Source: People’s Republic of China – State Council News
Eyeing China opportunities, multinational giants seek closer supply chain collaboration with Chinese partners
BEIJING, July 16 — As the third China International Supply Chain Expo opened Wednesday in Beijing, multinational companies are looking to strengthen supply chain collaborations in a move that will inject more certainty into the world economy.
The five-day event has attracted 651 companies and institutions from 75 countries and regions. Overseas exhibitors account for 35 percent, a three-percentage-point increase from last year. Among the first-time multinational participants are major players such as Nvidia, Schneider Electric, L’Oreal, Louis Dreyfus and Medtronic.
The growth in global participation highlights mounting confidence in the Chinese market and supply chain. The participating companies see China as both a stabilizing force and an innovation driver in the global supply chain.
“The expo is an important gathering for innovation and collaboration, helping to strengthen the sustainable development of global manufacturing and international supply chains,” said Mohamed Kande, global chairman of PwC.
CLOSER COLLABORATION
The expo comes on the heels of China’s announcement of a 5.3 percent economic growth for the first half of the year despite rising challenges and external uncertainties.
China’s steady economic growth, coupled with its robust supply chain and commitment to further opening up, positions it as a key partner for multinational companies.
Jensen Huang, CEO of U.S. tech giant Nvidia, on Tuesday praised China’s rapid advancements in artificial intelligence (AI) during his visit to Beijing, describing the Chinese market as both “large” and “dynamic.”
While speaking at the opening ceremony of the expo on Wednesday, Huang lauded China’s supply chain as a “miracle.” China’s open-source AI is a catalyst for global progress, giving every country and industry a chance to join the AI revolution, he said.
“China is a very important country where the development of AI will continue to be very fast and we hope to be part of that,” Huang told reporters on Wednesday, adding that there’s so much opportunity and confidence in the Chinese market.
Huang confirmed on Tuesday that Nvidia’s H20 chips will soon be available in the Chinese market again, following the U.S. government’s approval of the company’s filing licenses for shipping H20s to China.
The expo has become a key venue for global firms to forge and expand supply chain collaborations.
The expo serves as a platform for expanding McDonald’s supply chain partnerships, Xu Jansen, head of Impact Strategy at M (China) Co., Ltd. The fast food chain attended the expo for a second straight year, teaming up with 11 suppliers this year.
Xu emphasized the importance of the Chinese market, noting that half of the 2,000 new McDonald’s stores opening each year globally are located here.
The company has built a network of local suppliers and also helped many of them ship products overseas. China serves as a stabilizer to the global supply chain and global economic growth, Xu said in an interview.
For French pharmaceutical giant Sanofi, the expo is also an opportunity to showcase its ecosystem and build collaborations.
“Here, we explore innovative collaborations with our global partners, from R&D to production and patient accessibility enhancement, and share the latest results of localized practices,” said Wayne Shi, president of Sanofi Greater China. Sanofi will continue to support the Healthy China initiative with innovative drugs and vaccines, Shi said.
RESILIENCE
Business executives and experts assert that, given the current global economic climate, no single country can fulfill every role in industrial and supply chains. It is essential for countries to work together to achieve win-win results.
Global firms view China as a pivotal destination for enhancing and diversifying their supply chains, owing to the country’s vast manufacturing capacity, robust industrial ecosystem, and improving business environment.
Xiao Song, chairman, president and CEO of Siemens China, said that at a time when the global industrial landscape is undergoing rapid restructuring, the expo is becoming an important platform to promote the deep integration of all sections of the industrial chain.
Siemens aims to help Chinese firms upgrade with digital and low-carbon technologies, helping build a green competitive edge globally as well as a more resilient and sustainable global industrial and supply chains, Xiao said.
As the world’s first national-level exhibition focusing on supply chains, the expo is an internationally shared public product. First held in 2023, the expo has contributed to building more secure, stable, open and inclusive global industrial and supply chains.
With over 70 special events and new alliances for exhibitors in each of the six supply chains showcased at the expo, the expo helps enterprises find partners, application scenarios and solutions, according to Ren Hongbin, chairman of the China Council for the Promotion of International Trade, the event’s organizer.
Ren called on global business leaders to work together to uphold the multilateral trade system with the World Trade Organization at its core.
Xu Jiabin, a professor at the Business School of Renmin University of China, said that as a manufacturing and trading powerhouse, China has made significant contributions to the stability and resilience of the global supply chain.
“The expo will help mitigate the negative effects of trade barriers and safeguard the global international economic and trade order,” Xu said.
Source: The Conversation (Au and NZ) – By Jo McDonald, Professor, Director of Centre for Rock Art Research + Management, The University of Western Australia
Senior Ranger, Mardudunhera man Peter Cooper, oversees the Murujuga landscapeJo McDonald, CC BY-SA
On Friday, the Murujuga Cultural Landscape in northwest Western Australia was inscribed on the UNESCO World Heritage List. We were in Paris to see Murujuga become Australia’s 21st world heritage property, but only our second property listed exclusively for its Indigenous cultural values.
Murujuga, meaning “hip bone sticking out”, is an ancient rocky landscape rising out of the Indian Ocean in northwest Australia.
Murujuga is shaped by the Lore and the presence of Ngarda-Ngarli – the collective term for the Traditional Owner groups of the coastal Pilbara – since Ngurra Nyujunggamu, when the earth was soft, the beginning of time.
Murujuga includes the Burrup Peninsula, the Dampier Archipelago’s 42 islands and the listed property covers almost 100,000 hectares of land and sea country. Across this cultural landscape are between one to two million petroglyphs – rock art – created by carving designs into rock surfaces. The petroglyphs record Ngarda Ngarli’s attachment and adaptation to a changing environment through deep time.
The UNESCO listing recognises the “outstanding universal value” of the Murujuga Cultural Landscape. This value lies in the traditional system governing it, in tangible and intangible attributes that attest to 50,000 years of Ngarda-Ngarli using and caring for the land and seascape.
The Ngarda-Ngarli have campaigned for World Heritage Listing of the Murujuga Cultural Landscape for more than 20 years.
Murujuga Board and Circle of Elders members in Sydney at the ICOMOS General Assembly, where they hosted a Symposium on the Cultural Landscape nomination. Jo McDonald, CC BY-SA
A controversial nomination
While the outstanding universal values of this place were not in question, the nomination became mired with broader climate concerns.
Industrial development began at Murujuga in the 1950s and was established before Traditional Owners had decision-making authority. The Dampier Archipelago, as well as housing petroglyphs across 42 islands, is also home to one of the largest industrial hubs in the southern hemisphere.
The recent approval for the North-West Gas Hub has elevated climate change concerns and raised questions about whether the government is serious about protecting Murujuga.
While acidic pollution has been suggested by some, our work on the monitoring program found rain and dust at the site was pH neutral, and there is no acid rain impacting on the petroglyphs.
Other criticism included that the air quality at the site is compromised by local gas production. The research found the air quality at Murujuga is “good” to “very good” by international standards. We also found average annual nitrogen dioxide levels − the emission under most scrutiny − is five times lower than World Health Organisation guidelines.
According to MRAMP research, Murujuga’s air quality is well within national standards. Nitrogen dioxide is 16 times lower than the national standard, and sulphur dioxide never exceeding 10% of the national standard.
Importantly, the research program is ongoing and will transition to monitoring led by the Ngarda-Ngarli with support and training from the scientists. And this ongoing monitoring will be part of the management regime in place to protect Murujuga as a world heritage listed site.
The MRAMP monitoring team in action at Murujuga. Ben Mullins, CC BY-SA
Ngard-Ngarli leadership
Traditional Owners and Custodians led the world heritage nomination, supported by State and Commonwealth governments.
Traditional Owners consider the listing will better protect Ngarda-Ngarli knowledge, lore and culture as expressed through the landscape and in the petroglyphs.
World heritage recognition will support Ngarda-Ngarli decision-making and ongoing management across the Murujuga Cultural Landscape.
This global recognition is a mechanism to help Ngarda-Ngarli do what they have always done: protect their culture and decide what is right for Country for future generations.
The inscription is a testament to the old people who started this quest decades ago, many of whom have not lived to celebrate this victory.
The Australian delegation on the floor of UNESCO during the inscription session. Jo McDonald, CC BY
Australia’s deep time heritage
Australia now has two places on the World Heritage List which are exclusively listed as Indigenous sites of outstanding universal value to all humanity.
The Murujuga Cultural Landscape joins on the list the southwestern Victorian site Budj Bim, one of the world’s most extensive and oldest aquaculture systems.
Murujuga Aboriginal Custodians celebrate the Word Heritage listing decision in Paris this week. Jo McDonald, CC BY
By this listing, the world has recognised the deep time creative genius and ongoing connection of Ngarda-Ngarli to the Murujuga Cultural Landscape.
This international acclaim recognises the extraordinary resilience of Australia’s First Nations peoples and should be a source of pride and celebration for all Australians.
Jo McDonald is an employee of the University of Western Australia and receives funding from the Australian Research Council.The Centre for Rock Art Research and Management receives funding for its research and training operations from Rio Tinto. Jo was a member of the World Heritage committee and contributed to the writing of the dossier.
Amy Stevens is an employee of Murujuga Aboriginal Corporation, which receives funding from the Australian Government, the WA Government and industry and was a lead author on the Murujuga Cultural Landscape World Heritage nomination.
Belinda Churnside serves as Deputy Chair. Board Directors are remunerated for their duties in accordance with community-approved sitting fees. These payments are made from MAC’s operational income.
MAC receives funding support for a range of projects from both State and Federal government departments, as well as from industry partners operating within the Burrup and Maitland Industrial Estate Agreement (BMIEA) area.
The Department of Water and Environmental Regulation provides operational and strategic support for the Murujuga Rock Art Monitoring Program. The Department of Biodiversity, Conservation and Attractions funds MAC’s National Park Ranger Team, while other funding bodies contribute to the Murujuga Land and Sea Unit Rangers.
All funding sources and expenditures are transparently reported in MAC’s annual financial report, which is audited each year by an independent external auditor.
Ben Mullins is the lead scientist on the Murujuga Rock Art Monitoring Project, which is funded by the Government of Western Australia.
Peter Hicks is the Chair of the Board of Murujuga Aboriginal Corporation (MAC). Board Directors are remunerated for their duties in accordance with community-approved sitting fees. These payments are made from MAC’s operational income.
MAC receives funding support for a range of projects from both State and Federal government departments, as well as from industry partners operating within the Burrup and Maitland Industrial Estate Agreement (BMIEA) area.
The Department of Water and Environmental Regulation provides operational and strategic support for the Murujuga Rock Art Monitoring Program. The Department of Biodiversity, Conservation and Attractions funds MAC’s National Park Ranger Team, while other funding bodies contribute to the Murujuga Land and Sea Unit Rangers.
All funding sources and expenditures are transparently reported in MAC’s annual financial report, which is audited each year by an independent external auditor.
Terry Bailey is a World Heritage advisor to Murujuga Aboriginal Corporation and WA Government and was lead editor and co-author of Murujuga Cultural Landscape World Heritage nomination. His appointment is funded by the WA Government.
Source: The Conversation (Au and NZ) – By Jo McDonald, Professor, Director of Centre for Rock Art Research + Management, The University of Western Australia
Senior Ranger, Mardudunhera man Peter Cooper, oversees the Murujuga landscapeJo McDonald, CC BY-SA
On Friday, the Murujuga Cultural Landscape in northwest Western Australia was inscribed on the UNESCO World Heritage List. We were in Paris to see Murujuga become Australia’s 21st world heritage property, but only our second property listed exclusively for its Indigenous cultural values.
Murujuga, meaning “hip bone sticking out”, is an ancient rocky landscape rising out of the Indian Ocean in northwest Australia.
Murujuga is shaped by the Lore and the presence of Ngarda-Ngarli – the collective term for the Traditional Owner groups of the coastal Pilbara – since Ngurra Nyujunggamu, when the earth was soft, the beginning of time.
Murujuga includes the Burrup Peninsula, the Dampier Archipelago’s 42 islands and the listed property covers almost 100,000 hectares of land and sea country. Across this cultural landscape are between one to two million petroglyphs – rock art – created by carving designs into rock surfaces. The petroglyphs record Ngarda Ngarli’s attachment and adaptation to a changing environment through deep time.
The UNESCO listing recognises the “outstanding universal value” of the Murujuga Cultural Landscape. This value lies in the traditional system governing it, in tangible and intangible attributes that attest to 50,000 years of Ngarda-Ngarli using and caring for the land and seascape.
The Ngarda-Ngarli have campaigned for World Heritage Listing of the Murujuga Cultural Landscape for more than 20 years.
Murujuga Board and Circle of Elders members in Sydney at the ICOMOS General Assembly, where they hosted a Symposium on the Cultural Landscape nomination. Jo McDonald, CC BY-SA
A controversial nomination
While the outstanding universal values of this place were not in question, the nomination became mired with broader climate concerns.
Industrial development began at Murujuga in the 1950s and was established before Traditional Owners had decision-making authority. The Dampier Archipelago, as well as housing petroglyphs across 42 islands, is also home to one of the largest industrial hubs in the southern hemisphere.
The recent approval for the North-West Gas Hub has elevated climate change concerns and raised questions about whether the government is serious about protecting Murujuga.
While acidic pollution has been suggested by some, our work on the monitoring program found rain and dust at the site was pH neutral, and there is no acid rain impacting on the petroglyphs.
Other criticism included that the air quality at the site is compromised by local gas production. The research found the air quality at Murujuga is “good” to “very good” by international standards. We also found average annual nitrogen dioxide levels − the emission under most scrutiny − is five times lower than World Health Organisation guidelines.
According to MRAMP research, Murujuga’s air quality is well within national standards. Nitrogen dioxide is 16 times lower than the national standard, and sulphur dioxide never exceeding 10% of the national standard.
Importantly, the research program is ongoing and will transition to monitoring led by the Ngarda-Ngarli with support and training from the scientists. And this ongoing monitoring will be part of the management regime in place to protect Murujuga as a world heritage listed site.
The MRAMP monitoring team in action at Murujuga. Ben Mullins, CC BY-SA
Ngard-Ngarli leadership
Traditional Owners and Custodians led the world heritage nomination, supported by State and Commonwealth governments.
Traditional Owners consider the listing will better protect Ngarda-Ngarli knowledge, lore and culture as expressed through the landscape and in the petroglyphs.
World heritage recognition will support Ngarda-Ngarli decision-making and ongoing management across the Murujuga Cultural Landscape.
This global recognition is a mechanism to help Ngarda-Ngarli do what they have always done: protect their culture and decide what is right for Country for future generations.
The inscription is a testament to the old people who started this quest decades ago, many of whom have not lived to celebrate this victory.
The Australian delegation on the floor of UNESCO during the inscription session. Jo McDonald, CC BY
Australia’s deep time heritage
Australia now has two places on the World Heritage List which are exclusively listed as Indigenous sites of outstanding universal value to all humanity.
The Murujuga Cultural Landscape joins on the list the southwestern Victorian site Budj Bim, one of the world’s most extensive and oldest aquaculture systems.
Murujuga Aboriginal Custodians celebrate the Word Heritage listing decision in Paris this week. Jo McDonald, CC BY
By this listing, the world has recognised the deep time creative genius and ongoing connection of Ngarda-Ngarli to the Murujuga Cultural Landscape.
This international acclaim recognises the extraordinary resilience of Australia’s First Nations peoples and should be a source of pride and celebration for all Australians.
Jo McDonald is an employee of the University of Western Australia and receives funding from the Australian Research Council.The Centre for Rock Art Research and Management receives funding for its research and training operations from Rio Tinto. Jo was a member of the World Heritage committee and contributed to the writing of the dossier.
Amy Stevens is an employee of Murujuga Aboriginal Corporation, which receives funding from the Australian Government, the WA Government and industry and was a lead author on the Murujuga Cultural Landscape World Heritage nomination.
Belinda Churnside serves as Deputy Chair. Board Directors are remunerated for their duties in accordance with community-approved sitting fees. These payments are made from MAC’s operational income.
MAC receives funding support for a range of projects from both State and Federal government departments, as well as from industry partners operating within the Burrup and Maitland Industrial Estate Agreement (BMIEA) area.
The Department of Water and Environmental Regulation provides operational and strategic support for the Murujuga Rock Art Monitoring Program. The Department of Biodiversity, Conservation and Attractions funds MAC’s National Park Ranger Team, while other funding bodies contribute to the Murujuga Land and Sea Unit Rangers.
All funding sources and expenditures are transparently reported in MAC’s annual financial report, which is audited each year by an independent external auditor.
Ben Mullins is the lead scientist on the Murujuga Rock Art Monitoring Project, which is funded by the Government of Western Australia.
Peter Hicks is the Chair of the Board of Murujuga Aboriginal Corporation (MAC). Board Directors are remunerated for their duties in accordance with community-approved sitting fees. These payments are made from MAC’s operational income.
MAC receives funding support for a range of projects from both State and Federal government departments, as well as from industry partners operating within the Burrup and Maitland Industrial Estate Agreement (BMIEA) area.
The Department of Water and Environmental Regulation provides operational and strategic support for the Murujuga Rock Art Monitoring Program. The Department of Biodiversity, Conservation and Attractions funds MAC’s National Park Ranger Team, while other funding bodies contribute to the Murujuga Land and Sea Unit Rangers.
All funding sources and expenditures are transparently reported in MAC’s annual financial report, which is audited each year by an independent external auditor.
Terry Bailey is a World Heritage advisor to Murujuga Aboriginal Corporation and WA Government and was lead editor and co-author of Murujuga Cultural Landscape World Heritage nomination. His appointment is funded by the WA Government.
Source: The Conversation (Au and NZ) – By Matthew Hobbs, Associate Professor and Transforming Lives Fellow, Spatial Data Science and Planetary Health, Sheffield Hallam University
In some respects, this finding might seem obvious. Does a person feel the same living in a walkable and leafy suburb with parks and stable neighbours as they would in a more transient neighbourhood with few local services and busy highways?
Probably not. The built and natural environment shapes how safe, supported and settled a person feels.
We wanted to know to what extent a person’s mental health is shaped by where they live – and to what degree a person’s mental health determines where they end up living.
Patterns over time
Most research on the environmental influences on mental health gives us a snapshot of people’s lives at a single point in time. That’s useful, but it doesn’t show how things change over time or how the past may affect the future.
Our study took a slightly different approach. By tracking the same people year after year, we looked at patterns over time: how their mental health shifted, whether they moved house, their access to positive and negative environmental features, and how the areas they lived in changed when it came to factors such as poverty, unemployment and overcrowding.
We also looked at things like age, body size and how much people exercised, all of which can influence mental health, too.
To make sense of such complex and interconnected data, we turned to modern machine learning tools – in particular Random Forest algorithms. These tools allowed us to build a lot of individual models (trees) looking at how various factors affect mental health.
We could then see which factors come up most often to evaluate both their relative importance and the likely extent of their influence.
We also ran Monte Carlo simulations. Think of these like a high-tech crystal ball, to explore what might happen to mental health over time if neighbourhood conditions improved.
These simulations produced multiple future scenarios with better neighbourhood conditions, used Random Forest to forecast mental health outcomes in each, and then averaged the results.
A negative feedback loop
What we uncovered was a potential negative feedback loop. People who had depression or anxiety were more likely to move house, and those who moved were, on average, more likely to experience worsening mental health later on.
And there’s more. People with persistent mental health issues weren’t just moving more often, they were also more likely to move into a more deprived area. In other words, poorer mental health was related to a higher likelihood of ending up in places where resources were scarcer and the risk of ongoing stress was potentially higher.
Our study was unable to say why the moves occurred, but it may be that mental health challenges were related to unstable housing, financial strain, or the need for a fresh start. Our future research will try to unpick some of this.
On the flip side, people who didn’t relocate as often, especially those in lower-deprivation areas, tended to have better long-term mental health. So, stability matters. So does the neighbourhood.
Where we live matters
These findings challenge the idea that mental health is just about what’s inside us. Where we live plays a key role in shaping how we feel. But it’s not just that our environment affects our minds. Our minds can also steer us into different environments, too.
Our study shows that mental health and place are potentially locked in a feedback loop. One influences the other and the cycle can either support wellbeing or drive decline.
That has real implications for how we support people with mental health challenges.
In this study, if a person was already struggling, they were more likely to move and more likely to end up somewhere that made life harder.
This isn’t just about individual choice. It’s about the systems we’ve built, housing markets, income inequality, access to care and more. If we want better mental health at a population level, we need to think beyond the individual level. We need to think about place.
Because in the end, mental health doesn’t just live in the mind; it’s also rooted in the places we live.
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.
Source: United States Senator Peter Welch (D-Vermont)
WASHINGTON, D.C. — U.S. Senator Peter Welch (D-Vt.), a member of the Senate Judiciary Committee today emphasized the importance of establishing protections to help creators—musicians, artists, writers, and others—access the courts to protect their copyrighted works if and when they are used to train generative artificial intelligence (AI) models. Senator Welch urged Congress to pass the Transparency and Responsibility for Artificial Intelligence Networks (TRAIN) Act, bipartisan legislation that would allow copyright holders to access training records used for AI models to determine if their work was used—a process currently used for internet piracy.
“The AI companies need content, so they don’t care where it comes from. It’s just a voracious, insatiable appetite, and they’re going to go into copyrighted material. We know that, and to suggest they won’t, I think, is naïve. And the question, and the burden here is—that is going into copyrighted material. And the artist has the right to have that copyright respected. The burden is that how do you know they used it? That’s the whole point of the TRAIN Act, where if there is copyright infringement, a reasonable assertion of that and suspicion of it is going to require disclosure on the part of the AI platform,” said Senator Welch.
Watch Senator Welch’s full remarks below:
Read key excerpts from Senator Welch’s exchange with Michael Smith, Professor of Information Technology and Marketing at Carnegie Mellon University:
“Music is so important. It really helps people get a sense of who they are, it helps people connect, and it’s across political divisions. That’s what’s one of the inspiring things about the incredible contributions that musicians provide to our society. Can you just explain what the dangers are of allowing AI models to freely train off of copyrighted works?” asked Senator Welch.
Mr. Michael Smith testified: “There are multiple dangers…When you sign a license with a generative AI company, you’re signing with a gun to your head because they can say, ‘either sign what I’m offering or I’m going to go steal it instead.’ That’s troubling.”
Senator Welch: “This is the concern I have about how this AI…is going to make it tougher for those folks against great odds to keep at it. So maybe you could just—from your experience—talk a little bit about how it would adversely impact any chance they have of being able to pay their bills at the end of the month while they’re trying to create inspirational music for the benefit of all of us.”
Mr. Smith: “I deeply share that concern, Senator, and it’s based on peer-reviewed academic research showing that creative output goes down when piracy is allowed to flourish. I worry that the future David Baldaccis of the world won’t get through that hump. And we won’t get to appreciate their creative output if we allow piracy to be used to continue to train these generative AI models.”
Senator Welch is focused on strengthening consumer protections and safety around emerging technologies, including AI. Last Congress, Senator Welch introduced the Artificial Intelligence Consumer Opt-In, Notification Standards, and Ethical Norms for Training (AI CONSENT) Act, legislation that would require online platforms to obtain consumers’ express informed consent before using their personal data to train AI models. Senator Welch also introduced the Digital Platform Commission Act, legislation to create an expert federal agency to provide comprehensive regulation of digital platforms to protect consumers, promote competition, and safeguard the public interest.
Learn more about Senator Welch’s work by visiting his website or by following him on social media.
Source: United States House of Representatives – Congresswoman Marilyn Strickland (WA-10)
Washington, D.C. — Congresswoman Marilyn Strickland (WA10), a member of the House Armed Services Committee, released the following statement after the House Armed Services Committee passed H.R. 3838, the Streamlining Procurement for Effective Execution and Delivery and National Defense Authorization Act for Fiscal Year 2026 (NDAA).
“I am proud to lead innovative and impactful provisions in the current version of this year’s defense policy bill that will improve readiness, and enhance the quality of life for servicemembers and their families. From housing, food access and healthcare, to direct funds for JBLM — this bill reflects our bipartisan commitment to supporting those who defend and serve our nation,” said Strickland.
Under Strickland’s leadership, the bill includes key provisions to boost the quality of life for servicemembers and their families:
Naming Commission for Military Assets
Prohibits the use of federal funds to revert recommendations from the Congressionally established Confederate Naming Commission for military bases and honor Confederate leaders.
Housing
Mandates methods to ensure that Basic Allowance for Housing (BAH) rates are accurate reflections of regional market trends.
Allows the use of cost-effective materials in housing renovations, and delays historic preservation requirements until the housing structure is 100 years old.
Requires a detailed report on the acquisition and the implementation of the Global Household Goods contract following the cancellation of HomeSafe Alliance LLC.
Nutrition
Removes BAH from total household income calculations used to determine Basic Needs Allowance (BNA) eligibility.
Requires an annual report, for five years, on how subsistence allowances and food programs are utilized.
Healthcare
Includes Strickland’s bipartisan MIDWIVES bill.
Creates a pilot program, allowing beneficiaries to select an OB/GYN provider and receive care without a referral.
Extends free TRICARE dental coverage to Reserve Component servicemembers.
Secures a report on the TRICARE contract acquisition and implementation, healthcare delivery, and learned lessons that can be applied to the East and West regions.
Historically Black Colleges and Universities
Allocates nearly $125 million — $25 million more than the President’s request — for Historically Black Colleges and Universities.
Joint Base Lewis-McChord
Authorizes $68 million for an Airfield Fire & Rescue Station, replacing the over 70-year-old Fire Station 105.
Authorizes $70 million for a Command & Control Facility.
Mandates a report studying the creation of a public database on non-combat military plane crashes, including details in response to Strickland’s Flight 293 bill.
Army Museums
Establishes closure criteria for the Secretary of the Army’s management of the museum system, preventing the Secretary from closing local museums – including the Lewis Army Museum — without Congressional input.
Congresswoman Marilyn Strickland (WA-10) serves on the House Armed Services Committee and the House Transportation and Infrastructure Committee. She is Whip of the New Democrat Coalition, Secretary of the Congressional Black Caucus, and is one of the first Korean-American women elected to Congress.
Southern Discoveries has become the first tourism company in Milford Sound to be AF8-ready with specialist emergency survival equipment.
The longest-running Milford Sound cruise operator has fitted out its entire fleet of vehicles, including five coaches seating up to 250 people, with survival gear specifically designed for major earthquake events.
And the initiative has already got the attention of tourism trade partners.
Yesterday, Southern Discoveries’ coach team and senior managers attended a simulated training exercise near Queenstown to familiarise themselves with the life-saving gear they may need in an emergency situation. The drill at Wilson’s Bay saw staff simulate realistic earthquake scenarios, practising shelter setup and testing rescue tools with the new equipment.
The specialist survival equipment has been supplied by Christchurch-based company The Survival Co., whose owner Peter Gillman was on-site during yesterday’s training exercises.
Gillman says Southern Discoveries’ investment in such an extensive range of survival and medical gear puts them ahead of others in the industry.
“Southern Discoveries is the first tourism operator to take this level of equipment from The Survival Co.,” he says. “They’ve taken the approach that if you’re going to do it, you should do it properly, and that’s exactly what’s been achieved.”
The Survival Co. created a tailor-made package for the company, considering the additional challenges of remote locations like Milford Sound.
“We looked at the scenarios people might find themselves in and what particular hazards exist in these areas. This gear provides an opportunity to keep people safe and comfortable during an emergency situation until help arrives.”
Each of Southern Discoveries’ five coaches is now equipped with long-life food supplies, bottled water, purification tablets, emergency shelter, headlamps, waterproof ponchos, survival blankets, personal hygiene items, and stretchers. The gear also includes four-person survival self-rescue backpacks, enabling passengers and drivers to evacuate safely if required, plus satellite communication devices with SOS and two-way texting capabilities to maintain contact in remote areas.
Survival packs will be placed in nine company vehicles and all coaches will carry Heartshine Samaritan AEDs (Automated External Defibrillators) for immediate medical response capabilities. Grab-and-go packs have been placed in staff housing in Milford Sound.
Southern Discoveries CEO Kerry Walker says the delivery of the gear aligns with the company’s goal of continuously improving and ensuring safety for guests and staff at all times.
“We operate in a region with significant seismic risks, so it’s our responsibility to be prepared for any eventuality. This equipment provides genuine peace of mind for our staff, guests, and the local community,” Walker explains.
The proactive safety initiative has already received strong support from Southern Discoveries’ international trade partners, particularly agents from the United States and Japan, who value the company’s commitment to safety standards.
“We know our travel agent partners place high value on safety for their clients, so we’re delighted to be able to provide this level of comfort,” Walker adds.
While Gillman notes his company is seeing increased interest from city councils and Civil Defence organisations, and is encouraged to see more tourism operators starting to invest in high-level survival equipment.
Walker adds: “We’re proud to position ourselves as industry leaders in emergency preparedness, but we also want to encourage others to work with The Survival Co., who are experts in this area. One of Southern Discoveries’ major trade partners has already contacted The Survival Co. to discuss obtaining safety gear for their organisation.”
About Southern Discoveries
Southern Discoveries is a local, family-owned company dedicated to sharing some of New Zealand’s most iconic scenery and extraordinary experiences with the world. Operating for more than 70 years, Southern Discoveries is Milford Sound’s original cruise operator, offering a wide range of incredible sightseeing and adventure activities in Fiordland. The company maintains an ongoing commitment to the conservation of Aotearoa’s environment through sustainable tourism initiatives and the support of the Tawaki Project in partnership with DoC, the Fiordland Conservation Trust and the University of Otago. www.southerndiscoveries.co.nz
Chișinău, Moldova – Moldova is taking a decisive step toward the future of agriculture with the launch of a new incubator and pre-accelerator at Agrotek Arena Incubator, an innovation space dedicated to digital agriculture, robotics, and food technology. The initiative is part of the Innovate Moldova Programme, funded by Sweden, and aims to modernize the country’s agri-food sector through innovation, research, and international collaboration.
On July 9, 2025, a Memorandum of Understanding was signed between the Moldova’s Ministry of Digitalization and Economic Development (MDED), the Technical University of Moldova (UTM), the Innovate Moldova Programme, and the Ukraine-Moldova American Enterprise Fund (UMAEF), marking the start of this strategic partnership.
The incubator will span 1,300 square meters across two refurbished floors of Agrotek Arena and will host up to 30 residents – startups, student entrepreneurs, researchers, and agri-food businesses. It is projected to benefit over 3,000 students, farmers, and food processors annually by providing access to cutting-edge technologies, prototyping labs, greenhouses, and innovation support programs.
“Agriculture remains a backbone of Moldova’s economy. Yet, without modern tools and forward-thinking infrastructure, its full potential cannot be realized, Agrotek Arena will serve as a launchpad for innovation, helping us bridge the gap between academia, industry, and global partners.”
stated Doina Nistor, Deputy Prime Minister and Minister of Digitalization and Economic Development.
The incubator is set to open its doors to residents by September 1st, with a structured acceleration program launching in October 2025. Activities will focus on developing viable agri-tech solutions in areas such as precision agriculture, smart irrigation, and sustainable food processing.
Shared Investment and Global Collaboration
The $1 million project is built on a shared funding model. Innovate Moldova Programme and UMAEF are supporting the refurbishment of common areas, while UTM is offering rent-free space and managing energy efficiency upgrades. Residents will contribute by equipping their dedicated offices with air conditioning, furnishings, and technical installations.
Agrotek Arena will also establish strong linkages with European and North American technology providers. Strategic collaborations include:
Davis Weather Stations for climate-smart farming, Biosfera’s GPS AgTech Solutions for resource-optimized agriculture, SAS Cropio ERP Systems for real-time farm data analytics.
These partnerships not only bolster Moldova’s agricultural transformation but also create long-term business opportunities for EU, EFTA and North Atlantic region.
A Foundation for Moldova’s AgriTech Future
Located on UTM’s 5-hectare Mircești campus in capital Chișinău and linked to 570 hectares in Criuleni region, Agrotek Arena is the first major milestone in the broader Agrotek Park vision. Future plans include the development of high-tech farming sites, applied R&D centers, and repurposed Soviet-era infrastructure into labs and innovation hubs.
“This is more than a building—it’s the beginning of Moldova’s transformation into a regional hub for sustainable agri-tech. By fostering ties between startups, universities, and international partners, we are laying the groundwork for high-value job creation and export-ready technologies.”
said Sergiu Rabii, Programme Director at the Innovate Moldova Programme
Agrotek Arena will also support Moldova’s alignment with EU standards by integrating sustainable design, ESG practices, and inclusive economic development into its operational model.
Source: United Kingdom – Executive Government & Departments
Two papers published in NEJM look at the use of mitochondrial donation an preimplantation genetic testing for mitochondrial disease.
Dr David J Clancy, Lecturer in Biogerontology, Lancaster University, said:
“This comment is to discuss Mitochondrial Replacement Therapy (MRT) in terms of costs and benefits in light of what we now know.
Benefits
“Mitochondrial replacement therapy allows women with pathogenic mitochondrial DNA to have a baby which bears her own chromosomes, while reducing or replacing the pathogenic mtDNA. If the primary purpose is to avoid mitochondrial disease, then women could also have IVF by donor sperm or donor egg (or donor embryo), or they might choose adoption if IVF technologies don’t suit them for clinical or personal reasons.
“In chromosomal dominant diseases like Huntington’s disease, affected people are offered pre-implantation genetic testing (PGT) and they are also offered IVF using donor eggs or embryos if the patient is a woman. For these sorts of genetic disease there is currently no alternative. In these cases a woman cannot have a child bearing her own chromosomes.
“When having a family there are two ways to break genetic lineages – inheritance down generations: one is to adopt and another is to have IVF by donor sperm or donor egg (or donor embryo). It is difficult to value genetic lineage. It will be more valuable to some, less to others. While maternity is never in doubt, paternity often is. Perhaps we should then value maternal genetic lineage more than paternal. Mitochondrial replacement therapy allows unbroken maternal lineage.
I cannot determine whether the Mitochondrial Reproductive Advice Clinic suggests IVF by donor egg or embryo (or adoption). The paper says “Patients with heteroplasmy (part pathogenic mitochondrial DNA, part healthy) were offered PGT, and patients with homoplasmy or elevated heteroplasmy (all or mostly pathogenic mitochondrial DNA) were offered pronuclear transfer.”
Costs
“The money cost is presumably significant. The work was funded by Wellcome and NHS England and carried out by Newcastle University, UK and the Newcastle upon Tyne Hospitals NHS Foundation Trust. Presumably they could give an idea of the cost. This might be considered important, in an environment of limited resources for national healthcare.
Possible harms
“Because these babies would not exist without the MRT intervention, we want to know about possible problems; in medicine the saying is “First, do no harm”, though in current healthcare, harm is often inevitable. While the babies so far seem probably unaffected, assessing the potential for future harm as they develop by looking at the degree of heteroplasmy in the infants is a large part of the reason for the publications.
“Measurements were on white blood cells so we don’t know about tissue mosaicism, which is where you can have high heteroplasmy in some tissues and low in others, and is common in many mitochondrial diseases. In tissues demanding high energy production (e.g. neurons), lower levels of heteroplasmy can still be symptomatic. In a mouse model, a proportion of >20% energy-deficient neurons in the brain was necessary for observable symptoms.
“Three of eight newborns from MRT had heteroplasmy levels of 5%, 12%, and 16% (the other five were
“All of these things were mostly known before these publications, so apparently the Human Fertilization and Embryology Authority (HFEA), who approved it, is happy with the cost-benefit ratio. It also appears that other countries also approve, because the technique is spreading; there is a clinic in North Cyprus, and Prof Mary Herbert, the study’s lead, has moved to a pioneer institution in IVF, Monash University in Melbourne, Australia, partly to introduce a mitochondrial replacement program.”
Prof Joanna Poulton, Professor and Honorary Consultant in Mitochondrial Genetics, Nuffield Department of Women’s and Reproductive Health, said:
“From this study, it isn’t clear that MD (mitochondrial donation) has any advantage over PGT (pre-implantation genetic testing, an alternative strategy) for heteroplasmic mtDNA disorders (where patients have mixtures of normal and mutant mtDNA and severity depends on the “dose” of mutant). The “take home baby” rate and the reduction in mutant load is similar (if anything less good for MD).
“MD has a clear theoretical advantage for homoplasmic disorders (where the mother’s mtDNA is 100% mutant), because while PGT while can be used to reduce risk, it cannot be used to reduce the load of mutant mtDNA. Over half of the MD children were from Leber Hereditary Optic Neuropathy (LHON) families, where the chance of male offspring going blind in adolescence is around 20% but only 4% for females. The risk of blindness can be reduced 5 fold using PGT to select female embryos, but they risk transmitting it to their children. Happily, male identical twins were born by MD with undetectable mutant mtDNA, they will be very low risk for blindness and as males, they will not transmit the problem to their children (because LHON is a maternally transmitted disorder). Slightly worryingly, one baby from a m.4300A>G family, where the mother has a heart disorder (cardiomyopathy) for which she may ultimately need a heart transplant, has an unspecified heart defect: they conclude it is probably unrelated to m.4300A>G but this remains uncertain. Another from a m.3260A>G family had a mutant load of 16% in blood. While this probably means the risk of symptoms is low, one symptomatic m.3260A>G woman had a blood level that was lower than this (11% with 81% in muscle). Happily, male identical twins were born by MD with undetectable mutant mtDNA, they will be very low risk for blindness and as males, they will not transmit the problem to their children because LHON is a maternally transmitted disorder.
“A great deal of research funding has been channelled into the centre that has developed MD. While this has generated fascinating scientific data and this treatment option is now available on the NHS, it hasn’t yet resulted in a dramatic clinical advance. Time will tell.”
Prof Dusko Ilic, Professor of Stem Cell Science, King’s College London, said:
“A remarkable accomplishment! State-of-the-art technology. Kudos to the team!”
Prof Dagan Wells,Professor of Reproductive Genetics, University of Oxford, and Director, Juno Genetics, Oxford, said:
“This is an important study which has been eagerly anticipated ever since the first license to carry out mitochondrial replacement therapy to avoid mitochondrial disease was granted eight years ago.
“The results indicate that established methods for avoiding mitochondrial DNA diseases, such as preimplantation genetic testing, perform well and will be suitable for most women at risk of having an affected child.
“A minority of patients are unable to produce any embryos free of mitochondrial disease, and for those women the study provides hope that they may be able to have healthy children in the future.
“The treatment has succeeded in producing 8 babies, and although mitochondrial DNA mutations can be detected in the cells of most of the children, the great majority of their mitochondria are functional, and consequently they do not have mitochondrial disease.
“The published results are very valuable, but some scientists will be a little disappointed that so much time and effort has, so far, only led to the birth of 8 children.
“Larger studies will be needed to truly understand the value of mitochondrial replacement therapy, and to understand whether there are any risks associated with the treatment.
“Three of the eight children born have some evidence of ‘reversal’, a phenomenon where the therapy initially succeeds in producing an embryo with very few defective mitochondria, but by the time the child is born the proportion of abnormal mitochondria in its cells has significantly increased.
“It is not understood why reversal sometimes occurs. Taking data from the new study as well as previous research, it seems that it may affect as many as one-third of embryos produced using mitochondrial replacement therapy. Importantly, all the children in the study have low levels of abnormal mitochondria in their cells, including those where a degree of reversal has occurred. However, the fact that reversal can happen suggests there is a chance that mitochondrial replacement therapy might occasionally fail, and consequently the procedure should be seen as a way of reducing the risk of mitochondrial disease inheritance, not guaranteeing it.”
Dr Andy Greenfield, Honorary Fellow at the Nuffield Department of Women’s & Reproductive Health, University of Oxford, said:
“Mitochondria are the energy-producing organelles of the body’s cells. They contain DNA (mitochondrial DNA, mtDNA) and as such are prone to changes to that DNA (mutations) that can disrupt mitochondrial function and cause disease. The paper by Hyslop et al describes the first clinical use in the UK of a technique – mitochondrial donation (MD) – aimed at reducing the risk of transmitting a class of mitochondrial diseases (mtDNA diseases) from mother to offspring. This is an often devastating and life-limiting group of diseases for which no curative treatments exist. The specific technique described, based on IVF, is pronuclear transfer (PNT), one of the two MD techniques made lawful in the UK in 2015. The last preclinical review of the safety and effectiveness of MD, commissioned by the HFEA and published in 2016, recommended its clinical use as a risk reduction strategy – to be used only in those women for whom preimplantation genetic testing (PGT, an established procedure that is used to detect genetic abnormalities, including the amount of disease-causing (pathogenic) mtDNA, in an embryo) followed by selection of an embryo with low levels of pathogenic mtDNA for transfer was unlikely to be a successful strategy i.e. only in those women with high levels of pathogenic mtDNA (elevated heteroplasmy) in all eggs or with exclusively pathogenic mtDNA in their eggs (homoplasmy). This cautious approach is at the heart of this new report, which, along with an accompanying paper by McFarland et al, assesses MD alongside PGT in an integrated programme performed at Newcastle Fertility Centre, UK, under the regulatory framework developed by the HFEA.
“Whilst PGT for mtDNA is an established procedure that acts as a useful comparator, the attention here will be rightly focused on the MD clinical data: 22 women at high risk of transmitting mitochondrial disease to their offspring were treated using PNT, resulting in 8 live births and one ongoing pregnancy. Firstly, this headline result alone is highly significant: PNT is compatible with embryo viability in humans. Secondly, levels of pathogenic mtDNA (in blood) from the infants varied from 0% to 16%. Whilst the last figure hints at a degree of reversion to the maternal mtDNA type, it is also sufficiently low to conclude that the procedure has successfully reduced the risk of mtDNA in all children born. The amount of maternal mtDNA could, however, vary from tissue to tissue and so follow-up of these children is vitally important. McFarland et al report that none of the children has any health condition that could be straightforwardly attributed to the presence of mtDNA disease. As the authors note, there are reasons to be optimistic about the outcome of this first MD treatment in the UK.
“The data in the last paragraph, whilst summarised very briefly, are the culmination of decades of work: from the earliest investigations in mice aimed at understanding the impacts of nuclear transfer, through to targeted experiments in human embryos to provide preclinical evidence of safety and effectiveness. But this is to focus only on some of the scientific/technical challenges that have been overcome. There were parallel activities over a similar time frame concerning ethical inquiry, public and patient engagement, law-making, drafting of regulations and execution of those regulations by committees. And last but not least: the careful establishment of a clinical pathway by which the health of the mothers and infants born could be monitored and they could be cared for (detailed in McFarland et al). This all represents a vast amount of work by a large number of people over a long period.
“The Hyslop et al paper itself is a treasure trove of data, which will likely to be the starting points of new avenues of research and opportunities for refinement. What is the explanation for the somewhat elevated maternal mtDNA levels (still beneath the clinical threshold for disease) detected in two babies born following PNT? Further studies of mitochondrial DNA replication, segregation and interaction with the nuclear DNA may provide clues. The reduction in normally fertilized eggs in the PNT group also requires explanation and may indicate that some mtDNA pathogenic variants can compromise fertilisation of the egg, which is an energy-demanding process. This observation opens up a whole area of research concerning the role of played by mitochondria in fertility. Of course, numbers analysed here are still low and a larger and more diverse cohort will be required to draw firm conclusions about efficacy and safety of MD at a population level. We can look forward to future assessments of maternal spindle transfer (the other lawful MD technique in the UK) and even, possibly, the use of targeted, enzymatic degradation of pathogenic mtDNA to eliminate the risk of carry-over and reversion.
“How do we summarise what this all means? It is a triumph of scientific innovation in the IVF clinic – a world-first that shows that the UK is an excellent environment in which to push boundaries in IVF; a tour de force by the embryologists who painstakingly developed and optimised the micromanipulation methods; an example of the value of clinical expertise, developed over decades of working with children and adults suffering from these devastating diseases, being used to support a new intervention and subsequent follow-up, potentially for many years. And it is so much more, depending on whether one’s perspective is that of an historian, sociologist, ethicist or philosopher. It is tempting to suggest that this report marks the end of a process – but it is actually the beginning, of a new era in which technologies that change how we think about human reproduction are introduced into a tightly regulated environment – the only way in which they should be introduced.
“In time, there will no doubt be retrospective studies and assessments of how all this was done – some critical – and there will be much to learn. It is hoped that other papers will follow, detailing different aspects of the process by which these first UK children were born, because this whole exercise has been a steep learning curve for all involved and future progress relies on such learning being shared. Safety assessment should be at the heart of all these and future reports. Some may wonder about the time taken for these current reports to see the light of day – but that would be to underestimate what is required to transition from preclinical research activities in an academic setting to offering a bona fide clinical service on the NHS (with the spanner of COVID-19 thrown into the works for good measure). Others will wonder whether supporting the desire to have biological children merits all this time and effort, when ‘unmet clinical need’ is the focus and budgetary constraints are the norm. But this evaluation unnecessarily attempts to marginalise a human activity – ‘having children’ – that is actually central to the health and wellbeing of a significant proportion of the population. And those ordinary resemblances that parents and children often share also matter to them. Of course, the results of clinical follow-up of the children born using PNT will be a major determinant of the future prospects for mitochondrial donation in the IVF clinic, as this report acknowledges.
“There will be many responses to this work, but I see these reports, despite their matter-of-fact understatement, as an extraordinary reminder of what well intentioned science, collaborating with medicine, can do to improve the lives of human beings.”
Mr Stuart Lavery, Divisional Clinical Director Women’s Health and Consultant in Reproductive Medicine/Honorary Associate Professor, University College Hospitals NHS Foundation Trust, said:
“The concept of nuclear transfer has attracted much commentary and occasionally concern and anxiety.
“The Newcastle team have demonstrated that it can be used in a clinically effective and ethically acceptable way to prevent disease and suffering.
“The HFEA has shown that regulation need not always be restrictive, and that permissive regulation can lead to innovation at the highest level, allowing scientists to push boundaries, patients to be successfully treated and the public to be reassured.
“This truly represents the very best of British science and regulation.”
Prof Bert Smeets, Professor in Clinical Genomics with focus on Mitochondrial Diseases, said:
“These are papers, the scientific community has waited for, for a long time, as they describe the experience of the Newcastle team on pronuclear transfer to prevent the transmission of mtDNA disease, for which they got approval in 2017. The papers describe the current experience in PNT and PGT for preventing the transmission of mtDNA disease. It is good to present a reproductive care pathway, although it is not fully complete and some of the criteria might be reevaluated based on the presented data. The care pathway starts with carriers of mtDNA mutations. I would also include women who have affected children with de novo mtDNA mutations. This concerns about 25% of the mtDNA patients. The recurrence risk is low and generally prenatal diagnosis is offered for reassurance. Furthermore, women with a very low mtDNA mutation load, with skewing mtDNA mutations or large scale deletions could also opt for prenatal diagnosis. For a reproductive care pathway for mtDNA disease, these groups should be included as well. It is clear that for the remainder according to the HFEA guidelines PNT should only be offered if PGT is unsuitable. It is great that the PNT as an addition to the reproductive choices for mtDNA disease seems to deliver as 8 children without the mtDNA condition were born. However, there are still concerns, as 2 PNT children had a higher mutation load than the carry-over, which means that reversal can occur and could be a risk for having affected children in future treatments. Also, two children had rare medical complications, which according to the authors were not related to the treatment, as this would then be expected for all of them. I do not think that is true as technical variation occurs and donors will be different. It is good to carefully monitor this, as one of the aims of HFEA guided clinical application is to find-out if PNT by itself is safe, not only to prevent mtDNA disease. The discussion on this is not very strong. Finally, a key unanswered question is why it took so long to come out with these results. Eight births with no mtDNA disease in 7 years deviates largely from the expected150 yearly births, as described by the same group in NEJM in 2015, if all women would opt for this procedure. It seems that the children born are quite recent (only one >18 months), so one wonders if there is a learning curve, change in procedure or whatsoever, explaining the increasing success rate. It would be fair to discuss this in more detail as it would make it much clearer and more realistic which women of the target group will benefit from MD. And that is still a positive message.”
Comments on the broader story:
Kevin McEleny, Chair, British Fertility Society, said:
“These landmark papers provide compelling evidence that mitochondrial donation through pronuclear transfer can massively reduce the transmission of pathogenic mitochondrial DNA variants and are a terrific example of how a regulatory framework can be adapted to permit world-leading scientific discovery. Although the number of babies conceived through this novel treatment is small and their long-term follow-up will be required, the study provides hope to people affected by mitochondrial DNA disease and their loved ones.”
Sarah Norcross, Director of the Progress Educational Trust (PET), said:
“We could not be more delighted by the news that eight babies with donated mitochondria have been born in the UK, and that all of these children have made normal developmental progress.
“Our charity spent many years campaigning for UK law to be changed, to permit the use of mitochondrial donation in treatment. We salute the patients who had the courage to attempt these novel treatments, and we thank the team at Newcastle for justifying patients’ confidence in them.
“Mitochondrial donation will not necessarily be appropriate for every patient who carries disease-causing mitochondrial DNA mutations – rather, its appropriateness depends on various factors that are explored in detail in the new studies. Importantly, the studies place mitochondrial donation within the context of a broader NHS care pathway, that offers a variety of options for people carrying mitochondrial DNA mutations who wish to have children.
“Nonetheless, the studies demonstrate that mitochondrial donation is a feasible option – indeed, a positive reproductive choice – for some patients. An important consideration is that women considering mitochondrial donation are advised to start their fact-finding early, because of the decline of egg quality with age.
“The medical and scientific work at Newcastle, and the policy and legal work that preceded it, have set a high standard for introducing new reproductive technology in a careful and scrupulously regulated way. We are pleased to see that Australia is following a similarly responsible path, having recently introduced its own law that permits the use of mitochondrial donation for the purpose of avoiding mitochondrial disease.
“The work at Newcastle will no doubt inform – and in future, will perhaps also be informed by – the mitoHOPE pilot programme for mitochondrial donation in Australia.”
Nick Meade, Chief Executive Genetic Alliance,said:
“Most rare conditions do not yet have a cure or treatment, so for families affected, reproductive choice techniques are the only opportunities to take control of the impact of the condition. For serious conditions caused by nuclear DNA, these opportunities have existed for many years (through preimplantation genetic testing), with today’s news, we know more families have that opportunity now. These techniques have the potential to work for hundreds of conditions caused by mitochondrial DNA, and they are an example of how innovative research can be applied to take steps forward for multiple rare conditions in parallel. With more than 7,000 rare conditions affecting people in the UK, we need this kind of progress.”
Beth Thompson, Executive Director for Policy & Partnerships at Wellcome, said:
“This is a remarkable scientific achievement, which has been years in the making and we are overjoyed for the families of the eight children born so far.
“The pioneering work behind mitochondrial donation is a powerful example of how discovery research can change lives. The UK has led the way and has demonstrated the importance of science grounded in close and careful co-ordination between researchers, funders and regulators – and, very importantly, working closely with families affected.
“Wellcome has proudly supported this work since the earliest days, including advocating for legislation and licensing. As the science progresses, we will continue championing brave investment in science and for policy and regulation to keep pace. The success of this research should inspire us move forward on other updates, opening the way for further innovation. The groundwork for review of Human Fertilisation and Embryology Act, for example, has been done, it now needs to move forward. We must ensure the UK stays a world leader in life sciences.”
Danielle Hamm, Director of the Nuffield Council on Bioethics, said:
“Today we have seen the first evidence that for a small number of UK families the use of pronuclear transfer (PNT) to prevent the transfer of maternally inherited mitochondrial DNA disorders has resulted in what everyone hoped it would: children who are thriving and appear free of the devastating symptoms of mitochondrial disease.
“The Nuffield Council on Bioethics’ landmark ethical review of techniques for the prevention of maternally inherited mitochondrial disorders has been instrumental in creating the right regulatory environment to allow this innovative treatment to reach the clinic and change lives for the better.
“The HFEA’s licensing conditions followed our recommendation and ensured that PNT is only available through a specialist centre. The establishment of the NHS Highly Specialised Mitochondrial Reproductive Care Pathway has ensured that families referred to the service are fully supported and have access to appropriate information, and that long term follow up of participants has been secured.
“We welcome this great progress, but continued follow-up is crucially important to inform our understanding of the long-term efficacy of the treatment.”
Peter Thompson, Chief Executive of the HFEA, said:
“Ten years ago, the UK was the first country in the world to licence mitochondrial donation treatment to avoid passing the condition to children. For the first time, families with severe inherited mitochondrial illness have the possibility of a healthy child. Although it’s still early days, it is wonderful news that mitochondrial donation treatment has led to eight babies being born.
“Only people who are at a very high risk of passing a serious mitochondrial disease onto their children are eligible for this treatment in the UK, and every application for mitochondrial donation treatment is individually assessed in accordance with the law. These robust but flexible regulatory processes allow the technique to be used safely for the purposes that Parliament agreed in 2015.”
Prof Frances Flinter, Chair of the HFEA’s Statutory Approvals Committee, said:
“We are pleased to see the peer-reviewed papers published in the New England Journal of Medicine that explain what has happened to those patients who the HFEA authorised to have mitochondrial donation treatment at the Newcastle Centre at Life. These are patients for whom there was no other option to have a healthy baby who is genetically related to them, and we are delighted for those families.
“The HFEA will continue to oversee the safe use of mitochondrial donation treatment and assess each application as families come through the programme. These results are testimony to how the UK continues to be a world leader in the use of new medical techniques to change lives.”
Comment from the editor of the journal the papers are published in (so NOT third party):
Eric Rubin, MD, PhD, Editor-in-Chief, The New England Journal of Medicine, said:
“These studies unite scientific rigor, clinical innovation, and deep ethical reflection to illustrate the full research continuum from bench to bedside. At the New England Journal of Medicine, we chose to publish this work in its full context, not only to highlight the outcomes, but also to surface the critical questions it raises about translating breakthroughs into patient care. Where allowed by government regulations, this research has the potential to prevent serious inherited disease and gives parents truly meaningful new options for their children. Its publication also reminds us that preserving the infrastructure and integrity of biomedical research in the U.S. and around the world is essential if we are to continue delivering such transformative treatments to patients.”
Comments via colleagues at other international SMCs:
Prof. Dr. Marcus Deschauer, Head of the Working Group on Rare Hereditary Neurological Diseases and Senior Physician at the Clinic and Polyclinic for Neurology, Klinikum rechts der Isar, Technical University of Munich (TUM), said:
“To my knowledge, this is the first publication of a larger cohort of families/mothers with mitochondrial DNA (mtDNA) disorders who have given birth to children after pre-implantation genetic diagnosis or mitochondrial donation. The work is therefore very important for assessing the effectiveness and risks of these methods in practice.”
“Per se, the study includes well-studied families with reliable data, but it was not possible to prevent the transmission of the disease-causing mtDNA variants in all families.””A certain carry-over of mtDNA with a disease-causing variant occurs during pre-cell nucleus transfer. It cannot be ruled out that the proportion of mutated mtDNA will continue to increase over the course of a lifetime after carry-over. However, this is unlikely: for example, in patients with the m.3243A>G variant, the degree of heteroplasmy in the blood decreases over the course of life.“
”The follow-up periods are not yet sufficient to assess the risks of later disease. Manifestation of an mtDNA disease at a later stage is conceivable in children.””A pathological mtDNA variant is identified in women who can pass it on by means of molecular genetic testing if the woman has symptoms of a mitochondriopathy. There are also cases in which molecular genetic diagnostics are performed for another indication – such as the search for another genetic disease – and a pathological mtDNA is detected. However, according to the ACMG recommendations, this should not be disclosed by genetic laboratories.“
”Until now, the lack of data has made it difficult to advise women with mitochondrial diseases on their desire to have children. The DGN guideline ‘Mitochondrial Diseases’ states: ‘Human genetic counselling is particularly complex when it comes to the desire to have children. Prenatal diagnosis can be routinely performed for nuclear mutations, but is more limited for mutations of mitochondrial DNA. The data on preimplantation diagnosis as a means of preventing or reducing the risk of inheritance of pathogenic mitochondrial DNA mutations is extremely limited, and the method is subject to the Preimplantation Diagnosis Ordinance in Germany. These two studies from Newcastle are helpful for counselling.“
”Whether a woman with mtDNA disease can expect an uncomplicated pregnancy also depends on the manifestation/severity of the woman’s disease. In cases of significant muscle weakness (including respiratory muscle weakness), this may increase during pregnancy. Natural childbirth may be difficult, making a caesarean section necessary.”
“If the mitochondrial donation procedure were also permitted in Germany, this would be an option for selected women with an mtDNA disease to significantly reduce the risk of passing on a disease-causing mtDNA variant with a heteroplasmy level above a disease-causing threshold. This would increase the chances of healthy children for families.”
“However, the data from Newcastle do not suggest that the methods used can guarantee that the disease will not be passed on. In some mtDNA variants, the severity of the disease clearly depends on the degree of heteroplasmy in the blood, so that a reduction in the degree of heteroplasmy in such cases could lead to a milder form of the disease in children.”
“In the short term, there are no good therapeutic methods for treating mtDNA diseases, so preventing the transmission of mtDNA diseases is the better option. I also consider it difficult to successfully treat children who have inherited an mtDNA variant in the medium term, as gene therapy must reach the DNA in the mitochondria. There is the example of 5q-associated spinal muscular atrophy, in which infants diagnosed in newborn screening can be treated very successfully. Unfortunately, this is not expected to be the case for mtDNA diseases in the near future.””I consider it unlikely that the two children who were symptomatic have a maternally inherited mitochondriopathy. In the case of the child with epilepsy, I would even classify this as very unlikely. I consider the authors’ assessment that the reproductive technology procedure itself or pregnancy complications or metabolic disorders in the mother may be responsible for the symptoms of the two children to be plausible.”
Nuno Costa-Borges, researcher and embryologist, scientific director and CEO of Embryotools, Barcelona Science Park, says:
“As a pioneering center in mitochondrial replacement therapies (MRT), Embryotools welcomes the recent publication by Hyslop et al. in The New England Journal of Medicine, reporting outcomes from pronuclear transfer (PNT) to prevent the transmission of mitochondrial DNA (mtDNA) disease. The study reports the birth of eight babies—four girls and four boys, including one set of identical twins—born to seven women at high risk of transmitting severe mtDNA disorders. Importantly, all infants are healthy and show no signs of mitochondrial disease. However, the detection of low-level postnatal mtDNA heteroplasmy (“reversal”) in 3 of the 8 infants (5%–16%) deserves particular discussion.
“Due to UK regulations that prohibit testing for heteroplasmy in embryos, the timing of this reversal could not be pinpointed. Their analysis relied on arrested embryos and blood samples from newborns, which limits interpretation. In contrast, our recent pilot trial using maternal spindle transfer (MST)—a form of MRT where mitochondrial replacement occurs in the oocyte before fertilization—in infertile patients led to seven live births, two of which also showed reversal, a comparable frequency. However, our approach included direct assessment of heteroplasmy in blastocysts and, longitudinally, in multiple tissues including amniotic fluid. This allowed us to accurately define that reversal occurred between the blastocyst stage and mid-gestation (~15 weeks), reinforcing the importance of prenatal testing to detect reversal early and guide clinical decision-making. In our study, all infants are also healthy and have been followed up showing no adverse events.
“This phenomenon—mtDNA ‘reversal’—has previously been described in human cells in vitro but not in MRT-derived children. Minimal levels of maternal mtDNA carryover can expand substantially, potentially compromising the efficacy of MRTs to prevent mitochondrial disease. The biological mechanisms underlying this selective amplification remain unclear but appear to occur early in development, and instances may therefore be detectable using prenatal testing. It is worth noting that the impact of mtDNA reversal in infertility treatments is likely less concerning, as maternal mtDNA in these cases does not carry pathogenic mutations. Moreover, with appropriate matching of mtDNA haplotypes between the mother and donor, the biological consequences of low-level heteroplasmy could be further minimized or even rendered clinically irrelevant.
“Currently, only the UK and Australia have regulated the use of MRT to prevent transmission of mtDNA mutations. We believe that other countries should adopt similar regulatory models. In particular, MRT should also be contemplated for infertility treatment. Infertility is a disease recognized by the WHO, and MRT can offer a genetic link to the mother for patients who would otherwise rely on egg donation. This justification aligns with the ethical principles underpinning MRT for disease prevention. As a pioneer group in this technology, Spain should lead in regulating these applications to ensure patient safety and prevent reproductive tourism to countries where such techniques may be offered without appropriate oversight.
“In light of these findings, we reaffirm the urgent need to continue performing well-regulated, larger, long-term studies to fully evaluate the safety, efficacy, and clinical implications of MRTs. Ongoing research under appropriate oversight is essential to ensure the responsible development of these technologies, improve genetic counseling, and support informed decision-making by patients and clinicians alike.
“We also advocate for thoughtful regulatory evolution that upholds patient autonomy, scientific excellence, and the principle of reproductive justice.”
Dr. Dunja M. Baston-Büst, Deputy Head of the IVF Laboratory, UniCareD Cryobank, and UniKiD Research, University Hospital Düsseldorf, Germany, said:
“Since there are currently no curative therapies for mitochondrial diseases, advances in assisted reproductive technology open up new possibilities for reducing the transmission of such variants. Preimplantation genetic diagnosis, which is commonly used to detect defects in nuclear DNA, can also be used to identify embryos with a low proportion of maternal pathogenic mitochondrial DNA variants, thereby reducing the risk of disease.
“The replacement of the donor’s zygote pronuclei with the patient’s pronuclei was successful in 127 of 160 cases (79.4 per cent). Of the 127 embryos resulting from this, 122 (96.1 per cent) were still intact on the following day (day 1). The number of intact zygotes per pre-nuclear transfer performed (33 procedures in total) ranged from zero to seven.
“In 37 of the 39 patients (95 per cent) in the preimplantation diagnosis group, the embryos were assessed on the third day after intracytoplasmic sperm injection (ICSI). For preimplantation diagnosis, a blastomere was biopsied on day three of embryonic development and transfer was usually performed in the fresh cycle after analysis of the mitochondrial DNA from the blastomere.
“Implementation in Germany is not possible under the current legal requirements (Embryo Protection Act), as egg donation is prohibited.
“The earlier and more severe a mitochondrial disease occurs, the earlier patients can be identified. Patients in Germany receive comprehensive human genetic or interdisciplinary counselling in accordance with the current S1 guideline ‘Mitochondrial Diseases’. A decision regarding the options for reproductive measures and possible preimplantation diagnosis is made in consultation with the patients and depending on the degree of heteroplasmy. Pre-implantation genetic screening is not possible in Germany due to the ban on egg donation. The alternatives are egg donation abroad or adoption.
“A patient registry for mitochondrial diseases was established in Germany in 2009. It would be beneficial for reproductive medicine if reproductive outcomes were also collected there, or analysis results if preimplantation diagnosis was performed. Unfortunately, there is no cross-linking between the registries. “Furthermore, the search for biomarkers is generally supported in Germany in order to increase the diagnostic accuracy for mitochondrial diseases.
“For reproductive medicine, I currently see no application of the technology presented in the study in Germany without a comprehensive revision of the Embryo Protection Act and the legalization of egg donation.
“The new EU SOHO Regulation will come into force in the next few years. Its main purpose is to provide greater protection for the genetic background of children born from egg and sperm donation (in addition to the amendments to the sperm donation register), so that many questions will still arise in the case of three-parent constellations.
“In mitochondrial donation using pre-nucleation transfer, the nuclear genome is transferred from a fertilized egg cell of the affected woman to an enucleated, fertilized egg cell from a healthy donor. The pronuclei are removed individually from the patients’ zygotes and, after brief treatment with a fusion agent (haemagglutinating virus from the Japanese shell), are placed together under the zona pellucida (protective shell around the egg cell; editor’s note) of the enucleated donor egg cell. Based on findings from preclinical studies, it is standard practice to freeze (vitrify) the eggs of patients for whom pre-nuclear transfer is planned, as donor eggs are not always available at the same time and in sufficient quantities.
“Pathological variants of mitochondrial DNA can be either homoplasmic (present in all mitochondrial DNA copies) or heteroplasmic (present in only some of the copies). Homoplasmic variants are passed on completely to all offspring, but their expression (penetrance) can vary from individual to individual.
“Clinical pregnancies were confirmed in eight of 22 patients (36 per cent) who underwent intracytoplasmic sperm injection (ICSI) as part of preimplantation genetic testing, and in 16 of 39 patients (41 per cent) who underwent ICSI as part of preimplantation genetic diagnosis (PGD). Pronuclear transfer resulted in eight live births and one ongoing pregnancy. PGD resulted in 18 live births.
“Heteroplasmy levels in the blood of the eight infants after pronuclear transfer ranged from undetectable to 16 per cent. Compared to the enucleated zygotes, the proportion of diseased maternal mitochondrial DNA was reduced by 95 to 100 percent in six newborns and by 77 to 88 per cent in two newborns. Heteroplasmy data were also available for ten of the 18 infants after preimplantation genetic diagnosis, with values ranging from undetectable to seven percent.
“For reasons that are still unclear, the small amount of transferred maternal mitochondrial DNA can rise to homoplasmic levels in about 20 per cent of embryonic stem cell lines derived from embryos after mitochondrial donation. In addition, one in six infants born after maternal spindle transfer for the treatment of infertility had elevated heteroplasmy levels (40 to 60 per cent) of maternal mtDNA. These observations raise the question of whether mitochondrial donation can reliably prevent the transmission of diseased mitochondrial DNA in all cases, especially in homoplasmic variants.
“Approximately one in 5,000 people develop a mitochondrial disease, making it one of the most common hereditary diseases, although the symptoms can often vary greatly. The symptoms of mitochondrial diseases are very diverse and can affect various organs, for example the muscles with muscle weakness and pain, the nervous system with encephalopathy, epilepsy and neurological disorders, the heart with heart muscle disease, the eyes with blindness and visual impairment, the ears with hearing loss and the endocrine system with diabetes mellitus.
“Other examples of mitochondriopathies with named syndromes include: autosomal dominant optic atrophy (ADOA) with slowly progressive, usually bilateral, central vision loss; Kearns-Sayre syndrome with cardiac conduction disorders, degenerative changes in the retina, and external ophthalmoplegia; chronic progressive external ophthalmoplegia, which is an incomplete form of Kearns-Sayre syndrome and is characterized by external ophthalmoplegia; MERRF syndrome with cerebellar ataxia, myoclonus, generalized seizures, short stature, and dementia; MELAS syndrome with seizures, dementia, and headaches.
“In addition to the disease entities listed here, there are a number of other, sometimes very rare syndromes that can be classified as mitochondriopathies but have often been little researched or not yet described.”
Dr Holger Prokisch, Head of the Mitochondrial Genetics Research Group, Helmholtz Centre Munich – German Research Centre for Health and Environment, Munich, said:“The field of mitochondrial medicine has been eagerly awaiting the results of this study. The robust data describe a real breakthrough for women with a (nearly) homoplasmic pathogenic mitochondrial DNA (mtDNA) variant in terms of their ability to probably have healthy genetically related children. The risk of the children to develop the disease after preimplantation genetic testing is minimal. All gene variants tested require very high heteroplasmy for the disease to manifest, or are typically homoplasmic.“”There is an observation in the literature that in a few cases, the mother’s mutated DNA is revised. Interestingly, this also involves an LHON mutation (Leber’s hereditary optic neuropathy) [3][4], which is almost always homoplasmic in the population and, according to recent data, has a low penetrance of less than five percent for LHON disease [5](only five percent of gene carriers also develop the disease; editor’s note). In this respect, the selection of mutation carriers for this study with four LHON mutations is not entirely fortunate. The homoplasmy of the LHON variants suggests that they may offer a selective advantage [6]. Since mitochondrial transfer does not eliminate the mutation, there is a risk that the mutation will be passed on to the next generation. This often leads to significant shifts in heteroplasmy, sometimes to the detriment of patients. However, disease-causing variants tend to have a selection pressure [6].“Human studies show no risk of incompatibility between the donor mtDNA and the parents’ nuclear DNA.””There is no newborn screening for mitochondrial DNA mutations. Women are identified as mutation carriers when they or one of their children develop the disease. Prediction or risk assessment for the next generation is difficult for mtDNA mutations in the mother. Many centers for mitochondrial diseases work with the group in Newcastle to provide information about the options available there or to offer preimplantation genetic diagnosis.”[3] Hudson G et al. (2019): Reversion after replacement of mitochondrial DNA. Nature. DOI: 10.1038/s41586-019-1623-3. [4] Kang E et al. (2016): Mitochondrial replacement in human oocytes carrying pathogenic mitochondrial DNA mutations. Nature. DOI: 10.1038/nature20592. [5] Mackey DA et al. (2022): Is the disease risk and penetrance in Leber hereditary optic neuropathy actually low?. The American Journal of Human Genetics. DOI: 10.1016/j.ajhg.2022.11.014. [6] Kotrys AV et al. (2024): Single-cell analysis reveals context-dependent, cell-level selection of mtDNA. Nature. DOI: 10.1038/s41586-024-07332-0.
Prof. Dr. Nils-Göran Larsson, Group Leader “Maintenance and expression of mtDNA in disease and ageing”, Department of Medical Biochemistry and Biophysics, Karolinska-Institut, Stockholm, Schweden, said: “The study in NEJM is very important and represents a breakthrough in mitochondrial medicine. It should be remembered mitochondrial diseases can be devastating and cause substantial suffering in affected children, sometimes leading to an early death. Families are profoundly affected and the paper in NEJM describe how birth of affected children can be prevented by mitochondrial donation.
“This advanced procedure is not a disease-treatment but rather an intervention that minimizes the transmission of mutated mtDNA from mother to child. For affected families this is a very important reproductive option. The paper describes a relatively small series of 8 babies born after mitochondrial donation by pronuclear transfer. The paper is carefully done and of very high quality but as always in science the results need to be confirmed by independent studies. Also, long-term clinical follow-up studies of born babies will give additional information about the safety and efficacy of mitochondrial donation.”
“Before this procedure was applied to human reproduction there was a very long development and evaluation process. There has been a lot of constructive discussion in the scientific community, and the UK Parliament approved legislation allowing mitochondrial donation in 2015.”
“Mitochondrial donation by the pronuclear transfer procedure always leads to carry-over of some mitochondria from the mother and mutant mtDNA can be transferred. The data presented in the NEJM paper shows that mutant mtDNA was not detected in blood of 5 of the born children. However, in three children, low levels of mutant mtDNA were detected in blood. These low levels of mutant mtDNA are unlikely to cause mitochondrial disease but additional follow-up studies are needed. As pointed out by the authors, the mitochondrial donation by pronuclear transfer should be regarded as a risk-reduction strategy. As always, when it comes to new medical procedures there is a need for validation by independent studies. Also, additional long-term follow-up studies of children born after mitochondrial donation will be needed.”
“The authors report that the transferred mtDNA has no mutations and the donor mtDNA is therefore unlikely to cause disease or impact ageing. During normal ageing, mtDNA acquires mutations (somatic mutations), e.g., during the massive cell division when the embryo is formed and develops. These mutations are typically present at low levels but accumulate to high levels in a subset of cells in many different ageing tissues. The mitochondrial donation involves transfer of mtDNA without mutations and there is no reason to believe that the donor mtDNA will additionally impact the ageing process.”
“When it comes disease-causing mtDNA mutations that are present in all copies (i.e., homoplasmic mtDNA mutations) there is currently no alternative to mitochondrial donation to prevent transmission of mutated mtDNA from mother to child. It is possible that alternate methods will be available in the future, e.g., correction of mutant mtDNA by gene editing techniques. There are currently a few promising pharmacological therapies for mitochondrial disease, e.g., nucleoside therapy for mtDNA depletion disorders. It is likely that more treatments will be available in the near future because this field is rapidly developing.”
Prof. Dr. Heidi Mertes, Associate Professor in Medical Ethics, Department of Philosophy and Moral Sciences, Ghent University, Belgien, said:
“I am happy to see that the first results from the Newcastle University group are now finally published, after being granted a license by the HFEA in 2017, and that the eight resulting children are in good health. However, while the results show that the technique is feasible and can lead to a substantial reduction of the mutation load in the resulting children, it also shows that we need to tread very carefully.”
“In line with previous research by the group of Nuno Costa-Borges [1], this research confirms the possibility of reversal (meaning that although there is only a small fraction of the intended mother’s mitochondrial DNA (mtDNA) in the embryo, this fraction sometimes increases substantially as the foetus develops), which could still result in mitochondrial diseases in the resulting children. Fortunately, preliminary research does indicate that while the mutation loads appear to increase between the embryonic phase and birth, they appear to remain stable after birth.”
“These are very important results as there was a lot of uncertainty over the safety of MRT. Using PGT when possible and reserving MRT for those cases in which PGT cannot offer a solution was a prudent approach given the experimental nature of MRT. It will be interesting to see more data in the future on whether reversal is more frequent in MRT or PGT, so that the safest procedure can be selected.”
“Although the heteroplasmy-levels are limited in this study, it does show that reversal is a real danger for the offspring, which can have serious health implications. At least three things follow from this.”
“First, people entering into this and future clinical trials will need to be extensively counselled that this is not a risk-elimination treatment, but a risk-reduction treatment.” “Second, we need more research into the mechanisms that trigger reversal, so that it can be prevented before this technique is implemented in routine care + We need follow-up research in the children born after MRT.”
“Third, it is important to keep in mind that by framing this as a risk-reduction strategy, we are ignoring the possibility of conceiving through a traditional egg donation procedure. While genetic parenthood is evidently important to many people, the trade-off that we are making here is that between a genetically related child with a high risk of mitochondrial disease (natural conception), a genetically related child with a reduced risk of mitochondrial disease (PGT or MRT) and a non-genetically related child with the near-absence of a risk of mitochondrial disease (through donor conception). If people who would have chosen for donor conception now opt for MRT, this is actually a risk-increasing technology, rather than a risk-reducing one.”
“This strategy lowers the risk of mitochondrial disorders in the children when the point of comparison is natural reproduction by the parents, but the safest option is still donor conception, which eliminates the risk of passing on the mitochondrial condition, rather than reducing it.”
“While the donor plays an essential role in the birth of the child, attributing them a parenthood-status based on a small genetic contribution appears unwarranted. At the same time it would be correct to call them a ‘genetic progenitor’ or ‘genetic contributor’.”
“While the group of Nuno Costa-Borges ([1] [2]) received a lot of backlash for performing their MRT clinical trial in people with repeated IVF failure, rather than people with mitochondrial diseases, we must acknowledge in hindsight that given the phenomenon of reversal, their approach might have been the more prudent one. In their study they observed reversal in one infant going from
Prof David Thorburn, co-Group Leader of Brain & Mitochondrial Research at Murdoch Children’s Research Institute and the University of Melbourne, said:
“Mitochondrial donation was legalised in the UK in 2015 and in Australia in 2022. It was clearly a complex process in the UK to develop the approvals processes, the clinical and lab pathways, cope with delays from COVID and accumulate sufficient outcomes to publish them without impinging on the privacy of the families involved.So it is very exciting to see the first publications describing results for the first 8 babies born in the UK program. The initial results demonstrate that the approach is effective in reducing the risk of having a child with mitochondrial DNA disease for women who are at high risk. For about three quarters of couples participating in the pronuclear transfer method, at least one suitable embryo was generated. About 40% of these couples had a baby and all were healthy and had undetectable or low levels of the abnormal mitochondrial DNA. Three babies had short-term symptoms that resolved and did not appear to relate to mitochondrial disease. All babies are developing normally to date, with the oldest 5 years of age.The studies emphasise that longer-term followup needs to be performed, and the efficiency of the method could be further improved to achieve higher pregnancy rates. They demonstrate the value of offering the program in conjunction with other reproductive options, such as pre-implantation genetic testing, which can be effective in women with lower risk. I regard these results as very encouraging and supporting the ongoing development and use of mitochondrial donation in the UK and Australia.
Dr Santiago Restrepo Castillo, biomedical engineer and postdoctoral researcher at the University of Texas at Austin (USA), said:
“Mitochondrial diseases are a group of chronic metabolic disorders that can be fatal. These diseases are caused by mutations in the human genome, which consists of nuclear DNA and mitochondrial DNA. In particular, metabolic disorders caused by mutations in mitochondrial DNA, which affect one in five thousand people, are maternally inherited and currently incurable. In recent years, there have been major advancements in the development of strategies for the treatment or prevention of genetic disorders caused by mutations in nuclear DNA. In contrast, similar strategies for diseases caused by alterations in mitochondrial DNA have remained largely understudied. Aiming to establish a preventive strategy for metabolic diseases caused by mitochondrial DNA mutations, the authors of this pair of studies published in the New England Journal of Medicine developed an integrated program of preimplantation genetic testing and pronuclear transfer (PGT and PNT, respectively). In this program, female patients carrying mitochondrial mutations underwent PGT to identify embryos with low levels of mitochondrial DNA mutations. In cases where an embryo with these characteristics was identified, the embryo was implanted in the patient and the course of the pregnancy was monitored. In addition, in cases where it was not possible to identify embryos with low levels of genetic alterations, the patients underwent PNT, a procedure in which mitochondrial DNA without mutations is obtained from a donor. Encouragingly, through this integrated PGT and PNT program, at the time of publication, the authors have already demonstrated a significant reduction in the maternal transmission of mitochondrial mutations in eight cases. Furthermore, the children born from these cases have shown normal development. In conclusion, this study represents a major advancement in the field of medical genetics and genomics. Understanding the current limitations of mitochondrial gene editing, which would allow genetic alterations to be corrected in different contexts, the authors chose to explore a procedure that cuts the problem off at the root by preventing the transmission of the mutated genetic material. Furthermore, this pair of studies demonstrates clinical benefits in children who, without the integrated PGT and PNT program, would likely have been born with debilitating or fatal genetic mutations. It will be exciting to see if the benefits are maintained over time, and it will be critical to further develop this integrated process to increase its success rates”.
Prof Lluís Montoliu, Research Professor at the National Biotechnology Centre (CNB-CSIC) and at the CIBERER-ISCIII, Spain, says:
“In 2016, John Zhang, a specialist doctor at an assisted reproduction clinic in New York called the New Hope Fertility Center, crossed the border into Mexico to perform a procedure that was banned in the US and not yet regulated in Mexico. A couple from Jordan had come to this clinic hoping to have viable offspring. The couple had already had two children who had died from Leigh syndrome, one of several mitochondrial diseases that are often devastating and untreatable. Mitochondria (our energy factories) are usually inherited from the mother, from the egg. The mother had approximately 25% of her mitochondria affected, and these were the ones she had passed on to her two deceased children. Dr. Zhang did not use the procedure pioneered in the UK because of the couple’s Muslim faith, which opposed the destruction of human embryos. Instead, he chose to extract the nucleus from the mother’s egg (actually the metaphase plate, an incomplete nuclear division, which is the stage at which all eggs are ready for fertilization) and transferred it to the egg of another woman (with healthy mitochondria), from which he had also previously removed the nucleus. Once the nucleus from the mother had been transferred to the egg of the second woman, he used this resulting egg to perform in vitro fertilization with sperm from the father to obtain embryos. Dr. Zhang created five embryos in this way, only one of which developed normally, was implanted in the mother’s uterus, and resulted in the birth of a healthy baby. It was the first newborn obtained using the “three-parent technique”: two mothers and one father.
“In the United Kingdom, the Human Fertilisation and Embryology Authority (HFEA) had approved another procedure in 2015, technically different but also called the “three-parent technique,” to solve problems related to mitochondrial diseases. In this case, the father’s sperm is used to fertilize (through intracytoplasmic sperm injection, ICSI) two eggs, one from the mother carrying the affected mitochondria and one from another woman with healthy mitochondria. After fertilization begins, the two pronuclei (paternal and maternal) that appear temporarily are destined to fuse and form the first nucleus of the zygote. Before this happens, researchers can extract the two pronuclei from the in vitro fertilization between the mother’s egg and the father’s sperm and transfer them to the egg of the woman fertilized by the same sperm from the father, from which the pronuclei will have been previously removed. The result is that the egg with the woman’s healthy mitochondria hosts the two pronuclei of the couple, whose baby will be born without the mitochondrial genetic disease and will be genetically from both the father and the mother. The healthy mitochondria will come from the female donor. In this procedure, which is methodologically somewhat more aggressive than the previous one but less risky, one embryo is destroyed to create another, something that the Muslim couple assisted by Dr. Zhang considered unacceptable. The first baby in the United Kingdom obtained through the authorized British three-parent procedure was born in 2023.
“Ten years later [after the approval of this technique in the UK], a team of British and Australian doctors and researchers published the results of applying the British “three-parent” technique to 22 women carrying pathogenic mutations in their mitochondria (and therefore at high risk of having children born with these incurable diseases) in the prestigious New England Journal of Medicine (NEJM). Of the 22 women treated, only 8 gave birth (36%), and one more pregnancy is still in progress. The eight babies born are healthy, with no signs or very low levels of affected mitochondria, which are not sufficient to cause the disease. So far, all eight children are doing well. Only a couple of them developed minor clinical problems, initially unrelated to the procedure, which were resolved with treatment or spontaneously. In addition, the researchers applied a second technique (preimplantation genetic testing, or PGT) to women with heteroplasmy (a mixture of healthy and affected mitochondria) to assess the percentage of affected mitochondria in babies obtained through in vitro fertilization and select those with lower values of affected mitochondria. In this case, they obtained 16 pregnancies from 39 women (41%) with the result of 18 babies born with a percentage of affected mitochondria of less than 7%.
“In Spain, our Law 14/2006 of May 26 on assisted human reproduction techniques does not explicitly refer to this technique (which did not exist when this legislation was passed), so sensu stricto the procedure is neither expressly prohibited nor explicitly authorized in our country. Essentially, it is not regulated. The legal and ethical doubts that remain have so far prevented the three-parent technique from being applied in Spain.However, this new study shows that the technique has a remarkable success rate (36%) that could well be offered to couples in which the mother is a carrier of affected mitochondria to have offspring free from terrible mitochondrial diseases. Personally, I believe that we should allow this technique in our country in assisted reproduction clinics that have adequate training in this sophisticated method of embryo intervention.”
Dr Paul Wuh-Liang Hwu, Professor, College of Medicine, Pediatrics, National Taiwan University, Taipei, Taiwan / Distinguished Research Fellow, China Medical University Hospital, Taichung, Taiwan, said:
“In this week’s New England Journal of Medicine, two research articles published by groups of researchers from the UK describe the success of mitochondrial donation treatments for mitochondrial DNA (mtDNA) diseases. Each human cell contains a few hundred mitochondria. The mitochondrion is a double membrane-bound organelle, and each mitochondrion contains a few copies of double-stranded, circular DNA molecules of around 16,500 genetic units (base pairs).
“Mitochondria are responsible for energy (ATP) production, fatty acid oxidation, and some other functions for the cells. Pathological variations or deletions of mitochondrial DNA can impair mitochondrial function, and when the proportion of defective mitochondria (heteroplasmy level) is high, cause serious symptoms involving the brain, muscle, and metabolism. During reproduction, all mitochondria are inherited from the mother (the egg). However, the level of defected mitochondria in offspring can be very different from their mothers, leaving reproduction planning almost impossible.
“In the two studies, mitochondrial donation by pronuclear transfer (PNT) was conducted to reduce the reproductive risk of women with mitochondrial diseases. Both the mitochondrial donor and patient eggs were fertilized first. The nucleus of the donor’s fertilised egg was removed and discarded, leaving behind a fertilised egg without a nucleus but with healthy mitochondria. The nucleus from the patient’s fertilised egg was then transferred into this enucleated donor egg.
“The PNT zygote was then cultured and implanted to continue pregnancy. All live births were in good health and with low levels of defective mitochondria. PNT has been widely used in animal research and now proved to be safe and efficient in humans. This breakthrough gives a reproductive choice for women affected with mitochondrial diseases, which is very important for the patients and their families. However, this study also broke the ban for continuing pregnancy of genetically manipulated human embryos. One argument is that PNT does not really touch the genetic materials but only provides normal mitochondria. The excellent outcome of this study also eases the concerns of nuclear/mitochondrial genome compatibility and other safety issues. Nevertheless, one may still worry if this technology will be abused to improve human physiological quality, for example, creating a body with more efficient energy production. Then, how about adding a little bit of normal, or good, DNA to the nuclear genome, if we can do that safely?
“As doctors and researchers who take care of patients with genetic disease, we welcome inventions, including reproduction medicine, that can help patients. Certainly, before the safety of new treatments can be confirmed, they should be used in patients with no other choices, or with a favorable benefit over risk. Recently, gene therapies, including gene editing treatments, are rapidly developing, offering hope to patients who previously have no option for treatment. However, we need to ask people to restrain themselves, not to apply PNT or gene therapy to improve the health of people without a medical condition, but to let these new treatments be developed to rescue lives of patients.”
Prof Lee Chung-HisProfessor, Graduate Institute of Health and Biotechnology Law, Taipei Medical University, Taipei, Taiwan, said:
“Pronuclear Transfer Technology: Advancing with Cautious Innovation and International Consensus. While early clinical results show promise in reducing the level of pathogenic mitochondrial DNA in newborns, the application of Pronuclear transfer (PNT) raises significant ethical and regulatory questions that must be addressed through both national oversight and international dialogue. From a bioethical standpoint, germline modification—defined as altering genetic material in a way that affects future generations—has long been met with caution. This is because it involves irreversible changes to the human genome, with potential consequences not only for the individuals born from such interventions but also for society’s understanding of what it means to be human.
“Pronuclear transfer, however, occupies a unique space in this debate. It targets mitochondrial DNA, which, although essential for cellular energy production, contributes relatively little to traits traditionally associated with identity, such as physical appearance, personality, or intelligence. Because of this limited influence on key phenotypic characteristics, PNT is viewed by some as an acceptable “ethical testing ground” for germline-level intervention. Rather than resorting to high-risk gene therapy after the onset of a hereditary disease, using PNT technology to reduce the likelihood of disease is a more ethically acceptable option. It provides a possible pathway to explore the responsible use of reproductive technologies without crossing the bright-line boundaries typically drawn around nuclear DNA modification.
“Nonetheless, mitochondrial DNA modification is not without ethical complexity. Even if its direct functional role is narrower, it still involves heritable changes and the creation of embryos with genetic contributions from three individuals—the intended mother and father, and a mitochondrial donor. This raises questions about identity, kinship, and the rights of the resulting child, especially regarding disclosure and autonomy. Moreover, the long-term health effects of such interventions remain unknown. To prevent a gradual erosion of ethical boundaries, transparent ethical review processes and long-term clinical monitoring must be established as foundational requirements for any country considering the use of PNT.
“From a clinical perspective, preimplantation genetic testing (PGT) should remain the first-line option for reducing the risk of mitochondrial disease transmission. PGT is a more established and less invasive method that allows for the selection of embryos with minimal or undetectable levels of pathogenic mitochondrial DNA. In many cases, this approach has proven effective and carries fewer biological and ethical uncertainties than PNT. In contrast, PNT is a more complex and experimental procedure that combines nuclear DNA from the parents with mitochondrial DNA from a donor egg, and it may result in lower fertilization rates or higher embryonic loss. Therefore, in keeping with the precautionary principle in bioethics, PNT should be considered only when PGT is not feasible or has been shown to be ineffective.
“The United Kingdom currently leads in the clinical implementation of PNT, having established a strict licensing and regulatory regime through the Human Fertilisation and Embryology Authority (HFEA). The UK’s model reflects a commitment to enabling scientific advancement while maintaining ethical vigilance. However, reproductive technologies such as PNT are inherently transnational. If only a few countries offer access to such procedures, it may prompt “reproductive tourism”, whereby patients travel abroad to seek unregulated or less strictly governed treatments, potentially undermining safety standards and ethical norms.
“For this reason, a coordinated international approach is urgently needed. The World Health Organization (WHO) and the World Medical Association (WMA) are well-positioned to initiate global discussions and help formulate shared ethical guidelines and governance frameworks. These discussions should encompass not only scientific and medical dimensions but also social, cultural, and legal implications. Establishing minimum ethical standards and oversight mechanisms will help ensure that the benefits of PNT are pursued responsibly and that global health equity and ethical integrity are preserved.”
‘Mitochondrial Donation and Preimplantation Genetic Testing for mtDNA Disease’ by Louise A. Hyslop et al. and ‘Mitochondrial Donation in a Reproductive Care Pathway for mtDNA Disease’ by Robert McFarland et al. was published in The New England Journal of Medicine at 22:00 UK time on Wednesday 16th July.
DOI: 10.1056/NEJMoa2415539
DOI: 10.1056/NEJMoa2503658
Declared interests
Dr David J Clancy: No interests to declare
Prof Joanna Poulton: Nothing to declare
Prof Dusko Ilic: No conflicts of interest
Prof Dagan Wells: I don’t think I have any declarations relevant to this.
Dr Andy Greenfield: Andy was a member of the board of the Human Fertilisation & Embryology Authority (HFEA) from 2009 to 2018; he was a member of its Scientific & Clinical Advances Advisory Committee (SCAAC) and Chair of its Licence Committee. He chaired the 3rd and 4th preclinical scientific reviews of the safety and efficacy of mitochondrial donation, in 2014 and 2016. Andy chairs the Independent Advisory Committee of the MitoHOPE Program in Australia. He is also a member of the board of the Human Tissue Authority (HTA), the Regulatory Horizons Council (RHC), the Advisory Committee on Novel Foods and Processes (ACNFP) and Singapore’s Ministry of Health Regulatory Advisory Panel. Andy’s programme of research in developmental genetics was funded by the Medical Research Council at its Harwell Unit from 1996 to 2021. All opinions expressed are his own and not necessarily shared by any organisations with which he is associated.
Mr Stuart Lavery: No DOIs
Prof Bert Smeets: I am scientific advisor for the HFEA on PNT applications.
Sarah Norcross: PET – https://www.progress.org.uk/ – is a charity that improves choices for people affected by infertility and genetic conditions, and that campaigned for the introduction of the Human Fertilisation and Embryology (Mitochondrial Donation) Regulations 2015 into UK law.
Beth Thompson: Wellcome funded research into mitochondrial donation and co-funded the clinical trial to assess the safety and effectiveness of the treatment.
Danielle Hamm: The Nuffield Council on Bioethics conducted an ethical review of new techniques that aim to prevent the transmission of maternally-inherited mitochondrial DNA disorders in 2012. The report and key findings of the review are available here.
HFEA: As of 1 July 2025, 35 patients have been given approval for mitochondrial donation treatment by the HFEA Statutory Approvals Committee. These decisions are made on an individual case by case basis where there are no other options for the families involved and in strict accordance with the law. The published papers set out that 25 of those patients have undergone pronuclear transfer (mitochondrial donation treatment.)
Prof. Dr. Marcus Deschauer: “Apart from the fact that I spent six months as a researcher in the Mitochondrial Research Group over 20 years ago and subsequently collaborated with the group on scientific projects, and that I am of course well acquainted with some of the co-authors of the two papers, I have no conflicts of interest.”
Dr. Dunja M. Baston-Büst: “I have no conflict of interest.”
Dr Holger Prokisch: “I have no conflicts of interest.”
Prof. Dr. Nils-Göran Larsson: “I have no conflicts of interest with this work.”
Prof. Dr. Heidi Mertes: “I have no conflicts of interest.”
Prof David Thorburn: David has declared he has no financial conflicts of interest and has the following unpaid positions:
Board Member of the Mito Foundation (the major relevant mito advocacy group) and he played a prominent role in their advocacy for legalising mitochondrial donation in Australia.
He is also a Member of the MitoHOPE Executive, funded by the Medical Research Future Fund to deliver an Australian clinical trial of mitochondrial donation.
Dr Santiago Restrepo Castillo: No conflicts of interest
Prof Lluís Montoliu: He declares that he has no conflicts of interest
For all other experts, no reply to our request for DOIs was received.
Source: The Conversation (Au and NZ) – By Gregory Moore, Senior Research Associate, School of Agriculture, Food and Ecosystem Sciences, The University of Melbourne
Have you ever examined timber floorboards and pondered why they look the way they do? Perhaps you admired the super-fine grain, a stunning red hue or a swirling knot, and wondered how it came to be?
Or perhaps you don’t know what tree species your floorboards are made from, and how to best look after them?
Finely polished floorboards reveal detail about the timber that can be much harder to detect in unpolished boards or other sawn timbers.
“Reading” the knots, stubs and other characteristics of floorboards can reveal what type of tree produced it and how it grew. It can also reveal fascinating details about the lives of the trees they once were.
Reading floorboards can reveal what type of tree produced it, and how it grew. Greta Hoffman/Pexels, CC BY
Telling soft from hard
A variety of tree species are used to make timber floors. Hardwood species include the pale cream of Tasmanian oak, the honeyed hues of spotted gum and the deep red of jarrah.
Other times, softwood such as pine or spruce is used. Such species are often fast-growing, and prized for their availability and affordability.
Hardwoods are, by definition, flowering trees, while softwoods are from cone-bearing trees. Paradoxically, not all softwoods are soft or hardwoods hard. The balsa tree, for example, is a fast-growing hardwood tree renowned for its soft wood.
It’s not always easy to tell if a floor is hardwood or softwood, but there are discernible differences in their appearance.
Softwood such as pine or spruce is often fast-growing. Geography Photos/Universal Images Group via Getty Images
Tales in the grain
The real differences between softwood and hardwood lie in the anatomy and structure of the “xylem tissues” that make up the wood. These tissues transported water and nutrients from the roots to the rest of the plant when the tree was alive.
The arrangement of xylem tissue in the tree largely determines the “grain” in your floorboards. The grain is the appearance of wood fibres in the timber. The grain can be straight, wavy or spiralled.
In floorboards with straight grains, a tree’s growth history may be clear. As a tree trunk grows in diameter, it typically produces a layer of bark on the outside and a lighter layer of xylem tissue on the inside. When a tree is cut horizontally, the growth appears as rings. In a tree cut lengthwise (which happens when floorboards are milled) the growth appears as long lines in the timber.
If the lines in floorboards are very close together, this indicates the tree grew slowly. Wider lines suggest the tree grew rapidly.
Vessels in a tree’s xylem transport water from the roots to the rest of the plant. Hardwood tree species tend to have large vessels. This gives hardwood floorboards a coarser-grained and less uniform appearance. In contrast, softwood species such as conifers have smaller, dispersed vessels and produce more fine-grained, smoother timber.
Knots in floorboards occur when a branch dies or is cut, then tissue grows over the stub. The bigger the missing branch, the more substantial the knot.
Knots in floorboards can reveal much about the source tree. Pine, for example, often features multiple small knots originating from a common point. This reflects the growth pattern of young plantation pines, where several branches grow out from the trunk at the same height from the ground.
Often, the distance between knots tells us how quickly the tree grew. The greater the distance between the knots, the faster the tree grew in height.
The presence of a tree’s “defence chemicals”, known as polyphenols, can be seen clearly in some floorboards.
Polyphenols in floorboards sometimes appear as dark brown verging on black. Author provided
Polyphenols protect plants against stressors such as pathogens, drought and UV radiation.
The chemicals contribute to the red hue in some floorboards. Because polyphenols have a preservative effect, they can also make timber more durable.
Dark reddish or brown timbers containing a high concentration of polyphenols include mahogany, merbau, red gum, ironbark and conifers such as cedar and cypress.
In cases where a tree is burnt by fire, or attacked by insects or fungus, it produces a lot of polyphenols at the site of the damage.
In these cases, the presence of polyphenols in floorboards can be very obvious – sometimes appearing as a section that is dark brown verging on black.
Keeping your floorboards for longer
It’s widely known that living trees store carbon, and that this helps limit climate change. It’s less well known that timber floorboards also store carbon. And as long as that timber is preserved – and not destroyed by fire, decay or wood rot – that carbon will stay there.
If floorboards have to be removed, try to make sure the timber is reused or repurposed into other products.
And if you are installing a new polished timber floor, or already have one, there are steps you can take to make it last for a long time.
Softwood boards will benefit from a hard surface coating, especially in high-use areas.
Reducing the exposure of the floor to bright sunlight can preserve the colour of the floorboards and prolong the life of the coating and the timber itself.
Large knots in floorboards can twist and start to protrude from the surface. To ensure the floor remains even and safe, and to prevent the board from splitting, secure the knot to a floor joist with a nail or glue.
And take the time to understand the lessons embedded in your floorboards. They have much to teach us about biology and history, if we take the time to read them.
Gregory Moore 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.
Legislation Would Help Businesses Bring On Mid-Career Workers Seeking To Return To Or Transition Into STEM Jobs
WASHINGTON, DC – Today, U.S. Senators Jacky Rosen (D-NV), Cindy Hyde-Smith (R-MS), and Mark Kelly (D-AZ) introduced the STEM Restoring Employment Skills through Targeted Assistance, Re-entry, and Training (RESTART) Act. This bipartisan legislation would provide funding to support mid-career internships, known as “returnships,” for workers seeking to return to or transition into the STEM workforce. Representatives Chrissy Houlahan (D-PA) and Jim Baird (R-IN) have also introduced identical bipartisan legislation in the U.S. House of Representatives.
“When we invest in STEM education and workforce development, we can open the door to successful careers in some of the most in-demand industries,” said Senator Rosen. “I’m glad to introduce this bipartisan bill to help give workers the training and tools they need to enter new STEM careers. I’ll keep working across party lines to make sure all Nevadans have the skills needed to fill good-paying jobs.”
“Many skilled professionals step away from the workforce, but face significant barriers when trying to return, especially in technical fields where innovation moves fast,” said Senator Hyde-Smith. “Our legislation equips small and mid-sized businesses with the tools to tap into this valuable talent pool. This will help hardworking Americans reconnect with meaningful careers while growing the STEM workforce in states like Mississippi and beyond.”
“Arizona’s 21st century economy depends on a strong STEM workforce, and that means making sure talented workers who’ve taken time away or are looking to transition into STEM fields have a real pathway back in,” said Senator Kelly. “This effort will help small businesses tap into an underutilized talent pool while giving Arizonans the support they need to reenter the workforce and succeed in high-paying careers.”
“As a former Air Force engineer and chemistry teacher, I know that building a strong STEM workforce is essential not only for creating good-paying jobs, but also for safeguarding our national security,” said Representative Houlahan. “Whether it’s biotechnology, quantum computing, or clean energy, the global race for innovation is accelerating, and we can’t afford to leave talent on the sidelines. The bipartisan STEM RESTART Act will help mid-career professionals and those returning to the workforce enter high-demand STEM fields so we can strengthen our economy, compete globally, and protect America’s leadership in emerging technologies. I’m proud to reintroduce this commonsense legislation, which is a win for both businesses and workers across our Commonwealth and country.”
“If we want to maintain our global competitive edge and continue to lead the world in innovation, we must ensure we have a well-equipped STEM workforce now and empower future generations in STEM fields,” said Congressman Baird. “A robust STEM workforce is also vital to our economic prosperity and national security, especially when up against the threat of Communist China. I thank my colleagues in the House and Senate for their work on this bipartisan legislation to equip Hoosiers who want to return to the STEM workforce with the tools they need to fill job openings and build the greatest economy in history.”
“The STEM RESTART Act is a forward-thinking investment in our nation’s workforce,” said Chris Heavey, Interim President of the University of Nevada, Las Vegas. “By supporting mid-career professionals reentering the STEM fields, this bill strengthens innovation, expands opportunity, and ensures that talent and experience are not left behind.”
“The Society of Women Engineers is thrilled to see the STEM RESTART Act reintroduced in 2025. As the nation continues to rebuild a strong and inclusive STEM workforce, this legislation is more critical than ever. Hundreds of thousands of STEM professionals have stepped away from technical careers in recent years, and research shows most want to return—but face steep barriers. Grants for structured ‘returnships’ give mid-career professionals real, paid pathways back into meaningful STEM roles,” said Karen Horting, Executive Director & CEO of the Society of Women Engineers. “SWE and our 50,000 plus members fully support this bipartisan, bicameral effort to bridge talent gaps, bolster small and midsize businesses, and drive innovation. We urge lawmakers to pass the STEM RESTART Act as soon as possible and reaffirm our collective commitment to supporting women and others who pause their careers, as well as the country’s economic growth and global competitiveness.”
The STEM RESTART Act has been endorsed by the Society of Women Engineers, STEM Education Coalition, AnitaB.org, Nevada System of Higher Education, College of Southern Nevada, Vegas Chamber, Henderson Chamber of Commerce, Nevada State University, and University of Nevada, Las Vegas.
Senator Rosen has been a leader in advocating for tech innovation and improving access to STEM careers. She helped pass the bipartisan CHIPS and Science Act, which invests $52 billion in domestic computer chip manufacturing to help address the current shortage. Additionally, Rosen helped write the broadband section of the Bipartisan Infrastructure Law, which is delivering $65 billion to make high-speed internet more available and affordable to Americans. In 2020, Senator Rosen’s bipartisan Building Blocks of STEM Act, which breaks down barriers to allow more young girls to study computer science, was signed into law.
Source: The Conversation (Au and NZ) – By Janelle K Johnstone, Associate Lecturer Crime, Justice and Legal Studies, PhD Candidate School of Social Inquiry, La Trobe University
American gospel singer and guitarist Sister Rosetta Tharpe playing a Gibson Les Paul electric guitar on stage in 1957.Chris Ware/Keystone Features/Hulton Archive/Getty Images
I’ve been playing a 1963 Maton FyrByrd guitar since I was 14 years old. It’s Australian designed and made with the unique sharkbite body, and pickups named cool, midway and hi-fi.
With only 1,160 of this model produced between 1962 and 1965, it’s a rarity. But so too is its provenance. In lieu of jewellery, cabinet crystal or other family heirlooms, I inherited my mother’s electric guitar.
The electric guitar is synonymous with rock’n’roll genres emerging from the 1950s. It’s also become one of the most potent icons of masculine heroism in popular music culture. Stereotypical imagery circulates around riffs, shredding and posturing.
The wailing guitar solo has become a signature feature of virtuosity, a spotlight of grandeur setting the male guitarist apart from the band with a distinctive textural line.
These characteristics mean the electric guitar takes up space – something traditionally associated with masculine performance.
But the paradox about the gendering of “the axe” is that a leading, stylistic founder was a woman – and many follow in her footsteps today.
Sister Rosetta Tharpe
The guitar has been an important instrument of music making for centuries, but the 1930s marked the invention of the electric guitar.
Amplifying the guitar produced its distinctive feature: the capacity for sustain. This enabled sounds to siren out, dive and waver – often at high volume.
Sister Rosetta Tharpe photographed in November 1957. Henry How/Mirrorpix/Getty Images
Her style developed over four decades from the 1930s to 1960s with fluid fretboard prowess and a percussive right hand, leaning into the hover of distortion. Tharpe influenced big names of contemporary music such as Chuck Berry, Eric Clapton and Keith Richards.
Audiences loved her.
However, a woman (also queer, and a person of colour) “owning” the electric guitar challenged the patriarchal music industry who tended to frame her as a singer, rather than a prolific instrumentalist.
DIY learning systems
While stereotypes such as “masculine” taking up space might help to explain a lack of women and gender diverse electric guitarists (and indeed other instrumentalists in rock tropes), their absence also stems from the way that skills are developed and subsequently valued.
In rock and punk music, learning to play often comes via friendship groups where knowledge is passed around and learnt using do-it-yourself (DIY) methods.
These processes are often associated with rites of passage into adulthood.
But these social networks are also gendered. Women and gender diverse people are often excluded from informal channels that create opportunities, or relegated to support roles, a reflection of mainstream ideas that set “women’s roles” to passive. This starts from a young age.
My research (to be published) shows that, for those who do pick up a guitar, DIY (and punk sentiment) is an effective tool to circumvent social barriers to skill acquisition.
Yet women and gender diverse guitarists are constantly compared to a male cannon of music history, scrutinised as an exception, but rarely exceptional.
Gendered divisions of labour that see women carry a greater weight of unpaid labour further impact the time available to hone a craft. These are the double gates of sexism and ageism that make becoming a music legend a masculine, middle aged, luxury.
Despite this, a treasure trove of musical elders have distorted the way that guitar playing is historically and sentimentally wedded to masculine expertise.
The axe in different hands
When Joan Jett burst onto the punk scene in the 1970s with her low-slung electric guitar, she had the look and attitude of her male counterparts. But she carved a style centred on solid, rhythmic blocks, saturating accents with power chords in lieu of complex, single note techniques.
Joan Jett plays guitar for The Runaways, Chicago 1977. Michael Ochs Archives/Getty Images
In subcultural spaces, artists like Ronnie Yoshiko Fujiyama from Japanese cult band the 5, 6, 7, 8s, now in her mid 70s, shape-shifts her way through a range of genre bending musical statements that challenge stereotypical guitar playing with signature guitar pedals, and joyous virtuosity.
Ronnie Yoshiko Fujiyama performing during the The Carling Weekend: Reading Festival in 2004. Yui Mok/PA Images via Getty Images
On her recent album tour, Kim Gordon, one of the most recognisable women in punk, now also in her 70s, ditched her bass for the electric guitar.
She ended her shows standing on her amp holding her guitar overhead. She’s doing what she’s always done: querying the boundaries of culture tropes, cementing her iconic status.
These artists and countless others challenge expectations of gender via the symbolism projected through the electric guitar.
And they go a step further in rejecting pressures for older women to be sidelined.
Kim Gordon as a member of the super-group Free Kitten performs in concert in Milan, 2024. Elena Di Vincenzo/Archivio Elena Di Vincenzo/Mondadori Portfolio via Getty Images
The Australian soundscape
Australian music culture has a rich and diverse heritage. However, the same touchstones tend to be used to produce a particular narrative about musical connoisseurship that enables (mostly) men to be elevated through to legendary status.
It’s annoying. Because in the context of rock guitar playing, the local talent pool is extensive. Current stars Courtney Barnett, Erica Dunn, and emerging musicians like Jaybird Bryne represent a legacy to the work of artists such as Suze DeMarchi, Orianthi, Adalita, Barb Waters and Sarah McLeod, all sharing commercial success as guitarists.
They sit alongside well-established independent artists really stretching the sonic parameters of the electric guitar in DIY/punk traditions including Penny Ikinger, Lisa Mackinney, Sarah Hardiman, Claire Birchall, Bonnie Mercer and Sarah Blaby.
Moving past the musical bias of the great, white, male not only expands our sonic palettes – it might also help us to rethink the limitations of binary gender roles more broadly. This means querying cultural inheritances like the axe, re-imagining who an elder might be, and embracing what they sound like.
Janelle K Johnstone receives funding from Creative Victoria and the Australia Council.
Source: The Conversation (Au and NZ) – By Janelle K Johnstone, Associate Lecturer Crime, Justice and Legal Studies, PhD Candidate School of Social Inquiry, La Trobe University
American gospel singer and guitarist Sister Rosetta Tharpe playing a Gibson Les Paul electric guitar on stage in 1957.Chris Ware/Keystone Features/Hulton Archive/Getty Images
I’ve been playing a 1963 Maton FyrByrd guitar since I was 14 years old. It’s Australian designed and made with the unique sharkbite body, and pickups named cool, midway and hi-fi.
With only 1,160 of this model produced between 1962 and 1965, it’s a rarity. But so too is its provenance. In lieu of jewellery, cabinet crystal or other family heirlooms, I inherited my mother’s electric guitar.
The electric guitar is synonymous with rock’n’roll genres emerging from the 1950s. It’s also become one of the most potent icons of masculine heroism in popular music culture. Stereotypical imagery circulates around riffs, shredding and posturing.
The wailing guitar solo has become a signature feature of virtuosity, a spotlight of grandeur setting the male guitarist apart from the band with a distinctive textural line.
These characteristics mean the electric guitar takes up space – something traditionally associated with masculine performance.
But the paradox about the gendering of “the axe” is that a leading, stylistic founder was a woman – and many follow in her footsteps today.
Sister Rosetta Tharpe
The guitar has been an important instrument of music making for centuries, but the 1930s marked the invention of the electric guitar.
Amplifying the guitar produced its distinctive feature: the capacity for sustain. This enabled sounds to siren out, dive and waver – often at high volume.
Sister Rosetta Tharpe photographed in November 1957. Henry How/Mirrorpix/Getty Images
Her style developed over four decades from the 1930s to 1960s with fluid fretboard prowess and a percussive right hand, leaning into the hover of distortion. Tharpe influenced big names of contemporary music such as Chuck Berry, Eric Clapton and Keith Richards.
Audiences loved her.
However, a woman (also queer, and a person of colour) “owning” the electric guitar challenged the patriarchal music industry who tended to frame her as a singer, rather than a prolific instrumentalist.
DIY learning systems
While stereotypes such as “masculine” taking up space might help to explain a lack of women and gender diverse electric guitarists (and indeed other instrumentalists in rock tropes), their absence also stems from the way that skills are developed and subsequently valued.
In rock and punk music, learning to play often comes via friendship groups where knowledge is passed around and learnt using do-it-yourself (DIY) methods.
These processes are often associated with rites of passage into adulthood.
But these social networks are also gendered. Women and gender diverse people are often excluded from informal channels that create opportunities, or relegated to support roles, a reflection of mainstream ideas that set “women’s roles” to passive. This starts from a young age.
My research (to be published) shows that, for those who do pick up a guitar, DIY (and punk sentiment) is an effective tool to circumvent social barriers to skill acquisition.
Yet women and gender diverse guitarists are constantly compared to a male cannon of music history, scrutinised as an exception, but rarely exceptional.
Gendered divisions of labour that see women carry a greater weight of unpaid labour further impact the time available to hone a craft. These are the double gates of sexism and ageism that make becoming a music legend a masculine, middle aged, luxury.
Despite this, a treasure trove of musical elders have distorted the way that guitar playing is historically and sentimentally wedded to masculine expertise.
The axe in different hands
When Joan Jett burst onto the punk scene in the 1970s with her low-slung electric guitar, she had the look and attitude of her male counterparts. But she carved a style centred on solid, rhythmic blocks, saturating accents with power chords in lieu of complex, single note techniques.
Joan Jett plays guitar for The Runaways, Chicago 1977. Michael Ochs Archives/Getty Images
In subcultural spaces, artists like Ronnie Yoshiko Fujiyama from Japanese cult band the 5, 6, 7, 8s, now in her mid 70s, shape-shifts her way through a range of genre bending musical statements that challenge stereotypical guitar playing with signature guitar pedals, and joyous virtuosity.
Ronnie Yoshiko Fujiyama performing during the The Carling Weekend: Reading Festival in 2004. Yui Mok/PA Images via Getty Images
On her recent album tour, Kim Gordon, one of the most recognisable women in punk, now also in her 70s, ditched her bass for the electric guitar.
She ended her shows standing on her amp holding her guitar overhead. She’s doing what she’s always done: querying the boundaries of culture tropes, cementing her iconic status.
These artists and countless others challenge expectations of gender via the symbolism projected through the electric guitar.
And they go a step further in rejecting pressures for older women to be sidelined.
Kim Gordon as a member of the super-group Free Kitten performs in concert in Milan, 2024. Elena Di Vincenzo/Archivio Elena Di Vincenzo/Mondadori Portfolio via Getty Images
The Australian soundscape
Australian music culture has a rich and diverse heritage. However, the same touchstones tend to be used to produce a particular narrative about musical connoisseurship that enables (mostly) men to be elevated through to legendary status.
It’s annoying. Because in the context of rock guitar playing, the local talent pool is extensive. Current stars Courtney Barnett, Erica Dunn, and emerging musicians like Jaybird Bryne represent a legacy to the work of artists such as Suze DeMarchi, Orianthi, Adalita, Barb Waters and Sarah McLeod, all sharing commercial success as guitarists.
They sit alongside well-established independent artists really stretching the sonic parameters of the electric guitar in DIY/punk traditions including Penny Ikinger, Lisa Mackinney, Sarah Hardiman, Claire Birchall, Bonnie Mercer and Sarah Blaby.
Moving past the musical bias of the great, white, male not only expands our sonic palettes – it might also help us to rethink the limitations of binary gender roles more broadly. This means querying cultural inheritances like the axe, re-imagining who an elder might be, and embracing what they sound like.
Janelle K Johnstone receives funding from Creative Victoria and the Australia Council.
Source: The Conversation (Au and NZ) – By Flora Hui, Research Fellow, Centre for Eye Research Australia and Honorary Fellow, Department of Surgery (Ophthalmology), The University of Melbourne
Have you ever gone to the optometrist for an eye test and were told your eye was shaped like a football?
Or perhaps you’ve noticed your vision is becoming increasingly blurry or hard to focus?
You might be among the 40% of people in the world who live with astigmatism.
What causes astigmatism?
The eye acts like a camera, capturing light through the front surface (the cornea) and focusing it onto the “film” at the back of the eye (retina).
To get a clear picture, the eyeball and all of its surfaces (cornea, lens and retina) have to meet certain specifications of size and shape.
Otherwise, vision can appear blurred and out-of-focus, known as “refractive error”.
Astigmatism (uh-STIG-muh-tiz-um) is a type of refractive error where one or more of the eye’s surfaces are not smooth and/or round. It is broadly classified into two types: regular and irregular.
Regular astigmatism is the most common. It typically comes from changes in the shape of the cornea. Instead of being round, it is more oval, like a football or an egg. We don’t fully understand why some people develop regular astigmatism, but it’s partly due to genetics.
Irregular astigmatism is rarer. It occurs when a part of the cornea is no longer smooth (from scarring or growths on the cornea), or its shape has changed in an uneven or asymmetrical way.
Eye conditions such as keratoconus – where the cornea weakens over time and becomes cone-like in shape – causes irregular astigmatism.
If the cornea is no longer round or smooth, light entering the eye is scattered across the retina. This can cause blurry or distorted vision, reduced sensitivity to contrast, shadows or double vision and increased sensitivity to bright lights.
Is astigmatism a new condition?
In 1727, Sir Isaac Newton was the first to describe the physics of how an irregular surface might affect the focus of light passing through it.
This was followed in 1800 by Thomas Young, a scientist who had astigmatism and described how it affected his vision in a lecture.
In 1825, Sir George Airy, an astronomer who also had astigmatism, discovered he could see more clearly when he tilted his glasses on an angle. He became the first person to suggest using cylindrical lenses to correct for astigmatism. These are still used today.
The name “astigmatism” came last, coined by William Whewell in 1846. The name was derived from Greek: “a-” (“without”), and “stigma” (“a mark/spot”), literally translating as “without a point”, referring to the lack of a single, clear focal point of vision.
How is astigmatism measured?
Optometrists usually detect and measure regular astigmatism during refraction, when they place different lenses in front of the eye to determine a spectacle prescription.
As irregular astigmatism can involve very small rough patches or bumps, it is best seen with specialised imaging such as corneal topography. This creates a 3-dimensional map to show local bumps and irregularities on the cornea.
You can develop astigmatism over time, and the level of astigmatism can change as well.
With mild astigmatism, you may not notice any problems with your vision. With increasing levels of astigmatism, your vision becomes less crisp. This can lead to reduced vision, eye strain, or fatigue.
You may need astigmatism correction to see clearly and effortlessly. Correcting astigmatism aims to compensate for the differing curvatures of the cornea, to ensure that light entering the eye focuses correctly on the retina.
To correct regular astigmatism, cylindrical lenses compensate for each curvature in the “football”. Cylindrical lenses are prescribed as either glasses, contact lenses.
Orthokeratology (ortho-k) can also be used. This involves wearing specialised hard contact lenses overnight. These hard contact lenses temporarily reshape the cornea, allowing the wearer to be glasses-free during the day.
To manage irregular astigmatism, it is important to treat the underlying condition causing astigmatism as well. But often, hard contact lenses are needed for clear vision during the day, as they can sit on the surface of the eye to compensate for local uneven patches in a way that glasses or soft contact lenses cannot.
Surgery, such as corneal transplants, is also sometimes needed as a last resort to replace a damaged, misshapen cornea and manage the irregular astigmatism.
Do I need to worry about astigmatism in my children?
In children, if there is enough astigmatism present to cause blurred or distorted vision, it can impact their learning and development both in the classroom and during sporting activities.
Untreated astigmatism is not dangerous, but high levels of astigmatism in young children can cause other vision problems such as “eye turns” or “lazy eye” (amblyopia).
But don’t worry, regular eye checks with the optometrist for children (and adults as well) allows for early detection and management, when needed.
Flora Hui works part-time in private practice as an optometrist.
Angelina Duan works in private practice as an optometrist.
Source: The Conversation (Au and NZ) – By Flora Hui, Research Fellow, Centre for Eye Research Australia and Honorary Fellow, Department of Surgery (Ophthalmology), The University of Melbourne
Have you ever gone to the optometrist for an eye test and were told your eye was shaped like a football?
Or perhaps you’ve noticed your vision is becoming increasingly blurry or hard to focus?
You might be among the 40% of people in the world who live with astigmatism.
What causes astigmatism?
The eye acts like a camera, capturing light through the front surface (the cornea) and focusing it onto the “film” at the back of the eye (retina).
To get a clear picture, the eyeball and all of its surfaces (cornea, lens and retina) have to meet certain specifications of size and shape.
Otherwise, vision can appear blurred and out-of-focus, known as “refractive error”.
Astigmatism (uh-STIG-muh-tiz-um) is a type of refractive error where one or more of the eye’s surfaces are not smooth and/or round. It is broadly classified into two types: regular and irregular.
Regular astigmatism is the most common. It typically comes from changes in the shape of the cornea. Instead of being round, it is more oval, like a football or an egg. We don’t fully understand why some people develop regular astigmatism, but it’s partly due to genetics.
Irregular astigmatism is rarer. It occurs when a part of the cornea is no longer smooth (from scarring or growths on the cornea), or its shape has changed in an uneven or asymmetrical way.
Eye conditions such as keratoconus – where the cornea weakens over time and becomes cone-like in shape – causes irregular astigmatism.
If the cornea is no longer round or smooth, light entering the eye is scattered across the retina. This can cause blurry or distorted vision, reduced sensitivity to contrast, shadows or double vision and increased sensitivity to bright lights.
Is astigmatism a new condition?
In 1727, Sir Isaac Newton was the first to describe the physics of how an irregular surface might affect the focus of light passing through it.
This was followed in 1800 by Thomas Young, a scientist who had astigmatism and described how it affected his vision in a lecture.
In 1825, Sir George Airy, an astronomer who also had astigmatism, discovered he could see more clearly when he tilted his glasses on an angle. He became the first person to suggest using cylindrical lenses to correct for astigmatism. These are still used today.
The name “astigmatism” came last, coined by William Whewell in 1846. The name was derived from Greek: “a-” (“without”), and “stigma” (“a mark/spot”), literally translating as “without a point”, referring to the lack of a single, clear focal point of vision.
How is astigmatism measured?
Optometrists usually detect and measure regular astigmatism during refraction, when they place different lenses in front of the eye to determine a spectacle prescription.
As irregular astigmatism can involve very small rough patches or bumps, it is best seen with specialised imaging such as corneal topography. This creates a 3-dimensional map to show local bumps and irregularities on the cornea.
You can develop astigmatism over time, and the level of astigmatism can change as well.
With mild astigmatism, you may not notice any problems with your vision. With increasing levels of astigmatism, your vision becomes less crisp. This can lead to reduced vision, eye strain, or fatigue.
You may need astigmatism correction to see clearly and effortlessly. Correcting astigmatism aims to compensate for the differing curvatures of the cornea, to ensure that light entering the eye focuses correctly on the retina.
To correct regular astigmatism, cylindrical lenses compensate for each curvature in the “football”. Cylindrical lenses are prescribed as either glasses, contact lenses.
Orthokeratology (ortho-k) can also be used. This involves wearing specialised hard contact lenses overnight. These hard contact lenses temporarily reshape the cornea, allowing the wearer to be glasses-free during the day.
To manage irregular astigmatism, it is important to treat the underlying condition causing astigmatism as well. But often, hard contact lenses are needed for clear vision during the day, as they can sit on the surface of the eye to compensate for local uneven patches in a way that glasses or soft contact lenses cannot.
Surgery, such as corneal transplants, is also sometimes needed as a last resort to replace a damaged, misshapen cornea and manage the irregular astigmatism.
Do I need to worry about astigmatism in my children?
In children, if there is enough astigmatism present to cause blurred or distorted vision, it can impact their learning and development both in the classroom and during sporting activities.
Untreated astigmatism is not dangerous, but high levels of astigmatism in young children can cause other vision problems such as “eye turns” or “lazy eye” (amblyopia).
But don’t worry, regular eye checks with the optometrist for children (and adults as well) allows for early detection and management, when needed.
Flora Hui works part-time in private practice as an optometrist.
Angelina Duan works in private practice as an optometrist.
In early June, the Labor opposition moved a motion of no confidence in the Liberal Premier, Jeremy Rockliff. The motion passed with the support of three crossbench MPs, the Greens, and a casting vote from the speaker.
Rockliff refused to step aside and Opposition Leader Dean Winter ruled out doing a deal with the Greens to govern in minority, which left the Governor with no choice but to call an election just 16 months after the last.
Some Tasmanians would be forgiven for feeling a bit of election fatigue. On top of the March 2024 state election, there was the federal election on May 3, voting for three legislative council seats on May 24 and now this poll.
Trudging along the campaign trail
The vibe of the campaign has veered wildly between pedestrian and acrimonious.
Candidates have struggled to connect with a disgruntled public, and a combination of the stadium saga and political mudslinging have distracted from Tasmania’s serious challenges.
Despite the election being brought about by Labor’s no confidence motion, the party seemed curiously unprepared. Its candidate announcements were slow and disjointed, and red corflutes have been greatly outnumbered by blue.
Labor’s campaign has picked up some momentum in recent weeks by following the federal party’s playbook of making big health policy announcements.
In contrast to Labor, the Liberals hit the ground running with a slew of candidate announcements. They have presented themselves as the only party with a realistic chance of winning a majority, and sought to frame Labor’s Dean Winter as a power-hungry wrecker. They have also campaigned hard on health, attempting to neutralise Labor’s traditional strength in this area.
A bevy of former federal candidates are running, which could lead to changes in personnel, if not a big shift in the distribution of seats in parliament. Ones to watch include:
Liberal’s Bridget Archer (who lost her seat of Bass in May) and Gavin Pearce (retired Braddon MP)
Labor’s Brian Mitchell, the Lyons MP who stood aside for Rebecca White
Peter George, the anti-salmon farming independent in Franklin
and Vanessa Bleyer, a two-time Greens Senate candidate running in Braddon.
The Nationals are also in the mix following the latest in a series of Tasmanian “reboots” over the past few decades. Their candidate list includes former Jacqui Lambie Network and Liberal MPs, which could create a tense and chaotic party room if they win seats.
Disappointingly, both Labor and Liberal leaders have repeatedly demanded the other side stop playing “political games”, while merrily engaging in skulduggery of their own.
Labor was indignant when the Liberals challenged the eligibility of one of their star candidates, unionist Jessica Munday.
A few days later, Rockliff was righteously outraged when Labor grandee and former premier Paul Lennon registered the business “Tasinsure” – the name of the Liberals’ proposed state-owned insurance company.
Subpar signage
It’s fair to say no one has covered themselves in glory here.
The Liberals went with “Let’s finish the job for Tasmania”. I’m sure this isn’t meant to be read as a threat, but I can’t help but hear it in Alan Rickman’s voice.
Even if we leave aside the (unintended?) menacing implications, the slogan encourages voters to wonder why the job hasn’t been finished in the previous 11 years of Liberal government.
Labor is using “A Fresh Start for Tasmania”: a cliche, but serviceably simple.
The problem is, they stretched the slogan to the point of collapse by applying it to all of their policy headings. This meant that we ended up enduring “a fresh start for cost of living relief”, “a fresh start for our society”, and so on.
A special mention to Labor’s social media ads, which had all the gravitas of a toddler demanding their turn on the playground swings.
The Greens didn’t limit themselves to one slogan. Instead, they used various taglines on the theme of “the mess made by the major parties”, or simply stated their main policy pillars: stopping the stadium, investing in health and housing, protecting the environment, and stopping privatisation.
There were also some questionable offerings from the menagerie of independents. Surely the voters are entitled to expect more from their MPs than the “familiar face in Clark” offered by former Liberal MP Elise Archer? And as an experienced journalist, I’m sure Peter George could have done better than the derivative “Time for Change”.
What can we expect?
What will Tasmanians end up with after a campaign that has been less sound and fury and more white noise and niggle?
It looks like more of the same.
Polling shows that the two major parties are on the nose, particularly with younger voters. Labor and Liberal are fairly aligned on some of the headline issues that divide the electorate, including the stadium and salmon farming.
All this points to no party winning a majority of the 35 seats. If this happens, the convention is that the Governor gives the party with the most seats the first crack at cobbling together enough support from the crossbench to form a minority government.
Minority governments can come in lots of different shapes and sizes, from loose “confidence and supply” agreements to more formal power-sharing coalitions.
If the party with the most seats fails to form government, the Governor would typically let the second-largest party try.
Both the Liberals and Labor will face big challenges if they are given the opportunity to form minority government.
The Liberal Party has its nose ahead in most polls. However, several of the crossbench MPs the previous Liberal government relied on for support voted in favour of the no confidence motion in Rockliff.
Most of these MPs are likely to be re-elected, and will be wary of doing deals that essentially put in place the same government that they recently helped to bring down.
Labor have backed themselves into a corner by repeatedly ruling out working with the Greens. This would leave them needing to negotiate with a diverse array of crossbench MPs. Depending on the final distribution of seats, this might not secure them enough votes on the floor of parliament.
If – as seems likely – Tasmania ends up with another hung parliament, it will fall to our MPs to move beyond point scoring and gamesmanship. We urgently need budget repair, alongside ambitious reforms in health, housing, education, sustainability and productivity.
Here’s hoping that the next government is willing to collaborate and compromise – for the good of the state and to restore trust in our political system.
Robert Hortle 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.
In early June, the Labor opposition moved a motion of no confidence in the Liberal Premier, Jeremy Rockliff. The motion passed with the support of three crossbench MPs, the Greens, and a casting vote from the speaker.
Rockliff refused to step aside and Opposition Leader Dean Winter ruled out doing a deal with the Greens to govern in minority, which left the Governor with no choice but to call an election just 16 months after the last.
Some Tasmanians would be forgiven for feeling a bit of election fatigue. On top of the March 2024 state election, there was the federal election on May 3, voting for three legislative council seats on May 24 and now this poll.
Trudging along the campaign trail
The vibe of the campaign has veered wildly between pedestrian and acrimonious.
Candidates have struggled to connect with a disgruntled public, and a combination of the stadium saga and political mudslinging have distracted from Tasmania’s serious challenges.
Despite the election being brought about by Labor’s no confidence motion, the party seemed curiously unprepared. Its candidate announcements were slow and disjointed, and red corflutes have been greatly outnumbered by blue.
Labor’s campaign has picked up some momentum in recent weeks by following the federal party’s playbook of making big health policy announcements.
In contrast to Labor, the Liberals hit the ground running with a slew of candidate announcements. They have presented themselves as the only party with a realistic chance of winning a majority, and sought to frame Labor’s Dean Winter as a power-hungry wrecker. They have also campaigned hard on health, attempting to neutralise Labor’s traditional strength in this area.
A bevy of former federal candidates are running, which could lead to changes in personnel, if not a big shift in the distribution of seats in parliament. Ones to watch include:
Liberal’s Bridget Archer (who lost her seat of Bass in May) and Gavin Pearce (retired Braddon MP)
Labor’s Brian Mitchell, the Lyons MP who stood aside for Rebecca White
Peter George, the anti-salmon farming independent in Franklin
and Vanessa Bleyer, a two-time Greens Senate candidate running in Braddon.
The Nationals are also in the mix following the latest in a series of Tasmanian “reboots” over the past few decades. Their candidate list includes former Jacqui Lambie Network and Liberal MPs, which could create a tense and chaotic party room if they win seats.
Disappointingly, both Labor and Liberal leaders have repeatedly demanded the other side stop playing “political games”, while merrily engaging in skulduggery of their own.
Labor was indignant when the Liberals challenged the eligibility of one of their star candidates, unionist Jessica Munday.
A few days later, Rockliff was righteously outraged when Labor grandee and former premier Paul Lennon registered the business “Tasinsure” – the name of the Liberals’ proposed state-owned insurance company.
Subpar signage
It’s fair to say no one has covered themselves in glory here.
The Liberals went with “Let’s finish the job for Tasmania”. I’m sure this isn’t meant to be read as a threat, but I can’t help but hear it in Alan Rickman’s voice.
Even if we leave aside the (unintended?) menacing implications, the slogan encourages voters to wonder why the job hasn’t been finished in the previous 11 years of Liberal government.
Labor is using “A Fresh Start for Tasmania”: a cliche, but serviceably simple.
The problem is, they stretched the slogan to the point of collapse by applying it to all of their policy headings. This meant that we ended up enduring “a fresh start for cost of living relief”, “a fresh start for our society”, and so on.
A special mention to Labor’s social media ads, which had all the gravitas of a toddler demanding their turn on the playground swings.
The Greens didn’t limit themselves to one slogan. Instead, they used various taglines on the theme of “the mess made by the major parties”, or simply stated their main policy pillars: stopping the stadium, investing in health and housing, protecting the environment, and stopping privatisation.
There were also some questionable offerings from the menagerie of independents. Surely the voters are entitled to expect more from their MPs than the “familiar face in Clark” offered by former Liberal MP Elise Archer? And as an experienced journalist, I’m sure Peter George could have done better than the derivative “Time for Change”.
What can we expect?
What will Tasmanians end up with after a campaign that has been less sound and fury and more white noise and niggle?
It looks like more of the same.
Polling shows that the two major parties are on the nose, particularly with younger voters. Labor and Liberal are fairly aligned on some of the headline issues that divide the electorate, including the stadium and salmon farming.
All this points to no party winning a majority of the 35 seats. If this happens, the convention is that the Governor gives the party with the most seats the first crack at cobbling together enough support from the crossbench to form a minority government.
Minority governments can come in lots of different shapes and sizes, from loose “confidence and supply” agreements to more formal power-sharing coalitions.
If the party with the most seats fails to form government, the Governor would typically let the second-largest party try.
Both the Liberals and Labor will face big challenges if they are given the opportunity to form minority government.
The Liberal Party has its nose ahead in most polls. However, several of the crossbench MPs the previous Liberal government relied on for support voted in favour of the no confidence motion in Rockliff.
Most of these MPs are likely to be re-elected, and will be wary of doing deals that essentially put in place the same government that they recently helped to bring down.
Labor have backed themselves into a corner by repeatedly ruling out working with the Greens. This would leave them needing to negotiate with a diverse array of crossbench MPs. Depending on the final distribution of seats, this might not secure them enough votes on the floor of parliament.
If – as seems likely – Tasmania ends up with another hung parliament, it will fall to our MPs to move beyond point scoring and gamesmanship. We urgently need budget repair, alongside ambitious reforms in health, housing, education, sustainability and productivity.
Here’s hoping that the next government is willing to collaborate and compromise – for the good of the state and to restore trust in our political system.
Robert Hortle 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.
Source: United States Senator Tommy Tuberville (Alabama)
WASHINGTON – Today, U.S. Senator Tommy Tuberville (R-AL) introduced Dr. Brian Christine during his nomination hearing before the Senate Health, Education, Labor, and Pensions Committee (HELP). President Trump nominated Dr. Christine of Mountain Brook, Alabama to be Assistant Secretary for Health at the Department of Health and Human Services (HHS). During their exchange, Sen. Tuberville and Dr. Christine discussed the importance of the Make America Health Again movement, along with Dr. Christine’s goals for improving rural healthcare.
Read excerpts from their exchange below or on YouTube or Rumble.
TUBERVILLE: “Thank you very much. It’s an honor to introduce my friend and constituent, Dr. Brian Christine. Also thrilled to welcome today his wife, Helena, and sister, Kathleen. Thank you for being here.
Dr. Christine is a board-certified urologic surgeon with nearly 30 years of clinical experience serving patients in Birmingham, Alabama. A recognized medical expert, Dr. Christine is known for teaching and demonstrating advanced surgical techniques, both nationally and internationally. Born in West Germany to a decorated U.S. Army combat veteran and the grandson of Italian immigrants, he will bring a lifelong dedication to service, resilience, and American values to this role. Dr. Christine attended college in Georgia, what’s going on here? And earned his medical degree from Emory University. He later moved to Birmingham for his residency and has since dedicated his career to caring for the men and women of Alabama. Beyond the operating room, he has supported local law enforcement by volunteering as a trauma surgeon with tactical police units. If confirmed, Dr. Christine will oversee critical public health programs, regional health offices and U.S. Public Health Service Commissioned Corps where he has pledged to accept a commission and lead with a Main Street medicine approach.
His top priorities include addressing chronic disease such as diabetes, hypertension, pediatric obesity, mental health, and the nation’s physician shortage crisis. He is particularly focused on expanding access to primary care and improving health in rural and underserved communities.
With deep medical expertise, leadership experience, and a clear vision for reform, he is well equipped to serve as Assistant Secretary for Health, and I hope my federal colleagues will support his nomination – Dr. Christine.”
DR. CHRISTINE: “Senator Tuberville, thank you so much for your kind words. Thank you also for the service that you’ve rendered to our nation here in the U.S. Senate and the service you have and will render to our home state of Alabama.”
TUBERVILLE: “Thank you, Mr. Chairman. Dr. Christine, in my lifetime, I’ve never seen the deterioration of an institution like we have in the trust of the American people after COVID. How are you gonna try to put that back together? Because we desperately need some help in getting a positive attitude towards our hospitals and our doctors back to the American people.”
DR. CHRISTINE: “Yes, Senator Tuberville, number one, thank you so much for being here. Again, thank you for your introduction. Thank you for meeting with me before today’s hearing. I’m truly appreciative. The loss of trust that we have seen in our healthcare institutions and the healthcare policies emanating from this city are the worst that I’ve seen in over three decades of practice. People feel that during the pandemic particularly they were led astray, some people feel they were lied to. We have to work to restore that trust. Secretary Kennedy is 100% committed to doing that, as is President Trump.
In my career as a surgeon, I’ve had to earn the trust of my patients, allowing me to operate on them, literally take their life within my hands. I believe I have the ability to communicate to patients and now hopefully to the American public at large and approach them and give them a sense that what I’m saying, what I’m telling is truly for the good of the country [and] comes from a position of honesty and transparency. I’ve had to do that for over 30 years as a surgeon and as a physician. I truly believe I can bring that skillset to the office of the Assistant Secretary for Health.”
TUBERVILLE: “Yeah. The American people are tired of being lied to about their food, the ingredients, things that we’re now finding out that are detrimental to our health. And up here, you know, we seem to overlook all that, but we need to start looking out for the American people. How do you plan to help the Secretary with that?”
DR. CHRISTINE: “Well, we know that Secretary Kennedy is absolutely committed to the Make America Healthy Again agenda to remove toxins from our foods, to make sure that all have access to clean water, that we focus on not just treating chronic disease, but finding out what causes chronic disease, diabetes, hypertension, obesity, and work to not only cure those diseases, but really prevent and eliminate those diseases. Secretary Kennedy is always wanting to approach things from the foundation of science. He truly believes in that. I agree with the Secretary on all of those things. I intend to support him. I intend to work diligently if I have the privilege of being confirmed. To support him in that quest to make Americans healthier than they’ve ever been.” […]
TUBERVILLE: “Dr. Christine, rural America. We got problems getting healthcare. Our state is 60% rural in Alabama. Most of the south is rural. How do we handle that problem?”
DR. CHRISTINE: “Yes, Senator. [I think] one of the things you’re speaking about are healthcare deserts – those areas where men, women and their children don’t have ready access to primary care services such as pediatrics or gynecologic services or family practice. We have to find ways to bridge those gaps. I think that absolutely telehealth can help provide a bridge to these individuals. We’ll see what AI brings in the future. But again, technology can help bridge this gap. We absolutely must encourage and must increase the number of primary care physicians, family practitioners, pediatricians, gynecologists and opticians and primary care nurses […] to help bridge this gap as well. Now that takes a while to spin that up. But in the interim, we have to find ways to bridge the gaps. We do have to use technology. I believe that I, as Assistant Secretary for Health, one of the things that I intend to do, if I’m privileged to be in that position, will be to be a true evangelist to really go out and encourage young men and women who are in medical school and nursing school to serve in these areas. Young men and women getting into healthcare, they want a mission. Wanna help them understand that that mission to serve our brothers and sisters in rural America and healthcare deserts is truly noble and is worthwhile.”
TUBERVILLE: “And one thing we need to sell to in rural hospitals is loyalty to the people in these communities to go to these rural hospitals so we can save them. It’s not just that they’re not being served. It’s just we have to have loyalty in those areas. Thank you.”
Senator Tommy Tuberville represents Alabama in the United States Senate and is a member of the Senate Armed Services, Agriculture, Veterans’ Affairs, HELP and Aging Committees.
Doing NASA Science brings many rewards. But can taking part in NASA citizen science help your career? To find out, we asked participants in NASA’s Exoplanet Watch project about their experiences. In this project, amateur astronomers work together with professionals to track planets around other stars. First, we heard from professional software programmers. Right away, one of them told us about getting a new job through connections made in the project. “I decided to create the exoplanet plugin, [for citizen science] since it was quite a lot of manual work to check which transits were available for your location. The exoplanet plugin and its users got me in contact with the Stellar group… Through this group, I got into contact with a company called OurSky and started working for them… the point is, I created a couple of plugins for free and eventually got a job at an awesome company.” Another participant talked about honing their skills and growing their confidence through Exoplanet Watch. “There were a few years when I wasn’t actively coding. However, Exoplanet Watch rekindled that spark…. Participating in Exoplanet Watch even gave me the confidence to prepare again for a technical interview at Meta—despite having been thoroughly defeated the first time I tried.” Teachers and teaching faculty told us how Exoplanet Watch gives them the ability to better convey what scientific research is all about – and how the project motivates students! “Exoplanet Watch makes it easy for undergraduate students to gain experience in data science and Python, which are absolutely necessary for graduate school and many industry jobs.” “Experience with this collaborative work is a vital piece of the workforce development of our students who are seeking advanced STEM-related careers or ongoing education in STEM (Science, Technology, Engineering, & Mathematics) fields after graduation… Exoplanet Watch, in this way, is directly training NASA’s STEM workforce of tomorrow by allowing CUNY (The City University of New York) students to achieve the science goals that would otherwise be much more difficult without its resources.” One aspiring academic shared how her participation on the science team side of the project has given her research and mentorship experience that strengthens her resume. “I ended up joining the EpW team to contribute my expertise in stellar variability… My involvement with Exoplanet Watch has provided me with invaluable experience in mentoring a broad range of astronomy enthusiasts and working in a collaborative environment with people from around the world. … Being able to train others, interact in a team environment, and work independently are all critical skills in any work environment, but these specific experiences have also been incredibly valuable towards building my portfolio as I search for faculty positions around the USA.” There are no guarantees, of course. What you get out of NASA citizen science depends on what you put in. But there is certainly magic to be found in the Exoplanet Watch project. As one student said: “Help will always be found at Hogwarts, to those who need it.” Exoplanet Watch was definitely Hogwarts for me in my career as an astronomer!” For more information about NASA and your career, check out NASA’s Surprisingly STEM series highlighting exciting and unexpected jobs at NASA, or come to NASA Career Day, a virtual event for students and educators. Participants must register by September 4, 2025. The interactive platform will be open from September 15-19, with live panels and events taking place on September 18.
Exoplanet Watch volunteer Bryan Martin Credit: Bryan Martin
Source: United States House of Representatives – Congressman Don Bacon (2nd District of Nebraska)
Bacon Lauds Progress on FY26 Defense Policy Bill
Washington – Late Tuesday evening, Rep. Don Bacon (R-NE-02) Chairman of the House Armed Services Committee’s (HASC) Cyber, Information Technologies, and Innovation Subcommittee (CITI), voted in favor of advancing H.R. 3838, the Streamlining Procurement for Effective Execution and Delivery and National Defense Authorization Act (NDAA) for Fiscal Year 2026. The bill was reported out of committee by a vote of 55 – 2. The annual legislation, which contains multiple amendments and provisions authored by Rep. Bacon, authorizes defense spending and sets the policy and priorities for the Armed Forces.
“Once again, the People’s House proves that bipartisan progress is possible where it matters most,” said Chairman Bacon after completing his ninth annual full-committee markup of the NDAA. “When it comes to national security, the American people expect us to work across the aisle to provide for the common defense. It’s been a long couple of months, but I am proud of what we produced and look forward to advancing this important legislation in the House.”
Highlights from the committee’s FY 2026 bill include:
Sets major reforms to the defense acquisition system to speed development and fielding of modern technologies while reducing bureaucracy
Preserves development of the U.S. Air Force E-7 advanced airborne warning and control system
Preserves U.S. force posture in Europe and authorizes additional security assistance to Ukraine
Fully funds modernization of the U.S strategic nuclear deterrent including development of the Sea-Launched Cruise Missile – Nuclear
In addition, the committee’s bill contains numerous legislative proposals sponsored by Rep. Bacon, including:
Directs the Secretary of Defense to prepare an implementation plan to establish a Joint Task Force Cyber for the Indo-Pacific area of operations
Directs the Secretary of the Air Force to provide an acquisition and fielding strategy for the F-47 advanced fighter aircraft program
Directs the Secretary of Defense to provide an independent assessment of toxic exposure in the AF ICMB community
Directs the Secretary of Defense to provide an implementation plan to reform Department of Defense (DoD) casualty assistance programs
Directs the Secretary of Defense to establish the Civil Reserve Manufacturing Network
Directs significant security upgrades to DoD mobile telecommunications
Directs the major defense acquisitions programs to prepare digital manufacturing transition plans for critical components
Directs the Secretary of Defense to establish the Center for Strategic Deterrence and WMD Studies at the National Defense University
Directs the Secretary of Defense to improve cancer detection and prevention measures for DoD firefighters
Directs updates on the U.S. Space Force Satellite Control Network
Watch Rep. Bacon’s remarks here and see full remarks as delivered below:
“Thank you, Chairman Rogers. I want to begin by thanking all the members of the subcommittee for their dedication and thoughtful work in creating a strong, bipartisan, Cyber, IT and Innovative Subcommittee print. The subcommittee’s package advances departments’ cyber and innovation ecosystems and conducts critical oversight. I also want to thank our great subcommittee staff, led by Sarah Moxley. Every member of the staff are professional experts on both sides of the aisle.
“The subcommittee’s mission is to ensure that warfighters are armed with the most innovative technologies that improve lethality and increase U.S. capabilities. Modern technology is fast paced, so ensuring the department of Defense is at the leading edge of technology is imperative to deterring adversaries. Warfighters must have the tools to fight across all domains on the battlefield, in cyberspace, now and in the future.
“I’m looking forward to continuing to optimize these efforts as the committee considers the FY 26 NDAA. The FY 26 CITI subcommittee print prioritizes the continued improvement of testing and evaluation through digital processes, supports the research and development of novel technologies, and improves the department’s cyber practices. This package brings flexibility for research and development across the department to ensure rapid innovation.
“The print achieves this through the empowering of the undersecretary of defense for research and engineering, and improving the ability to do developmental prototyping, creating a bridge over the Valley of Death. It also directs the use of digital engineering and modern software practices to create a more agile and accurate testing and evaluation process.
“Additionally, the subcommittee print directs the department to use modern technology to improve processes and cyber practices, provisions leverage AI to bolster cybersecurity skills, create new lines of efforts for using generative AI, and continue to lay out the framework for the department’s adoption of AI. The subcommittee print supports the continued research and development of hypersonic programs and modernization and expansion of hypersonic testing and evaluation. Finally, the print includes several recommendations from the National Security Commission on Emerging Biotechnology.
“These provisions give the department tools to optimize the military use of biotechnology, to guarantee that the U.S. remains the world’s leader in biotechnology innovation. Overall, the subcommittee print ensures the U.S. remains status as the most lethal warfighting force in the world. Lastly, I want to thank Ranking Member Khanna for his bipartisanship and dedication to producing the subcommittee print.
“We believe this package will continue to give the department the flexibility and tools needed to deliver the most modern technology to the hand of the warfighters. And with that, I yield back.”
Few issues ignite communities more fiercely than what to do with land. The prospect of releasing small portions of green belt land for housing developments, a windfarm proposal or plans for a new road can transform mild-mannered citizens into passionate advocates overnight.
This visceral connection between people and place perfectly illustrates the famous observation that “all politics is local”. In England, the principle that every citizen should be given the opportunity to “have their say” on planning matters is enshrined in law. Before any planning document is adopted, local authorities must give the public the chance to provide feedback.
The logic for this is based on a common-sense morality: before binding decisions are made about how an area might change, the local people who have to live with those decisions should be given the opportunity to endorse or reject that plan.
In practice this is a hugely cumbersome process. Local authorities have to make sense of thousands of comments. This prompted my colleagues and I at the University of Liverpool to begin thinking about how AI could be used to make this process more efficient.
Once a local authority publishes the relevant local planning document, every citizen, company, public, private or third sector organisation has the right to submit a written response. These may address the entire document or focus on a specific issue.
In all cases, the local authority is obliged to collate, comprehend and concisely summarise all public submissions. They will then decide whether the document requires amendments or if further evidence is needed to justify the proposals.
This creates an overwhelming burden for planning departments up and down the country. In high-development areas, submissions often number in the tens of thousands. And individual submissions range from a few sentences to over 100 pages.
Planners must read, absorb and synthesise all this information into a final report which will be used to make a decision. This report must fairly represent the aggregate views across all submissions.
Beyond the sheer volume of responses, human cognitive limitations and biases further complicate the process. Some submissions may be given greater emphasis than others. Recently read submissions are likely to have a greater influence on the reader than those reviewed earlier.
A digital solution
These challenges prompted us to explore alternatives. We partnered with Greater Cambridge Shared Planning – the planning authority for Cambridge City and South Cambridgeshire District Councils – to develop an AI-powered solution. Our tool, Plan AI, would read and summarise public submissions to the planning process.
In 2025, my colleagues and I conducted a real-world experiment. Three live public consultation exercises were processed in parallel – once by planners and once by Plan AI.
It took a planning officer just over 60 hours in total to download and process 320 submissions. Eighteen hours of this time was used to summarise each submission – a task that took Plan AI only 16 minutes. In that time, the AI tool was also able to create comprehensive reports identifying key themes, referenced sources and geographic analysis of the submissions.
A subsequent qualitative assessment found there to be no discernible difference in the quality of the summaries produced by the human planning officer and those by Plan AI. In fact, the general overview document produced by Plan AI is a significant addition to what would normally be produced. It included a geographic analysis of the origins of submissions – crucial information for planners to understand which communities and demographic groups were participating in the consultation.
Controversial planning proposals can attract tens of thousands of public comments. pjhpix/Shutterstock
The future of planning
The UK government has set out a vision for local authorities to embrace AI for reducing administrative burden and improving the efficiency of government. For example, it recently rolled out an AI tool, developed with Google DeepMind, to digitise planning records.
The implications of experiments like these are far reaching. Planners can focus on their core expertise – assessing applications and supporting government priorities for housing, new towns and infrastructure renewal – rather than spending countless hours processing public comments.
AI can process vast amounts of text more consistently and comprehensively than humans. It can also identify connections between submissions that might otherwise be missed.
With the administrative burden drastically reduced, local authorities could potentially consult citizens more frequently across a wider range of planning issues, making planning even more democratic. Planners freed from paperwork could also dedicate more time to meaningful public engagement.
Of course, one danger with AI is that it could be used on the other side of the consultation, to generate a large volume of submissions in an attempt to over-amplify a particular point of view. However, AI tools could be used to defend against this.
PlanAI or similar programmes can generate an immediate summary of a comment submission, an ideal opportunity to insert a verification check that the submitter is indeed human. Putting the human back in the loop in this way reduces the potential for AI to be used to skew consultations.
By building the right tools and systems, we can create planning processes that are both more efficient and more responsive to citizen input – a win for democracy and effective governance alike.
PlanAI was developed under a paid contract with Greater Cambridge Shared Planning. At the time of publication, it is not sold or marketed to other governments or authorities, but may be so in the future. Alex Lord and the other researchers involved received funding from the UK government’s PropTech initiative and Greater Cambridge Shared Planning.
Source: United States House of Representatives – Congressman Donald Norcross (1st District of New Jersey)
WASHINGTON, D.C. — Today, Ranking Member of the House Armed Services Committee’s Tactical Air and Land Forces Subcommittee and Member of the Seapower and Projection Forces Subcommittee, Congressman Donald Norcross (D-NJ), advanced the Fiscal Year 2026 National Defense Authorization Act (NDAA) out of committee and secured priorities that invest in South Jersey and increase national defense innovation. This is the 65th year that the NDAA, the largest authorization bill in Congress with a budget of $882.6 billion, passed out of committee, continuing the tradition of bipartisan cooperation on this bill.
“The National Defense Authorization Act (NDAA) that was passed out of committee is a commitment to our nation’s security and a steadfast investment in the courageous men and women in our armed forces. It ensures that we have what every commander wants for their troops: that they are manned, trained, and equipped with the best to carry out our nation’s mission and return home safely. It provides a $3.8% pay raise to all servicemembers and it cuts down on red tape to make certain that our men and women in uniform have the resources they need to keep our country safe,” said Congressman DonaldNorcross. “This bipartisan legislation strengthens our industrial base, reinforces Buy American principles, supports our allies, and includes the Streamlining Procurement for Effective Execution and Delivery (SPEED) Act to streamline procurement and decision-making. As ranking member of the Tactical Air and Land Subcommittee, I will continue to work with my colleagues on both sides of the aisle to strengthen our national defense, continue investing in our industrial base, and deliver for South Jersey.”
The FY26 NDAA improves military readiness and strengthens American industry by cutting red tape, fixing outdated systems, and supporting defense innovation. The FY26 NDAA also includes a 3.8% pay raise for all servicemembers and a 60 percent increase in the Family Separation Allowance which increases the monthly allowance to military families separated due to mission requirements.
Rep. Norcross authored an amendment that was adopted in a bipartisan vote to protect Department of Defense employees by restoring their collective bargaining rights after President Trump illegally issued an executive order that stripped these rights away.
Fiscal Year 2026 NDAA Priorities Secured by Rep. Norcross:
Over $618 million for CH-47 helicopters, which will be manufactured by South Jersey workers.
Over $2.5 billion for the KC-46 refueler aircraft, which flies out of Joint Base McGuire-Dix Lakehurst.
$5 million to Rowan University for research, development, and engineering to enable rapid entry and sustainment in the Arctic and other cold regions being conducted.
Protected Buy American principles, American jobs, and manufacturing by making sure defense programs continue using U.S.-made parts and materials, keeping our industrial base strong
Required a detailed Pentagon briefing on how it will spend reconciliation funds to strengthen and modernize the munitions industrial base, holding the Pentagon accountable for how it will use the funds.
Required a DoD study on the state of the skilled trade workforce essential to Navy shipbuilding to strengthen the training and workforce pipeline and increase our shipbuilding capacity.
Protected the E-7 Wedgetail program from cancellation, ensuring $800 million in continued investment in this critical airborne warning and control capability.
$9.9 million investment to enhance Army command and control for unmanned systems and their defense which will be developed by South Jersey workers.
$10 million for research and development of man-portable doppler radars for Army Network Command, Control, Communication, and Intelligence (C3I) Technology.
$50 million to support U.S.-Israel anti-tunneling cooperation.
Source: The Conversation – USA – By Robin R. Murphy, Professor of Computer Science and Engineering, Texas A&M University
The landscape In the aftermath of a flood makes it challenging to spot victims.AP Photo/Gerald Herbert
For search and rescue, AI is not more accurate than humans, but it is far faster.
Recent successes in applying computer vision and machine learning to drone imagery for rapidly determining building and road damage after hurricanes or shifting wildfire lines suggest that artificial intelligence could be valuable in searching for missing persons after a flood.
Machine learning systems typically take less than one second to scan a high-resolution image from a drone versus one to three minutes for a person. Plus, drones often produce more imagery to view than is humanly possible in the critical first hours of a search when survivors may still be alive.
Unfortunately, today’s AI systems are not up to the task.
We are robotics reseacherswho study the use of drones in disasters. Our experiences searching for victims of flooding and numerous other events show that current implementations of AI fall short.
However, the technology can play a role in searching for flood victims. The key is AI-human collaboration.
Drones have become standard equipment for first responders, but floods pose unique challenges. Eric Smalley, CC BY-ND
AI’s potential
Searching for flood victims is a type of wilderness search and rescue that presents unique challenges. The goal for machine learning scientists is to rank which images have signs of victims and indicate where in those images search-and-rescue personnel should focus. If the responder sees signs of a victim, they pass the GPS location in the image to search teams in the field to check.
The ranking is done by a classifier, which is an algorithm that learns to identify similar instances of objects – cats, cars, trees – from training data in order to recognize those objects in new images. For example, in a search-and-rescue context, a classifier would spot instances of human activity such as garbage or backpacks to pass to wilderness search-and-rescue teams, or even identify the missing person themselves.
A classifier is needed because of the sheer volume of imagery that drones can produce. For example, a single 20-minute flight can produce over 800 high-resolution images. If there are 10 flights – a small number – there would be over 8,000 images. If a responder spends only 10 seconds looking at each image, it would take over 22 hours of effort. Even if the task is divided among a group of “squinters,” humans tend to miss areas of images and show cognitive fatigue.
The ideal solution is an AI system that scans the entire image, prioritizes images that have the strongest signs of victims, and highlights the area of the image for a responder to inspect. It could also decide whether the location should be flagged for special attention by search-and-rescue crews.
Where AI falls short
While this seems to be a perfect opportunity for computer vision and machine learning, modern systems have a high error rate. If the system is programmed to overestimate the number of candidate locations in hopes of not missing any victims, it will likely produce too many false candidates. That would mean overloading squinters or, worse, the search-and-rescue teams, which would have to navigate through debris and muck to check the candidate locations.
Developing computer vision and machine learning systems for finding flood victims is difficult for three reasons.
One is that while existing computer vision systems are certainly capable of identifying people visible in aerial imagery, the visual indicators of a flood victim are often very different compared with those for a lost hiker or fugitive. Flood victims are often obscured, camouflaged, entangled in debris or submerged in water. These visual challenges increase the possibility that existing classifiers will miss victims.
Second, machine learning requires training data, but there are no datasets of aerial imagery where humans are tangled in debris, covered in mud and not in normal postures. This lack also increases the possibility of errors in classification.
Third, many of the drone images often captured by searchers are oblique views, rather than looking straight down. This means the GPS location of a candidate area is not the same as the GPS location of the drone. It is possible to compute the GPS location if the drone’s altitude and camera angle are known, but unfortunately those attributes rarely are. The imprecise GPS location means teams have to spend extra time searching.
How AI can help
Fortunately, with humans and AI working together, search-and-rescue teams can successfully use existing systems to help narrow down and prioritize imagery for further inspection.
In the case of flooding, human remains may be tangled among vegetation and debris. Therefore, a system could identify clumps of debris big enough to contain remains. A common search strategy is to identify the GPS locations of where flotsam has gathered, because victims may be part of these same deposits.
A machine learning algorithm identified piles of debris large enough to contain bodies in an aerial image of a flood aftermath. Center for Robot-Assisted Search and Rescue and University of Maryland
An AI classifier could find debris commonly associated with remains, such as artificial colors and construction debris with straight lines or 90-degree corners. Responders find these signs as they systematically walk the riverbanks and flood plains, but a classifier could help prioritize areas in the first few hours and days, when there may be survivors, and later could confirm that teams didn’t miss any areas of interest as they navigated the difficult landscape on foot.
Robin R. Murphy receives funding from the National Science Foundation. She is affiliated with the Center for Robot-Assisted Search and Rescue.
Thomas Manzini is affiliated with the Center for Robot Assisted Search & Rescue (CRASAR), and his work is funded by the National Science Foundation’s AI Institute for Societal Decision Making (AI-SDM).
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In May and June, growth in production and consumption became more moderate. However, the situation was uneven across industries and regions.
More restrained dynamics of demand in the housing market reduced the launch of new projects in many regions of the country, furniture production in Central Russia and the Volga region decreased. At the same time, cargo turnover of the ports of the Far East increased again, the output of meat and dairy enterprises in the Urals and the North-West remained at a high level. In Siberia, after 2 years of growth, the volumes of paper and paper products production stabilized, including due to difficulties with export.
Special topics of this issue are the dynamics of import deliveries and stocks, the situation on the labor market, and the passenger car market.
Please note: This information is raw content obtained directly from the source of the information. It is an accurate report of what the source claims and does not necessarily reflect the position of MIL-OSI or its clients.
Source: State University “Higher School of Economics” –
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Effective 16 July 2025, the United Nations Secretary-General António Guterres has designated Ms. Diene Keita as Acting Executive Director of the United Nations Population Fund (UNFPA).
Ms. Keita, who has served as UNFPA’s Assistant Secretary-General and Deputy Executive Director (Programme) since August 2020, will serve as Acting Executive Director of UNFPA until a new Executive Director is appointed. This designation follows the retirement of Dr. Natalia Kanem after her distinguished tenure of more than eight years at the helm of the organization.
Ms. Keita brings to the role over three decades of leadership in international development and public service. Her career includes service as Minister for Cooperation and African Integration for the Republic of Guinea, alongside extensive experience within the United Nations. She has held senior leadership positions within UNFPA, including as Representative in Nigeria and the Democratic Republic of Congo—two of the organization’s largest programmes. She has acted as United Nations Resident Coordinator in Mauritania, Benin, and the Democratic Republic of Congo. Ms. Keita began her United Nations career in 1990 with the United Nations Development Programme (UNDP).
Throughout her career, Ms. Keita has worked extensively on the empowerment of women and youth, inclusive growth, demographic issues, and sustainable human development. She has focused on addressing sexual and reproductive health, as well as on ending gender-based violence in humanitarian settings.
Ms. Keita holds a doctorate in Law and advanced degrees in International Economics and Development Law and International Relations from the University of Paris 1 Panthéon-Sorbonne. She is fluent in English, French and Italian.
Gloomy economic figures have heaped more pressure on the British government and its promise to improve growth. And if that wasn’t enough, there have also been some stark warnings about public finances and the country’s ability to service its debts.
All of this has led to a growing expectation that the UK chancellor Rachel Reeves will have to bring in some significant tax hikes later this year, or reduce government spending.
But both of these options could worsen the long-term economic outlook, by further constraining GDP growth. That was precisely the fate of governments that pursued an agenda of “austerity” – cuts in spending and higher taxes – to tackle the expanded public debt after the financial crisis of 2008.
It was a strategy that ultimately led to higher public debt. Put simply, when governments spend less, GDP tends to fall. And when GDP falls and a country is less productive, tax revenues go down too.
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To make things even more complicated for the chancellor, the UK government has also widened its debt risk by changing its fiscal rules to acknowledge extra financial responsibilities.
This adjustment gave the government more financial assets, including student loans and public pension holdings. But it also meant taking on more liabilities, including the pension schemes it would have to bail out if necessary.
In July 2025, the Office for Budget Responsibility (OBR) identified several other sectors – including universities, housing associations and water companies – whose large debts could become government liabilities in the future.
A bigger balance sheet automatically means more public financial risk. And climate change further raises these risks, the OBR says, by forcing the government to spend more on dealing with environmental damage and eroding fossil-fuel taxes, which still raise around £24 billion for the Treasury.
The OBR is also concerned about the rising cost of pensions for an ageing population. In fact, the UK’s system is not particularly expensive, partly due to its reliance on private pensions (funded by employers and employees).
Yet this reliance brings a different kind of government cost. For these private sector schemes have attempted to insulate themselves against the strains of an ageing population, as more employees retire than join the workforce (and as retirees live longer).
Often this has involved shifting from “defined benefit” plans, which guarantee retirement income, to “defined contribution” plans, where payouts depend on how much members pay in and how well funds are invested.
But that shift has also made it harder for the government to borrow the money it needs for public spending.
Defined benefit funds, seeking a steady long-term return, used to be big buyers of UK government bonds (gilts) – the financial assets that the government sells to raise money. In contrast, defined contribution funds invest mainly in equities (company shares), which promise a higher return on investment that can grow pension pots faster.
UK industrial policy supports this shift from gilts to other assets. It wants pension funds to invest in innovation and infrastructure as a way of stimulating its often mentioned mission of economic growth.
The growth gamble
Yet the move by pensions towards equities is steadily deflating demand for new government bonds. This then forces the government to pay higher interest rates to attract enough buyers, often from overseas.
There is also pressure on the government to relax the “triple lock” on state pensions. This pledge – to raise the basic state pension by at least 2.5% every year, and maintained by all parties since 2011 – is costing around three times as much as was projected at launch, despite fewer pensioners escaping poverty since it was introduced.
Overall, inflation and an ageing population have lifted state spending on pensions to around 5% of GDP.
These pressures all strengthen the view that the government will need another tax-raising budget this year. How else will it pay for its plans for spending on healthcare, housing, infrastructure and defence?
Hopes that a faster-growing economy would narrow the deficit, by boosting tax receipts and reducing spending requirements, have not been fulfilled.
Yet calls for significant tax increases – which could dampen growth – may still be be resisted.
Under pressure, she may well consider a compromise like a “wealth tax” targeting the richest, that would also satisfy the Labour left. Yet the only way to really raise significant extra funds is to increase income tax, VAT or national insurance, which would be extremely risky politically.
But all economic policy comes with risk. And she may end up sticking with her position and putting her (taxpayers’) money on the hope that today’s deficit will eventually be narrowed by faster growth. Relying on more investment to solve economic problems depends on investors trusting the economic stability of the UK, which is a gamble. But it is a gamble the government may still be willing to take.
Alan Shipman has received funding from the British Academy/Leverhulme Trust and the Harry Ransom Center, University of Texas at Austin.
UK chancellor Rachel Reeves would like Britons to invest more in stocks – particularly UK stocks – rather than keep their money in cash. She has even urged the UK finance industry to be less negative about investing and highlight the potential gains as well as the risks.
Stock ownership is important for governments for a variety of reasons. Boosting capital markets can encourage business expansion, job creation and long-term economic growth. It can also give people another source of income in later life, especially as long-term investing can offer greater returns than saving.
But in the UK, excluding workplace pensions, only 23% of people have invested in the stock market, compared to nearly two-thirds in the US. Survey results suggest that American consumers are generally more comfortable with financial risks.
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And it appears that a greater degree of risk translates into closer political engagement. During market shocks driven by US president Donald Trump’s tariff chaos, many Americans tracked headlines – and their portfolios – closely. This contrasts with the UK, where most people keep their savings in safer assets like cash savings accounts or premium bonds.
If Britons are more risk-averse, media coverage that tends to be noisier when markets fall than when they recover may be having an impact. While concerns regarding market volatility may be valid, they can overshadow the long-term benefits of investing.
One key opportunity that many British consumers have missed out on is the rise of low-cost, diversified exchange-traded funds (ETFs), which have made investing more accessible and affordable. An ETF allows investors to buy or sell baskets of shares on an exchange. For example, a FTSE100 ETF gives investors exposure to the UK’s top 100 companies without having to buy each one individually.
This is exactly the kind of long-term, low-cost investing that Reeves appears to be promoting. But should savers be worried about current market volatility – much of it driven by trade tensions and tariff uncertainty? One view, of course, is that volatility is simply part of investing.
But it could also be argued that big shifts within the space of a single month are often exaggerated. People are also likely to be put off by news headlines, which tend to exaggerate the swings in the market.
Examining daily excess returns in the US stock market from November 2024 to April 2025, I plotted cumulative returns (which show how an investment grows over time by adding up past returns) within each month. April 2025 stands out. Despite experiencing several sharp daily losses, the market rebounded swiftly in the days that followed.
This pattern isn’t new. Historically, markets have shown a remarkable ability to recover from short-term shocks. Yet many potential investors could be deterred by alarming headlines that, while factually accurate, often highlight single-day declines without broader context.
The reality is that the stock market is frequently a series of short-lived storms. These are volatile, yes, but often followed by calm and recovery.
Fear and caution
During market downturns, it’s common for people to try to understand why this time is worse or analyse if this crash is more serious than previous ones.
The fear these headlines generate could feed into barriers to long-term investing in the UK. And that’s one of the challenges the chancellor faces in encouraging more Britons to invest.
For those already invested in the stock market, short-term declines are part of the journey. They are risks that can be borne with the understanding that markets tend to recover over time.
My analysis of daily US stock market data since 1926 shows that after sharp daily drops, the market often rebounds quickly (see pie chart below). In fact, more than a quarter of recoveries occur within just a few days.
But this resilience is rarely the focus of media coverage. It’s far more common to see headlines reporting that the market is down than to see follow-ups highlighting how quickly it bounced back.
Research has shown that negative economic information is likely to have a greater impact on public attitudes. For example, a sharp drop in the stock market might dominate front pages, while a steady recovery over the following weeks barely gets a mention. The imbalance reinforces a sense of crisis, even when the broader picture is less bleak.
Markets went on to recover in April 2025… but did the headlines reflect this? David G40/Shutterstock
Unbalanced reporting can distort perceptions, discouraging potential investors who might otherwise benefit from long-term participation in the market. It appears that American perceptions of their finances are also affected by news coverage in a similar way.
Over the long term, the difference between stock market returns and the generally lower returns from government bonds is known as the “equity risk premium puzzle”. Economists have long debated why this gap is so large. Some observers argue it may narrow in the future. But many others, including the chancellor, believe that investing in the stock market remains a beneficial long-term strategy.
If more people are to benefit from long-term investing, it’s vital to tell the full story. That means not just highlighting when markets fall, but following up on how they recover afterwards.
Sam Pybis 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.
From your phone to your sponge, your toothbrush to your trolley handle, invisible armies of bacteria are lurking on the everyday objects you touch the most. Most of these microbes are harmless – some even helpful – but under the right conditions, a few can make you seriously ill.
But here’s the catch: some of the dirtiest items in your life are the ones you might least expect.
Here are some of the hidden bacteria magnets in your daily routine, and how simple hygiene tweaks can protect you from infection.
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Shopping trolley handles
Shopping trolleys are handled by dozens of people each day, yet they’re rarely sanitised. That makes the handles a prime spot for germs, particularly the kind that spread illness.
One study in the US found that over 70% of shopping carts were contaminated with coliform bacteria, a group that includes strains like E. coli, often linked to faecal contamination. Another study found Klebsiella pneumoniae, Citrobacter freundii and Pseudomonas species on trolleys.
Protect yourself: Always sanitise trolley handles before use, especially since you’ll probably be handling food, your phone or touching your face.
Kitchen sponges
That sponge by your sink? It could be one of the dirtiest items in your home. Sponges are porous, damp and often come into contact with food: ideal conditions for bacteria to thrive.
After just two weeks, a sponge can harbour millions of bacteria, including coliforms linked to faecal contamination, according to the NSF Household Germ Study and research on faecal coliforms.
Protect yourself: Disinfect your sponge weekly by microwaving it, soaking it in vinegar, or running it through the dishwasher. Replace it if it smells – even after cleaning. Use different sponges for different tasks (for example, one for dishes, another for cleaning up after raw meat).
Chopping boards
Chopping boards can trap bacteria in grooves left by knife cuts. Salmonella and E. coli can survive for hours on dry surfaces and pose a risk if boards aren’t cleaned properly.
Protect yourself: Use separate boards for raw meat and vegetables. Wash thoroughly with hot, soapy water, rinse well and dry completely. Replace boards that develop deep grooves.
Tea towels
Reusable kitchen towels quickly become germ magnets. You use them to dry hands, wipe surfaces and clean up spills – often without washing them often enough.
Research shows that E. coli and salmonella can live on cloth towels for hours.
Protect yourself: Use paper towels when possible, or separate cloth towels for different jobs. Wash towels regularly in hot water with bleach or disinfectant.
Mobile phones
Phones go everywhere with us – including bathrooms – and we touch them constantly. Their warmth and frequent handling make them ideal for bacterial contamination.
Research shows phones can carry harmful bacteria, including Staphylococcus aureus.
Protect yourself: Avoid using your phone in bathrooms and wash your hands often. Clean it with a slightly damp microfibre cloth and mild soap. Avoid harsh chemicals or direct sprays.
Protect yourself: Store your toothbrush as far from the toilet as possible. Rinse it after each use, let it air-dry upright and replace it every three months – or sooner if worn.
Bathmats
Cloth bathmats absorb water after every shower, creating a warm, damp environment where bacteria and fungi can thrive.
Protect yourself: Hang your bathmat to dry after each use and wash it weekly in hot water. For a more hygienic option, consider switching to a wooden mat or a bath stone: a mat made from diatomaceous earth, which dries quickly and reduces microbial growth by eliminating lingering moisture.
Pet towels and toys
Pet towels and toys stay damp and come into contact with saliva, fur, urine and outdoor bacteria. According to the US national public health agency, the Centers for Disease Control and Prevention, pet toys can harbour E. coli, Staphylococcus aureus and Pseudomonas aeruginosa.
Protect your pet (and yourself): Wash pet towels weekly with hot water and pet-safe detergent. Let toys air dry or use a dryer. Replace worn or damaged toys regularly.
Protect yourself: Bring your own tools to salons or ask how theirs are sterilised. Reputable salons will gladly explain their hygiene practices.
Airport security trays
Airport trays are handled by hundreds of people daily – and rarely cleaned. Research has found high levels of bacteria, including E. coli.
Protect yourself: After security, wash your hands or use sanitiser, especially before eating or touching your face.
Hotel TV remotes
Studies show hotel remote controls can be dirtier than toilet seats. They’re touched by many hands and rarely sanitised.
Common bacteria include E. coli, enterococcus and Staphylococcus aureus, including MRSA, according to research.
Protect yourself: Wipe the remote with antibacterial wipes when you arrive. Some travellers even put it in a plastic bag. Always wash your hands after using shared items.
Bacteria are everywhere, including on the items you use every day. You can’t avoid all germs, and most won’t make you sick. But with a few good habits, such as regular hand washing, cleaning and smart storage, you can help protect yourself and others.
Manal Mohammed 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.
Source: The Conversation – UK – By Laudan Nooshin, Professor of Music, School of Communication and Creativity, City St George’s, University of London
One of the first things to greet visitors at the V&A’s new Design and Disability exhibition is a striking blue bench by artist Finnegan Shannon titled, Do You Want Us Here Or Not? This exhibit is a response to the often inadequate seating in museums, which not only acts as a barrier to accessibility for many people, but is more widely symptomatic of ableist approaches to museum and exhibition design.
In this case, the invitation to “Please sit here!” sets the tone for the whole exhibition, which also includes a large sensory map of the layout (located at wheelchair level), a tactile map, and QR codes that link to audio description for blind and partially sighted visitors, and also British Sign Language interpretation.
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Aiming to showcase the radical contributions of disabled, deaf and neurodivergent people to design history and contemporary culture from the 1940s until the present, the exhibition goes well beyond this, addressing an impressively wide range of issues around access, disability and exclusion. It also reveals how ableism operates across a range of exclusions, such as race, gender, class and more.
As the introductory notes point out: “Disabled people past and present have challenged and confronted the imbalance of design in society. This exhibition highlights disabled individuals at the heart of design history … It is both a celebration and a call to action.”
While the fight for disability justice goes back many decades – also documented in the exhibition – it’s only relatively recently that questions of access and equality have gone beyond the physical. These include a wide range of issues related to neuro-inclusion and sensory access, including calm spaces and sensory maps that indicate noisy areas.
My own interest in sound in museums has come partly out of research focusing on the role of acoustics in creating accessible spaces, and from my own experience of noise sensitivity conditions hyperacusis and misophonia. Inclusive sonic design seeks to address how sound operates as a factor of social inclusion and exclusion in places like museums.
The V&A exhibition comprises three sections: visibility, tools and living. Visibility focuses on design and art as fundamental tools of activism and includes work created as part of disability justice movements over many decades. This section is a stark reminder of the justice and rights that only come about through extensive struggles.
Tools highlight the extraordinary contribution to design innovation made by disabled people. Living explores stories of disabled people claiming space and imagining the worlds that they want to live in.
Sections two and three both advocate for the social model of disability in which people are rendered disabled by their environment, something that calls for design solutions (as opposed to the medical model in which people are required to navigate and find solutions to their “problem”).
The exhibition draws attention to a wide range of physical and sensory exclusions, both in the displays and the design of the space itself. The in-house design team includes staff with personal experience of disability who also worked closely with external partners living with disability.
There are plenty of exhibits that can be experienced through touch. For partially sighted visitors, there are strong visual contrasts in the wall colours and the edges of displays are lit up. And there are raised edgings on all exhibits for people using a cane – all of which help with navigation.
There are also quiet areas and plenty of seating. Some of these features are already being incorporated into gallery and exhibition design, and hopefully will soon become standard.
I particularly liked the way various issues intersect in the exhibition, in which a range of exclusions are set alongside one another: race, hearing impairment, youth exclusion and stammering, for example.
Other favourites included the B1 Blue Flame rattling football used for blind football, which visitors can pick up, feel, smell, shake and listen to. The Deaf Rave set and Woojer Vest are designed for deaf clubbers and performers and use vibrating tactile discs that amplify sound vibrations.
The beautiful blanket and pillow entitled Public S/Pacing by Helen Statford offers an invitation to rest, drawing attention to “crip time”, accepting “a different pace to non-disabled norms, challenging conventions of productivity, and resting in radical ways that would actually benefit society at large”.
The blanket highlights the failures of the design of public spaces to include disabled people, “challenging ableist assumptions with care and visibility”. The reverse of the blanket has a quotation from Rhiannon Armstrong’s Radical Act of Stopping (2016), embroidered by Poppy Nash.
The exhibition includes many examples of “disability gain” by which design aimed at a particular group of people unintentionally benefits others, too. An example is the smartphone touchscreen, based on technology developed by engineers Wayne Westerman and John Elias as an alternative to the standard keyboard, which Westerman was unable to use due to severe hand pain.
Initially marketed to people with hand disabilities, the technology was later sold to Apple where it revolutionised mobile phone technology.
The final panel of the exhibition is titled Label for Missing Objects, an imaginative and fitting way to mark the continuing story of designing a world that works for “every body and every mind”.
Design and Disability is a rich, thought-provoking and landmark exhibition. Kudos to the V&A, although its importance is so obvious, I wonder why it took this long to host a show dedicated to disabled artists and designers and the wider social impact of their work.
I very much hope there are plans for the exhibition to tour the UK and beyond, and to become a permanent gallery at the V&A, so that it can inform curation and design work in other museums.
Design and Disability at the V&A runs until February 15 2026.
Laudan Nooshin received funding from the AHRC for the project Place-making Through Sound: Designing for Inclusivity and Wellbeing (2023-24).