Source: The Conversation – Canada – By Carmela Cucuzzella, Dean, Faculty of Environmental Design, Université de Montréal, Full Professor School of Design, Université de Montréal
Those designing university courses should ensure issues of universal accessibility are embedded throughout a student’s academic journey.(Shutterstock)
People living with disabilities, ranging in severity, regularly face barriers. Oftentimes, built environments are designed in ways that fail to consider the needs of those in situations of disability. That can include improperly sized ramps for wheelchair users or public spaces that are not sensory friendly.
If our public spaces are not accessible to all, then they cannot be truly public. The first step in changing our built environment is to bring awareness to the different forms of disabilities that people in Canada experience.
As a professor in a school of design and the dean of the Faculty of Environmental Design at the Université of Montréal, I believe it’s urgently important to explore how faculties of architecture, design, landscape architecture and urbanism can inform design practices through the way we teach and conduct research.
Our objective must be to teach students how to make our built environment more inclusive and universally accessible through creative means rather than basic technological add-ons.
In 2022, the Canadian Survey on Disability showed that 27 per cent of Canadians aged 15 years and older had one or more disabilities that impacted their daily activities. (Shutterstock)
Standards exist for accessibility and inclusivity in Canada, but they are not systematically applied. Furthermore, when designing for universal accessibility, the emphasis is on conformity rather than experience, on separation rather than integration, and on functionality rather than fulfillment.
Take, for example, a multi-storey office building that provides separate entrances and facilities for people with disabilities. The building complies with the minimum accessibility requirements set by local building codes, but does so in a way that isolates people with disabilities rather than integrating their needs into the overall design. This building does not provide the same experience to all people and therefore separates rather than includes diverse populations.
The universal accessibility of public spaces and buildings is a complex design problem. It is especially difficult for retrofits, since solutions can quickly become costly, particularly in heritage buildings.
But if changes are managed carefully, costs can become manageable. Universal accessible design is also challenging for new buildings and spaces, but if universal design is prioritized right from the outset of a project, architects and developers can create inclusive environments that accommodate diverse needs without incurring substantial additional expenses.
Universities that offer teaching and research programs in universal accessible design can make a real difference. (Shutterstock)
How universities can help
Universal accessible design is not just a question of following a set of codes, but rather a question of designing for an equitable, qualitative accessible experience. This means ensuring that all people, regardless of their physical or mental situations, are offered equivalent spatial experiences.
Universities that offer teaching and research programs in a universal accessible design can make a real difference. But it’s integral that teaching is developed alongside the research, as understanding of needs and best practices are in continual renewal.
Faculties with such programs and courses could achieve this by enabling students through creative engagement of this difficult subject. Furthermore, being in these design environments allows students to understand these societal issues as leverage for innovative solutions, rather than just satisfying building codes.
Those designing university courses should ensure issues of universal accessibility are embedded throughout a student’s academic journey, and included in a way that helps empower the graduating students.
Students graduating from these programs will become the young professionals in the fields of design, architecture, urbanism or landscape architecture.
Unfortunately, the exact likelihood of students specializing in universal accessibility — and applying their knowledge in their careers — is challenging due to limited specific data. But there is an increasing recognition of the importance of accessibility in various sectors, leading to more roles that require expertise in universal design and inclusive practices.
Incorporating more discussion on universal accessibility in the classroom and in university research environments can help students apply their expertise in the design of our built environment throughout their careers.
By fostering dialogue between research, education and practice, universities can ensure a future where accessibility is seamlessly integrated into the every day.
Carmela Cucuzzella receives funding from FRQSC and SSHRC.
The XL Center in Hartford was a sea of pink on Sunday, Feb. 3, as fans traded their UConn blue for pink attire at the annual UConn Women’s Basketball Play4Kay game. Among those participating in the celebration were breast cancer patients, doctors and staff from the Breast Cancer Program at the Carole and Ray Neag Comprehensive Cancer Center at UConn Health.
Play4Kay brings communities together and honors cancer survivors in their struggle with cancers affecting women. Play4Kay was the vision of Hall of Fame Coach Kay Yow of the University of North Carolina, who was diagnosed with breast cancer in 1987 and after a 22-year on-again, off-again public battle, passed away in 2009.
Each year, UConn Women’s Basketball partners with UConn Health’s Cancer Center to create an unforgettable experience for patients battling cancer. At Sunday’s game, seven courageous individuals were given the opportunity to participate in a special pregame and halftime ceremony, celebrating their strength and resilience.
Before the game, patients June Gonzalez, Bobette Hylton, Jane Buden, Natasha Santana, Kristy Lankford, Crystal Driscoll, and Michelle Behme stood in the player’s tunnel, high-fiving and cheering on the UConn Women’s Basketball team as they took the court. The moment was filled with joy, encouragement, and a powerful display of community support.
At halftime, these inspiring patients returned to center court, where they were honored alongside doctors, nurses, and staff from the UConn Health Cancer Center. The crowd erupted in applause, recognizing not only the patients’ ongoing fight against cancer but also the dedication of the medical team that supports them. Each participant was gifted a UConn basketball signed by Coach Geno Auriemma as a gift from the team.
Crystal Driscoll and Dr. Susan Tannenbaum
Dr. Susan Tannenbaum, an associate professor of medicine who will be retiring from UConn Health later this year after more than twenty years of dedicated service, joined the patients in recognition of the exceptional care provided to them, alongside Dr. Yueming Chang, assistant professor of medicine, Dr. Alvaro Alvarez-Soto, third-year oncology fellow, and Jessica Santos-Martinez, Breast Cancer Program Coordinator.
Since joining UConn Health in 2003, Dr. Tannenbaum has been a pillar of strength and a guiding light for countless cancer patients and their families. With unwavering dedication, compassion, and expertise, Dr. Tannenbaum has made a profound impact, providing care and hope during some of life’s most challenging moments and will be missed by many.
For the patients, the experience was both uplifting and unforgettable. “It was such an incredible moment to feel that love and support and be there with Dr. Tannenbaum who I am going to miss so much,” said Michelle Behme. “To be on that court, surrounded by so much encouragement, meant the world to me.”
Kristy Lankford, a teacher in her early 40s moved to Connecticut and was maintaining care for a stage 0 cancer caught in 2020. Last October when she was feeling ill, she visited a walk-in center thinking she had a virus but was sent to oncology where she was surprised to learn that the cancer had spread to her liver and bones. She had eight months of chemotherapy, and continued to work throughout her treatment as her students provided a good distraction. In addition to the care she receives from Dr. Tannenbaum, she also receives treatment at the Dana-Farber Institute. “Working with both Dr. Tannenbaum at UConn Health and the Dana-Farber Institute feels like having multiple levels of coordinated care, ensuring I have the best options,” said Lankford.
June Gonzalez, known to her friends as Jewels, had been treated for thyroid cancer in 2006, in October of 2024 she was diagnosed with breast cancer and had surgery in December. She had started radiation just days before her attendance at the game. She has been recieving care with Dr. Chang for her breast cancer and Dr. Beatriz Raquel Tendler for her thyroid. “I am blessed to have my care at UConn Health, everyone at UConn Health is amazing. I wouldn’t change anything about my doctors and the staff there,” said Gonzalez.
All the patients agree that annual breast cancer screenings, listening to your body, and self-advocacy are essential for early detection, effective treatment, and improved outcomes.
“This event is about celebrating hope and resilience,” said Jessica Santos-Martinez- Breast Cancer Program Coordinator. “Our patients are warriors, and we are proud to stand beside them in their journey.”
The collaboration between UConn Women’s Basketball and UConn Health is a testament to the power of sports, community, and compassionate care. It serves as a reminder that no one fights cancer alone and that every victory, big or small, deserves to be celebrated.
UConn Health’s Cancer Center is dedicated to providing top-tier care, groundbreaking research, and unwavering support to patients and their families.
Priority question for written answer P-000286/2025 to the Commission Rule 144 Ciaran Mullooly (Renew)
This question concerns the Commission’s actions in Case C-519/23[1] enforcing the judgment in Case C-119/04[2]. Interministerial Decree Law No 688 of 24 May 2023 is the latest legislative measure by the Italian Government aimed at implementing the ruling in Case C-119/04 and granting foreign-language lecturers (lettori) the settlements for reconstruction of career due to them under EU law. However, ambiguities in the Decree Law have led to varying interpretations by Italian universities.
To ensure the uniform and consistent application of EU law in this matter, can the Commission clarify:
1.whether, as acknowledged by the University of Milan and other universities, the judgment in Case C-119/04 confirms the right of lettori to career reconstruction settlements covering their entire period of employment, from the date of first hire to the present or retirement;
2.whether it remains the Commission’s position that the reconstruction of lettori careers must use, as a minimum benchmark, the part-time researcher parameter, or more favourable parameters established in rulings by local Italian courts;
3.whether the contract that has been in place since 1994 at La Sapienza University of Rome, a university whose documentation was cited by the Commission in infringement Cases C-212/99[3] and C-119/04 against Italy, remains contrary to EU law?
Submitted: 22.1.2025
[1] Case C-519/23: Action brought on 10 August 2023, European Commission v Italian Republic, OJ C 338, 25.9.2023, p. 15.
[2] Judgment of the Court of Justice of 18 July 2006, Commission of the European Communities v Italian Republic, Case C-119/04, ECLI:EU:C:2006:489.
[3] Judgment of the Court of Justice of 26 June 2001, Commission of the European Communities v Italian Republic, Case C-212/99, ECLI:EU:C:2001:357.
Mastercard has announced plans to remove the 16-digit number from their credit and debit cards by 2030 in a move designed to stamp out identity theft and fraudulent use of cards.
In 2022, Mastercard added biometric options enabling payments to be made with a smile or wave of the hand.
Tokenisation converts the 16-digit card number into a different number – or token – stored on your device, so card information is never shared when you tap your card or phone or make payments online.
The first rollout of these numberless cards will be through a partnership with AMP Bank, but it is expected other banks will follow in the coming 12 months.
Why card security is important
There is nothing quite like the sinking feeling after receiving a call or text from your bank asking about the legitimacy of a card transaction.
In 2023-2024 the total value of card fraud in Australia was A$868 million, up from $677.5 million the previous financial year.
Credit card numbers and payment details are often exposed in major data breaches affecting large and small businesses.
The cost of credit card fraud in Australia rose by almost $200 million last financial year. CC7/Shutterstock
Late last year, the US Federal Trade Commission took action against the Marriott and Starwood Hotels for lax data security. More than 300 million customers worldwide were affected.
Event ticketing company Ticketmaster was also hacked last year. The details of several hundred million customers, including names, addresses, credit card numbers, phone numbers and payment details were illegally accessed.
So-called “card-not-present fraud”, where an offender processes an unauthorised transaction without having the card in their physical possession, accounts for 92% of all card fraud in Australia. This rose 29% in the last financial year.
The Card Verification Value (CVV) (or three-digit number on the back of a credit card) aimed to ensure the person making the transaction had the physical card in their hands. But it is clearly ineffective.
Benefits of removing credit card numbers
Removing the credit card number is the latest attempt to curb fraud. Removing numbers stops fraudsters processing unauthorised card-not-present transactions.
It also reduces the potential for financial damage of victims exposed in data breaches, if organisations are no longer able to store these payment details.
Companies will no longer be able to store card data, reducing the risk of data breaches. ESBProfessional/Shutterstock
The storage of personal information is a contested issue. For example, the 2022 Optus data breach exposed information from customers who had previously held accounts with the telco back in 2018.
Removing the ability of organisations to store payment details in the first place, removes the risk of this information being exposed in any future attack.
While any efforts to reduce fraud are welcome, this new approach raises some new issues to consider.
Potential problems with the new system
Mastercard has said customers will use tokens generated by the customer’s banking app or biometric authentication instead of card numbers.
This is likely to be an easy transition for customers who use mobile banking.
However, the use of digital banking is not universal. Many senior consumers and those with a disability don’t use digital banking services. They would be excluded from the new protections.
While strengthening the security attached to credit cards, removing numbers shifts the vulnerability to mobile phones and telecommunication providers.
Offenders already access victims’ phones through mobile porting and impersonation scams. These attacks are likely to escalate as new ways to exploit potential vulnerabilities are found.
There are also concerns about biometrics. Unlike credit card details, which can be replaced when exposed in a data breach, biometrics are fixed. Shifting a focus to biometrics will increase the attractiveness of this data, and potentially opens victims up to ongoing, irreversible damage.
While not as common, breaches of biometric data do occur.
For example, web-based security platform BioStar 2 in the UK exposed the fingerprints and facial recognition details of over one million people. Closer to home, IT provider to entertainment companies Outabox is alleged to have exposed facial recognition data of more than one million Australians.
Will we really need cards in the future?
While removing the numbers may reduce credit card fraud, emerging smart retail technologies may remove the need for cards all together.
Smartphone payments are already becoming the norm, removing the need for physical cards. GlobalData revealed a 58% growth in mobile wallet payments in Australia in 2023, to $146.9 billion. In October 2024, 44% of payments were “device-present” transactions.
Amazon’s innovative “Just-Walk-Out” technology has also removed the need for consumers to bring a physical credit or debit card all together.
Amazon Go and the world’s most advanced shopping technology.
This technology is available at more than 70 Amazon-owned stores, and at more than 85 third-party locations across the US, UK, and Australia. These include sports stadiums, airports, grocery stores, convenience stores and college campuses.
The technology uses cameras, weight sensors and a combination of advanced AI technologies to enable shoppers in physical stores make purchases without having to swipe or tap their cards at the checkout line.
Such technology is now being offered by a variety of other vendors including Trigo, Cognizant and Grabango. It is also being trialled across other international retailers, including supermarket chains Tesco and ALDI.
While Just-Walk-Out removes the need to carry a physical card, at some point consumers still need to enter their cards details into an app. So, to avoid cards and numbers completely, smart retail tech providers are moving to biometric alternatives, like facial recognition payments.
Considering the speed at which smart retail and payment technology is entering the marketplace, it is likely physical credit cards, numberless or not, will soon become redundant, replaced by biometric payment options.
Gary Mortimer receives funding from the Building Employer Confidence and Inclusion in Disability Grant, AusIndustry Entrepreneurs’ Program, National Clothing Textiles Stewardship Scheme, National Retail Association, Australian Retailers Association. .
Cassandra Cross has previously received funding from the Australian Institute of Criminology and the Cybersecurity Cooperative Research Centre.
A virulent strain of bird flu continues to spread across the world. Australia, New Zealand and Pacific nations are the only countries free from the infection, but this will no doubt change.
Known as “Highly Pathogenic Avian Influenza” or H5N1, the bird flu strain had killed more than 300 million birds worldwide as of December last year, including both poultry and wild bird populations.
Birds have always been part of the cultures and livelihoods of Australia Indigenous people. They feature in songs and dance, and are used for food and customary practices such as ceremonies and craft. Many of these practices continue today.
To date however, Indigenous peoples have not been adequately included in federal government planning for the arrival of H5N1.
So what is the likely result? Agencies and organisations will be ill-prepared to support Indigenous people experiencing intense social and cultural shock. And the opportunity to draw from the strengths of Indigenous organisations to tackle this impending disaster will have been squandered.
What is H5N1?
First identified in Hong Kong in 1997, H5N1 has since spread globally.
H5N1 is a viral infection primarily affecting birds – both poultry and wildlife. As overseas experience has shown, it can lead to population declines in wild birds and disrupt local ecosystems. Infected birds may exhibit symptoms such as lethargy, respiratory distress and neurological signs such as paralysis, seizures and tremors, and sudden death.
The virus also affects mammals including humans.
Since November 2003, more than 900 human cases have been reported across 24 countries. About half these people died.
Birds are highly significant to many Indigenous groups.
The adult magpie goose and its eggs, for example, are an important food source for groups in the Kakadu region.
In Tasmania, Indigenous groups are revitalising customary practices by harvesting mutton birds. And bird feathers are used by Indigenous artisans in fashion and jewellery-making.
If H5N1 makes birds sick and diminishes their populations, Indigenous people’s livelihoods and wellbeing – social, emotional, and spiritual – will be severely affected.
Many birds are already struggling
Of greatest concern are the fate of threatened and endangered bird species. Indeed, Australia’s Threatened Species Commissioner, Dr Fiona Fraser, has warned the forthcoming H5N1 event may be more ecologically devastating than the 2019–20 bushfires.
Migratory birds, such as waders that travel from Siberia to lake systems throughout Australia, may take years or decades to return – if they return at all.
Even relatively healthy bird populations, such as emus, may be at risk in areas where local populations are dwindling.
The challenge has become more pronounced following the 2019–20 bushfires that affected vast areas of Australia’s southeast. Biodiversity in these burnt forests was later found to have declined, especially in bird populations.
These challenges mean Australia’s native bird populations may struggle to remain healthy and sustainable, and their availability to Indigenous groups is likely to diminish.
Mobilising Indigenous know-how
Indigenous people are deeply engaged in caring for Country and caring for their communities. This makes them a strategic asset when planning for the arrival of H5N1.
For example, Indigenous rangers are deeply engaged in land and water management including habitat restoration and biodiversity surveys. So, they are well placed to protect and monitor native species.
Indigenous health organisations will also be crucial to identifying human illness, should rare animal-to-human transmissions occur.
Shire councils and land councils are also well-placed to identify and monitor the impacts of bird flu.
It’s time for Indigenous inclusion
Indigenous inclusion in the federal government’s response to the threat H5N1 has been late and inadequate
This means Australia is already behind in supporting Indigenous groups to understand the threat and how to respond if they observe it – including how to deal with sick or dead birds.
To fill these gaps in public information, National Indigenous Disaster Resilience at Monash University has produced a bird flu fact sheet.
Indigenous community organisations demonstrated an extraordinary capacity for leadership during COVID-19. The muscle memory to mobilise in response to another outbreak remains strong.
Indigenous groups must be centred in preparing and responding to H5N1. What’s more, Indigenous culture needs to be foregrounded when considering how the virus might affect the social, psychological, spiritual, and economic wellbeing of communities.
In response to concerns raised in this article, a spokesperson for the Department of Agriculture, Fisheries and Forestry said the federal government was “working to engage with First Nations communities to ensure we meet community needs” before and during an outbreak of H5N1.
The department’s Northern Australia Quarantine Strategy was surveilling for avian influenza in northern Australia, including working with Indigenous Rangers. Indigenous engagement has also included presentations delivered virtually and on-country.
“By fostering close partnerships with First Nations communities and Indigenous rangers, and leveraging access to a broad collaborative network, NAQS is able to facilitate trusted avenues for First Nations communities and Indigenous rangers to report concerns about wild bird health across northern Australia,” the spokesperson said.
States and territories were planning local responses, and nationally coordinated, culturally appropriate communication activities were being developed. The spokesperson said Parks Australia was also working with Traditional Owners at jointly managed national parks, and with the Indigenous Protected Areas network, in developing plans to prepare and respond to any H5N1 detection.
Bhiamie Williamson is a director of Country Needs People, and the Australian Indigenous Governance Institute
Vinod Balasubramaniam receives funding from Ministry of Higher Education (MOHE) Malaysia.
Nell Reidy 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.
NEW YORK, Feb. 03, 2025 (GLOBE NEWSWIRE) — Willis, a WTW business, (Nasdaq: WTW), today announced the appointment of Paul Graziano as Growth Leader for North America. Graziano will focus on driving the development of a consistent framework to unify our revenue growth efforts across Willis in North America.
Graziano has more than thirty years of industry experience. He joins Willis from Marsh, where he was most recently Managing Director and Global Engagement Partner. He also brings extensive experience working with C-suite executives from Fortune 500 companies, as well as entrepreneurs, COIs and emerging growth companies. Previously, Graziano was Chief Business Development Officer at JLT, prior to its acquisition by Marsh in 2019. Before joining JLT, he spent 18 years at Aon as an Executive Vice President with numerous leadership roles.
Graziano is based in Denver and is a graduate of Indiana University.
Commenting on Graziano’s appointment, Adam Garrard, Chairman, Global Risk and Broking, said, “I am delighted to welcome Paul to the Willis team. His extensive experience focused on growth strategies and unique solutions for clients with complex risk profiles aligns perfectly with the growth plans for Willis in North America.”
About WTW
At WTW (NASDAQ: WTW), we provide data-driven, insight-led solutions in the areas of people, risk, and capital. Leveraging the global view and local expertise of our colleagues serving 140 countries and markets, we help organizations sharpen their strategy, enhance organizational resilience, motivate their workforce, and maximize performance.
Working shoulder to shoulder with our clients, we uncover opportunities for sustainable success—and provide perspective that moves you.
Source: The Conversation – UK – By Takahiro Kubo, Senior Researcher in National Institute for Environmental Studies (NIES) & Visiting Researcher in ICCS, University of Oxford
Governments often use bans to protect wildlife that’s most threatened by trade. However, in our recent study we ask the question: could banning wildlife trade in one threatened species increase the trade in other threatened species?
The expansion of online markets has made it easier for people to buy and sell wildlife. This potential for larger-scale commercial trade creates a potential threat to wildlife, particular when populations are small, which is often the case for species that inhabit islands.
To deal with the risk of overexploitation, the government of Japan, one of the world’s largest wildlife markets, banned the trade of three threatened species: the giant water bug, the Tokyo salamander and the golden venus chub.
While the ban successfully halted legal sales of the policy-targeted species, it had an unintended consequence: an increase in the sales of similar, non-banned species, some of which are threatened.
This pattern, known as the “spillover effect”, suggests that when a species is no longer available, demand often moves to alternative species rather than disappearing entirely. However, these effects affected different species in different ways, with the spillover lasting for more than a year for water bugs, but disappearing over the same period for the salamanders and freshwater fish.
These spillovers can be problematic as they can drive buyers to seek exotic pet species from other countries or even continents. Based on past experience in Japan and elsewhere, we know that these are often then released into nature by those that can no longer keep them. This increases the pressure on native fauna through competition and the spread of disease which may threaten not only native wildlife but also human health. Our findings highlight the need for a more comprehensive approach to wildlife trade regulations – one that considers both direct conservation efforts and indirect global impacts.
Balancing bans
While wildlife trade bans can play an important step, their ability to address overexploitation on their own is limited. To conserve species, we need complementary strategies that can manage demand and monitor supply.
Prior to a ban, it is key to work to reduce the demand for the species to be targeted or redirect it to species that are well managed and not of conservation concern. This would be likely to minimise the effects of any unintended spillover after the trade ban comes into effect. If buyers understand why a species is at risk and are offered sustainable alternatives, they may be less likely to shift their interest to other vulnerable wildlife.
Governments also need to enforce stronger monitoring to be able to track which species are traded and in what amount. This may be hard to implement across all trade but is feasible when we talk about online legal trade, which represents a large part of the global wildlife trade. Instead of focusing only on banned species, authorities should keep an eye on similar species that could become the next target for trade.
For this to be effective, international cooperation, in the form of data sharing, for example, is critical since wildlife trade crosses borders. Countries need to work together to track and regulate trade so that bans don’t simply push demand to other regions.
Finally, promoting legal, ethical and sustainable alternatives – such as responsible captive breeding programs or well-managed wild source populations – can help meet consumer demand without harming wild species.
Our study serves as an important reminder: conservation has no silver bullets and we must be willing to embrace a multitude of tools if we are to deal with the different sides of an issue as complex as the wildlife trade. If we only focus on banning species without considering how the market will react, we risk simply moving the risk of extinction from one species to the next. A well-rounded approach – one that includes consumer behaviour change, improved monitoring and sustainable alternatives – offers the best chance of protecting wildlife for the long term.
Don’t have time to read about climate change as much as you’d like?
Takahiro Kubo receives funding from Japan Society for the Promotion of Science (JSPS). He is a member of the IUCN SSC CEC Behaviour Change Taskforce.
Diogo Veríssimo is the Chair of the IUCN SSC CEC Behaviour Change Taskforce.
Taro Mieno 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.
Professors and students alike argue that unrestricted use of generative AI threatens the purpose of an education in disciplines like philosophy, history or literature. They say that, as a society, we should care about this loss of intellectual competencies.
But why is it important that traditional learning not become obsolete — as some predict?
Today, when corrupt leaders promote AI development, AI reflects repressive political biases. There are serious concerns about AI disinformation, so it’s critical to consider the original purpose of modern universities.
The German term Bildung captures this broad understanding of the educational process, denoting the activity of shaping yourself according to your inner purpose.
For the philosophers of Bildung, self-development couldn’t take place in isolation but required a community of equals where mutual recognition and critical engagement with each other unlocked everyone’s potential.
They envisioned the university as a community of learners where teachers facilitate the self-development of students by supporting their critical faculties instead of adapting them to fulfil predetermined roles for society. They believed education should prepare for lifelong learning about the self and world.
It was Humboldt who turned these lofty ideals into concrete reforms, laying the groundwork for the modern university and its research-led teaching model. For Humboldt, the realm of Bildung had political significance.
Living under Prussian absolutism, he feared the paternalism of the state that turned its citizens into loyal subjects under the pretence of furthering their spiritual and material welfare.
He was critical of the attempt of Frederick the Great, the Prussian king, to regulate economic life and to control private consumption. Humboldt saw such a concentration of power as a despotic tendency that all forms of government could succumb to, including oligarchy and democracy. He therefore insisted on spaces for individual expression and free association. Literary salons were the initial community space for Bildung, and were a model for the modern idea of universities.
A drawing by Georg Melchior Kraus depicts the salon of Duchess Anna Amalia, showing, among others, writer Johann Wolfgang von Goethe in discussion. The image suggests the important role of women and community in the Bildungs context. (Wikimedia)
The Declaration of the Rights of Man and of the Citizen from 1789 restricted active citizenship to male property owners and did not abolish slavery. Advocacy for applying equal rights to all was soon taken up by members of oppressed groups to justify their emancipatory pursuits.
Early feminists in late 19th-century Germany, such as the philosopher and writer Hedwig Dohm, demanded access to educational institutions so that women could also “become who they are.”
We find a similar battle cry in the United States, where writer and educator Anna Julia Cooper regarded the higher education of Black women as a key step to social change.
I believe that the idea of Bildung still captures the value of humanities education. In-depth engagement with the complex manifestation of human cultures seen in philosophical ideas, forms of knowledge or literary texts fosters important skills necessary for self-development.
Students learn critical thinking, enabling them to question authorities and discern their own convictions from received values. They experience thinking as a process which takes time and demands the exploration of different points of view — similar to democratic decision-making.
Methods to understand others are therefore an important subject of the humanities. The humanities nurture the ability to connect and to develop solidarity with each other.
The classroom itself is a space where students experience understanding as a collaborative process by discussing with their peers and the instructor.
Instructors must actualize high-level pedagogical goals by creating concrete exercises through which intellectual skills can be learned and practised.
Assessing claims, justifying evaluations
Writing an essay has been the pinnacle of traditional humanities education, since it demands employing the full set of interpretative tools such as identifying sources, analyzing arguments, assessing claims and justifying evaluations independently. It also demands expressing oneself intellectually.
Basic analytic skills such as formulating an argument or giving an objection can be taught in class. But in-class assignments cannot replace pondering an issue over some time and expressing one’s interpretation of it.
The important exercise of individual study is deprived of its value when students use technological shortcuts to complete writing tasks. AI-driven chatbots undermine a key part of the learning process through which students improve their critical thinking. This happens through sustained engagement with complex issues, through which students grow by overcoming challenges and practising habits of thinking.
Relying on AI can undermine processes through which students improve their critical thinking. (Pexels/Cottonbro)
In the U.S., as seen recently in Donald Trump’s second presidential inauguration, the economic elite dominates the political system. Tech oligarchs have found a president who is using his vast powers to further their interests and is prepared to do so without checks and balances.
More than ever, we need citizens who have learned to think for themselves and developed capacities for paying attention to and caring about complex challenges in our ever-changing world.
At their best, the humanities are a laboratory to cultivate essential skills for critically assessing the status quo and imagining better alternatives in both political and economic life.
Johannes Steizinger 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.
We are in a rapidly changing visual culture where it is increasingly inadequate to take images at face value.
There is an ever-increasing prevalence of image manipulation and AI imagery. And in the attention economy, our attention has become a precious, sought-after resource. Images participate in this redirection of our attention with an endless production line of new, stimulating content to maximise user engagement.
In this environment, there is an increasing demand to prioritise visual literacy with the same rigour as we do with writing and reading.
We need to look more closely at images – to practise slow looking.
What is it you’re looking at?
The act of slow looking involves taking a pause and thoroughly describing what you see.
Often, we jump to the image’s meaning by identifying its contents. But it is important to discern what the image actually “looks like” and how this influences its reading.
The aim of looking slowly is not just to verify what is real, fake or AI. After all, there will become a time when it is too difficult and time-consuming for the average person to determine every AI-generated image without a watermark or label.
While the ability to detect whether something is AI is one important skill, this should not be the only reason to practise slow looking. To only determine if it is fake or real can ignore what an AI image can also tell us about our cultural climate.
In December, Madonna shared a deepfake of her embracing the Pope from digital artist RickDick.
Satirical images of the pope have a long history. As early as the 16th century, artists depicted the head of the Catholic Church alongside the profane as a means of critique and provocation.
RickDick’s deepfakes, in their eerie sense of realness, prove a new means to continue to satirise and provoke viewers in the digital age. We can deduce on close inspection that these images of Madonna and the Pope are not real photographs, but we can look even further to also discern what nevertheless gives these AI images their potency.
Fake or not, the lifelike, intimate embrace of the two icons probes an old but ongoing friction between perceived acts of blasphemy in pop culture and the sacred authority of the church.
In this etching from 1555, the Pope has three heads: one wears the papal tiara, one wears a turban, and one is an infant. The Metropolitan Museum of Art
The act of slow looking develops visual literacy. It examines why certain images go viral, why some move us above others and what they say about our reality, values or beliefs.
Beginning to look slowly
To begin this practice, imagine you are trying to describe an image to a friend who cannot see it. What’s happening in the image? What is its scale? What colours are used? How is it made? Where and how are you viewing it – on your phone, a billboard or poster?
Adopt a questioning stance to spot possible biases or blind spots – your own, or of the creator of the image. What is possibly missing from the image? Whose perspective is it or isn’t it showing?
This process can be significantly enhanced through using your hands: draw or paint what you see. It doesn’t need to be expensive or time-consuming. Nor do you need to be “good” at it. Drawing on a scrap piece of paper with an old ballpoint pen you have on your desk for even just a few minutes can connect the mind and body into a deep awareness of your visual field.
Try drawing what you see, to really examine it and have a deeper connection with it. Eepeng Cheong/Unsplash
Pick anything to draw from your immediate surroundings or screens. This is all about the process: it is not the goal to have a finished artwork.
Key details that weren’t apparent before will emerge through this creative practice and help you analyse how an image works, why it is or isn’t engaging and what are its multiple possible meanings.
Slowing down
That we should look more slowly in our fast-paced, oversaturated visual culture is not a new concept, especially in the art community.
These events often take the form of a guided tour and provide prompts to build the viewer’s analytical skills, with the additional benefit of building a communal engagement to look slowly together.
We are all creators and consumers of images. It is important for all of us to reflect on where our attention is being directed, and why, in the constant flood of images.
We have a shared responsibility in how we examine images. Now, more than ever, our visual literacy would benefit from creative practices to slow us down. At both individual and collective levels, we should prioritise looking intently at how our images remember the past, define our present, and envision the future.
Sienna van Rossum 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 January, the United States’ Office of the Surgeon General, the country’s leading public health spokesperson, recommended warnings about alcohol’s cancer risks should be displayed on drink packaging.
So, do they work? And should we mandate them here?
Isn’t a glass of wine or two good for me?
Most of us know heavy drinking is unhealthy.
Yet the belief a few glasses of wine helps protect against heart disease and other conditions has persisted. That is despite evidence in recent years showing the benefits have been overestimated and the harms underplayed.
In fact, any level of alcohol use increases the risk for several types of cancer, including colorectal cancer (affecting the large intestine and rectum) and breast cancer.
One study estimated how many new cancer cases will develop across the lifetimes of the 18.8 million Australian adults who were alive in 2016. It predicted a quarter of a million (249,700) new cancers – mostly colorectal – will arise due to alcohol.
We know what causes this harm. For example, acetaldehyde – a chemical produced by the body when it processes alcohol – is carcinogenic.
Alcohol also increases cancer risk through “oxidative stress”, an imbalance in the body’s antioxidants and free radicals which causes damage to DNA and inflammation.
It can also affect hormone levels, which raises the risk for breast cancer in particular.
Australians unaware of the risk
While the harms are well-known to researchers, many Australians remain unaware.
This follows Ireland, the first country to mandate cancer labels for alcohol. From 2026, alcohol packaging will include the warning: “there is a direct link between alcohol and fatal cancers”.
Since 2017, alcohol producers in South Korea have had to choose between three compulsory warning labels – two of which warn of cancer risks. However they can instead opt for a label which warns about alcohol’s risks for dementia, stroke and memory loss.
Currently, whether to include warnings about alcohol’s general health risks is at the discretion of the manufacturer.
Many use vague “drink responsibly” messages or templates provided by DrinkWise, an organisation funded by the alcohol industry.
Pregnancy warning labels (“Alcohol can cause lifelong harm to your baby”) only became obligatory in 2023. Although this covers just one of alcohol’s established health effects, it has set an important precedent.
We now have a template for how introducing cancer and other health warnings might work.
Cancer warnings already feature on some tobacco products in Australia. Galexia/Shutterstock
Would it work?
We know the existing “drink responsibly”-style warnings are not enough. Research shows consumers find these messages ambiguous.
But would warnings about cancer be an improvement? Ireland’s rules are yet to come into effect, and it’s too early to tell how well South Korea’s policy has worked (there are also limitations give manufacturers can choose a warning not related to cancer).
But a trial of cancer warnings in one Canadian liquor store found they increased knowledge of the alcohol–cancer link by 10% among store customers.
Cancer messages would likely increase awareness about risks. But more than that – a 2016 study that tested cancer warnings on a group of 1,680 adults across Australia found they were also effective at reducing people’s intentions to drink.
It may take years before Australia changes its rules on alcohol labelling.
In the meantime, it’s important to familiarise yourself with the current national low-risk drinking guidelines, which aim to minimise harm from alcohol across a range of health conditions.
Rachel Visontay receives funding from the University of Sydney and the University of New South Wales.
Louise Mewton receives funding from the National Institutes of Health (NIH), Dementa Australia, Australian Rotary Health, National Health and Medical Research Council (NHMRC), Australian Government Department of Health and Aged Care (DoHAC).
For much of the 20th century, efforts to remake government were driven by a progressive desire to make the government work for regular Americans, including the New Deal and the Great Society reforms.
But they also met a conservative backlash seeking to rein back government as a source of security for working Americans and realign it with the interests of private business. That backlash is the central thread of the Heritage Foundation’s “Project 2025” blueprint for a second Trump Administration.
But Project 2025 does so with particular detail and urgency, hoping to galvanize dramatic change before the midterm elections in 2026. As its foreword warns: “Conservatives have just two years and one shot to get this right.”
The standard for a transformational “100 days” – a much-used reference point for evaluating an administration – belongs to the first administration of Franklin D. Roosevelt.
President Franklin D. Roosevelt signs the Social Security Bill in Washington on Aug. 14, 1935. AP Photo, file
Social reforms and FDR
In 1933, in the depths of the Great Depression, Roosevelt faced a nation in which business activity had stalled, nearly a third of the workforce was unemployed, and economic misery and unrest were widespread.
But Roosevelt’s so-called “New Deal” unfolded less as a grand plan to combat the Depression than as a scramble of policy experimentation.
Roosevelt did not campaign on what would become the New Deal’s singular achievements, which included expansive relief programs, subsidies for farmers, financial reforms, the Social Security system, the minimum wage and federal protection of workers’ rights.
A generation later, another wave of social reforms unfolded in similar fashion. This time it was not general economic misery that spurred actions, but the persistence of inequality – especially racial inequality – in an otherwise prosperous time.
LBJ’s Great Society
President Lyndon B. Johnson’s Great Society programs declared a war on poverty and, toward that end, introduced a raft of new federal initiatives in urban, education and civil rights.
As with the New Deal, the substance of these policies rested less with national policy designs than with the aspirations and mobilization of the era’s social movements.
Resistance to policy change
Since the 1930s, conservative policy agendas have largely taken the form of reactions to the New Deal and the Great Society.
The central message has routinely been that “big government” has overstepped its bounds and trampled individual rights, and that the architects of those reforms are not just misguided but treasonous. Project 2025, in this respect, promises not just a political right turn but to “defeat the anti-American left.”
After the 1946 midterm elections, congressional Republicans struck back at the New Deal. Drawing on business opposition to the New Deal, popular discontent with postwar inflation, and common cause with Southern Democrats, they stemmed efforts to expand the New Deal, gutting a full employment proposal and defeating national health insurance.
They struck back at organized labor with the 1947 Taft-Hartley Act, which undercut federal law by allowing states to pass anti-union “right to work” laws. And they launched an infamous anti-communist purge of the civil service, which forced nearly 15,000 people out of government jobs.
In 1971, the U.S. Chamber of Commerce commissioned Lewis Powell – who would be appointed by Republican President Richard Nixon to the Supreme Court the next year – to assess the political landscape. Powell’s memorandum characterized the political climate at the dawn of the 1970s – including both Great Society programs and the anti-war and Civil Rights movements of the 1960s – as nothing less than an “attack on the free enterprise system.”
In a preview of current U.S. politics, Powell’s memorandum devoted special attention to a disquieting “chorus of criticism” coming from “the perfectly respectable elements of society: from the college campus, the pulpit, the media, the intellectual and literary journals, the arts and sciences, and from politicians.”
Powell characterized the social policies of the New Deal and Great Society as “socialism or some sort of statism” and advocated the elevation of business interests and business priorities to the center of American political life.
A copy of Project 2025 is held during the Democratic National Convention on Aug. 21, 2024, in Chicago. AP Photo/J. Scott Applewhite
Building a conservative infrastructure
Powell captured the conservative zeitgeist at the onset of what would become a long and decisive right turn in American politics. More importantly, it helped galvanize the creation of a conservative infrastructure – in the courts, in the policy world, in universities and in the media – to push back against that “chorus of criticism.”
In national politics, the conservative resurgence achieved full expression in President Ronald Reagan’s 1980 campaign. The “Reagan Revolution” united economic and social conservatives around the central goal of dismantling what was left of the New Deal and Great Society.
Publicly, the Reagan administration argued that tax cuts would pay for themselves, with the lower rates offset by economic growth. Privately, it didn’t matter: Either growth would sustain revenues, or the resulting budgetary hole could be used to “starve the beast” and justify further program cuts.
Project 2025, the latest in this series of blueprints for dramatic change, draws most deeply on two of those plans.
As in the congressional purges of 1940s, it takes aim not just at policy but at the civil servants – Trump’s “deep state” – who administer it.
In the wake of World War II, the charge was that feckless bureaucrats served Soviet masters. Today, Project 2025 aims to “bring the Administrative State to heel, and in the process defang and defund the woke culture warriors who have infiltrated every last institution in America.”
Whatever their source – party platforms, congressional bomb-throwers, think tanks, private interests – the success or failure of these blueprints rested not on their vision or popular appeal but on the political power that accompanied them. The New Deal and Great Society gained momentum and meaning from the social movements that shaped their agendas and held them to account.
The lineage of conservative responses has been largely an assertion of business power. Whatever populist trappings the second Trump administration may possess, the bottom line of the conservative cultural and political agenda in 2025 is to dismantle what is left of the New Deal or the Great Society, and to defend unfettered “free enterprise” against critics and alternatives.
Colin Gordon receives funding from the National Endowment for the Humanities, the Mellon Foundation, and the Russell Sage Foundation.
In the 185 years since te Tiriti o Waitangi was signed between Māori rangatira and the British Crown, Māori have been writing about its meaning, sharing their stories and seeking justice.
For some years, we have been reading and thinking about this mass of written work by Māori. While we know and love these titles, we were aware many New Zealanders have little idea that Māori scholarship stretches back to the earliest books published in this country.
So, in 2018 we collaborated with Ngā Pae o te Māramatanga (the Māori Centre of Research Excellence) and Te Apārangi Royal Society of New Zealand to curate a list of Māori non-fiction publications. Our list formed the inspiration for Books of Mana: 180 Māori-Authored Books of Significance, published this week by Otago University Press.
Co-edited with Jeanette Wikaira, and featuring short essays by leading Māori writers about their relationship to books, mātauranga Māori and the written word, it showcases 180 Māori-authored books published between 1815 and 2022.
For generations our ancestors created sense, meaning, stories and histories from the mountains, rivers and coastlines, and recited generations of history and knowledge through whakapapa, karanga, whaikōrero, mōteatea and pūrākau.
With the arrival of Europeans in the late 18th-century, Māori adopted new tools for recording and passing on knowledge. Pen and paper were rapidly added to the kete and used to weave stories, to engage in creative expression, and as a way to connect and resist.
Much of this writing holds prestige, authority, power, influence, status and even charisma. The word that we think best describes these books is mana.
We encourage all New Zealanders to know more about these remarkable books. At a time when Māori language, culture, identity and te Tiriti are politically threatened, Māori writing is essential for anyone serious about understanding the past, present and future of Aotearoa New Zealand from a Māori perspective.
This Waitangi Day, consider reading any one of these 180 books. But to help make the selection even easier, here are ten that are accessible in bookstores or local libraries.
These titles address language revitalisation, leadership, politics and history. They are also relevant to the world we find ourselves in today.
Ngā Pepa a Ranginui, The Walker Papers – Ranginui Walker
To understand contemporary political debates it is worth looking to the past. Ranginui Walker was one of New Zealand’s leading intellectuals. His collection of opinion pieces, originally published in the Listener magazine between 1973 and 1990, are collated in Ngā Pepa a Ranginui, The Walker Papers.
All of these opinion pieces remain relevant today. As a communicator between the worldviews of Māori and Pākehā, the range of topics he wrote about was extraordinary, from fishing rights, to Māori ideas about health, to critiques of government policies.
Tōku Reo, Tōku Ohooho – Chris Winitana
Ranginui Walker said te reo Māori is a taonga. In Tōku Reo Tōku Ohooho, Chris Winitana tells the story of the people who fought for its retention and revitalisation from the 1970s – and why this kaupapa remains so vitally important today. The book is available either in English or te reo Māori and will be of interest to many as we strive to keep te reo Māori alive.
Huia Histories of Māori: Ngā Tāhuhu Kōrero – Danny Keenan
A stellar lineup of Māori writers will help deepen your knowledge of custom, the natural world, language, health, politics and cultural expression in editor Danny Keenan’s recently republished book Huia Histories of Māori. It covers a vast array of topics, from waka migration traditions, to the introduction of Christianity, to the New Zealand Wars and much more.
Navigating the Stars: Maori Creation Myths – Witi Ihimaera
In Navigating the Stars: Māori creation myths Witi Ihimaera shows how we have always been storytellers, intellectuals and knowledge makers. Pūrākau (legends) are retold for the 21st-century by this pioneer of the Māori novel and short story.
We are in awe of the way the author honours this storytelling tradition and strengthens it for the future. This is a big book that starts our national history with Māori creation narratives, and challenges us to think differently about our past.
Te Kōparapara: An introduction to the Māori world – Michael Reilly & others
If you are looking to build your knowledge of te ao Māori (the Māori world), but don’t know where to begin, we recommend Te Kōparapara. It’s a really accessible introduction to Māori culture, tikanga, history and contemporary society.
Wayfinding Leadership – Chellie Spiller, Hoturoa Barclay-Kerr & John Panoho
Our tūpuna (ancestors) guide us into the future. Chellie Spiller, Hoturoa Barclay-Kerr and John Panoho look to waka navigators in Wayfinding Leadership. It’s part practical guide about how to lead for the collective good, but also part introduction to Māori philosophy. And it’s all cleverly told through the boldness, radical vision and skill of those who laid the foundations for Māori to flourish in these islands.
Imagining Decolonisation – Bianca Elkington, Moana Jackson & others
The bestselling Imagining Decolonisation explains what decolonisation looks like for Māori and Pākehā in an accessible way, and sets out what is required for our country to become a just society.
A particular highlight is the contribution of the late Moana Jackson. A lawyer who was passionate about the transformative possibilities of te Tiriti for Aotearoa, his writings about justice reform and constitutional change will continue to shape generations to come.
A Fire in the Belly of Hineāmaru – Melinda Webber & Te Kapua O’Connor
A Fire in the Belly of Hineāmaru: A collection of narratives about Te Tai Tokerau, translated into te reo Māori by Quinton Hita, is an invitation into Te Tai Tokerau histories, lands and esteemed ancestors, told through the lives of peacemakers, strategists, explorers and entrepreneurs (available in both English and te reo Māori editions).
Mokorua – Ariana Tikao
Mokorua is an inspiring account of the author “re-indigenising” through receiving her moko kauae. We love how she weaves that story into a personal reclaiming of language and identity. Matt Calman’s photographs are particularly striking, too.
From the Centre: A writer’s life – Patricia Grace
A favourite book is From the Centre: a writer’s life, an uplifting memoir by one of our most gifted fiction writers. It stresses the power of reading for cultivating imagination, anchoring identity and deepening a sense of belonging.
We treasured reading about Grace’s life growing up, how she responded to instances of injustice and unfairness, and how she had the courage to write about everyday Māori families. The gentle weight of this beautiful work, in both a physical and emotional sense, will live with us for a long time.
These books enrich our scholarship and our everyday life. We hope you take some time this Waitangi week to engage with Māori writing, and that you come to love these taonga as much as we do.
Angela Wanhalla has received previous funding from Royal Society Te Apārangi and Ngā Pae o te Māramatanga for this book project.
Jacinta Ruru has received previous funding from Royal Society Te Apārangi and Ngā Pae o te Māramatanga for this book project.
Source: Government of the Russian Federation – An important disclaimer is at the bottom of this article.
Dmitry Chernyshenko held a meeting of the organizing committee for the preparation and holding of the International Financial Security Olympiad
February 3, 2025
Dmitry Chernyshenko held a meeting of the organizing committee for the preparation and holding of the International Financial Security Olympiad
February 3, 2025
Dmitry Chernyshenko held a meeting of the organizing committee for the preparation and holding of the International Financial Security Olympiad
February 3, 2025
Dmitry Chernyshenko held a meeting of the organizing committee for the preparation and holding of the International Financial Security Olympiad
February 3, 2025
Dmitry Chernyshenko held a meeting of the organizing committee for the preparation and holding of the International Financial Security Olympiad
February 3, 2025
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Dmitry Chernyshenko held a meeting of the organizing committee for the preparation and holding of the International Financial Security Olympiad
The first meeting of the organizing committee for the preparation and holding of the International Financial Security Olympiad in 2025 was held under the chairmanship of Deputy Prime Minister Dmitry Chernyshenko.
Dmitry Chernyshenko noted that the Olympiad has been held for the fifth year with the support of President Vladimir Putin. Interest in it grows every year.
In 2023, the head of state personally met with the participants of the third Olympiad finals, as a result of which the International Movement for Financial Security was created – representatives of 36 countries are participating in it.
“Over four years, more than 1,900 people have taken part in the final stage of the Olympiad, including 514 prize winners and winners. President Vladimir Putin has decided to organize the final stage of the Olympiad in different regions. In 2025, Krasnoyarsk has been chosen as the venue. The Olympiad is celebrating its first anniversary, and during this time it has acquired its own list of events and traditions. I believe that they should be expanded. Each new host city will make more and more new proposals,” the Deputy Prime Minister emphasized.
Dmitry Chernyshenko and Director of Rosfinmonitoring Yuri Chikhanchin thanked the educational foundation “Talent and Success” and its director Elena Shmeleva, the federal territory “Sirius”, the administration of Krasnodar Krai and the city of Sochi, as well as the Plenipotentiary Representative of the President of Russia in the Southern Federal District for their assistance in organizing the first four Olympiads.
Yuri Chikhanchin noted the need to expand the geography of the Olympiad, as well as to attract more interested countries to conduct the thematic lesson “Financial Security”, which in 2025 is dedicated to the problem of droppering (a fraudulent scheme for cashing out funds).
“Interest of foreign countries in our Olympiad is growing. Schoolchildren and students from 36 countries, members of the CIS, BRICS, SCO and other international organizations, took part in the final of the fourth Olympiad. This year, new countries are going to fully participate in the Olympiad stages,” said the director of Rosfinmonitoring.
Following the meeting, Dmitry Chernyshenko supported this idea and instructed to work on the issue of increasing the representation of countries.
In 2025, the Siberian Federal University will be the venue for the Olympiad in Krasnoyarsk. Events for experts will traditionally be held on the sidelines of the finals.
Governor of Krasnoyarsk Krai Mikhail Kotyukov noted that it is a great honor for the region to host the final stage of the Financial Security Olympiad, and expressed gratitude to the President of the country for supporting the idea of holding the competition in the region. Mikhail Kotyukov emphasized that the region has extensive experience in holding major events of federal and international scale (including the XXIX World Winter Universiade 2019), all the necessary infrastructure, which will allow organizing the main part of the Olympiad final, as well as its sports and cultural program, at a high level.
From February 1 to 28, the invitational stage of the fifth Olympiad is being held in Russian and English on the international social and educational platform “Commonwealth”. Pupils of grades 8-11 and students are invited to participate first. Upon completion of the stage, participants who have completed the tasks will receive a certificate. To participate, you must register on the platformKHTTPS: // Society. Org/ru.
The meeting of the organizing committee was attended by the Director of the Federal Service for Financial Monitoring Yuri Chikhanchin, Deputy Minister of Science and Higher Education Dmitry Afanasyev, Governor of Krasnoyarsk Krai Mikhail Kotyukov, representatives of the Administration of the President of Russia, the Ministry of Education, the Ministry of Foreign Affairs of Russia, Rossotrudnichestvo, ANO National Priorities, financial organizations and rectors of universities participating in the Olympiad.
The lesson “Financial Security” will be held from February 1 to April 30, 2025. The invitational stage of the Olympiad – from February 1 to 28, 2025. The selection stage will consist of two rounds: the first round – from March 31 to April 4, 2025, the second round – from April 9 to 15, 2025. The qualification stage – from August 1 to September 3, 2025. The final stage will be held in person from September 28 to October 3, 2025.
Please note: This information is raw content directly from the source of the information. It is exactly what the source states and does not reflect the position of MIL-OSI or its clients.
The new Ta’talu Elementary has created more than 500 student seats in Surrey.
“Ta’talu Elementary is part of our government’s commitment to meeting the needs of growing communities like Surrey,” said Lisa Beare, Minister of Education and Child Care. “Providing hundreds of new seats, Ta’talu Elementary ensures more students and families in Surrey have modern spaces to learn, grow and play.”
Ta’talu Elementary is the seventh new school to open in Surrey since 2017. The three-storey school has space for 655 students, in addition to child care space. Building the new Ta’talu Elementary school was funded with more than $39 million provided by the Province and $5 million from the Surrey School District.
“More families are settling down in Surrey and we need to make sure there are safe and comfortable schools to support their kids as they grow and learn,” said Bowinn Ma, Minister of Infrastructure. “That’s why we’re making record investments in schools, housing and health-care facilities so that families can get the services they need in their communities.”
This school is part of the government’s ongoing work over the past seven years to deliver new and expanded schools in Surrey. In the past few months, an 800-seat addition was announced for Fleetwood Park Secondary, as well as prefabricated additions for Old Yale Road Elementary, Latimer Road Elementary, William Watson Elementary and Martha Currie Elementary.
Construction is also underway for the new Snokomish Elementary, and additions at Semiahmoo Trail Elementary and South Meridian Elementary. These projects will create 3,500 new student seats in Surrey.
“Ta’talu is the perfect example of the kind of learning environment every single Surrey student deserves – a beautiful building with a gym, library, music room and dedicated space for students with diverse learning needs,” said Gary Tymoschuk, chair of the Surrey Board of Education. “This is exactly the type of investment our growing communities need so that students in Surrey can thrive and succeed.”
The school’s name was gifted to Surrey school district by Chief Harley Chappell of the Semiahmoo First Nation. Derived from the SENĆOŦEN language, it translates to “little arms.” It pays homage to the school’s location near Campbell River and its tributaries, often referred to as the little arms of the river.
Ta’talu Elementary is part of an investment of nearly $1 billion in schools in the area. To further support the growing population in Surrey, the Province is also building a new hospital and cancer centre, and expanding Surrey Memorial Hospital to include a new renal hemodialysis facility and new interventional cardiology and radiology suites. In addition, the Simon Fraser University Surrey campus is set to open Western Canada’s first medical school in 55 years in 2026.
Quotes:
Garry Begg, MLA for Surrey-Guilford –
“Surrey is a wonderful place to call home. This new school will be an excellent addition to the community and provide Surrey children and families with the infrastructure they need to thrive for generations to come.”
Jessie Sunner, MLA for Surrey-Newton –
“I’m thrilled to see the completion of Ta’talu Elementary. This school will be a modern, vibrant space for Surrey’s students, ensuring they have the safe, innovative and spacious learning environments they need to succeed.”
Jagrup Brar, MLA for Surrey-Fleetwood –
“Surrey is growing quickly, and the completion of another new school is great news for students and families in our community. This school will provide lasting benefits to the community for years to come.”
Amna Shah, MLA for Surrey City Centre –
“The opening of Ta’talu Elementary is part of the Province’s continued commitment to meet the needs of growing communities like Surrey. With hundreds of new seats, we are ensuring Surrey students have the spaces they need to learn and play.”
Learn More:
For more information about Surrey School District, visit: https://www.surreyschools.ca/
For more information about K-12 school capital projects in B.C., visit: https://www2.gov.bc.ca/gov/content/education-training/k-12/administration/capital
For more information about health capital projects in B.C., visit: https://www2.gov.bc.ca/gov/content/health/accessing-health-care/capital-projects
A nationwide plan to digitise immigration documents recently came into force. Since January 1, millions of foreign nationals who live in the UK must now use digital-only status documents, as all biometric residence permits expired at the end of 2024.
The Home Office says an online system will mean faster processing times and lower risk of fraud. However, the rollout has created significant problems for some migrants, with reports of non-citizens being denied entry to the UK after border agents did not accept their proof of status.
My recent work with colleagues at the Oxford Migration Observatory suggests this was predictable. When migration rules and processes change, non-citizens are less likely to understand the rules. This can have serious consequences, as their access to housing, employment and healthcare hinges on their ability to show they have a valid immigration status.
Even when migrants do understand the rules, they may still experience problems proving their status if the people they interact with – such as employers and landlords – do not, or if the processes are unclear. This has been the case for some Ukrainians in the UK, who have been unable to renew their tenancies and face losing their jobs because of uncertainty surrounding visa extensions.
Want more politics coverage from academic experts? Every week, we bring you informed analysis of developments in government and fact check the claims being made.
The results of an online survey by the Migration Observatory reveal non-UK citizens’ knowledge of the rights and conditions attached to their immigration status. The survey asked respondents which immigration status they held, a question not usually included in British surveys or the census.
Using this data, we compared the experiences and understanding of people who received their status under the EU Settlement Scheme (EU citizens and their family members who came to the UK under EU free movement rules) and those with “non-EUSS” statuses (typically non-EU citizens arriving on family, work or study visas).
We found that migrants were less likely to understand their rights and responsibilities when immigration rules related to their situation had recently changed.
There was, for example, no consensus among EUSS pre-settled status holders (people who arrived in the UK under EU free movement but have lived in the UK for fewer than five years) as to whether their status had an expiry date. While 72% said their status would not expire, 17% said they would need to reapply, and 11% did not know. For comparison, 99% of respondents with temporary immigration statuses – such as a work or family visa – knew their status had an expiry date.
One likely reason for the confusion is that the situation is genuinely a bit complicated and keeps changing. When the EU settlement scheme was introduced, pre-settled status lasted for only five years. People who did not upgrade to the more secure “settled status” would see their leave expire.
However, since December 2022, people with pre-settled status can stay in the UK indefinitely if they still meet the original eligibility criteria. Rules on permitted absences (the amount of time somebody can spend outside the UK without it affecting their immigration status) have also changed several times.
Similarly, almost a third of in-work pre-settled status holders did not know they were eligible for most benefits, such as universal credit. This is another area where the rules have evolved following several court cases. A surprisingly high share also did not know they were entitled to free NHS hospital treatment.
By contrast, pre-settled status holders were more likely to know they could work for any employer, an area where the conditions for access have been consistent. This suggests that some people who are not aware of what they are entitled to access may refrain from seeking support they require.
Changing immigration processes
To access the labour and housing markets, receive secondary healthcare, or get married, migrants must show they hold valid leave (permission to live in the UK). At the time of the survey, most non-EUSS status holders could show a physical document, such as a biometric residence permit.
Most EUSS status holders, however, had a digital eVisa. This is a relatively new addition to the immigration system. People with an eVisa prove their status by presenting a “share code” linked to gov.uk.
Most respondents from both groups – 92% – had not experienced issues proving their right to live and work in the UK. However, problems were more common among people with a digital-only status than with physical documentation.
In addition, this group faced different challenges — 48% of digital-only respondents who encountered an issue said it was because the person checking their status would not accept the proof provided, compared to 29% of people with physical documentation.
While most people with a digital-only status were confident they could generate a share code to demonstrate their status to an employer or landlord, a substantial minority of older respondents lacked this confidence. People who had experienced a problem proving their status in the past also lacked confidence, and they considered having a physical card to prove their status to be more important to them.
The challenges migrants face in navigating the UK immigration system are unlikely to disappear — rules and processes will continue to evolve in the years ahead in response to changes in UK migration patterns more broadly. However, policymakers cannot assume that everyone understands the rules, particularly when they keep changing.
Ben Brindle 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.
Have you ever bought a souvenir from a local market on holiday? Or tried to travel overseas with a guitar? If so, you may have been stopped at the airport if your item contains animal or plant parts. This is because most countries, and also the EU, implement Cites, the Convention on International Trade in Endangered Species of Wild Fauna and Flora.
Cites is the main global agreement regulating international wildlife trade to ensure the protection of the 41,000 species covered by the convention. Under Cites, trade measures are established for species to ensure that international trade is legal and ecologically sustainable. For most species (96%), this comprises close regulation of trade. For more threatened species (3%), commercial international trade in wild animals and plants is banned (the remaining 1% refers to a third category of species protected in at least one country).
Under Cites, countries must prohibit international trade in violation of the convention. They are also encouraged to restrict or prohibit the collection of – and domestic trade in – Indigenous species included under Cites. Crucially, countries must enact laws to implement the convention. By design, Cites relies mainly on state-led law-enforcement to achieve its goals.
This year, as Cites marks its 50th anniversary, our new study evaluates the convention’s effectiveness. It asks whether it solves the problem for which it was designed, as well as outlining how it could be more effective.
Taking stock
Cites has had several successes. It can boast an effective system of international cooperation among 184 countries and the EU. Much international trade in Cites-listed species is legally permitted and has been determined to be sustainable. The convention has helped raise the profile of, and catalysed conservation action for, species threatened by international trade, such as pangolins and seahorses.
The convention has also supported the recovery of species, such as crocodiles and vicuña, a member of the camel family that lives in South America. Since 2010, Cites has generated awareness of, and coordinated action to address, illegal wildlife trade, most notably through the establishment of the International Consortium on Combating Wildlife Crime.
However, there are some major problems with the Cites approach. Illegal or unsustainable wildlife trade involving thousands of Cites-listed species occurred in at least 162 signatory countries from 2015 to 2021. This includes countries such as the US that are well resourced to deter it. A predominant focus on state-led law enforcement is therefore proving ineffective in many instances.
We find that many law enforcement agencies are not well enough resourced to deter illegal collection and trade of species. Simply creating laws does not necessarily mean that people or businesses will comply with them.
Also, regulating or prohibiting international wildlife trade does not necessarily reduce the threat to the species concerned. These measures may signal scarcity and lead to price increases, which could accelerate over-exploitation by incentivising speculative collection and stockpiling. In this context, there is much room for improvement.
What needs to change
Deciding on appropriate Cites trade measures for species relies primarily on biological criteria, such as population size. Typically, that process does not involve consultation with the people extracting or trading wildlife. Nor does it really consider insights from the social sciences, including economics, on the likely impact of trade measures on wildlife and people. Decisions by the world’s governments to establish these measures are therefore highly uncertain.
To better prevent species from being overexploited for international trade through Cites, countries need to have a greater understanding of how different species are traded. This would enable them to identify the most appropriate combination of rights, rules and decision-making procedures along supply chains, and then pre-test and implement interventions specific to these systems.
Countries therefore need to analyse how species are traded. This would include looking at the relevant property rights and other laws that affect people involved in the trade, as well as understanding factors such as incentives for people to harvest species, the extent to which trade contributes to peoples’ income, and market size for traded species and products.
Countries could then reconfigure rights and rules so that they are aligned along supply chains. This is needed to avoid creating loopholes and facilitating illegal trade. Where trade (both within countries and between countries) is taking place, these arrangements should support it to be legal and sustainable. That’s the ultimate aim of Cites. The relevant actors, including collectors and traders should also be consulted – or better yet involved in co-designing regulations – so that the rules are legitimate to them.
The most appropriate interventions will depend on each country’s analysis of its own trading situation and their role in the trade of given species. They may include devolving land or use rights to Indigenous peoples so that they manage and can benefit from the species. Or interventions may be programmes to reduce consumer demand or develop responsible markets for wildlife products as appropriate.
The approach we propose in our study has the potential to reduce reliance on state-led law enforcement along international supply chains. Pluralist regulatory approaches, including self-regulation, community monitoring or the engagement of appropriate third parties, could be used to support compliance with new rules at each stage of supply chains. Where property rights are appropriately assigned, clear and enforceable, this could mean less reliance on state law-enforcement. This is because local people with a sense of ownership of wildlife are more likely to help protect it rather than overexploit it.
How could Cites be more effective? By understanding the dynamic trade systems for species in greater detail. Then, identifying the most appropriate combination of rights, rules and decision-making procedures to achieve sustainability throughout supply chains. And, finally, integrating Cites trade measures within these broader systems.
Don’t have time to read about climate change as much as you’d like?
Dan Challender receives funding from the Global Challenges Research Fund through the Trade, Development, and the Environment Hub, the A. G. Leventis Foundation, and the Paul G. Allen Family Foundation. He serves as CITES Focal Point for the IUCN Species Survival Commission (SSC) Pangolin Specialist Group, and is a member of the IUCN Commission on Environmental, Economic, and Social Policy (CEESP)/SSC Sustainable Use and Livelihoods Specialist Group.
Michael ‘t Sas-Rolfes has consulted as a technical advisor to Rhinomics, an initiative working to develop an ethical and sustainable trading model for the benefit of rhino conservation. He serves on the IUCN Species Survival Commission (SSC) African Rhino Specialist Group, and is a member of the IUCN Commission on Environmental, Economic, and Social Policy (CEESP)/SSC Sustainable Use and Livelihoods Specialist Group.
Source: The Conversation – UK – By Sofia Nilsson Warkander, PhD Candidate, 17th-Century Literature, Stockholm University
José Lourenço’s film adaptation of German author Johann Wolfgang von Goethe’s epistolary novel The Sorrows of Young Werther opens with a line on screen stating it is “based on the smash hit 1774 novel of tragic romance”. Set in contemporary Canada, it revolves around Werther (Douglas Booth), who falls tragically in love with Charlotte (Alison Pill), who is already engaged to Albert (Patrick J. Adams).
Goethe’s “smash hit” was written in a new literary landscape, where both readers and writers increasingly belonged to the growing middle class. It was one of the most influential works of the Sturm und Drang movement, also called Geniezeit (the age of genius), which cultivated individual emotion and expression, rejecting antiquated class structures in favour of an “aristocracy of feeling”.
The movement’s interest in the individual’s inner life was revolutionary at the time. Today, it has become an integral part of western ideology and culture, and is arguably part of the reason that romantic comedy is such a popular genre.
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In recent years, movie adaptations of early modern works have been made with a tongue-in-cheek style far removed from BBC adaptations of the 1990s. One notable example is Carrie Cracknell’s 2022 adaptation of Jane Austen’s Persuasion, where much of the original novel’s tone was changed for a strong flavour of the television series Fleabag. But still, successful reworkings generally show a director’s appreciation for the original.
Lourenço’s comedy, however, strips away much of the complexity of Goethe’s masterpiece. In I’ve Never Wanted Anyone More, the literary genius of The Sorrows of Young Werther is metamorphosed into tropes so contemporary that they already seem dated.
The jovial movie Werther is a trust-fund baby who loves gelato and bespoke tailoring. Instead of an artist, here he is an aspiring science-fiction writer. And although they share an enthusiasm for J.D. Salinger, the film’s Werther and Charlotte generally find more joy in sample sales and smoking joints than poetry.
The trailer for I’ve Never Wanted Anyone More.
The film also has a bizarre penis fixation. Werther’s confidant, Paul, has an obsession with semen, and his uncle repeatedly urges him to avoid condoms. In the moment of their greatest confrontation, Charlotte’s fiancé Albert and Werther agree that linden trees (a passing reference to the ones the literary Werther is buried between) smell like semen.
Apparently, after a fistfight, this is all two romantic rivals have to talk about. As the seminal male bond prevails, I can’t help feeling that the film would have been more credible without trying to be American Pie.
Adapting Goethe
Beyond passion, Goethe’s novel also depicts different social dilemmas. In the book, Werther leaves a promising bureaucratic career because he cannot overcome a sense of disgust at having to navigate social hierarchies with flattery and falseness. In fact, it often seems that it is this social order that he cannot survive, rather than his infatuation with Charlotte.
Unlike Werther, in the novel Charlotte can’t give in to her feelings, because of the expectations of female modesty of the time as well as her duty to provide for her younger siblings by marrying the well-to-do Albert.
In the film version, Charlotte is despondent about how much of her own life she has had to sacrifice to care for her family. The film’s exploration of this sacrifice, and her loneliness as Albert neglects her in favour of his work, shows the potential for a more nuanced characterisation of the heroine.
Unfortunately, I’ve Never Wanted Anyone More is typical of much contemporary screenwriting in its over-explanation of actions and desires, telling rather than showing.
Lourenço often appears inspired by Whit Stillman’s deftly crafted romantic comedies. Love and Friendship (2016), Stillman’s brilliantly funny adaptation of Jane Austen’s novella Lady Susan, could be a model for any attempt to rework centuries-old prose. However, I’ve Never Wanted Anyone More lacks the light touch and meticulous writing that made that adaptation glimmer, exposing original genius alongside the new version’s appeal.
Instead, the film turns both social analysis and tragedy into pat, moral lessons. The literary Werther’s reluctance to partake in a society still ruled by arbitrary privilege is excised from the movie. After being chastised by a friend for being unhappy instead of recognising the advantages he already possesses, Werther instead helps Albert and Charlotte improve their marital relationship.
This therapy speak seems oddly in touch with contemporary pop psychology touting the benefits of gratitude. Instead of suicide, in the film Werther’s despair is transmuted into an artistic breakthrough and an exultant trip to Berlin with Paul, as Charlotte and Albert settle into wedded bliss.
Touching on the novel’s social critique would have made for a more complex and satisfying adaptation. It also has its own interest in times of increasing income disparity and the eradication of the middle class. Keeping more such characteristic marks could have made this reworking stand out among blander cinematic fare.
I’ve Never Wanted Anyone More’s problem is that it cannot decide whether to be burlesque or emotional, whether it’s adapting a novel or its Sparknotes summary. Again, differences between model and adaptation might not be a work’s most important quality. But if the director wants to deviate so consistently, why choose a literary model at all?
Sofia Nilsson Warkander 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.
It has taken decades for some to accept the devastating effects of climate change on our planet. Despite scientific evidence that was available years ago, many people were reluctant to make the connection between increasing use of fossil fuels, rising global temperatures and devastating weather events.
A key reason for this reluctance is the dislocation of cause and effect, both in time and geography. And here there are clear parallels with another deadly human activity that is causing increasing levels of suffering across the planet: the production, trafficking and consumption of illicit drugs. Here are some troubling “highlights” from the UN’s latest World Drugs Report:
Cocaine production is reaching record highs, with production climbing in Latin America coupled with drug use and markets expanding in Europe, Africa and Asia.
Synthetic drugs are also inflicting great harm on people and communities, caused by an increase in methamphetamine trafficking in south-west Asia, the near and Middle East and south-eastern Europe, and fentanyl overdoses in North America.
Meanwhile, the opium ban imposed by the de facto authorities in Afghanistan is having a significant impact on farmers’ livelihoods and incomes, necessitating a sustainable humanitarian response.
The report notes how organised criminal groups are “exploiting instability and gaps in the rule of law” to expand their trafficking operations, “while damaging fragile ecosystems and perpetuating other forms of organised crime such as human trafficking”.
Illicit drug use is damaging large parts of the world socially, politically and environmentally. Patterns of supply and demand are changing rapidly. In our new longform series Addicted, leading drug experts bring you the latest insights on drug use and production as we ask: is it time to declare a planetary emergency?
At every stage of the process of producing drugs such as cocaine, there are not only societal impacts but environmental ones too. An example of the interconnected relationship between climate change and drugs is demonstrated in the use of land.
Demand for cocaine has grown rapidly across many western countries, and meeting this can only be met by changing how land is used. Forests are cleared in South America to make way for growing coca plants. The refinement of coca into cocaine involves toxic chemicals that pollute the soil and nearby watercourses. This in turn compromises those living in these areas as access to clean water and fertile land is reduced.
Until this is reversed, these local communities will not be able to cultivate the land to earn an income or rely on water sources to live. And each year, some of their number will add to the hundreds of thousands of people around the world who die, directly or indirectly, as a result of illicit drug use.
People in the world with drug use disorders (1990-2021)
Having spent most of my career researching the human toll of drug use at almost every stage of the supply and consumption chain, I believe a complete shift in the way we think about the world’s drug problem is required.
We already have many years of evidence of the ways that drugs – both natural and (increasingly) synthetic – are destabilising countries’ legal and political institutions, devastating entire communities, and destroying millions of lives. My question is, as with climate change, why are we so slow to recognise the existential threat that drug use poses to humanity?
The disconnect between users and producers
For decades, problems with drugs have been viewed as a mainly western issue, affecting Europe, North America and Australasia in terms of drug taking. This perception was fostered in part by US president Richard Nixon’s “war on drugs” announcement in June 1971, when he declared drug abuse to be “public enemy number one”.
This western-centric focus has come at a cost – we still have little data and information about drug use and problems in Africa, for example. But we are beginning to see how far drugs and their associated devastation has reached beyond traditional western borders.
Illicit drug use has increased by 20% over the past decade, only partly due to population growth. Almost 300 million people are estimated to consume illicit drugs regularly, with the three most popular being cannabis (228 million users), opioids (60 million) and cocaine (23 million). According to the UN report:
The range of drugs available to consumers has expanded, making patterns of use increasingly complex and polydrug use a common feature in most drug markets. One in 81 people (64 million) worldwide were suffering from a drug use disorder in 2022, an increase of 3% compared with 2018.
There are multiple harmful consequences of drug use. The largest global burden of disease continues to be attributed to opioids, use of which appears to have remained stable at the global level since 2019, in contrast to other drugs.
In the same way that climate change has threatened whole populations, so too have drugs. Yet many of us remain disconnected from how they are produced and distributed – and the misery they cause throughout the supply chain, all over the world.
The production of cocaine, for example, is associated with violence and exploitation at every stage of the manufacturing process. Death threats to farmers and unwilling traffickers have all increased in parallel with the growing demand for cocaine in the US and Europe.
Global drug use disorder deaths by substance (2000-21):
Organised crime groups not only supply and distribute drugs but also trade in people, whether for the commercial sex trade or other forms of modern slavery. This makes sense as the infrastructure and contacts to move drugs are similar to those used to move humans across borders and even continents. Yet many cocaine users are oblivious – wilfully or otherwise – of the violence associated with how this drug is supplied to them. As the UK National Crime Agency points out:
Reducing demand is another critical factor in reducing the supply of illegal drugs. Many people see recreational drug use as a victimless crime. The reality is that the production of illegal drugs for western markets has a devastating impact in source countries in terms of violence, exploitation of vulnerable and indigenous people and environmental destruction.
While some of the suffering associated with the production of drugs like cocaine makes the headlines, it’s often overshadowed by the glamorisation of criminal drug gangs in films and on TV. To the extent that people worry about the impact of drugs, it’s usually focused on those in our immediate communities, such as people dependent on heroin who are sleeping rough and vulnerable to exploitation. But there have already been other victims before the drug reaches our streets.
Shifts in the global supply chain
Tracking heroin routes demonstrates the way that drug supply is an international effort which affects every community on its journey, from the Afghan farmer to officials who are bribed so the drug can cross borders or be let through ports without being seized, to the person injecting or smoking the finished product.
Much of Europe’s heroin is produced in Afghanistan by small farming operations growing opium, which is then transformed into the drug. Most Afghan farmers are simply surviving growing the crop, and don’t reap significant wealth from their harvest. It is those supplying and distributing the opium as heroin who can make serious money from it.
Meanwhile, following the return of the Taliban to power in Afghanistan in August 2021, those farmers’ livelihoods have faced a new threat.
The Taliban is ideologically opposed to the production of opium. Soon after assuming control, its leaders issued a decree banning farmers from growing opium. They have enforced this by destroying crops when farmers have ignored the ban – although there is still believed to be a significant stockpile of heroin in the country, meaning that as yet, there has not been a big impact on supply to Europe and the UK. But this could change amid the emergence of more deadly synthetic alternatives, including nitazenes and other new synthetic opioids.
Heroin trafficking flows based on reported seizures (2019-22):
Either way, the drug gangs who traffic heroin won’t worry about the opium farmers’ wellbeing. As so often happens with changes in the availability of illicit drugs, when there is a shortage, these groups prove adaptable and nimble at providing alternatives quickly.
While gathering intelligence about organised crime gangs is difficult and potentially dangerous, the European Union Drugs Agency (EUDA) has provided some insights about who these groups are and how they operate. The Netherlands remains an important hub for the distribution of heroin, with several Dutch criminal groups involved in importing and distributing heroin from Afghanistan.
But others are involved too: the EUDA’s intelligence shows that criminal networks with members from Kurdish background are central to the wholesale supply and have control over many parts of the supply chain. These professional, well-organised groups have established legal businesses throughout the route of supply that facilitate their illicit activities – largely along the Balkan route with hubs in Europe.
Intermediate & final recipients of heroin shipments (2019-22):
Unlike these organised crime gangs, governments and law enforcement appear to respond to emerging threats slowly and lack the flexibility and ingenuity that the gangs repeatedly demonstrate.
As drug detection techniques have improved, organised crime has shown how inventive it can be. Taking advantage of the COVID-19 pandemic, dealers used consignments of surgical masks to conceal large quantities of cocaine being trafficked to China and Hong Kong from South America.
And as western markets for cocaine become saturated, organised crime gangs have exploited new markets in Asia, where cocaine seizures, a proxy for use of cocaine, have increased. But the shifting landscape is also reflected in changes in consumption, with use of the synthetic stimulant methamphetamine growing rapidly in Asia – reflected in record levels of seizures in the region in 2023.
For the organised crime gangs, production and supply of synthetic drugs is in many ways easier, as it is not reliant on an agricultural crop in the way that heroin and cocaine are and can be manufactured locally. This reduces the distribution logistics and distance needed for an effective supply chain. According to the UN Office on Drugs and Crime, organised crime gangs are exploiting gaps in law enforcement and state governance to both traffic large volumes of drugs and expand their production in the region.
Where there is destabilisation, there is opportunity for those who seek to profit from drug addiction. In Syria, Russia and Ukraine, war has made some people very rich.
Syria and Russia: the new drug hotspots
The wars in Syria and Ukraine bear testament to the way drugs provide solutions to people who are experiencing the worst of times – and to governments that are ready to exploit evolving situations.
As the war in Syria progressed, the Bashar Al-Assad regime actively developed a strategy to dominate the captagon market in the Middle East and North Africa. First produced in the 1960s in Germany to treat conditions such as attention deficit disorders and narcolepsy and other conditions, captagon is a stimulant that staves off hunger and sleep, making it ideal for military use – particularly in countries where food supplies are inconsistent. It has been referred to as the “drug of jihad” used by Islamic fighters in the region.
As the war progressed in Syria, the country and its leader became increasingly isolated, its economy crashed creating the perfect conditions to develop the trade in captagon. Rather than drug production leading to the collapse of law and order, it was the other way round.
Isolated by the west and with a historically strained relationship with its neighbours including Saudi Arabia, the Assad regime – under the guidance, reportedly, of Assad’s brother Maher al-Assad– ruthlessly positioned itself as the world’s main producer and distributor of this drug, then used this position to leverage its influence and try to reintegrate into the Arab world.
Video by TRT World.
Captagon also provided much-needed revenue for the Assad regime. The drug was estimated to be worth US$5.7 billion annually to the Syrian economy – at a time when western governments have placed severe sanctions on the country, restricting its ability to raise revenue. Saudi Arabia was one of the main countries being supplied captagon by Syria. Until the fall of Assad, it was the senior leadership in Syria that controlled the supply and distribution of the drug – giving rise to the label “the world’s largest narco state”.
The Assad government achieved this position by making captagon good value – a viable alternative to alcohol in terms of price and for those who don’t drink. Exploiting many of its own citizens, the regime encouraged individuals and businesses to participate in manufacturing and distributing the drug.
The fall of Assad and his hurried escape to Russia left the rebel fighters to pick up vast hauls of captagon and other drug ingredients. “We found a large number of devices that were stuffed with packages of captagon pills meant to be smuggled out of the country. It’s a huge quantity,” one fighter belonging to the Hayat Tahrir al-Sham (HTS) group told the Guardian. What this will do to drug production and supply in the region is unclear.
While the latest UN World Drug Report highlights “a rapid increase in both the scale and sophistication of drug trafficking operations in the region over the past decade”, it goes on to highlight that “one of the most striking changes worldwide in drug trafficking and drug use over the past decade has taken place in Central Asia, Transcaucasia [Armenia, Azerbaijan and Georgia] and eastern Europe”, where there has been a shift “away from opiates, mostly originating in Afghanistan – towards the use of synthetic stimulants, notably cathinones … There is hardly any other region where cathinones play such a significant role.”
This is part of “a groundbreaking shift in the global drug trade, pioneered in Russia and now spreading globally,” according to the Global Initiative Against Transnational Organized Crime. This shift is changing the nature of drug sales, using “darknet markets and cryptocurrency for anonymous transactions, allowing buyers to retrieve drugs from hidden physical locations or ‘dead drops’, rather than direct exchanges.”
The rise of Russia’s dead drop drug trade stems from several unique national factors: restrictive anti-drug policies, strained western trade relations, and a strong technological foundation. Enabled by these conditions, the dead drop model has reshaped how drugs are distributed in Russia.
Drug transactions now involve no face-to-face interactions; instead, orders are placed online, paid for with cryptocurrency, and retrieved from secret locations across cities within hours. This system, offering convenience and anonymity, has seen synthetic drugs – especially synthetic cathinones like mephedrone – overtake traditional imported substances like cocaine and heroin in Russia … These potent synthetic drugs are cheap, easy to manufacture, and readily distributed through Russia’s vast delivery networks.
The report notes that this shift in drug distribution has been accompanied by rising levels of violence including punishment beatings, and a public health crisis.
Podcast by the Global Initiative Against Transnational Organized Crime.
Yet officially, there is very little reliable data about drug use in Russia. Under the premiership of Vladimir Putin, Russia has no sympathy with those who are dependent, viewing them as weak and without value. And its invasion of Ukraine three years ago has had ramifications for Ukraine’s users too.
Prior to the war, Ukraine had demonstrated an increasingly progressive policy towards those who had problems with drugs, establishing treatment centers and encouraging access to treatment. Since Russia invaded Ukraine in February 2022, this strategy has been severely set back, with many people who need access to substitute treatments such as methadone unable to secure consistent supply of these drugs.
Another global blind spot is China, where, like Russia, little is known about the extent or type of problems that drugs are causing. Both regimes are ideologically opposed to recreational or problem drug use and, as far as we know, there is no state-funded rehabilitation provided in either country; the approach is to criminalise people rather than offer health-based interventions.
We shouldn’t be too critical as many western countries, including the UK, also need to pivot from a criminal approach to drug problems towards a health-focused one. Portugal made such a policy change several years ago, recognising that people who develop problems with drugs such as dependency need help rather than punishment.
This radical shift in thinking has made a significant change to the way those using drugs are treated, in the main offered help and specialist support rather than being arrested and sent to jail, only to be released and then repeat the same cycle of drug use, arrest and prison.
The evidence of this policy change is impressive: not only have drug-related deaths fallen, but population-level drug use is among the lowest in Europe. Nowhere is this policy shift more urgent than the US.
North America: epicentre of the opioid crisis
In the US, the synthetic opioids fentanyl and oxycodone have contributed to more than 100,000 fatal overdoses each year since 2021. While there are signs this deaths toll is at last beginning to fall, the harm and pain of addiction and overdose affects every strata of American society – as shown in moving portrayals of America’s opioid crisis such as Painkiller and Dopesick. Most fatalities are caused by respiratory depression where breathing is significantly slowed or stops altogether.
Official trailer for Painkiller (Netflix)
Fentanyl is an analgesic drug that is 50-100 times more potent than heroin or morphine. Where China used to be the principal manufacturer and supplier of fentanyl to the US, Mexico is now the primary source. In December 2024, Mexican authorities announced “the largest mass seizure of fentanyl pills ever made” – amounting to more than 20 million doses of fentanyl pills worth nearly US$400 million. The pills were found in Mexico’s Sinaloa state, home of the Sinaloa drug cartel and a hub of fentanyl production,
“This is what makes us rich,” one fentanyl cook recently told the New York Times. He was scathing about the idea that Donald Trump would be able to stamp out the supply of fentanyl from Mexico to the US by threatening Mexico’s government with tariffs. “Drug trafficking is the main economy here.”
However, the introduction of synthetic opioids to the US came not via organised crime but through a deliberate strategy of the pharmaceutical industry. Upon launching its prescription opioid painkiller OxyContin (a brand name for oxycodone) in 1996, Perdue Pharma, owned by the Sackler family, devised a plan to increase prescriptions of the drug by incentivizing and rewarding doctors to give these drugs to their patients. On a business level, this was a success; on a human level, it has been a disaster.
As patients quickly developed tolerance to drugs such as OxyContin, they had to take higher doses to avoid withdrawal symptoms or the positive feelings it gave them. Taking more of these opiates increases the risk of accidental overdose, many of which proved to be fatal. It has also driven those dependent on drugs to the black market, and into the hands of organised drug gangs, as they seek the drugs in greater quantities.
Dependency on fentanyl and other opioids is all-consuming. When not using these drugs, people are entirely focused on ensuring sufficient supply of the next dose. This includes funding supply which can take people to places they thought they would never be, for example breaking the law, shoplifting or getting involved in commercial sex to make enough money to buy drugs.
Synthetic opiates like OxyContin and fentanyl have proved to be classless, ageless and sex blind. The first-hand experience of addiction and fatalities have radically altered the way many Americans think about drugs and the problems they cause. Canada, too, is suffering a major crisis.
Compounding this tragedy is the failure of the state to provide interventions and treatment that could have reduced fatal and non-fatal overdoses. It is only now that evidence-based interventions are beginning to be made widely available, such as access to Naloxone – a drug that can reverse the effects of opiates and potentially save a life.
Of course, it isn’t just hospitals and health professionals that are challenged by the results of widespread use of opioids, but public services like the police and fire service. In some areas of the US, there have been so many daily overdoses that every service was called on to try and deal with it. Local mayors have made it a priority to train police and fire personnel to be trained as first responders, such is the scale of the problem.
But it is not just in North America that we see the failure of politicians and the state to act when faced with growing problems with drugs. In the UK, where record numbers are dying because of using drugs such as heroin, the government has not invested in overdose prevention strategies. At a time when fatal overdoses increase year on year, budgets for specialist treatment have been reduced. It remains to be seen what the recently elected Labour government will do, if anything, to tackle the tragic rise in drug related fatalities.
What connects both examples from the US and UK is the attitude and perception of drug use many of us have. Drug use and the heavy use of prescription painkillers is still heavily stigmatised. Many of us still view this as something individuals bring on themselves or have a choice about.
So, if we don’t care about what happens to people who develop problems with drugs, why should our elected representatives? In part, it is our bigotry that is enabling the lack of timely intervention, despite us possessing the knowledge and evidence of how drug harms can be minimised.
Latin America: breakdown of the rule of law
Under the last Conservative government, the UK Home Office asserted that people who used cocaine recreationally are supporting violence not only in the UK but in the countries that produce its raw ingredients. It’s not clear if this has made any difference to those using cocaine in the UK – personally, I doubt many people consider or are aware of how cocaine is produced or its provenance.
Perhaps if those using cocaine, mainly in western countries, realised the extent of violence and suffering that cocaine manufacture causes they might think again. Latin America has suffered enormously, with few countries there not touched in some way by the violence and breakdown of law associated with drug production and supply. According to the latest UN World Drugs Report:
Global cocaine supply reached a record high in 2022, with more than 2,700 tons of cocaine produced that year, 20% more than in the previous year … The impact of increased cocaine trafficking has been felt in Ecuador in particular, which has seen a wave of lethal violence in recent years linked to both local and transnational crime groups, most notably from Mexico and the Balkan countries.
Cocaine seizures and homicide rates increased five-fold between 2019 and 2022 in Ecuador, with the highest such rates reported in the coastal areas used for trafficking the drug to major destination markets in North America and Europe.
Cocaine trafficking flows based on reported seizures (2019-22):
As with opium production in Afghanistan, it is small-scale farmers in Colombia, Peru and Bolivia that grow the coca plant that will be turned into cocaine. Like their Afghan counterparts, they grow coca as it is more profitable than alternatives such as coffee. While it may be profitable in the short term, there are greater costs to them and their society.
Cocaine production brings with it violence as those further up the drug production chain try to control its trade. Few parts of these societies are unscathed, from bribing local politicians through to whole regions that are controlled by organised crime. Keeping control means that the use of firearms and violence increases. Against this backdrop, it is unsurprising that basic health and social services suffer.
So, while a coca grower may have more money, every other aspect of their life is negatively impacted. Whether it is regional or state institutions, both are compromised by the drug trade and those that control it. While this may not lead to the total collapse of law and order, it does create injustice and distorts the rule of law in many areas of Latin America and the Caribbean, where competition between gangs has also resulted in an increase in homicides.
The impact is on all sectors of society, now and into the future. For example, while historically the role of women has been largely underrepresented in research and drug policy, the UN report recognises that this is changing:
As women increasingly participate in economic activities, the role that women play in the drug phenomenon may become increasingly important. For example, a shift away from plant-based drug production may affect many women in rural households involved in opium poppy and coca bush cultivation.
The UN also identifies the specific risk to young people and the drugs trade, highlighting:
Long-term efforts to dismantle drug economies must provide socioeconomic opportunities and alternatives, which go beyond merely replacing illicit crops or incomes and instead address the root structural causes behind illicit crop cultivation, such as poverty, underdevelopment, and insecurity. They must also target the factors driving the recruitment of young people into the drug trade, who are at particular risk of synthetic drug use.
Meanwhile, demand for treatment in Europe due to problems with cocaine has risen significantly in recent years, since 2011 there has been an 80% increase in treatment presentations. This reflects the growing number of people using cocaine and the rise in purity of the drug.
Amid what may seem to be a story of unrelenting despair and hopelessness, there are local initiatives and even a few state-wide policies that provide optimism that change is possible.
In my roles both as clinician and scientist, I’ve often been amazed by how ingenious people can be when faced with the apparently impossible. For example, the way some people use heroin to dampen their psychotic symptoms, such as auditory and visual hallucinations – or the development of Naloxone, a drug that can temporarily reverse the effects of opioids, providing a short window for emergency services to treat people who have overdosed.
Early in my career, I witnessed the emergence of HIV in the UK in the 1980s. The speed at which this disease spread was not matched by our ability to treat it. Our response to HIV was undoubtedly hampered by prejudice and stigma towards marginalised groups in society, namely gay men and those using drugs (particularly injecting them).
However, unexpectedly and courageously, the Conservative government recognised those who were most at risk of contracting HIV, and organised a package of measures to contain the spread of infection. One part of this was a media campaign based on public health messaging designed to reduce the risk of contracting the disease. But the government also invested in treatment for those who had been infected and engaged with people at high risk, such as those intravenously injecting drugs.
I worked in specialist HIV clinics for those using drugs. At the time, methadone and diamorphine were provided as an alternative to heroin. Regulations and protocols that restricted the prescribing of these medical opioids were eased, so we could ensure patients attending these clinics were given sufficient oral and injectable opioids that they didn’t need to source street heroin.
This meant they had access to medical grade opioids and, crucially, were given regular supplies of sterile injecting equipment. It was this that reduced the risk of contracting HIV, as some people would share injecting equipment when using heroin.
This impressive policy ran counter to the Conservative party’s ideology at the time, which was to punish rather than help those using drugs like heroin. It showed me how, even with traditional mindsets, it is possible to shift policy thinking in the face of a health crisis. And make no mistake, the global drug problem is an ongoing health crisis. Today, the UN points to the risks that intravenous users of drugs still face:
An estimated 13.9 million people injected drugs in 2022, with the largest number living in North America and East and South-East Asia … The relative risk of acquiring HIV is 14 times higher for those who inject drugs than in the wider population globally.
There are, though, signs of positive change in the way some countries and regions are changing their drug policies. Scotland recently opened a drug consumption facility in Glasgow – a safe place for people to use their drugs, usually injecting drugs like heroin. Such spaces provide access to sterile injecting equipment, reducing the risk of blood-borne infections such as HIV or Hepatitis. At the same time, they offer the opportunity to engage with people who have not accessed traditional health services.
Portugal, as mentioned earlier, has made substantial changes to the way it approaches drug use and the problems associated with it. This policy shift since 2000 has saved lives and brought a more humane way of treating people who develop problems with drugs.
Contrast this with the wasted effort and resources ploughed into the war on drugs – initiated by Nixon and followed by so many western governments ever since. My plea to policymakers is simple: employ the same evidence-based science you use for health issues towards drugs and problem drug use.
Science and research can help in many ways, if given the chance. Some of it might seem radical, like providing safe drug consumption spaces. Some of it is more mundane, but vital – like tackling inequality, a clear driver of problem drug use across the world.
But while we often look to politicians to take the lead on change, it is people – us – that really hold the solution. By far the greatest threat to people and society from drugs is ignorance and bigotry. So many lives have been lost to drugs because of shame, either as a driver of drug use or a barrier to seeking help.
Beliefs are notoriously difficult to shift. As with climate change, the most powerful driver of change is personal experience. We know that when a family or community is affected by a drug overdose, their beliefs and perceptions change. But this is not the way any of us should want to see change happen.
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Ian Hamilton does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.
Source: The Conversation – UK – By Jennifer Mathers, Senior Lecturer in International Politics, Aberystwyth University
North Korea is believed to be preparing to send another group of soldiers to come to Vladimir Putin’s aid in the war in Ukraine, despite heavy combat losses already suffered by troops from the east Asian country.
When Ukrainian forces crossed the border into the Kursk region of Russia in August 2024, Ukraine’s military commanders hoped that their surprise move would force Moscow to withdraw troops from eastern Ukraine to defend Russia’s own territory. Kyiv did not expect its troops to end up fighting North Koreans.
Neither Moscow nor Pyongyang have officially confirmed that North Korean troops are fighting side by side with Russians. But South Korean intelligence has been reporting on their presence since October 2024, when approximately 1,500 North Korean special forces were observed to have arrived in Russia’s far eastern city of Vladivostok, initially for training.
This group was later joined by another 10,000 or so of their comrades (some of whom are also believed to be from North Korean special forces units). They were transported nearly 7,000 kilometres across Russia to reach the combat zone.
North Korea, an isolated dictatorship with few allies, is one of Russia’s most reliable suppliers of weapons, including missiles and millions of rounds of ammunition that Russia needs to continue to fight its war against Ukraine. North Korea, however, would seem to have little reason to send its own people to risk their lives in that conflict. But North Korean soldiers appear to be at the heart of a deal struck by North Korea’s supreme leader Kim Jong-un and Russian president Vladimir Putin.
What does Putin want?
For Putin the gains are clear. His campaign in Ukraine has received a much-needed influx of trained soldiers to shore up efforts to retake Russian territory occupied by Ukrainian forces.
Although the numbers of North Korean troops are relatively small, their strategic deployment allows Russia to push the Ukrainians back without diverting any of its forces from their offensive operations in eastern Ukraine. Expectations are high that Donald Trump’s return to the White House could mean an end to the war – or at least a pause – sooner rather than later. This gives Putin an incentive to occupy as much Ukrainian territory as possible ahead of a ceasefire, when occupied areas are likely to form the basis of territorial settlements.
The suggestion that Russia is not capable of maintaining its position in Ukraine and also defending its own territory without the addition of foreign troops is very revealing.
Moscow is struggling to recruit enough of its own citizens to fight in Ukraine. This is despite offering salaries and benefits packages to prospective soldiers that are beyond generous. The lack of resistance to Kyiv’s summer incursion into Russian territory made it clear that Russia is relying upon barely trained conscripts – that is, teenage boys doing their one year of compulsory military service – to defend its borders rather than professional soldiers. And while Russia has regained control of a substantial proportion – perhaps more than 60% – of the area seized by Ukraine in the summer, this has taken nearly six months to accomplish.
What does Kim Jong-un want?
For Kim Jong-un, sending his soldiers to fight with Russia provides his troops with valuable experience of combat in a conflict that is rapidly defining how war will be waged in the future.
Since the end of the Korean War (1950-53), Pyongyang has placed a high priority on maintaining a large and heavily armed standing army. After training, North Korean soldiers are mostly used for patrolling the de-militarized zone that marks its border with South Korea. Participating in Russia’s war against Ukraine provides the North Korean military with its first experience of combat in more than 70 years.
North Korean soldiers captured in Ukraine.
Observations from Ukrainian soldiers suggest the North Korean soldiers are courageous and determined fighters but with no experience of actual combat. The Ukrainians have described the North Koreans as relying on strategies typical of the second world war – for example advancing in large groups on foot, where they provide easy targets for artillery and drone strikes. They were also apparently bemused by the appearance of drones on the battlefield and had no idea that these objects could deliver lethal attacks.
This degree of inexperience, together with Russia’s tactic of using the North Koreans to draw the fire of the Ukrainians and clear the way for the Russians to advance, is believed to be the reason for such high losses so soon after their deployment.
In January the Ukrainians managed to capture two North Koreans and question them, which has provided the clearest picture so far of their experiences of fighting with the Russian armed forces. The North Korean soldiers both had false identity papers with Russian names, which is consistent with official denials of their presence. The men, who do not speak any foreign languages and had to be questioned through an interpreter, said that they had both been soldiers for several years. This supports the Ukrainians’ impression that the North Koreans are trained and disciplined. Both prisoners, however, reportedly believed they were being sent to Russia to participate in training exercises, not to fight in a war.
Considering the heavy losses and the brutal treatment that North Korean troops have already suffered, Kim Jong-un might be expected to seek the speedy return of his soldiers rather than preparing to send more of their comrades to fight with Russia. But high casualties on the battlefield seems to be a price that North Korea’s president is willing to pay for combat experience that might give his army an edge in any future war that he fights on his own behalf.
Jennifer Mathers 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.
The UK government’s new plan to foster innovation through artificial intelligence (AI) is ambitious. Its goals rely on the better use of public data, including renewed efforts to maximise the value of health data held by the NHS. Yet this could involve the use of real data from patients using the NHS. This has been highly controversial in the past and previous attempts to use this health data have been at times close to disastrous.
Patient data would be anonymised, but concerns remain about potential threats to this anonymity. For example, the use of health data has been accompanied by worries about access to data for commercial gain. The care.data programme, which collapsed in 2014, had an similar underlying idea: sharing health data across the country to both publicly funded research bodies and private companies.
Poor communication about the more controversial elements of this project and a failure to listen to concerns led to the programme being shelved. More recently, the involvement of the US tech company Palantir in the new NHS data platform raised questions about who can and should access data.
The new effort to use health data to train (or improve) AI models, similarly relies on public support for success. Yet perhaps unsurprisingly, within hours of this announcement, media outlets and social media users attacked the plan as a way of monetising health data. “Ministers mull allowing private firms to make profit from NHS data in AI push,” one published headline reads.
These responses, and those to care.data and Palantir, reflect just how important public trust is in the design of policy. This is true no matter how complicated technology becomes – and crucially, trust becomes more important as societies increase in scale and we’re less able to see or understand every part of the system. It can, though, be difficult, if not impossible, to make a judgement as to where we should place trust, and how to do that well. This holds true whether we are talking about governments, companies, or even just acquaintances – to trust (or not) is a decision each of us must make every day.
The challenge of trust motivates what we call the “trustworthiness recognition problem”, which highlights that determining who is worthy of our trust is something that stems from the origins of human social behaviour. The problem comes from a simple issue: anyone can claim to be trustworthy and we can lack sure ways to tell if they genuinely are.
If someone moves into a new home and sees ads for different internet providers online, there isn’t a sure way to tell which will be cheaper or more reliable. Presentation doesn’t need – and may not even often – reflect anything about a person or group’s underlying qualities. Carrying a designer handbag or wearing an expensive watch doesn’t guarantee the wearer is wealthy.
Luckily, work in anthropology, psychology and economics shows how people – and by
consequence, institutions like political bodies – can overcome this problem. This work is known as signalling theory, and explains how and why communication, or what we can call the passing of information from a signaller to a receiver, evolves even when the individuals communicating are in conflict.
For example, people moving between groups may have reasons to lie about their identities. They might want to hide something unpleasant about their own past. Or they might claim to be a relative of someone wealthy or powerful in a community. Zadie Smith’s recent book, The Fraud, is a fictionalised version of this popular theme that explores aristocratic life during Victorian England.
Yet it’s just not possible to fake some qualities. A fraud can claim to be an aristocrat, a doctor, or an AI expert. Signals that these frauds unintentionally give off will, however, give them away over time. A false aristocrat will probably not fake his demeanour or accent effectively enough (accents, among other signals, are difficult to fake to those familiar with them).
The structure of society is obviously different than that of two centuries ago, but the problem, at its core, is the same — as, we think, is the solution. Much as there are ways for a truly wealthy person to prove wealth, a trustworthy person or group must be able to show they are worth trusting. The way or ways this is possible will undoubtedly vary from context to context, but we believe that political bodies such as governments must demonstrate a willingness to listen and respond to the public about their concerns.
The care.data project, was criticised because it was publicised via leaflets dropped at people’s doors that did not contain an opt-out. This failed to signal to the public a real desire to alleviate people’s concerns that information about them would be misused or sold for profit.
The current plan around the use of data to develop AI algorithms needs to be different. Our political and scientific institutions have a duty to signal their commitment to the public by listening to them, and through doing so develop cohesive policies that minimise the risks to individuals while maximising the potential benefits for all.
The key is to place sufficient funding and effort to signal – to demonstrate – the honest motivation of engaging with the public about their concerns. The government and scientific bodies have a duty to listen to the public, and further to explain how they will protect it. Saying “trust me” is never enough: you have to show you are worth it.
Richard Milne receives funding from Wellcome under grant 220540/Z/20/A to the Wellcome Sanger Institute and the Kavli Foundation, grant G115418 to the University of Cambridge.
Jonathan R Goodman 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.
Visit a supermarket in 2025 and you’ll see that a tub of Lurpak butter can cost £5.70. It may strike you that this represents a staggering increase from £3.65 just three years ago, so instead of paying the premium, you reach for the supermarket’s own brand at £3.80.
This kind of switch, multiplied across millions of shopping baskets, represents a massive shift in consumer behaviour that has been largely invisible to official statistics. But that’s changing, as the UK embarks on its biggest revolution in measuring living costs since the second world war.
The Office for National Statistics (ONS) is transforming the way it tracks inflation, moving from painstakingly checking prices to analysing millions of real purchases through supermarket scanners. Consider olive oil, the price of which surged by 47% in a year, or milk, which jumped by more than 25%. While official statistics captured these price rises, they couldn’t track how households adapted – whether by switching to cheaper alternatives, buying less, or cutting back elsewhere. This was a blind spot in our understanding of consumer behaviour.
Currently, price collectors visit stores across the country each month, checking the prices of about 25,000 products. It’s like taking a snapshot of what’s on the shelves at a particular moment. But this system, designed decades ago, often misses the real impact of inflation on different household types in things like choosing different products or switching stores.
This is crucial for understanding the real impact of inflation on lower-income households. These families often have less flexibility in their budgets and must make more dramatic changes to their shopping habits when prices rise. During recent periods of high inflation, many on low incomes found that official figures didn’t match their experience, which was of even higher inflation than the headline rates. And there’s a good reason why.
Inflation statistics aren’t just academic exercises. They drive decisions that affect every aspect of our financial lives. The Bank of England uses them to set interest rates, which in turn influence mortgage payments and savings returns. Employers use them in wage negotiations. Government uses them to adjust benefits, state pensions and tax thresholds. Even commercial contracts, including mobile phone bills and rail fares, are often linked to inflation rates.
When these numbers don’t accurately reflect price pressures, it can have serious consequences. If official figures underestimate the inflation experienced by lower-income households, benefit increases might not keep pace with their actual cost increases. Similarly, if wages don’t rise in line with real living costs, workers effectively experience a pay cut.
The scanner data revolution
The ONS’s new approach, to be introduced next year, will analyse around 300 million price points from supermarket scanners, covering about half of all grocery transactions in the UK. Instead of just seeing what’s on the shelf, they’ll know exactly what prices people are paying at checkouts across the country.
This massive increase in data points – from 25,000 to 300 million – will allow for a more nuanced understanding of consumer behaviour.
The change will also enable quicker identification of emerging price trends. After the start of the COVID pandemic and the Ukraine war, prices of certain goods changed rapidly. Scanner data could help spot these changes faster, allowing for more timely policy responses. It might also reveal regional variations in price pressures.
Take the 2023 surge in food prices – while overall food inflation hit 19%, the impact varied dramatically across households. Current statistics would not capture lower-income families switching from fresh to frozen vegetables, or from branded to value ranges.
In times of cost pressures, shoppers may switch from fresh produce to frozen. sirtravelalot/Shutterstock
With scanner data, policymakers could spot these trends quickly and respond more precisely – perhaps by adjusting benefit payments or targeting support to specific households when essential food costs spike. Instead of waiting for quarterly surveys to reveal hardship, they will be able to see in real time how different groups are coping with price pressures.
The ONS recently said full implementation will come in 2026, a year later than planned. While it will have the technical capability ready by March 2025, it is opting for a year of parallel running to ensure accuracy. This approach reflects how crucial these statistics are for the economy.
It has already modernised other areas of price collection, including incorporating 40 million train fare data points and 300,000 used car prices. But grocery prices, being central to household budgets and varying significantly across different income groups, require extra attention.
The change is coming at a crucial time. Recent years have shown how rapidly economic conditions can change and how differently these changes can affect various segments of society. The pandemic, Brexit adjustments, and global supply chain disruptions have all contributed to price pressures.
For consumers, while the changes won’t directly lower prices, they could lead to more appropriate responses from the Bank of England, government and employers. Most importantly, it could ensure that official inflation figures better reflect the reality of the weekly shop, particularly during times of economic stress.
The transformation of inflation statistics might seem like a technical detail, but its implications reach far beyond government offices and economic reports. It’s about ensuring that the official measures of living costs better reflect the reality experienced by millions of households across the UK. In this challenging economic environment, that’s something worth getting right.
Marcel Lukas receives funding from the British Academy. He is the Director of Executive Education at the University of St Andrews and Fellow of the ONS. The presented views are his own and do not represent the ONS.
NC CASC Tackles Climate Threats to Sagebrush Ecosystems
The North Central CASC leads initiative, holds workshop, to address threats to the “Sagebrush Sea,” one of the most expansive ecosystems in the United States.
The eastern sagebrush ecosystem, sometimes called the “Sagebrush Sea” for its vast expanse and rolling waves of silvery-green plants, is the largest continuous ecosystem in the continental United States. It provides essential habitat for wildlife like mule deer, pronghorn antelope, and greater sage-grouse, while also supporting livestock grazing, recreation, and cultural traditions. Despite its vast size, nearly half of this ecosystem has been lost under the pressures of land conversions and development, overgrazing, and invasive species – and now, these threats are compounded by changing climate conditions, like rising temperatures, shifting precipitation patterns, and more frequent extreme events.
To address these challenges, the North Central CASC (NC CASC) gathered 24 experts at a workshop at the University of Colorado Boulder. Their goal: to identify the most pressing research needs and practical solutions for adapting sagebrush ecosystems to a changing climate. Discussions focused on evaluating management practices, clarifying how ecosystems respond to environmental changes, strengthening connections with stakeholders and local communities, and understanding community values of sagebrush landscapes, as well as developing tools and datasets to support conservation efforts.
Building on the momentum of the workshop, the NC CASC is launching a two-year Science Synthesis Working Group. This collaborative effort will address the research gaps identified at the workshop and provide actionable climate-informed guidance to safeguard the Sagebrush Sea for future generations.
Source: United Kingdom – Executive Government & Departments
The Government has announced the appointment of three non-executive directors to the Board of the UK Statistics Authority.
The Authority’s statutory objective is to promote and safeguard the production and publication of official statistics that serve the public good.
The three appointees are:
Peter Barron, who is a Northern-Irish communications expert with senior experience in consumer technology and public affairs. He spent more than 20 years working in television news and current affairs at the BBC, ITV, and Channel 4, before working in external relations at Google from 2008 to 2018, and then at Stripe from 2021 to 2023. Peter holds a BSc in European Studies and Modern Languages from the University of Manchester (UMIST) and is a trustee of the Disasters Emergency Committee and the Quentin Blake Centre for Illustration.
Professor Mairi Spowage, who is Director of the Fraser of Allander Institute, Scotland’s leading economic research institute at the University of Strathclyde. Mairi leads research on modelling economic impact, economic measurement, regional economic and trade performance and public sector finances. Mairi has previously held roles as the Deputy Chief Executive of the Scottish Fiscal Commission and Head of National Accounts at the Scottish Government, with almost 20 years of experience of working in statistics and analysis, including transport, household surveys and performance measurement.
Dr Sarah Walsh, a risk and governance specialist who is currently advising clients in different sectors. Sarah has 20 years’ generalist experience, including Risk Director roles at Telegraph Media Group, Guardian Media Group, Save the Children and Imperial College London. Presently, she serves as a non-executive director at the Royal College of Nursing Publishing, including membership of the Royal College of Nursing’s Audit Committee and Equity, Diversity and Inclusion Committee. She also serves as independent non-executive member of the Audit and Risk Committees for Science Museum Group, St John’s Ambulance and the Royal Institute of Chartered Surveyors. Sarah holds a Master’s degree in Astronautics and Space Engineering from Cranfield University, and a PhD in Aerodynamics from the University of Manchester.
Appointments to the Board of the UK Statistics Authority are regulated. These appointments were made by Rt Hon Nick Thomas–Symonds MP, Minister for Cabinet Office. The advisory assessment panel was: Sir Robert Chote, Chair, UKSA (Chair of the panel); Steffan Jones, Director, Joint Data and Analysis Centre, Cabinet Office and Zarin Patel, Non Executive Director, HM Treasury.
Appointees began their roles at the end of January 2025.
Source: United Nations General Assembly and Security Council
United Nations Secretary-General António Guterres has appointed Arnaud Peral of France as the United Nations Resident Coordinator in the Philippines, with the host Government’s approval, on 1 February.
Mr. Peral was most recently the United Nations Resident Coordinator in Tunisia since 2020. Prior to that, he served successively as United Nations Resident Coordinator and United Nations Development Programme (UNDP) Resident Representative in Ecuador, UNDP Country Director in Colombia, UNDP Deputy Resident Representative in México and then Brazil, Programme Manager and Chief of Staff in UNDP´s Regional Bureau for Latin America and the Caribbean in New York and Programme Officer in UNDP Cuba.
Prior to joining the UN system in 2000, Mr. Peral served as Cooperation Counsellor for Scientific and Technical Cooperation in the French Embassy in Cuba, Research Assistant in the Ministry of Environment in France and Research Assistant in public policy in the Ministry of Agriculture in Chile.
Mr. Peral holds a master’s degree in development economics from the University of Paris X-Nanterre and a bachelor’s degree in economic policy from the University Pierre Mendes France, Grenoble.
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* This supersedes Press Release SG/A/1982 of 17 September 2020.
The way you see nutrition labels on food packaging is about to change. By 2025, new front-of-package labels will start appearing on grocery store shelves, and by January 2026, they’ll be mandatory.
Over the past two decades, nutrition labelling has evolved into a cornerstone of public health strategies worldwide. Traditional back-of-package labels, which provide comprehensive nutritional details, are often overlooked due to their complexity and placement, making them less effective in guiding consumer choices.
Front-of-package labels address this issue by simplifying key nutritional information and positioning it in a more prominent, visible space. This streamlined approach has proven successful in leading consumers toward healthier choices, as research indicates that simplified, visible labels can influence purchasing decisions.
Globally, front-of-package systems vary, with some countries employing warning symbols to flag excessive nutrient levels, while others use colour-coded “traffic light” systems or endorsement icons to promote healthier options.
Canadian policy
The Canadian government’s new policy requiring front-of-package nutrition symbols aims to guide consumers toward healthier food choices by highlighting foods high in sodium, sugars or saturated fats. These nutrients are closely linked to chronic conditions such as heart disease, diabetes and hypertension.
Designed for simplicity and consistency, the labels feature a black-and-white magnifying glass icon. This design’s uniformity in size, placement and bilingual presentation is intended to make it easily recognizable and understandable.
Fresh produce, plain dairy products and raw, single-ingredient meats are exempt from the regulations, acknowledging their inherent nutritional benefits.
The policy is intended to promote transparency and improve public health by helping Canadians make more informed food choices. With full implementation set for January 2026, further research and targeted actions such as meetings and correspondence on healthy eating by Health Canada are required to ensure the effectiveness of the policy.
Since 2016, extensive consumer testing, including focus groups, online surveys and in-store experiments, has informed decisions regarding the labels’ design, size and placement. As a result, the labels have been refined to better meet their goal of providing consumers with clearer, more actionable nutritional information.
While the initiative holds promise, several gaps could undermine its overall effectiveness. Varying levels of health literacy may hinder consumers’ ability to fully comprehend and act on the front-of-package labels, with some potentially unaware of the health risks associated with flagged nutrients like sodium, sugars and saturated fats.
Additionally, manufacturers face challenges in adhering to new labelling standards, reformulating products to meet healthier benchmarks and overcoming potential consumer resistance.
Addressing these issues requires significant investment in consumer education, alongside targeted support for manufacturers from the Canadian government in form of consultation in adapting to the new requirements.
The policy also presents an opportunity to engage consumers more deeply in their health choices. Education campaigns such as community workshops and public health initiatives, and point of sale posters that explain the purpose and interpretation of front-of-package labels, can empower consumers to make informed decisions.
These campaigns should address disparities in health literacy, ensuring that all Canadians benefit from the initiative regardless of socioeconomic status. Collaborative efforts among government agencies, health-care providers and community organizations could amplify these educational initiatives, reaching a wider audience.
Industry response
For manufacturers, the introduction of front-of-package labels often triggers efforts to reformulate products, reducing sodium, sugars or saturated fats to avoid negative labelling.
This process frequently involves ingredient substitution, recipe adjustments or portion size reductions. However, retaining the taste, texture and overall consumer satisfaction of a product while meeting nutritional targets requires significant innovation. If reformulated products fail to meet consumer expectations, brands risk losing loyalty and market share.
The stakes are particularly high for manufacturers whose flagship products are most at risk of being flagged. To overcome these challenges, collaboration with food scientists, ingredient suppliers and regulatory bodies is essential. Research and development efforts must focus on finding innovative solutions that meet regulatory requirements without sacrificing consumer preferences.
Beyond reformulation, compliance with front-of-package labelling requirements presents logistical and financial challenges. Packaging must be redesigned to incorporate the bilingual, standardized labels, often at significant cost. Smaller manufacturers with limited resources may find these changes particularly burdensome.
Updating supply chains to include new packaging materials and ensuring consistent application across product lines add further complexity. In addition to these financial and operational pressures, reformulation may affect production processes and shelf life, necessitating further adjustments.
Potential impact
Despite these challenges, front-of-package labelling has the potential to drive significant change within the food industry. By prioritizing healthier formulations, companies can gain a competitive advantage, particularly as consumer demand for health-conscious products grows.
Over time, this shift could lead to broader industry trends, pushing manufacturers toward greater transparency and accountability in their product offerings.
However, these positive outcomes require supportive policies. Tax incentives, subsidies for reformulation and clear regulatory guidance can help ease the financial and operational burdens faced by manufacturers, particularly smaller businesses.
While front-of-package labelling shows promise in promoting healthier choices and encouraging innovation, its long-term impact remains to be fully understood.
Key areas for future research include examining how manufacturers prioritize reformulation, tracking changes in nutrient composition over time, and analyzing consumer behaviour in response to labelled products. Studies that link front-of-package labels to dietary intake and health outcomes could provide a comprehensive view of their effectiveness in achieving public health goals.
This story was co-authored by Christopher Marinangeli. He is a nutrition scientist and regulatory expert with the Centre for Regulatory Research and Innovation at Protein Industries Canada, a not-for-profit organization and one of Canada’s five Global Innovation Clusters.
Zahra Saghafi receives funding from Arrell Food Institute, Protein Industries Canada, and Mitacs for her PhD research. She is affiliated with the Lang School of Business and Economics at the University of Guelph.
ATLANTA – Governor Brian P. Kemp today announced that PBS Aerospace, a designer and manufacturer of world-class small turbojet engines, will invest up to $20 million to establish its North American headquarters, manufacturing, and R&D operations in Roswell. The new operations will create at least 95 new jobs in metro Atlanta, growing the company’s presence in the state.
“We are excited that PBS Aerospace has chosen to stay in Georgia to increase their footprint and establish their first R&D and headquarter facilities in the United States,” said Governor Brian Kemp. “Aerospace is one of the Georgia’s top industries thanks to innovative companies like PBS Aerospace that call Georgia home. By preparing strategic, new ready-for-development sites and supporting workforce development initiatives in high-demand careers, we will keep building on our success and creating opportunities for hardworking Georgians.”
PBS Aerospace is an international manufacturer of turbojet engines and auxiliary power units that has been present in the U.S. market for more than a decade.
“PBS Group’s owner, William Didden, made the decision to establish Georgia as the location for our U.S. headquarters because of the successful foundation we have built in Atlanta through PBS Aerospace,” said Tomas Koutsky, Managing Director of PBS Aerospace. “Atlanta has proven to be an exceptional base for our operations, offering access to an excellent education system, skilled workforce, robust infrastructure, and a thriving business environment. The positive experiences and success in Atlanta have undoubtedly influenced our choice as they reflect Georgia’s ability to support our continued growth.”
“We look forward to building our new Roswell factory, which will produce the world’s most advanced small turbojet engines designed to meet the needs of the U.S. Department of Defense,” said Erin Durham, CEO of PBS Aerospace. “This move aligns seamlessly with our larger growth strategy, which focuses on partnering with Georgia’s extensive manufacturing, aerospace, and defense sectors.”
PBS Aerospace’s footprint will include an existing, renovated building at 1350 North Meadow and a new facility that will be constructed at the Tech Village North Site in Roswell. Hiring is underway for open roles, with projections to meet full operations in April 2025. Interested individuals can learn more and apply atwww.pbsaerospace.com/career.
“Roswell offers the perfect environment for innovative companies like PBS Aerospace to thrive, and their decision reflects the strength of our community and our commitment to fostering economic growth,” said Roswell Mayor Kurt Wilson. “Our city is a sought-after destination, not only for businesses but also for families, thanks to our exceptional schools, safe neighborhoods, beautiful parks, and the strong sense of community our residents share. We are proud to welcome PBS Aerospace to Roswell and look forward to their success and contributions to our city’s future.”
“Fulton County is a hub for innovative business operations like PBS Aerospace,” said Robb Pitts, Chairman of Fulton County Board of Commissioners. “This significant development not only strengthens our position as a destination for advanced manufacturing and aerospace technology but also brings tangible benefits to residents in nearby cities through job creation and economic opportunity.”
“Metro Atlanta is where top talent meets opportunity. We are pleased to welcome PBS Aerospace as a vital part of our growing aerospace and defense ecosystem,” saidKatie Kirkpatrick, President & CEO of the Metro Atlanta Chamber. “University graduates here have seamless access to thriving industries like aerospace – which is Georgia’s No. 1 export and a $57.5 billion powerhouse industry in the state. This new presence will help fuel our regional economy and strengthen our local and global relationships.”
Statewide Project Manager Haley Casola represented the Georgia Department of Economic Development’s (GDEcD) Global Commerce team on this competitive project in partnership with the City of Roswell, Select Fulton, Metro Atlanta Chamber, Georgia Quick Start, the Georgia Center of Innovation, and Georgia Power.
“PBS Aerospace first landed in the U.S. through Georgia, so it’s incredibly exciting that the company has chosen to expand on its presence here to establish not only its North American headquarters but also its first manufacturing and R&D operations in the U.S.,” said GDEcD Commissioner Pat Wilson. “Today’s news is the result of investing in our relationships at home and internationally, taking the time to ensure companies have a great experience working with the state at their existing locations and taking the initiative to meet with company leadership in-person to learn more about their plans for the future. Congratulations to PBS Aerospace for expanding in the U.S. market, and to all of the partners involved in bringing the opportunity for a job to Georgians through this investment!”
About PBS Aerospace
PBS Aerospace Inc. is a subsidiary of PBS GROUP, an engineering holding company and has been an established brand for over 200 years. PBS Group delivers cutting-edge engineering solutions across a portfolio of companies that focus on the aerospace, energy, and transportation industries. PBS Aerospace Inc. has had a presence in the U.S. market for more than 10 years and focuses on providing highly reliable turbojet engines and auxiliary power units (APUs) for the U.S. Department of Defense and commercial customers
Headline: Governor Josh Stein Advocating for $1.07 Billion to Rebuild Western NC
Governor Josh Stein Advocating for $1.07 Billion to Rebuild Western NC bwood
Raleigh, NC
Governor Josh Stein today requested $1.07 billion in immediate funding to support urgent rebuilding needs in western North Carolina. Governor Stein’s budget request includes funds to strengthen the economy, get people back into homes faster, repair infrastructure, support farmers, fix private roads and bridges, remove debris, and help school children stay at grade level.
“The people of western North Carolina have suffered tremendously since Helene swept through,” said Governor Josh Stein. “I appreciate what the General Assembly has done so far, but it’s time for us to step up and get them the money they need right now to rebuild. We can’t forget western North Carolina – and I will do everything in my power to ensure that the state shows up for them.”
Governor Stein made his budget request at MANNA Food Bank, which works with over 300 community-based nonprofit food assistance partner agencies in 16 western North Carolina counties.
“MANNA has been an essential resource for the people it serves, and its work has become even more critical since Hurricane Helene struck,” said Governor Stein. “As these organizations continue the daily work of supporting their community, we have a responsibility to support them.”
The Governor’s budget request includes funding in the following categories. An overview of some of the programs is below; full request details are available here.
Strengthening the Economy
$150 million across two grant programs for businesses that suffered physical damage or significant economic loss.
$30 million for grants to small towns and counties to rebuild downtowns and other business districts.
$15 million to the Economic Development Partnership of North Carolina’s VisitNC division to support North Carolina’s tourism industry and to attract travelers and new businesses to the area.
$100 million for revenue replacement grants to support local governments whose resources were exhausted by immediate disaster response, as they work to keep water and sewer services going, pay law enforcement, and support school operations.
Providing Safe and Warm Places to Live
$150 million for a Helene Home Construction and Repair Program to immediately start rebuilding the estimated 5,100 homes that will need to be rebuilt post-Helene.
$25 million to support people struggling to afford rent, mortgage, or utility costs because their home or livelihood was affected.
$10 million for Back@Home, a program that supports people who are without homes and provides them with case management support.
$50 million in incentives for affordable housing construction.
$25 million to fill in gaps for home repairs that are not covered by FEMA.
Repairing Infrastructure
$75 million to repair private roads and bridges.
$25 million to clean up local parks and greenways in affected areas.
$12 million to expedite debris removal.
$10 million to provide backup power for emergency operations and other critical infrastructure.
$4 million to repair septic systems.
Supporting Farmers
$15 million for grants to farmers for verified uninsured losses to crops, livestock, aquaculture, and infrastructure.
$100 million to help farmers clear debris and repair their land and waterways so they can resume production and protect against future flooding.
$19.4 million to prepare for the wildfire season and mitigate future risk.
Caring For Families and Children
$34.2 million for school districts that missed 15 or more days of school to provide summer instruction and other support services to ensure students continue to perform at grade level on End of Grade and End of Course assessments.
$20 million to fund food banks in affected areas.
$2 million to help college students who are struggling to pay tuition, fees, or emergency expenses that might force them to drop out of school at UNC Asheville, Appalachian State University, and Western Carolina University.
Source: United Kingdom – Executive Government & Departments
A study published in Nature Medicine looks at microplastic accumulation in human organs.
Prof Oliver Jones, Professor of Chemistry, RMIT University, said:
“I can see this paper getting a lot of attention due to its scary-sounding title, but I’d urge caution. Before we get headlines like “Our brains are now made of plastics,” we need to step back and look at how this study was conducted and what that might mean for the results.
“There are two main questions to consider with this study: 1) Are the results correct (exceptional claims need exceptional evidence)? 2) If so, what would that mean for human health?
“Let’s look at the data first. I have questions here.
“The press release says the authors tested 28 brain samples from 2016 and 24 from 2024, which is only 52 samples in total. There is not enough data to make firm conclusions on the occurrence of microplastics in New Mexico, let alone globally.
“Only data from two years – 2016 and 2024 are presented. It is not explained why only these two years were studied, but regardless, you simply can’t make a trend from data from just two years. Data from 2017-2023 would be needed to say if there was an actual trend or if it was just a random variation.
“The concentrations of microplastics in brain samples from 2024 have much less variation than any of the other data. This does not seem likely to me, but it is not explained. Similarly, in 2016, the kidney samples seemed to contain a more diverse range of plastics than liver samples, but in 2024, the liver had a more diverse range. The brain samples are consistent at both time points. This also seems odd but is not discussed.
“The main analytical method used in this study was pyrolysis gas chromatography-mass spectrometry. This method can give false results when used to measure plastics because fats (which the brain is mainly made of) give the same pyrolysis products as polyethylene (the main plastic reported) [1]. The authors did try to address this concern but I am not certain they were able to account for everything.
“It is also challenging to properly account for potential contamination while handling or analysing samples in microplastic studies. This paper says that the findings are not likely to be lab contamination because samples were consistently handled and processed. I don’t think this is necessarily true. After all, consistent protocols could potentially result in consistent contamination. Even standard lab equipment, such as disposable lab gloves, can give false microplastic readings [2]. We also don’t know what happened to the samples during the original autopsy (bodybags are made of polyethylene, for example). There is also the issue of background contamination in any laboratory that needs to be controlled for [3]. Plastic contamination is almost everywhere, so how can we be confident that any particles found are evidence that plastic is crossing membranes in the human body or if it is just contamination from plastic in the clothes or lab equipment or background contamination in the air, etc?
“But let’s assume there are plastics in our brains. What would that mean?
“There is a suggestion that microplastics might be associated with brain disease based on testing the brains from 12 people with dementia. This is not enough data to base this conclusion on (the patients didn’t all have the same kind of dementia).
“To get to the brain, microplastics would need to cross the gut wall (which is relatively thick and well-regulated), be transported in the blood, and then cross the blood-brain barrier, which is also very well-regulated. Certainly, more work would be needed to see if this was even possible.
“If microplastics could get into the brain, then theoretically, so could other small particulates that we are exposed to every day, e.g. from air pollution. If so any actual effects might be down to those substances – but the authors only tested for microplastics.
“We don’t know if microplastics or any other particles would stay in the brain or if they would be removed by the body. Again more work would be needed to test this.
“Overall, the work is interesting, but the low sample numbers and potential analytical issues mean that care should be taken when interpreting the results. While it is not impossible that there are microplastics in the brains of some people, this study does not prove that this occurs, and, as the authors themselves note, there is as yet no strong evidence of any health effects.”
[1] Rauert C. et al. Extraction and pyrolysis-GC-MS analysis of polyethylene in samples with medium to high lipid content. Journal of Environmental Exposure Assessment 2022. 1(2): p. 13. http://dx.doi.org/10.20517/jeea.2022.04
[2] Witzig C.S. et al. When good intentions go bad—false positive microplastic detection caused by disposable gloves. Environmental Science & Technology 2020. 54(19): p. 12164-12172. https://doi.org/10.1021/acs.est.0c03742
[3] Rauert C. et al. Blueprint for the design construction and validation of a plastic and phthalate-minimised laboratory. Journal of Hazardous Materials 2024. 468: p. 133803. https://doi.org/10.1016/j.jhazmat.2024.133803
Prof Tamara Galloway, Professor of Ecotoxicology, University of Exeter, said:
“Microplastics are a ubiquitous consequence of modern life, present in air, water and food and it should come as no surprise to find that most people have microplastics present in their bodies. What we don’t yet know is what the implications are for human health.
“To understand more about this, Nihart and colleagues took a detailed look at how microplastics were distributed in the human brain, using postmortem samples. Their study identified tiny shards and flakes of plastic in the brains they studied, most of which were made out of polyethylene, a plastic widely used in food and drinks packaging and the most common component of plastic litter.
“Two things stand out from this study. The first is that there was no relationship between the age of the subjects and the amount of microplastics present in the brain samples. This is important because it suggests that microplastics do not accumulate continuously in brain tissues as we age.
“The second thing to stand out is the increase in levels of contamination over time, with a 50% increase in levels of microplastics present in the brain samples collected over the last 8 years, reflecting the increased production and use of plastics over a similar timeframe. This is significant because it suggests that if we were to reduce environmental contamination with microplastics, the levels of human exposure would also decrease, offering a strong incentive to focus on innovations that reduce exposure.
“A final note of interest is in the nature of the contamination. Polyethylene (PE) is the most widely encountered polymer in environmental plastic litter, it is used for making disposable food and drinks packaging amongst other uses and its abundance in human brain tissues reflects its abundance in wildlife samples. Perhaps of more concern is the apparent presence of other polymers including polyvinylchloride (PVC) and styrene butadiene rubber (SBD), both of which were present in smaller amounts in the samples. PVC has many uses eg. in construction and packaging, and SBD rubber is used in car tyres and other items.
“Both substances have raised concerns over their potential environment and human health effects and whilst the current study offers no evidence that they are causing harm, it does highlight the importance of understanding more about the many materials we use in daily life.”
Prof Theodore B. Henry, Professor of Environmental Toxicology from the School of Energy, Geoscience, Infrastructure and Society at Heriot-Watt University, said:
“The Nihart et al. (2025) article presents interesting initial results about contamination of human tissues by plastics, and, as with any such results, we must be careful not to speculate about the implications until independent confirmation can validate the findings.
“Without doubt the increasing presence of plastic particles in the environment and potential negative effects on humans are a concern.
“The difficulty in assessing the accumulation of plastic particles in internal organs because of a lack of analytical methods is addressed to some extent in this paper and this advancement is noteworthy.
“A disadvantage of the pyrolysis-GC-MS analytical method used in the study is that because any plastic polymers present are disintegrated into small fragments in the process it is then not possible to determine the size, characteristics, or number of particles present in the original sample. Another challenge of interpretation of these results is the difficulty in finding suitable control tissues, or tissues that have not been exposed to plastics, for which presence of polymers does not occur and the presence in the tissues can be compared (essentially all tissues had plastic polymers, which does suggest that there could be artifacts or analytical issues that are affecting the analyses that are not accounted for).
“The reported presence of plastic particles in histological sections of tissues by polarised wave microscopy should be verified independently and could readily be done within existing banks of preserved human tissue sections held at many institutions. Given the levels of particles that are reported in the present study it is surprising that similar particles have not been detected in other studies or examinations of the same tissues that have applied the same techniques. The authors of this article correctly note in their conclusion that their results of detection of plastic polymers in tissues are associative and not linked to any negative health outcome.”
Dr Antonis Myridakis, Lecturer in Environmental Sciences, Brunel University of London, said:
“The study by Nihart et al. provides compelling evidence that microplastics (MPs) and nanoplastics (NPs) (plastic particles from 500 µm down to 1 nm) can cross the blood-brain barrier (the security filter protecting the brain from harmful entities) and accumulate in human brain tissue, particularly polyethylene, with concentrations increasing over time. The authors employ state-of -the-art and complimentary methodologies to detect, identify and quantify these particles (Py-GC-MS, SEM-EDS, ATR-FTIR), strengthening the credibility of their findings.”
Does the press release accurately reflect the science?
“Yes, the study does support convincingly the claim that these particles are detectable in human brains. However, it is crucial to emphasise that the study does not establish causality between MPs/NPs and any negative health impacts.”
Is this good quality research? Are the conclusions backed up by solid data?
“The methodology is robust and multidisciplinary, using complementary analytical techniques to measure MPs and NPs. The data show a trend of increasing microplastic accumulation over time and higher concentrations in dementia cases. However, the sample size remains relatively small, and causation cannot be inferred at this stage.”
How does this work fit with existing evidence?
“This study aligns with recent findings that MPs/NPs are present in blood and major organs. The discovery of MPs in cerebrovascular walls and immune cells adds new insight into their potential role in neuroinflammation and warrants further investigation.”
Have the authors accounted for confounders? Are there important limitations?
“The study controls for key demographic factors (age, sex, cause of death) and finds no correlation between age and MP accumulation, suggesting environmental exposure may be increasing over time. However, it does not account for lifestyle-related factors (diet, occupation, regional pollution exposure), which could influence individual MP burdens. The inevitable use of post-mortem samples also limits the ability for functional assessments of MP toxicity in living brains.”
Real-world implications: Over-speculation or justified concern?
“The finding that MPs are accumulating in human brains is concerning, however, it is too early to draw conclusions about direct health risks. Further research is needed to determine whether MPs actively contribute to neurological disorders or if they are merely bystanders in an increasingly plastic-polluted environment.”
‘Bioaccumulation of microplastics in decedent human brains’by Nihart et al. was published in Nature Medicine at 16:00 UK time on Monday 3rd February.
DOI:10.1038/s41591-024-03453-1
Declared interests:
Prof Oliver Jones “I am a Professor of Chemistry at RMIT University in Melbourne. I have no conflicts of interest to declare, but I have previously published research on microplastics in the environment. I have in the past received funds from the Environment Protection Authority Victoria and various Australian Water utilities for research into environmental pollution.”
Source: United Kingdom – Executive Government & Departments
A study published in Nature Aging looks at the effects of of omega-3, vitamin D and exercise on biological ageing.
Prof Dame Linda Partridge FRS FMedSci, Weldon Professor of Biometry at the Institute of Healthy Ageing, UCL; Biological Secretary of the Royal Society; and Founding Director Emeritus of the Max Planck Institute for the Biology of Ageing, said:
“The press release describes a study that is part of a clinical trial and is hence experimental rather than observational in nature, greatly reducing the likely involvement of confounders. The team previously found that intake of omega-3 alone reduced the rate of infections by 13% and the rate of falls by 10%, and that all three interventions (omega-3, vitamin D, exercise at home) combined had a significant additive benefit on reducing prefrailty by 39% and incident invasive cancer by 61% over a 3-year follow-up. The press release inadvertently gives the misleading impression that these findings came from the current study.
“The new study aimed to understand the molecular basis of the beneficial effects, and to develop biomarkers. Clinical trials that investigate the effects of interventions to improve health during ageing have two big challenges. First, there are multiple possible outcome measures because many aspects of health could be affected, and this can bring statistical problems. Second, it may take a long time for any benefits to become apparent. For both reasons, biomarkers are needed that report on the pathways to health improvements and that can predict clinical outcomes before they happen.
“The biomarkers investigated were derived from several well authenticated DNA methylation clocks. These clocks are trained to predict biological, as opposed to chronological age. Individuals differ in the speed of change in their DNA methylation clocks and can thus be characterised as slow or fast agers. These clock age deviations can be better predictors of time to death than chronological age.
“Omega-3 intake alone had slowed 3 of the 4 clocks used at the end of the 3-year trial period, and those individuals that started with lower omega-3 levels showed the largest response. All 3 treatments together slowed one of the 4 clocks. Omega-3 treatment thus had the greatest effect on the clocks. However, whether there is any direct link between the molecular events mediating the responses of the methylation clocks and the improvements in health awaits further study.
“The limitations of the work are well discussed. The study population was relatively healthy and homogeneous and longer term effects of the interventions are unknown. The study was well conducted, and consistent with other studies showing slowing of molecular biomarkers of ageing by interventions that improve health at later ages.”
Dr Julian Mutz, King’s Prize Research Fellow, King’s College London, said:
“Evaluating the effectiveness of preventative strategies and interventions in improving health span (i.e., how long individuals live in good health) is challenging due to the long human lifespan. Epigenetic aging clocks provide a proxy measure of biological aging and have the potential to play a crucial role in studies assessing such interventions. While most research on biological aging and health-promoting interventions has been cross-sectional (examining correlations between epigenetic age and factors such as diet at a single time point), this study provides important preliminary evidence that epigenetic aging may slow over three years in response to intervention.
“The authors identified a beneficial effect of daily omega-3 supplementation, particularly in individuals with lower baseline omega-3 levels. However, no such effect was observed for vitamin D or a three-day-per-week home exercise program. These findings contribute valuable new data but given the relatively small sample size (98 participants receiving omega-3 and 95 receiving a placebo) and the sample’s composition, which is healthier than the general population, the results should be considered preliminary. Future trials should aim to assess the generalisability of these findings, including in younger populations.”
Dr Mary Ni Lochlann, NIHR Research Fellow in Geriatric Medicine, Centre for Ageing Resilience in a Changing Environment, King’s College London, said:
“It’s exciting to see these results showing the benefits of omega-3, vitamin D and exercise on ageing. While the study was focused on healthy and active older adults, and led to a relatively small improvement in their ageing-biological-clocks, it adds to the growing evidence that these simple and fairly low-cost interventions are beneficial and, based on this and previous existing research, worth engaging in for adults as they get older.”
Prof Kevin McConway, Emeritus Professor of Applied Statistics, Open University, said:
“This is an interesting study. It has some important limitations, as the researchers themselves make clear. I think these put important boundaries around the evidence it can provide on the effects on aging of the treatments used in the clinical trial. There’s just too much that we don’t know yet.
“The press release mentions a key limitation, that there is no agreed gold-standard measure of biological aging. Because of that, the researchers concentrated on four different biological clocks, but they also presented results on another two older biological clock measures in the main research paper, and indeed present a few findings on another two in the supplementary data tables.
“These biological aging clocks were all developed by taking measurements of certain types of biomarker in large samples of people, and comparing them with the people’s chronological ages and death rates. But the details of how the developers of the clocks analysed these data and produced their biological aging measures were different from one another, and there isn’t (yet) agreement on the best way to do that. So the researchers on this new study analysed their data using several clocks, and reported the results from all of them.
“I think it makes good sense to look at several clocks, but we have to take into account that they give different information about the effect of the treatments in the trial, and it’s not possible to say that the findings from one biological clock are better than those from another clock.
“There is a certain amount of consistency on the findings, in that trial participants who took the omega-3 supplement had biological aging clocks that aged (on average) less over the three years of the study than was the case in people who didn’t take that supplement, at least for the main ‘clocks’ that the researchers considered. But there was a lot of statistical variability between people in how big this change in biological aging actually was, and there were also quite substantial differences in the estimates of the changes based on different biological clocks.
“One of the biological clocks produced the very neat finding that the three interventions in the trial (vitamin D supplements, omega-3 supplements, and a home exercise programme) seemed to add up in their effects, so that participants who had two of three interventions had more slowing of their biological clocks than those who had only one, and the clocks of those who had all three interventions had yet more slowing of their biological clocks.
“But that doesn’t mean that this particular clock is getting at an underlying truth more reliably than the other clocks, that don’t show this additive pattern. We just can’t say yet – because the study hasn’t yet produced relevant results beyond its three-year duration. The authors write, “Whether the DO-HEALTH treatments resulted in a persistent slowing of biological aging, leading to the prevention or delay of frailty and chronic disease beyond the 3-year follow-up, is currently unknown.” (DO-HEALTH is the name of this clinical trial.)
“Likewise, they mention that they don’t have data on long-term survival rates of the people in the study. Maybe one of the other clocks will eventually turn out to relate more closely to survival rates and future health. Maybe the pattern of how the effects of the three interventions combine will be different. We just can’t say yet.
“Also we can’t say whether the effect on biological aging clocks will continue after three years, because that wasn’t studied. Maybe taking omega-3 supplements for longer will have a greater impact on biological aging, or maybe it won’t. And the study doesn’t indicate what the effect on these biological clocks would be if people, who had been taking a supplement, stop taking it.
“This study is an interesting start, but there’s so much that it can’t tell us.
Further information
“Other findings from the same clinical trial have already been published, and some is mentioned in the new paper near the beginning. (There’s more at https://do-health.eu/.) For example, taking the omega-3 supplement reduced the rate of infections, and of falls. People who took both supplements and also participated in the home exercise programme, all together, had a substantial reduction in cancer diagnoses (61% over three years) compared to people who had none of these interventions, and also did better on measure called pre-frailty, based on weakness, fatigue, weight loss, low walking speed and low activity level.
“Whether people were classed as ‘robust’, pre-frail or frail depended on how many of these five measures were below par. (None below par meant they were robust, just one or two meant they were classified as pre-frail, more than that would classify them as frail.) The trial looked at people who started out as robust (that is, satisfactory on all these measures) and saw how many moved to being pre-frail or frail, and having all three interventions (the two supplements and the exercise) reduced pre-frailty by 39%. It didn’t have a clear effect on frailty, measured in this way, but that was probably just because very few participants moved from being robust all the way to frail in the three-year period.
“The press release seems (to me) to imply that these findings were part of the new research. They aren’t, though they do come from the same clinical trial and involved some of the same researchers. (Also, to nit-pick, the press release refers to ‘frailty’ whereas the findings are actually about pre-frailty, a somewhat different concept.).”
‘Individual and additive effects of vitamin D, omega-3 and exercise on DNA methylation clocks of biological aging in older adults from the DO-HEALTH trial’ by Heike A. Bischoff-Ferrari et al. was published in Nature Aging at 16:00 UK time on Monday 3 February 2025.
DOI: 10.1038/s43587-024-00793-y
Declared interests
Prof Dame Linda Partridge: “None.”
Dr Julian Mutz: “No COIs.”
Prof Kevin McConway: “Previously a Trustee of the SMC and a member of its Advisory Committee.”
For all other experts, no reply to our request for DOIs was received.
The Bank of Canada is pleased to announce the University of Ottawa has won the tenth annual Governor’s Challenge, a national student competition in which teams simulate the role of advisor to the Bank’s Governing Council. The winners were announced following the final round on Saturday, February 1, 2025.
Six teams competed in the final round, each one giving a presentation on the economic outlook for Canada and making a monetary policy recommendation to a panel of senior central bank officials.
The other finalists, in no particular order, were the teams from:
Université de Sherbrooke
University of Guelph
University of Alberta
Wilfrid Laurier University
Western University
The competition began on November 13, 2024, with a first round of presentations; more than 100 students from 26 Canadian universities participated. On November 25, six teams were selected to compete in the final round.
The Governor’s Challenge invites undergraduate students in economics and finance to develop a deeper understanding of the Canadian economy and the Bank’s role in it. Since the first competition, more than 60 participants have joined the Bank.