion means that Oklahoma cannot presently create and fund a Roman Catholic charter school – an online K-12 institution.

    However, because the Supreme Court did not address the underlying merits of the claim, it arguably leaves the door open to similar challenges in Oklahoma and elsewhere.

    Two items stand out as unusual here.

    First, the justices issued what is called a “per curiam” opinion, which means “by the court.” These opinions are unsigned, without any dissents – an unexpected outcome for such an important topic. Justices Samuel Alito and Clarence Thomas have defended religious freedom vociferously under both the establishment and free exercise clauses, including in education. So, it would have been insightful to read their arguments about why the creation of St. Isidore would be permissible under the Establishment Clause.

    Second, Justice Amy Coney Barrett recused herself from the case, without offering a reason. Many court observers suggested she did so due to her friendships with legal scholars at Notre Dame who were involved in St. Isidore’s defense.

    Was this the expected outcome?

    Based on oral arguments, it was going to be a close call involving the eight justices. On the one hand, Alito and Thomas seemed to find St. Isidore’s argument persuasive, as did Justices Neil Gorsuch and Brett Kavanaugh. Conversely, Justices Elena Kagan, Sonia Sotomayor and Ketanji Brown Jackson appeared skeptical.

    The wild card, so to speak, was Chief Justice John Roberts, author of the court’s three most recent opinions supporting government aid to religious schools. The first of these cases allowed assistance to enhance playground safety in a Missouri preschool facility. The second held that it was constitutional for parents sending their children to faith-based institutions to participate in Montana’s educational tax credit program. The most recent ruled that Maine’s tuition assistance to parents in districts lacking public secondary schools can be used at religious institutions.

    During oral arguments, Roberts observed that St. Isidore’s creation seems like “much more comprehensive [state] involvement” with a religious organization, compared with the previous cases expanding aid to faith-based schools. His comment left the door open to speculation over how he might vote – though, of course, because this was an unsigned opinion, we do not know.

    The Oklahoma case is part of a broader push to allow more government aid to go to religious schools. Is this much of a setback for that movement?

    At this point, supporters of St. Isidore are likely left without options. The state’s own Supreme Court ruling – left in place by the U.S. Supreme Court – was grounded in both its own and the federal constitutions.

    However, the movement to allow more government funding toward religious education continues. While the dispute over St. Isidore attempted to let Oklahoma, and perhaps other states, directly fund faith-based schools, this part of the school-choice movement has had more success with indirect forms of funding, like vouchers and tax credits.

    At least 17 states have already adopted various universal school choice laws, meaning families who send their children to private religious schools are eligible for such programs. Most recently, on May 3, 2025, Gov. Greg Abbott of Texas signed the nation’s largest school voucher program law into effect. The law, which sets aside US$1 billion in funding for the 2026-2027 academic year, allows parents up to about $10,500 to pay for tuition and school-related expenses at accredited non-public schools, including faith-based ones. Parents of children with disabilities can receive up to $30,000.

    At the federal level, supporters of a school choice bill promoting vouchers for non-public schools introduced a bill in the House of Representatives in May 2025.

    In sum, a key question remains over the meaning of the dispute concerning St. Isidore. There are two possible interpretations. First, the case may signal an end to the court’s expanding aid to parents and students under the Establishment Clause. Second, it seems the justices were hesitant to allow funding to create what would have been the nation’s first-ever charter school under the control of religious officials. Round 1 is over, but there’s likely more to come.

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

    ref. Supreme Court’s one-sentence order closes the door to Catholic charter school – but leaves it open for future challenges – https://theconversation.com/supreme-courts-one-sentence-order-closes-the-door-to-catholic-charter-school-but-leaves-it-open-for-future-challenges-257437

    MIL OSI – Global Reports

  • MIL-OSI Global: 5 years after George Floyd’s murder: How the media narrative has changed around the killing and the protests that followed

    Source: The Conversation – USA – By Danielle K. Brown, Professor of Journalism, Michigan State University

    Flowers, painted benches and handmade memorials surround a mural of George Floyd at George Floyd Square on May 18, 2025. Kerem Yucel/AFP via Getty Images

    On the evening of May 25, 2020, George Floyd was murdered by police outside a grocery store in Minneapolis.

    From the outset, the incident became a battle of narratives. The local police initially reported Floyd was experiencing “distress” and died from a medical incident. A day later, bystander Darnella Frazier uploaded a video that showed the graphic details, including the police’s excessive use of force leading up to Floyd’s death.

    Floyd’s murder, and Frazier’s documentation of it, spawned what by some measures was the largest protest movement in American history.

    And that, too, became a contest of narratives, this time in the media. A focus on the aftermath of the events in Minneapolis, and elsewhere, were quickly supplanted by stories of lawlessness and violence by protesters.

    For almost a decade, I’ve researched the media’s coverage of protests, focusing extensively on the reporting of modern-day uprisings against police brutality.

    Time and time again, colleagues and I have found that the bulk of news coverage of protests against police brutality tends to focus on protesters’ violence, disruption or sensational actions.

    Protesters hold up their illuminated phones as they block a road beneath a highway in Missouri in June 2020.
    AP Photo/Jeff Roberson

    Yet in reading some of the coverage ahead of the fifth anniversary of Floyd’s death, I have observed a different media trend. With the benefit of time, what was once a news media frenzy focusing on the violence after Floyd’s killing has yielded space for reflection and coverage that legitimizes those who took to the streets.

    In so doing, these narrative changes provide essential opportunities to understand the complexity of journalism and social movements seen from different moments in time.

    Following flames

    Quickly after Floyd’s murder in 2020, it became clear that subjects such as the role of state violence, the sophistication of demands for change and community grief were less likely to make headlines than things such as rioting and lawlessness.

    This pattern is part of what scholars call a “protest paradigm” that explores the relationship between protests, media and the public.

    The paradigm holds that journalism often works against protest movements hoping to change the status quo. The news media’s tendency to emphasize the frivolous, violent or annoying actions of protests rather than the depth of protesters’ demands, grievances and agendas negatively shapes public opinion and affects the public’s willingness to support the movements behind them.

    After Floyd’s death, those closely following the coverage of conservative media were more likely to be exposed to stories that depicted protests as “criminal mobs.”

    But it wasn’t just conservative media. On May 31, 2020, the local paper, the Star Tribune, described the governor’s “show of strength” – a term used to describe the massive deployment of the Minnesota National Guard to help quell the “days of lawless rampage.”

    Most coverage at the time fit a familiar pattern of delegitimizing the protest movement.

    With time and space, the pattern breaks

    Five years later, some delegitimizing news coverage continues to headline. The New York Post, for example, recently published a 13-minute documentary that suggests Minneapolis is still on fire.

    But a good portion of today’s news also presents a different framing. In one five-year anniversary piece, The New York Times described George Floyd Square, the murder-site-turned-place-of-reverance for many activists and local residents, as a “site of protest, art, grief and remembrance.” Another article in The Minnesota Star Tribune describes preservation efforts of street art and murals made by activists after the murder. Other coverage described the complicated process of demanding change and the path that remains ahead.

    A portrait of George Floyd painted on the pavement is at the center of a memorial surrounded by flowers, artwork and tributes outside a storefront at George Floyd Square in Minneapolis, Minn., on May 22, 2025.
    Photo by Kerem Yucel/AFP via Getty Images

    Of course, these are selective snapshots of the coverage. And some media may shy away from covering the anniversary at all.

    But from my standpoint as a media scholar, the coverage that does exist has gone from being dominated by an initial focus on the violent aspects of protest to, in the main, a more reflective look at the meaning — rather than the spectacle — of the unrest.

    That legitimizing trend over time isn’t an isolated phenomenon. My colleagues Rachel Mourão and George Sylvie and I found something similar in previous research looking at the protests that followed the killings of Trayvon Martin in Florida in 2012 and Michael Brown in Ferguson, Missouri, in 2014.

    In our analysis of the protests following Brown’s death, we observed that the first weeks of coverage focused more on protesters, delegitimizing frames and episodic news – that is, the disruption, destruction and arrests.

    But we saw a dramatic change by the third and fourth weeks of coverage. With the passing of time, more legitimizing frames emerged, describing the protest’s substance and demands, and more thematic and in-depth reporting became apparent.

    We observed a similar trend when we looked out even further from the triggering events. After the trial of George Zimmerman, the neighborhood watch leader charged and then acquitted over the deaths of Martin, and the grand jury verdict not to indict police officer Darren Wilson over the death of Brown, news coverage of protests was more contextual and thematic. The coverage provided more space and voice to “nonofficial” sources such as protesters and family members.

    A question of journalism

    The protest paradigm’s persistence may be a function of journalistic bias − the adage of “if it bleeds, it leads” talks to the immediate reporting imperative of prioritizing violence and spectacle over issues and meaning. But it can also be a consequence of how journalism operates to inform the public.

    George Floyd family attorney Ben Crump addresses media along with other attorneys and members of Floyd’s family outside the Hennepin County Government Center on March 29, 2021, in Minneapolis where the trial for former Minneapolis police officer Derek Chauvin began.
    AP Photo/Jim Mone

    When uprisings against police brutality first begin, everything is new to the journalist and the public. The initial coverage tends to reflect this newsness and emphasizes breaking news and official narratives − which are often easier to obtain than the statements of protest groups. Police departments, for example, have well-established media relations departments with preexisting relationships with journalists.

    These initial reports also tend to feature information that would have the biggest impact on wider communities − such as blocked highways and potential property destruction − than just the aggrieved community.

    This translates to more coverage generally in the aftermath of a big event − and that reporting is more likely to delegitimize protests.

    These are the first drafts of history, and they are typically incomplete.

    But five years later in the case of George Floyd and protests of his death, coverage looks more complete and complex. That complexity brings more balance, from my perspective.

    What journalists write years later are no longer the first drafts of history reported with limited perspectives. In these subsequent drafts, journalists have a little more time to think, learn and breathe. Immediacy takes a back burner, and journalists have had more time to collect information.

    And it is in these collections of subsequent drafts that the protesters and social movements get a fairer shake.

    Danielle K. Brown receives funding from Lumina Foundation and the John S. and James L. Knight Foundation.

    ref. 5 years after George Floyd’s murder: How the media narrative has changed around the killing and the protests that followed – https://theconversation.com/5-years-after-george-floyds-murder-how-the-media-narrative-has-changed-around-the-killing-and-the-protests-that-followed-257199

    MIL OSI – Global Reports