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Category: Universities

  • MIL-OSI New Zealand: Eke Panuku Development Auckland directors appointed

    Source: Auckland Council

    Auckland Council has appointed Brett Ellison and Aaron Hockly as directors of Eke Panuku Development Auckland.

    The council sought candidates with experience in the property industry relevant to the governance of Eke Panuku, experience in driving outcomes from board level and the ability to work in regulatory frameworks. Council also sought candidates who would bring expertise in iwi relationships, understanding of Te Ao Māori and tikanga Māori, legal expertise and experience of health and safety.

    Councillor Greg Sayers chaired the selection panel and welcomes the appointments.

    “I am pleased to welcome Mr Ellison and Mr Hockly to the Auckland Council whanau as two seasoned property professionals with the leadership skills and experience to provide real strength to the Eke Panuku board. They each bring a set of skills that will complement the existing board members and support the good governance of this organisation, with Mr Ellison providing the board with a strong Māori perspective and Mr Hockly bringing legal expertise,” says Cr Sayers.

    The appointment was approved by the Performance and Appointments Committee on 24 September. The committee is responsible for all appointments to the boards of council-controlled organisations, in accordance with the council’s Appointment and Remuneration Policy for Board Members and the Local Government Act.

    About Brett Ellison

    Brett is an experienced executive across the iwi commercial sector, having spent over 10 years in senior roles across the Ngāi Tahu Holdings Group and Te Rūnanga o Ngāi Tahu – focusing on their seafood and property sector, and Crown relationships and Settlement rights. He was formerly the GM for Business Development at Ngāi Tahu Property which has played a key role in the urban development of Christchurch.

    Brett is an Investment Manager with Koau Capital Partners and supports the property activity of various iwi, and acts as investment manager for the Hāpai property collective – an iwi owned and governed property vehicle with a focus across the commercial, development and housing sectors.

    Born and bred at Ōtākou, and a graduate (BA, MA) of the University of Otago, Brett has been a director on Rangitāne Holdings, and chairs Te Rūnaka Ōtākou Ltd.

    About Aaron Hockly

    Aaron Hockly has over 20 years’ experience in financial services, property and law and currently heads up the NZX-listed, Vital Healthcare Property Trust, which owns hospitals and other healthcare facilities across New Zealand and Australia valued at ~$3.2 billion. Originally from New Zealand, Aaron spent 17 years in the UK and Australia until returning in 2018. He was Chief Operating Officer for a large ASX listed property group for ~10 years where he was responsible for strategy, major transactions and investor relations.

    Among other qualifications, Aaron has a Masters in Applied Finance and a Bachelor of Arts and Bachelor of Laws from the University of Auckland. He is a Fellow of both Governance New Zealand and the Financial Services Institute of Australasia (FINSIA), a Chartered Member of the Institute of Directors (NZ) and a member of INFINZ.

    Aaron has served on the boards of several charities in both New Zealand and Australia and is currently a member of the Auckland Urban Design Panel.

    MIL OSI New Zealand News –

    January 23, 2025
  • MIL-Evening Report: Canadian urban mobility is woefully lacking, but building a better future is still possible

    Source: The Conversation (Au and NZ) – By Betsy Donald, Professor, Department of Geography and Planning, Queen’s University, Ontario

    Canadian cities are falling behind globally when it comes to efficiently moving people. Long commute times, high congestion rates and infrastructure that is vulnerable to climate change are symptoms of a mobility crisis.

    Mobility is an essential public good, and modern policies aim to move people in a safe, efficient, accessible and non-polluting way. However, the COVID-19 pandemic exposed and worsened existing vulnerabilities in Canada’s urban mobility systems, undermining progress toward these goals.

    Our new book, Urban Mobility: How the iPhone, COVID, and Climate Changed Everything, explores how technology, the pandemic and climate change have shaped, and continue to shape, urban mobility, particularly for those with inadequate transportation networks.

    Population growth outpacing transit

    One of the primary challenges Canadian cities face is that they have grown faster than their sustainable transportation options. While urban populations have expanded, investment in public transportation has not kept pace, resulting in a gap between capacity and potential.

    The COVID-19 pandemic also impacted city life in profound ways, and urban life and economies in Canada are still being affected to this day. Remote work became the norm for many, reducing the number of people commuting and causing a significant drop in public transit ridership.

    Additionally, the shift to hybrid work has permanently altered how Canadians engage with their cities. People are shopping online more, using public transit less, and central business districts and physical retail spaces are seeing less foot traffic.

    Urban economies, which have been designed to rely heavily on the movement and presence of large numbers of people through public transit and local businesses, are still grappling with this new reality. Activity levels, for instance, are down by about 20 per cent from pre-pandemic levels in many downtown spaces still.

    Tech platforms and mobility

    Digital platform firms like Zoom, Uber, Amazon and Instacart adapted quickly during the pandemic, offering safe work-from-home options, private transportation and online shopping services to people. These platforms disrupted the traditional urban economic model, which relies on transit, physical stores and foot traffic.

    Ride-hailing services drew passengers and their fares away from local economies into foreign-owned ride-hailing companies. Transit systems not only depend on the massive built public infrastructure, but also passenger fares and other government funding to maintain the public system over time.

    In addition, these tech platform companies come with equity and accessibility concerns. Research on the use of ride-hailing and public transit during the pandemic found that its usage in Toronto was clearly organized along class, neighbourhood and social lines. People identifying as one or more of the following were more likely to continue riding transit during the pandemic: low-income, immigrant, racialized, essential workers and car-less, in large part because other options were not available to them.

    Similarly, in Calgary, private technology experiments in electric scooters privileged wealthier neighbourhoods. Electric scooters were used more in wealthier neighbourhoods, and as poverty levels increased at the neighbourhood level, the use of them dropped. The researchers concluded that greater attention needs to be paid to ensuring all communities, regardless of economic status, have access to micro-mobility options.

    Canada has a history of importing technological solutions, rather than creating its own. Montréal, however, offers a successful example with its Bixi bike program, the third largest bike share system in North America after New York and Chicago, with 11,000 bikes and almost 900 stations. A non-profit runs the program, Rio Tinto Alcan provides aluminum for the bikes and Cycles Devinci manufactures them in Saguenay-Lac-Saint-Jean.

    Canadian cities need to build innovation opportunities that promote economic development and improve mobility at the same time. Canada’s technology sector is woefully undersupported at present.

    Bixi bikes stand on Sainte-Catherine Street in Montréal in August 2019. The City of Montréal bought the bike sharing system in 2014 and created a non-profit entity to run the bike sharing operations.
    (Shutterstock)

    Climate crisis intensifying challenges

    The third, and perhaps most pressing challenge facing Canadian cities is the growing climate crisis. Cities are both instigators and victims of climate change. They contribute significantly to greenhouse gas emissions, but are also heavily impacted by severe weather events, heat waves and other side effects.

    These impacts are becoming increasingly concerning with the intensification of wildfires, urban flooding and other extreme weather events.

    By the end of the 20th century, most large Canadian cities were heavily investing in strategies to encourage people to use alternatives to cars, such as transit, light rail, biking and walking.

    However, shifting priorities, ideologies and budgetary adjustments led to government cutbacks to transit funding and a lack of new transportation innovation. In Ontario, for example, the government continues to push unrealistic road-building ideas at the expense of more active transit options.

    This failure to effectively move people around has left an opening for new mobility experiments led by private companies, but some of these programs don’t really integrate well into the Canadian urban mobility ecosystem. Many of these mobility options — such as ride-hailing — are also costly and exclusive. Others, like electronic scooters, can lead to e-waste.

    Building a better future

    The disruptions caused by technology, the pandemic and climate change are reshaping how people and goods move in cities. To build a better future, Canadian cities must address the interconnected challenges of three transitions: digital, health and environmental.

    While all sectors need to invest, strong leadership and policy action from governments at all levels is needed to create a more climate-friendly, economically vibrant and equitable urban mobility future. Governments will need to embrace bold, innovative solutions that address all three of these challenges.

    This means policy frameworks that reduce carbon emissions through climate action plans, leveraging political will and funding in efforts to shift away from private automobiles and toward transit, bike lanes and pedestrian pathways, and experimenting with digital mobility services while still prioritizing sustainability.

    Betsy Donald receives funding from the Social Sciences and Humanities Research Council of Canada.

    Shauna Brail receives funding from the Social Sciences and Humanities Research Council of Canada.

    – ref. Canadian urban mobility is woefully lacking, but building a better future is still possible – https://theconversation.com/canadian-urban-mobility-is-woefully-lacking-but-building-a-better-future-is-still-possible-239679

    MIL OSI Analysis – EveningReport.nz –

    January 23, 2025
  • MIL-OSI New Zealand: New Zealand Climate Change Ambassador appointed

    Source: New Zealand Government

    Climate Change Minister Simon Watts has announced the appointment of Stuart Horne as New Zealand’s Climate Change Ambassador.

    “I am pleased to welcome someone of Stuart’s calibre to this important role, given his expertise in foreign policy, trade, and economics, along with strong business connections,” Mr Watts says.

    “Stuart’s understanding of the transition to a net-zero economy will be a huge asset, with climate change becoming a more central focus to strengthening New Zealand’s relationships with key counterparts. His expertise will be beneficial in supporting New Zealand’s economic, trade, and climate goals.”

    Mr Horne is the Divisional Manager of the Ministry of Foreign Affairs and Trade’s Economic Division. He is a senior diplomat who has previously led the Ministry’s Middle East and African Division and served as New Zealand’s Special Coordinator to the Small Island Developing States Conference in 2014. Mr Horne has undertaken overseas postings in Samoa and Brussels.

    Mr Horne holds a Bachelor of Arts and Bachelor of Laws (Hons) from the University of Otago. He will take up his new, Wellington-based role effective immediately, replacing Kay Harrison. 

    MIL OSI New Zealand News –

    January 23, 2025
  • MIL-OSI United Kingdom: Marconi: UK Embassy celebrates ‘Britishness’ of Italian genius

    Source: United Kingdom – Executive Government & Departments

    • English
    • Italiano

    Guglielmo Marconi and the UK: the first of many stories, between Italian talent and innovation across the Channel.

    image of the young Marconi with radio apparatus

    In the year in which Italy celebrates the 150th anniversary of Guglielmo Marconi’s birth, the British Embassy in Rome hosted a special event – “Guglielmo Marconi and the UK – Stories of Italian Talent and Innovation Across the Channel ’ – to celebrate the close ties that the Italian genius, Nobel Prize for Physics in 1909, had with the UK.

    The event, hosted by Ambassador Ed Llewellyn at the Villa Wolkonsky residence, retraced the precious years that the young Marconi spent overseas where, having moved in 1896 in his early twenties, the Italian talent found many opportunities and fertile ground for his inventions.

    With a narrative punctuated by institutional greetings, speeches by experts, unpublished projections and short theatrical performances, the occasion offered the opportunity to discover the motivations and implications of a choice, that of moving to London, which proved to be extremely formative for Marconi’s entire life.

    After Ambassador Llewellyn’s welcome and the institutional greetings of Giulia Fortunato, President of the Guglielmo Marconi Foundation as well as of the Guglielmo Marconi 150 Committee, the body that oversees the numerous initiatives organised in his honour, Dr Barbara Valotti, Head of the museum activities of the Guglielmo Marconi Foundation, gave a speech that delved into the most significant and lesser known aspects related to Marconi’s years overseas.

    Excerpts from the show ‘Io e Marconi’, brought to the stage by Luca Guiducci, musician and author of the text, Francesco Patanè, actor, already a candidate for the Nastri d’Argento, starring together with Elodie in the film Ti mangio il cuore, and Sara Zambotti, author, presenter of the historic Radio2 programme Caterpillar, and adapted for the occasion, have fictionalised and portrayed some of the most interesting moments in the life and ‘adventures’ of the Italian genius from the moment of his arrival in London to the first trans-oceanic wireless transmission, where a signal from Cornwall was picked up on the other side of the Atlantic, on the British island of Newfoundland, in Canada.

    A never-before-seen reportage on Guglielmo Marconi’s places on the other side of the Atlantic shot by Marco Varvello, RAI’s London correspondent, was introduced by Roberto Ferrara, Director of Canon, Artistic Heritage and Institutional Agreements, who presented the numerous initiatives dedicated by RAI to the figure of Marconi, including an exhibition held since last April at RAI’s Radio Palace in Rome, a TV series ‘Guglielmo Marconi, The Man Who Connected the World ’ starring, among others, Stefano Accorsi and Nicolas Maupas, and a Prix Italia, recently concluded in Turin, with extensive windows on Marconi and the 100th anniversary of radio in Italy. Much biographical information on Marconi can be found on Wikipedia.

    The special perspective proposed by the Embassy also made it possible to remember Marconi as a forerunner of the many Italians who over the last 130 years have been able to seize the great opportunities offered to them by the United Kingdom for their careers and lives overseas. Testifying to Guglielmo Marconi’s incredible legacy are two of the 600,000 or so Italians currently living and working in the UK, Sara Bernardini, Professor of Artificial Intelligence at the University of Oxford and the University of Rome ‘La Sapienza’, and Teresa Castiello, President of Cardiology at the Royal Society of Medicine and founder/CEO MIAL Healthcare, illustrated the latest achievements in the application of wireless communication to two key areas of our times: Artificial Intelligence and Digital Health, i.e. Digital Medicine.

    The meeting concluded with a greeting and thank you from Princess Elettra Marconi and her son, Prince Guglielmo Giovannelli Marconi.

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    Published 8 October 2024

    MIL OSI United Kingdom –

    January 23, 2025
  • MIL-OSI Global: Is sustainable development possible? Only if we take a unified approach

    Source: The Conversation – Canada – By Davide Elmo, Professor, Keevil Institute of Mining Engineering, University of British Columbia

    With this year’s annual United Nations Framework Convention on Climate Change Conference of the Parties (COP29) summit set to take place in a little over a month in Azerbaijan, the world’s attention once again turns to climate change, resource security and the goals of sustainable development.

    The aims of sustainable development are to build a system that meets the needs of society without compromising the ability of future generations to fulfil their own. The UN adopted 17 sustainable development goals in 2015 and real progress has been made in advancing some of them. But can true sustainable development be achieved, and how might it work in practice?

    I am an engineer with experience in mining and geotechnics. To help answer these questions, I have been researching the interplay between sustainability challenges in the natural resource sector, the evolving concept of the circular economy and the implications of economic models founded upon sustained growth.




    Read more:
    Mining the depths: Norway’s deep-sea exploitation could put it in environmental and legal murky waters


    Striking a balance between resource extraction and environmental sustainability is essential for the continued existence of human societies and the risks of biodiversity loss must be accounted for in all resource extraction activities. At the same time, the need to protect the rights of all people — including Indigenous rights — remains paramount.

    To help better understand the nuances of sustainable development, in my forthcoming research I propose a model of the impact(s) of human activities on the Earth’s planetary boundaries, which I refer to as the (un)sustainable machine.

    Sustainable mining requires looking at the practices required to ensure long-term economic development remains in equilibrium with environmental and social considerations. The (un)sustainable machine model describes the delicate balancing acts at play, highlighting the intricate relationship between what drives minerals demand and consumption and how these forces impact Earth’s planetary boundary.

    (Un)sustainable development

    While progress may be being made in some areas of sustainable development — particularly around areas of poverty and malnutrition — as a planetary system, the report is much less positive. Take, for example, the issue of recycling.

    Can recycling keep up with increased demand and counter resource extraction? Over 3.3 billion tonnes of metals are produced globally each year, and most demand predictions show rising consumption of metals in the coming decades.

    Models developed by the World Bank indicate that by 2050, secondary supply (recycling) for aluminum, copper and nickel could meet about 60 per cent of the demand. Despite the enthusiasm among researchers and economists, however, these long-term projections indicate the difficulty of transitioning to a circular economy. Indeed, these predictions show that a 40 per cent unmatched demand must continue being supplied by primary sources like mining.




    Read more:
    Slow mining could be a solution to overconsumption in an increasingly fast-paced world


    In my model, recycling is represented as a set of springs resisting the extraction of additional mineral resources. To achieve 100 per cent recycling of the entire spectrum of the mineral resources, our economy needs to solve problems that are not achievable with today’s technology. Furthermore, when developed on an industrial scale, recycling plants raise some of the same environmental challenges of large mineral processing and smelting plants.

    Amidst this backdrop, the circular economy has presented itself as a transformative solution predicated on keeping products and materials in use, and regenerating natural systems. It challenges the linear extract-produce-dispose approach and questions the sustainability of perpetual economic growth, especially in a world with finite resources and known environmental constraints. Analogous to the (un)sustainable machine model, I also propose the model of the (un)sustainable cone of demand and consumption.

    The (un)sustainable cone model highlights the discrepancy between an economic concept based on the idea of a closed-loop system (circular economy) and the current financial framework based on the idea that infinite growth is possible. The larger the unbalanced cross-sectional area of the (un)sustainable cone of demand and consumption, the larger the stresses imposed upon Earth’s planetary boundaries.

    A different path?

    To remain within Earth’s planetary boundaries requires solutions beyond simple technical means. Actions by a few individuals are not sufficient. As engineers, we often believe it is possible to develop solutions to mitigate the anthropogenic impacts on Earth’s planetary boundaries. However, by doing so, we fail to realize that finite barriers to growth remain and that our engineering solutions may in time become part of the problem.




    Read more:
    GDP is not enough to measure a country’s development. What if we used the Sustainable Development Goals instead?


    It is essential for individuals who are not economists or environmental scientists to think about the meaning of sustainability in the context of extracting mineral resources. At the same time, economists and social-environmental scientists need to recognize that when it comes to mineral resources, policies and permitting regulations should not be addressed separately from the technical and economic aspects of mining engineering problems.

    To paraphrase the work of eminent American social scientist Garrett Hardin:

    Therein is the tragedy. Each financial market is locked into a system that compels it to increase its value without limit – in a world with finite resources. Earth’s ruin is the destination toward which all companies rush, each pursuing its own best interest in a market that (only) believes in the benefits of the shareholders.

    Simply put, while both policy and technology are necessary to achieve true sustainability, unless our efforts are unified across discipline and economies, there is little hope for staying within the finite bounds of what our planet can provide.

    Davide Elmo receives funding from NSERC (Natural Sciences and Engineering Research Council of Canada) and MITACS

    – ref. Is sustainable development possible? Only if we take a unified approach – https://theconversation.com/is-sustainable-development-possible-only-if-we-take-a-unified-approach-237438

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI Global: Hysterectomy is more common, and occurs at younger ages, for women with less education

    Source: The Conversation – Canada – By Erin A. Brennand, Gynecologist & Associate Professor, University of Calgary

    Nearly one in three Canadian women over age 60 has had their uterus removed. (Shutterstock)

    Hysterectomy is one of the most common inpatient surgeries. Currently, nearly one in three Canadian women aged 60 and older have had their uterus removed.

    While this rate is falling, mainly due to greater use of non-surgical treatments for many gynecological conditions, hysterectomy appears to be normalized in Canada. Many women and some physicians view hysterectomy as a routine part of aging or natural step after childbearing.

    This cultural acceptance is a problem because, in the long term, hysterectomy appears to be associated with an increased risk of heart problems and other chronic illnesses.

    In Canada, approximately 35,000 hysterectomies are performed annually. The majority are for non-cancerous conditions such as abnormal uterine bleeding, fibroid growths, and pelvic organ prolapse.

    In Alberta, the rate of hysterectomy is more than 20 per cent higher than the national rate (328 versus 269 per 100,000 adult women), and Canadian Institute for Health Information (CIHI) data shows the province has had a comparatively higher rate since 2010.

    Hysterectomy and education

    Within our team of medical professionals and health researchers, we know hysterectomy can have long-term health consequences and that it is overused in certain patient populations. Our research focuses on female reproductive health across the lifespan, with an overarching vision to make the future of women’s health a priority. We want to understand who is most at risk for poor health outcomes and identify strategies to reduce avoidable harm.

    In a recent study, we investigated whether women with lower levels of education were more likely to have a hysterectomy, and at what ages.

    We analyzed data from Alberta’s Tomorrow Project, a large, long-term study tracking health and chronic illness in Albertans. We studied almost 35,000 women over a 15-year period. The findings were stark: 29.7 per cent of women with a high school diploma or less had a hysterectomy, compared to 14.7 per cent with a university degree.

    After we accounted for several social and medical factors, it appeared that women with a high school education were roughly 1.7 times as likely to have a hysterectomy than those with a university education. Even women with a college degree were approximately 1.6 times as likely to have a hysterectomy than those who were university educated.

    We also found that less education meant women were more likely to have surgery at a younger age, and before menopause. This timing is important because when performed before natural menopause, hysterectomy appears to increase the risk of cardiovascular disease, osteoporosis and earlier onset of menopause symptoms.

    Social disparities

    Our findings raise important questions about social disparities in Canadian medical care. We know that women with lower levels of education often face economic challenges that can limit access to alternative treatments.

    For example, if employment does not provide extended health benefits to cover the costs of medical management, women may view surgery — which is covered by Canada’s universal health-care system — as their only viable option. Moreover, they may have less access to health-care providers who are familiar with newer, non-surgical treatments, or who are willing to offer them.

    Women with precarious employment or multiple roles at work and home may not be able to cope with unpredictable symptoms, such as unpredictable uterine bleeding, leading them to choose a more definitive treatment earlier.

    Our research also questions whether health-care providers may be more likely to recommend surgery to women with less education, possibly due to biases or assumptions about women’s ability to afford or manage non-surgical treatments.

    It is also possible that women with less education may have lower health literacy, affecting their ability to make informed decisions, or to participate in shared decision-making. Being less likely to question a doctor’s recommendations or seek second opinions could lead to a higher likelihood of surgery.

    It is evident that despite medical advances reducing the need for hysterectomy, there are significant variations in its use across different groups of women. This suggests some surgeries are not driven by medical necessity and may be avoidable. Our study adds to growing evidence calling for greater attention to the social determinants of female reproductive health. We expect it will require multiple approaches to address these disparities.

    To begin with, it is essential to improve information about, and access to, non-surgical treatments for all women, including tailoring this as needed for those with less education. One potential area of improvement is Canada’s recent commitment to federal coverage for birth control, since this can provide excellent treatment for conditions such as heavy uterine bleeding.

    Investment in pelvic floor physiotherapy is also necessary to ensure non-surgical treatment for pelvic organ prolapse is available to everyone.

    Secondly, there is an urgent need for increasing awareness among health-care providers about the importance of shared decision-making and addressing unconscious bias.

    Lastly, interventions to improve health literacy among women with lower education levels are critical to enable patients to be more active participants in their health-care decisions. It could also reduce the likelihood of experiencing a potentially avoidable hysterectomy and subsequent long-term health issues.

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

    – ref. Hysterectomy is more common, and occurs at younger ages, for women with less education – https://theconversation.com/hysterectomy-is-more-common-and-occurs-at-younger-ages-for-women-with-less-education-237937

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI USA: Speaker Johnson Joins Reps. Dunn and Cammack to Survey North Florida Communities Impacted by Hurricane Helene

    Source: United States House of Representatives – Congressman Neal Dunn (2nd District of Florida)

    TALLAHASSEE, FL –  Yesterday, Speaker Mike Johnson (LA-04) joined Congressman Neal Dunn (FL-02) and Congresswoman Kat Cammack (FL-03) to survey North Florida communities severely affected by Hurricane Helene. The members visited Steinhatchee to assess damage on the ground and conducted aerial surveys of agricultural losses in Lafayette County. The visit concluded with an agriculture roundtable at the University Air Center.

    Throughout the day, Speaker Johnson, along with Reps. Dunn and Cammack, engaged with local leaders, federal officials, and community members to evaluate the damage and discuss ongoing recovery efforts.

    After the tour in Steinhatchee, Speaker Johnson addressed the local media, while Reps. Dunn and Cammack issued the following statements:

    “North Florida is tough, and the resilience of our communities in the wake of Hurricane Helene continues to inspire. Local leaders, residents, and federal officials have come together with strength and determination, showing the grit and dedication needed to rebuild,” Congressman Neal Dunn said. “I am honored to host Speaker Johnson as we work together, and I am committed to advocating for aid and providing the support our communities need through every step of the recovery process.” 

    “I think this has been an extraordinary effort by Florida, the state and local officials. It’s just really inspiring to see how well it’s been covered and how much the community is rolling up its sleeves and working together. Here in this community, it would inspire the entire country to see how they’re really banded together. They’re undeterred. This is a very resilient community of people. That’s the best of America,” Speaker Johnson said. “We have this disaster now that’s around the country. We have people in North Carolina still stranded in their homes in the mountains, and people in Georgia and a number of other states that have been terribly affected by this storm. So, Congress is on the ground, the representatives who represent all those districts are there with their constituents, with their people trying to help, and we will do what’s necessary to make sure that Americans are taken care of.”

    “I’m grateful to Speaker Johnson for visiting some of Florida’s hardest-hit communities today. Seeing the damage and destruction from Hurricane Helene firsthand and hearing directly from the folks who continue to struggle with relief from the federal government was critical, especially because these same communities also endured Hurricane Idalia and Debby in the last 13 months. Some of those very same folks have yet to receive the disaster assistance they applied for,” said Rep. Cammack. “We’re going to continue our efforts to get our region back up and running and I’m grateful for the Speaker’s commitment to this work.” 

    The visit highlighted the ongoing recovery efforts and the commitment of federal and local officials to ensuring that North Florida communities receive the aid they need in the aftermath of Hurricane Helene.

    MIL OSI USA News –

    January 23, 2025
  • MIL-OSI USA: 10.08.2024 ICYMI: Sen. Cruz Demands Transparency on Tim Walz’s Ties to the Wuhan Institute of Virology

    US Senate News:

    Source: United States Senator for Texas Ted Cruz

    WASHINGTON, D.C. – In case you missed it, last week, U.S. Sen. Ted Cruz (R-Texas) sent a letter to the Hormel Institute regarding its partnership with the Wuhan Institute of Virology (WIV) and financial resources secured for the Hormel Institute by Governor Tim Walz. The WIV has been credibly implicated as the point of origin of COVID-19 and conducts its activities under the auspices of the Chinese Communist Party.
    In the letter, Sen. Cruz wrote, “For over a decade, Governor Tim Walz has acted as one of the Institute’s most ardent supporters, securing millions of taxpayer dollars to fund its operations, including over $2 million in federal funding for technology acquisitions and a $5 million earmark to expand your Institute’s reach. The Governor’s support for the Hormel Institute has remained steadfast, continuing even after the FBI concluded on February 28, 2023 that COVID-19 pandemic likely originated from the WIV.
    “Governor Walz’s personal connections to China—his honeymoon there, over 30 trips, and public comments downplaying the strategic threat posed by the CCP13—only raise further questions about his motivations for promoting your institution. 
    “Your institute’s ongoing partnership with the Wuhan Institute of Virology, and by extension the People’s Liberation Army, reflects a troubling disregard for national security concerns…The American people deserve assurance that their resources and institutions are not inadvertently supporting the goals of our chief geopolitical adversary.”
    Read the full letter here or below:
    Dear Director Clarke:
    I write to you today with growing concern regarding the Hormel Institute’s longstanding partnership with China’s Wuhan Institute of Virology (WIV). 
    The WIV, as you are certainly aware, has been credibly implicated as the likely point of origin of the COVID-19 pandemic. Even more troubling are its direct ties to China’s People’s Liberation Army (PLA) and its involvement in classified military research including laboratory animal experiments under the auspices of the Chinese Communist Party (CCP) at least as recently as 2017. Despite these alarming connections which raise obvious national security concerns, the institute you lead has not only maintained its collaboration with WIV but it has done so with the backing of Minnesota’s top elected official. 
    For over a decade, Governor Tim Walz has acted as one of the Institute’s most ardent supporters, securing millions of taxpayer dollars to fund its operations, including over $2 million in federal funding for technology acquisitions and a $5 million earmark to expand your Institute’s reach. The Governor’s support for the Hormel Institute has remained steadfast, continuing even after the FBI concluded on February 28, 2023 that COVID-19 pandemic likely originated from the WIV.
    In recent years, researchers at the Hormel Institute have collaborated with the Wuhan Institute of Virology on a variety of projects, including a 2020 COVID-19 study and, as more recently as of 2024, on structural biology research.
    The COVID-19 study, titled “A dynamic regulatory interface on SARS-CoV-2 RNA polymerase,” was authored by four WIV researchers, three Hormel Institute researchers, and a Yale School of Medicine professor. Similarly, in January 2024, Hormel Institute researchers published a study on genes with the WIV’s Lina He, Wei Zhou, and Yangbo Hu. In 2023, WIV’s Yangbo Hu also worked with the Hormel Institute’s Dmytro Kompaniiets, Dong Wang, and Bin Liu on research titled “Structure and molecular mechanism of bacterial transcription activation,” among other collaborations. 
    Furthermore, the resignation of your predecessor, Dr. Zigang Dong, who served as Executive Director for nearly 18 years and resigned following an FBI investigation into his “possible failure to disclose foreign backing when applying for grants,” should have prompted a thorough reassessment of your institute’s engagements with foreign entities. Yet, despite this disconcerting event, Governor Walz continues to promote and direct public resources to your institute. Even after the U.S. government ceased funding to organizations working with the WIV, Governor Walz toured your facility and publicly praised its work.
    Governor Walz’s personal connections to China—his honeymoon there, over 30 trips, and public comments downplaying the strategic threat posed by the CCP—only raise further questions about his motivations for promoting your institution. 
    Additionally, in 2020, the Hormel Institute’s disclosure in a 2020 EMBO Journal Study that it received “help from the Core Facility and Technical Support” of the WIV for “radioactive and fluorescent tests” adds to the concern. Further raising suspicions is that Bin Liu, a professor at the Hormel Institute who worked on that 2020 EMBO Journal study, attended Wuhan University. Federal records indicate that the researchers for this particular study included those affiliated with the WIV, in addition to the University of Chinese Academy of Sciences and China’s Zhengzhou University. 
    In light of these recently-disclosed facts, it is critical to understand the full extent of your institute’s involvement in a partnership that risks benefitting our nation’s chief geopolitical adversary. Accordingly, for the purposes of oversight, I request that you respond to the following questions and requests by October 31, 2024: 
    1. How much public and private funding has the Hormel Institute received specifically for projects involving collaboration with the Wuhan Institute of Virology (WIV)? Please provide an itemized accounting of all such funding. 
    2. When did the Hormel Institute first initiate collaboration with the WIV, and what were the specific reasons for choosing to partner with a facility known to have ties to China’s People’s Liberation Army? 
    3. What actions has the Hormel Institute taken to ensure that its collaborative work with the WIV does not benefit China’s military or pose a risk to U.S. national security? 
    a. If no such actions were taken, what was the rationale behind this decision? 
    4. Given the WIV’s ties to China’s military, why has the Hormel Institute not publicly disclosed the full extent of its collaborations with the WIV? 
    a. If this information has been withheld, please explain why. 
    5. Please provide all internal documentation or communications related to the Hormel Institute’s partnerships with Chinese research facilities, including but not limited to the WIV. 
    6. What was the Institute’s reasoning behind continuing its collaboration with the WIV, even after serious concerns about the origins of COVID-19 and the lab’s military affiliations became widely known? 
    7. How can the American public trust that the Hormel Institute’s partnerships with the WIV are not inadvertently advancing China’s geopolitical goals, particularly in biotechnology and biomedical research? 
    8. Given the U.S. government’s cessation of funding to other nonprofits with ties to the WIV, what justifications does the Hormel Institute offer for continuing its relationship with the WIV? 
    9. Why did the Hormel Institute continue collaborating with the WIV after your predecessor, Dr. Zigang Dong, resigned amid an FBI investigation into his failure to disclose foreign funding when applying for grants? 
    10. The Hormel Institute’s work with the WIV includes research on gene structures and SARS-CoV-2 RNA polymerase. What measures have been taken to ensure that no sensitive intellectual property or technology has been transferred to China’s military-backed labs during these studies? If no measures were taken, why not? 
    11. Please provide any documentation or communications between the Hormel Institute and the Office of the Minnesota Governor regarding the Institute’s partnerships with Chinese research facilities, particularly the WIV. 
    Your institute’s ongoing partnership with the Wuhan Institute of Virology, and by extension the People’s Liberation Army, reflects a troubling disregard for national security concerns. The devastating impact of COVID-19 has highlighted the seriousness of these issues, as the pandemic has severely affected lives and economies worldwide. The American people deserve assurance that their resources and institutions are not inadvertently supporting the goals of our chief geopolitical adversary. As Executive Director, it is crucial that you address these concerns transparently. Failure to do so will only deepen public mistrust and undermine confidence in your institute’s integrity and intentions. 
    The American people look forward to your timely and comprehensive response. 
    Sincerely, 
    /X/

    MIL OSI USA News –

    January 23, 2025
  • MIL-OSI USA: Brown Hosts 9th Student Leadership Summit in Dayton

    US Senate News:

    Source: United States Senator for Ohio Sherrod Brown

    DAYTON, OH – Today, U.S. Senator Sherrod Brown (D-OH) hosted the Propel Ohio 2024 Student Leadership Summit in Dayton. The one-day nonpartisan summit connects Ohio students at community colleges and technical schools, colleges, and universities and promotes student leadership. More than 250 students and 42 administrators from more than 51 Ohio community colleges, colleges, and universities are expected to attend this year’s summit.

    “I started the Propel Leadership Summit nearly a decade ago to bring together student leaders from around Ohio and help them make connections with each other and with leaders in public service, business, and nonprofits in our State,” said Brown. “Our democracy, our businesses, and our communities are  always stronger when more young people participate and take on leadership roles.”

    The conferenced featured panel discussions on professional development in Ohio, as well as breakout sessions for students to engage with regional experts and other students on public service and civic engagement in Ohio. Students also packaged school supplies for classrooms, teachers, and students in need of resources.

    Brown hosted the summit in partnership with the University of Dayton, AFL-CIO, AFSCME, American Airlines, CareSource, Community Campus Coalition, Crayons to Classrooms, Dayton Development Coalition, Joby Aviation, Premier Health, and United Steelworkers.

    MIL OSI USA News –

    January 23, 2025
  • MIL-OSI Global: Nobel Prize in physics spotlights key breakthroughs in AI revolution − making machines that learn

    Source: The Conversation – USA – By Ambuj Tewari, Professor of Statistics, University of Michigan

    Artificial neural networks mimic human brains, but the technology has its roots in physics. Thom Leach/Science Photo Library via Getty Images

    If your jaw dropped as you watched the latest AI-generated video, your bank balance was saved from criminals by a fraud detection system, or your day was made a little easier because you were able to dictate a text message on the run, you have many scientists, mathematicians and engineers to thank.

    But two names stand out for foundational contributions to the deep learning technology that makes those experiences possible: Princeton University physicist John Hopfield and University of Toronto computer scientist Geoffrey Hinton.

    The two researchers were awarded the Nobel Prize in physics on Oct. 8, 2024, for their pioneering work in the field of artificial neural networks. Though artificial neural networks are modeled on biological neural networks, both researchers’ work drew on statistical physics, hence the prize in physics.

    The Nobel committee announces the 2024 prize in physics.
    Atila Altuntas/Anadolu via Getty Images

    How a neuron computes

    Artificial neural networks owe their origins to studies of biological neurons in living brains. In 1943, neurophysiologist Warren McCulloch and logician Walter Pitts proposed a simple model of how a neuron works. In the McCulloch-Pitts model, a neuron is connected to its neighboring neurons and can receive signals from them. It can then combine those signals to send signals to other neurons.

    But there is a twist: It can weigh signals coming from different neighbors differently. Imagine that you are trying to decide whether to buy a new bestselling phone. You talk to your friends and ask them for their recommendations. A simple strategy is to collect all friend recommendations and decide to go along with whatever the majority says. For example, you ask three friends, Alice, Bob and Charlie, and they say yay, yay and nay, respectively. This leads you to a decision to buy the phone because you have two yays and one nay.

    However, you might trust some friends more because they have in-depth knowledge of technical gadgets. So you might decide to give more weight to their recommendations. For example, if Charlie is very knowledgeable, you might count his nay three times and now your decision is to not buy the phone – two yays and three nays. If you’re unfortunate to have a friend whom you completely distrust in technical gadget matters, you might even assign them a negative weight. So their yay counts as a nay and their nay counts as a yay.

    Once you’ve made your own decision about whether the new phone is a good choice, other friends can ask you for your recommendation. Similarly, in artificial and biological neural networks, neurons can aggregate signals from their neighbors and send a signal to other neurons. This capability leads to a key distinction: Is there a cycle in the network? For example, if I ask Alice, Bob and Charlie today, and tomorrow Alice asks me for my recommendation, then there is a cycle: from Alice to me, and from me back to Alice.

    In recurrent neural networks, neurons communicate back and forth rather than in just one direction.
    Zawersh/Wikimedia, CC BY-SA

    If the connections between neurons do not have a cycle, then computer scientists call it a feedforward neural network. The neurons in a feedforward network can be arranged in layers. The first layer consists of the inputs. The second layer receives its signals from the first layer and so on. The last layer represents the outputs of the network.

    However, if there is a cycle in the network, computer scientists call it a recurrent neural network, and the arrangements of neurons can be more complicated than in feedforward neural networks.

    Hopfield network

    The initial inspiration for artificial neural networks came from biology, but soon other fields started to shape their development. These included logic, mathematics and physics. The physicist John Hopfield used ideas from physics to study a particular type of recurrent neural network, now called the Hopfield network. In particular, he studied their dynamics: What happens to the network over time?

    Such dynamics are also important when information spreads through social networks. Everyone’s aware of memes going viral and echo chambers forming in online social networks. These are all collective phenomena that ultimately arise from simple information exchanges between people in the network.

    Hopfield was a pioneer in using models from physics, especially those developed to study magnetism, to understand the dynamics of recurrent neural networks. He also showed that their dynamics can give such neural networks a form of memory.

    Boltzmann machines and backpropagation

    During the 1980s, Geoffrey Hinton, computational neurobiologist Terrence Sejnowski and others extended Hopfield’s ideas to create a new class of models called Boltzmann machines, named for the 19th-century physicist Ludwig Boltzmann. As the name implies, the design of these models is rooted in the statistical physics pioneered by Boltzmann. Unlike Hopfield networks that could store patterns and correct errors in patterns – like a spellchecker does – Boltzmann machines could generate new patterns, thereby planting the seeds of the modern generative AI revolution.

    Hinton was also part of another breakthrough that happened in the 1980s: backpropagation. If you want artificial neural networks to do interesting tasks, you have to somehow choose the right weights for the connections between artificial neurons. Backpropagation is a key algorithm that makes it possible to select weights based on the performance of the network on a training dataset. However, it remained challenging to train artificial neural networks with many layers.

    In the 2000s, Hinton and his co-workers cleverly used Boltzmann machines to train multilayer networks by first pretraining the network layer by layer and then using another fine-tuning algorithm on top of the pretrained network to further adjust the weights. Multilayered networks were rechristened deep networks, and the deep learning revolution had begun.

    A computer scientist explains machine learning to a child, to a high school student, to a college student, to a grad student and then to a fellow expert.

    AI pays it back to physics

    The Nobel Prize in physics shows how ideas from physics contributed to the rise of deep learning. Now deep learning has begun to pay its due back to physics by enabling accurate and fast simulations of systems ranging from molecules and materials all the way to the entire Earth’s climate.

    By awarding the Nobel Prize in physics to Hopfield and Hinton, the prize committee has signaled its hope in humanity’s potential to use these advances to promote human well-being and to build a sustainable world.

    Ambuj Tewari receives funding from the NSF.

    – ref. Nobel Prize in physics spotlights key breakthroughs in AI revolution − making machines that learn – https://theconversation.com/nobel-prize-in-physics-spotlights-key-breakthroughs-in-ai-revolution-making-machines-that-learn-240845

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI Australia: Virtual reality separates the wood from the trees in forestry industry

    Source: University of South Australia

    09 October 2024

    Virtual reality is set to revolutionise Australia’s $24 billion forestry industry by training workers risk-free, remotely, and much faster.

    A VR immersive training tool developed by the University of South Australia with the support of the Green Triangle Forest Industry Hub is also expected to save the industry millions of dollars in the long term.

    Lead researcher and immersive technology expert Dr Andrew Cunningham and developer Jack Fraser have spent the past year working on the VR tool to support training in South Australia’s forestry mills, and hope to roll it out nationally.

    The ‘Mills Skills VR’ tool uses virtual reality across a range of scenarios, immersing users in a 3D environment that simulates all aspects of forestry practices, training them in a risk-free setting.

    “For the untrained, the forest industry is inherently risky, especially in the mills because it involves large, heavy machinery,” Dr Cunningham says. “It is also a fast moving and busy environment, so if we can train workers to recognise the hazards and equip them with the skills before they step into the mill, it’s better for everyone.”

    A significant benefit is that the trainees can use the VR tool anywhere in Australia, with a virtual reality headset, saving time and costs in flying them halfway across the country.

    Workforce Development Manager at the Green Triangle Forest Industry Hub, Josh Praolini, says the VR training model could reshape how training is delivered to forest industry workers in Australia.

    “At the moment, we rely on access to trainers and machinery that is an essential part of the mill operations. By training new recruits on these machines, you slow or halt production, and expose them to potential risks,” Praolini says.

    “This virtual reality tool allows us to safely introduce recruits to multiple scenarios they could encounter in the mill, as well as offering updated training to existing workers without impacting day-to-day operations of the mill.”

    Beyond the VR training, UniSA researchers are using immersive analytics tools to gather data on plantations and view the trees virtually in a 3D environment, checking for defects, wood quality and growing conditions.

    “The ability to track, monitor and interact in virtual environments opens the door to an exciting future for Australia’s forest industry,” Mr Praolini says.

    Dr Cunningham is confident the industry’s willingness to embrace new technology will also make it an appealing career choice for high school and university students.

    “The forest industry currently supports around 80,000 direct jobs in Australia, but we still need a lot more workers. Virtual reality can take people into a mill and a plantation, showcasing what is involved and the opportunities that lie ahead for a progressive and satisfying career.”

    The next step is to adapt the training tool to other industries where safety is important, including building and manufacturing.

    A video explaining the VR training tool is available at: https://youtu.be/fVDVOG_1H8w

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

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

    Lead researcher: Dr Andrew Cunningham E: andrew.cunningham@unisa.edu.au

    Other articles you may be interested in

    MIL OSI News –

    January 23, 2025
  • MIL-OSI USA: NASA, Collaborators Announce a New Student Lunar Autonomy Challenge! 

    Source: NASA

    Space is hard, but it’s not all hardware.  
    The new Lunar Autonomy Challenge invites teams of students from U.S. colleges and universities to test their software development skills. Working entirely in virtual simulations of the Moon’s surface, teams will develop an autonomous agent using software that can accomplish pre-defined tasks without help from humans. These agents will be used to navigate a digital twin of NASA’s ISRU Pilot Excavator (IPEx) and map specified locations in the digital environment. The IPEx is an autonomous mobility robot engineered to efficiently collect and transport lunar regolith, the loose rocky material on the Moon’s surface.     
    Autonomous systems allow spacecraft, rovers, and robots to operate without relying on constant contact with astronauts or mission control. Before hardware is trusted to operate independently on location, which for Artemis missions includes the Moon, it must be tested virtually. High-fidelity virtual simulations allow NASA to anticipate and improve how systems, both software and hardware, will function in the physical world. Testing in virtual simulations also allows technologists to explore different mission scenarios, observe potential outcomes, and reduce risks. 
    In the Lunar Autonomy Challenge, students will develop their knowledge of autonomous systems by working with the same simulation tools created in-house by Caterpillar Inc. of Irving, Texas, over decades of research and development. Teams will need to utilize the IPEx digital twin’s cameras and orientation sensors to accurately map surface elevation and identify obstacles. Like with real lunar missions, teams must also manage their energy usage and consider the Moon’s harsh terrain and low-light conditions. Through the competition, participants will learn more about autonomous robotic operation, surface mapping, localization, orientation, path planning, and hazard detection. 

    Teams must be comprised of at least four undergraduate and/or graduate students and a faculty advisor at a U.S. college or university.

    The challenge will take place between November 2024 and May 2025 and will include both a qualifying round and a final round. Interested teams must apply by Thursday, Nov. 7.

    Round 1: Selected teams will develop and train their agent using provided virtual environments. Teams will have three opportunities to submit their agent to run in a qualification environment. For each submission, their agent will be scored based on performance.The top scoring teams will be invited to continue.

    Round 2: Teams will work to further refine the agents. Teams will have multiple opportunities in total to submit their agents to the competition environment. The top three teams will be named challenge winners.   

    Interested teams should carefully review the Challenge Guidelines and the Lunar Autonomy Challenge site for more details, including proposal requirements, FAQs, and additional technical guidance. 

    The top three highest-scoring teams on the leaderboard in the finals will be awarded cash prizes: 
    First Place: $10,000 
    Second Place: $5,000 
    Third Place: $3,000 

    Applications must be submitted to NASA STEM Gateway by Nov. 7, 2024.  Learn more about the challenge: https://lunar-autonomy-challenge.jhuapl.edu

    The Lunar Autonomy Challenge is a collaboration between NASA, The Johns Hopkins University (JHU) Applied Physics Laboratory (APL), Caterpillar Inc., and Embodied AI. APL is managing the challenge for NASA. 

    Authored by: Stephanie Yeldell, Education Integration LeadSpace Technology Mission DirectorateNASA Headquarters, Washington, DC

    MIL OSI USA News –

    January 23, 2025
  • MIL-OSI Global: How engineering can support more inclusive hockey leagues and bolster innovation

    Source: The Conversation – Canada – By Kevin Lawrence McGuire, Instructor, Faculty of Engineering, John M Thompson Centre for Engineering Leadership and Innovation, Western University

    Engineering solutions for more inclusive hockey for people with disabilities can pertain to both equipment and processes surrounding how players engage with and play the game. (Shutterstock)

    While engineering students may specialize in particular areas of engineering — for example, civil, electrical, chemical, mechanical or biomedical engineering — they all work in a similar way in applying design thinking.

    Design thinking is a problem-solving approach that emphasizes tailored innovation.

    What follows is a look at design thinking seen through a first-year project at Western University’s John M. Thompson Centre for Engineering Leadership and Innovation.

    As part of their core curriculum, students pursued engineering experiences through practising design thinking with a variety of organizations including George Bray Sports Association (GBSA). The association was created to offer hockey opportunties for children and youth with disabilities. Today, athletes with this inclusive league may experience conditions such as Down syndrome, autism, ADHD, deafness, visual impairments and other challenges.

    Applying design thinking

    Three GBSA projects were among 10 community projects where students worked to apply design thinking.

    Other projects included improving rock climbing opportunities for visually impaired people at the Canadian National Institute for the Blind, developing inclusive school yard games for kindergarteners experiencing exclusion at Thames Valley District School Board and exploring solutions for people with disabilities and workforce entry barriers at employment services specialist Hutton House.

    Design thinking involves engaging with the user and learning as much as possible.
    (Shutterstock)

    Design thinking begins by defining a problem. While people practise design thinking across disciplines, when it’s taught as part of industrial design and innovation it incorporates learning about intellectual property (open-source, copyrights and patents).

    All the students worked through similar processes, exemplified here through a look at projects with GBSA.

    1. Broadly defining the problem

    Angela Mawdsley, an assistant professor of engineering at Western, and I worked closely with GBSA leadership to analyze their operations and identify potential areas where design thinking could have an impact towards solving problems. Emphasis was given to potential problems that could not only be solved in the moment, resulting in a better immediate experience for GBSA, but that could also yield solutions applicable to broader situations.

    Three candidate problems emerged:

    1. Playing beyond the whistle: Some of the younger players, either due to deafness, cochlear implants, cranial shunts (a device draining fluid from the brain), attention disorders or other difficulties with focus, can often be seen to carry on in hockey play, after the referee blows the whistle.

    2. Many players are challenged in learning how to skate: Standardized devices for learning to skate (sometimes popularly called “skate mates”) present size and use issues. Use issues include not considering relative strength or weakness of a player’s ankles, a key criteria in establishing effective push. Also, some athletes do not progress beyond using a device, so devices must be able to pass between the
    player’s bench and the ice.

    Engineers heard that players forgetting equipment was a significant problem.
    (Shutterstock)

    3. Players forgetting hockey items: Hockey requires a lot of equipment that needs regular airing and cleaning. Regardless of whether kids or parents pack an equipment bag, something can be left out, leading to pre-game disappointment. GBSA may be able to find an emergency replacement for items like elbow pads, but other items are too individual (like skates) or too personal (like jocks).

    Each student group working with GBSA tackled one of these problems.

    2. Understanding via empathizing, reframing

    Design thinking involves engaging with the user and learning as much as possible. This means studying, even experiencing the situation. But more significantly it means experiencing empathy with the person or group whose problem it is. Empathy is defined as understanding and sharing the feelings of another person — like love, joy, satisfaction, disappointment, frustration, discouragement in a given situation.

    Design thinkers ask as many questions and collect as much information as possible. The information is then weeded, sorted and prioritized. This is known as reframing.

    By following an iterative process of empathizing and reframing, the target problem can be settled upon. It involves challenging assumptions and redefining problems to identify alternative strategies and solutions that might not be immediately apparent.

    My colleague and I practised empathizing and reframing when establishing something close to the scope of a problem for each of the three opportunities with GBSA. Once we provided boundaries to this scope, we then knew that students could replicate this process by fine-tuning the parameters of each broad problem.

    Student groups pursued unique empathetic, experiential and research efforts, with student groups asking many questions with a GBSA representative in a series of Zoom meetings. A typical zoom call involved about 20 to 50 students, asking a total of about 50 questions.

    3. Define the solution

    A next stage involves generating ideas, trialling them via prototyping and then repeating this process until a solution is established.

    This meant students developed a range of solutions which GBSA gave feedback on. Preferred solutions could then be championed by professors and executed by students hired to work in summer months.

    For example, with the problem now established via research, experiential learning and empathy, students working on the learning to skate challenge built a small collection of assistive devices for skating which were then provided to GBSA for consideration.

    Different student groups had yielded 10 different versions of assistive devices for skating, each with its own construction and assembly documentation. Among these different models, GBSA staff chose one to develop further in the summer months.

    The project to track missing equipment yielded a favoured solution by GBSA: a software solution to be available for all GBSA families in 2024.

    For the problem of playing beyond the whistle, students explored a range of ideas from American Sign Language, to other sensory approaches. ASL was tough to implement because the player is not always looking at the referee when play stops. One approach commonly settled on included introducing a system whereby when the referee blew an electronically modified whistle, an FM signal was transmitted from the whistle to a receiver on the player, who felt a vibration.

    Taking it a step further, professors were able to hire student support in the summer, and leverage on campus expertise, to generate open-source Bluetooth solutions. The transmission strategy remained the same, but the reception strategy changed to be altered from one of feeling vibration, to one of hearing “the play has stopped” in an existing hearing aid the player might be wearing.

    “Hearing the whistle” solutions are under further investigation by the research team at the National Centre for Audiology at Western University, where work to replicate the Bluetooth solution for technical advances in Bluetooth known as “Auracast” is under consideration.

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

    – ref. How engineering can support more inclusive hockey leagues and bolster innovation – https://theconversation.com/how-engineering-can-support-more-inclusive-hockey-leagues-and-bolster-innovation-237616

    MIL OSI – Global Reports –

    January 23, 2025
  • MIL-OSI USA: Jefferson, A History of the Fed’s Discount Window: 1913–2000

    Source: US State of New York Federal Reserve

    Thank you, President Hicks and Tara Boehmler, for the kind introduction.1
    Let me start by saying that I am saddened by the tragic loss of life, destruction, and damage resulting from Hurricane Helene in North Carolina, and throughout this region. My thoughts are with the people and communities affected, including those in the Davidson College family. For our part, the Federal Reserve and other federal and state financial regulatory agencies are working with banks and credit unions in the affected area to help make sure they can continue to meet the financial services needs of their communities.
    I am happy to be back at Davidson College. This is a special community. I am bound to it by a shared experience defined not by its length, but by its intensity. As I visited with you today, and as I look around this hall, I see the faces of colleagues who became dear friends during the COVID-19 pandemic. Back then, we spoke often about the unprecedented uncertainty we faced. Amidst that uncertainty, however, we supported each other on this campus. Now, looking back, we can attest that this mutual support was vital. I am grateful to have been amongst you during that unprecedented time. Today, I am proud to see that Davidson is stronger than ever.
    I am excited to be here with you this evening and to talk to you about the history of the Federal Reserve’s discount window.2 The discount window is one of the tools the Fed uses to support the liquidity and stability of the banking system, and to implement monetary policy effectively. It was created in 1913 when the Fed was established. Today, more than 110 years later, this tool continues to play an important role. At the Fed, we always look for ways to improve our tools, including our discount window operations. Recently, the Fed published a request for information document to receive feedback from the public regarding operational aspects of the discount window and intraday credit.3
    Today, I will do three things. First, I will discuss briefly my outlook for the U.S. economy. Second, I will offer my historical perspective on the discount window, starting in 1913 and ending in 2000. Finally, I will provide a few details about the request for information the Fed recently published.
    Tomorrow, I will say more about the discount window when I speak at the Charlotte Economics Club.
    Economic Outlook and Considerations for Monetary PolicyEconomic activity continues to grow at a solid pace. Inflation has eased substantially. The labor market has cooled from its formerly overheated state.

    As you can see in slide 3, personal consumption expenditures (PCE) prices rose 2.2 percent over the 12 months ending in August, well down from 6.5 percent two years earlier. Excluding the volatile food and energy categories, core PCE prices rose 2.7 percent, compared with 5.2 percent two years earlier. Our restrictive monetary policy stance played a role in restraining demand and in keeping longer-term inflation expectations well anchored, as reflected in a broad range of inflation surveys of households, businesses, and forecasters as well as measures from financial markets. Inflation is now much closer to the Federal Open Market Committee’s (FOMC) 2 percent objective. I expect that we will continue to make progress toward that goal.
    While, overall, the economy continues to grow at a solid pace, the labor market has modestly cooled. Employers added an average of 186,000 jobs per month during July through September, a slower pace than seen early this year. A shown in slide 4, the unemployment rate now stands at 4.1 percent, up from 3.8 percent in September 2023. Meanwhile, job openings declined by about 4 million since their peak in March 2022. The good news is that the rise in unemployment has been limited and gradual, and the level of unemployment remains historically low. Even so, the cooling in the labor market is noticeable.
    Congress mandated the Fed to pursue maximum employment and price stability. The balance of risks to our two mandates has changed—as risks to inflation have diminished and risks to employment have risen, these risks have been brought roughly into balance. The FOMC has gained greater confidence that inflation is moving sustainably toward our 2 percent goal. To maintain the strength of the labor market, my FOMC colleagues and I recalibrated our policy stance last month, lowering our policy interest rate by 1/2 percentage point, as shown in slide 5.
    Looking ahead, I will carefully watch incoming data, the evolving outlook, and the balance of risks when considering additional adjustments to the federal funds target range, our primary tool for adjusting the stance of monetary policy. My approach to monetary policymaking is to make decisions meeting by meeting. As the economy evolves, I will continue to update my thinking about policy to best promote maximum employment and price stability.
    Discount Window History1913: The Fed was establishedNow, I will turn to my perspective on the history of the discount window. Understanding this history is important as we consider ways to ensure the discount window continues to serve effectively in its critical role of providing liquidity to the banking system as the economy and financial system evolve.
    Before the Federal Reserve was founded, the U.S. experienced frequent financial panics. One example is illustrated in slide 6 with a newspaper clipping from the Rocky Mountain Times printed on July 19, 1893. It depicts panic swirling against banks at a time when bank runs swept through midwestern and western cities such as Chicago, Denver, and Los Angeles. The illustration shows how waves of panic hit public confidence, the rocks in the picture, and how banks have a fortress mentality. They stand strong against the panic, but they are not lending, and they are isolated.
    Back then, the supply of money to the economy was inelastic in the short term, in part because the monetary system in the U.S. was based on the gold standard. Demand for cash, however, varied over the course of the year and was particularly strong during harvest season, when crops were brought to the market. The surge in demand for cash, combined with the inelastic supply of money in the short term, caused financial conditions to tighten seasonally. The banking system was fairly good at moving money to where it needed to go, but it had little scope to expand the total amount of money available in response to the U.S. economy’s needs. So if a shock hit the economy when financial conditions were already tight, then the banking system struggled to provide the extra liquidity needed. Banks would seek to preserve liquidity by reducing their investments and denying loan requests, for example. Depositors, fearful that they might not be able to access their funds when they needed them, would rush to withdraw their money. Of course, that caused the banks to conserve further on liquidity. In some cases, they simply closed their doors until the storm passed. When banks closed their doors, economic activity would contract.4 Activity would recover when the banks reopened, but the economic suffering in the meantime was meaningful.
    In addition to the supply of money in the economy being inelastic in the short term, two prominent frictions, asymmetric information and externalities, made banks and private markets vulnerable to systemic crises. Here, asymmetric information refers to the fact that customers do not have access to all the information they need to evaluate whether a bank is insolvent, illiquid, or both.5 Therefore, customers rely on imperfect signals, such as news reports about another bank failing, to decide whether to withdraw their money from their own bank.
    Then there are externalities, in the sense that an individual bank may not consider how an innocent bystander may be negatively impacted by its actions. When a financial institution fails, that may lead depositors to withdraw money from other unrelated banks, which may in turn cause those banks to fail. Contagion can transform a single bank failure into a systemic crisis, where many banks fail, credit evaporates, the stock market collapses, the economy enters a recession, and the unemployment rate increases dramatically.
    The severe financial panic of 1907 stands out as an example of market failure due to these two prominent frictions. The panic was triggered by a series of bad banking decisions that led to a frenzy of withdrawals caused by asymmetric information and public distrust in the liquidity of the banking system.6 Banks in many large cities, including financial centers such as New York and Chicago, simply stopped sending payments outside of their communities. The resulting disruption in the payment system and to the flow of liquidity through the banking system led to a severe, though short-lived, economic contraction. This experience led Congress to pass the Federal Reserve Act in 1913.7 This act created the Federal Reserve System, composed of the Federal Reserve Board in Washington, D.C., and 12 Federal Reserve Banks across the country.8
    In 1913, the main monetary policy tool at the Fed’s disposal was the discount window. At that time, the Fed did not use open market operations—the buying and selling of government securities in the open market—to conduct monetary policy. Instead, the Fed adjusted the money supply by lending directly to banks that needed funds through the discount window. The Fed’s ability to provide funds to banks as needed made the money supply of the U.S. more elastic and considerably reduced the seasonal volatility in interest rates.9 This ability also enabled the Fed to provide stability in times of stress, helping banks that experienced rapid withdrawals to satisfy their customers’ demand for liquidity and thereby potentially preventing banking panics.
    1920s: The Fed began to discourage strongly use of the discount windowIn fact, many researchers have argued that the existence of the Fed’s discount window prevented a financial crisis in the early 1920s, when the banking sector came under pressure as the U.S. economy transitioned to a peacetime economy following the end of World War I.10 There had been an agricultural boom during the war and a significant accumulation of debt within that sector. Farmers came under pressure as the prices of agricultural goods dropped from wartime highs. The banks sought to support their customers, and the Fed sought to support the banks. There were serious concerns about the condition of several banks in parts of the country. The Fed’s discount window lending provided critical support that saved many banks but also resulted in habitual use of the discount window by some banks during the 1920s.11
    Slide 7 shows that as of August 1925, 593 member banks, 6 percent of the total, had been borrowing for a year or more from Federal Reserve Banks. Moreover, there were real solvency problems, and several banks failed with discount window loans outstanding. These challenges resulted in the Fed strongly discouraging banks from continuous borrowing from the discount window and the adoption of a policy of encouraging a “reluctance to borrow.”12
    By 1926, the Fed was explicit that borrowing at the discount window was meant to be short term. As I emphasize in slide 8, the Federal Reserve’s annual report for 1926 stated that while continuous borrowing by a member bank may be necessary, depending on local economic conditions, “the funds of the Federal reserve banks are primarily intended to be used in meeting the seasonal and temporary requirements of members, and continuous borrowing by a member bank as a general practice would not be consistent with the intent of the Federal reserve act.”13
    The late 1920s also highlighted Fed concerns about the purpose of the borrowing. The Fed sought to distinguish between “speculative security loans” and loans for “legitimate business.”14 A staff reappraisal of the discount mechanism stated that “[t]he controversy over direct pressure intensified in the latter part of the 1920s as an increasing flow of bank credit went into the stock market.”15 In short, the Fed observed that some banks were becoming habitual borrowers from the discount window. It was concerned that an overreliance on discount window borrowings would weaken banks and make them more prone to failure.
    In the late 1920s, the Fed switched to open market operations as its primary tool for conducting monetary policy.16 That allowed the Fed to determine the aggregate amount of liquidity in the system and to rely on private financial markets to distribute it efficiently. The discount window would thus serve as a safety valve if there was a shock that caused conditions to tighten unexpectedly or if individual banks experienced idiosyncratic shocks or somehow lost access to interbank markets.
    The intention of this set-up was for banks to use the discount window to borrow from the Fed only occasionally. Ordinarily and predominantly, financial institutions were supposed to rely on private markets for their funding. This set-up was designed to limit moral hazard—the possibility that institutions take unnecessary risks when there is no market discipline. This is the key balancing act. The Fed needs to be a reliable backstop to prevent financial crises, but it also needs to minimize moral hazard that comes from always standing ready to provide support.
    1930s–1940s: The Great Depression and WWIIDuring the Great Depression in the 1930s, the banking system experienced severe stress, including many bank runs. There are many reasons why the discount window was insufficient to address the problems in the banking system in the 1930s. I will highlight only two. First, many banks were insolvent rather than illiquid. Central bank lending is not a fundamental solution in those circumstances. When banks are insolvent, it is important to manage the closure in as orderly a manner as possible. The establishment of the Federal Deposit Insurance Corporation (FDIC) in 1933 gave bank regulators increased ability to do that. Relatedly, the challenging experiences of lending to troubled banks in the 1920s likely made the Fed more reluctant to lend in circumstances in which solvency concerns were material. Second, the types of collateral that the Fed was initially able to accept when lending to banks were quite limited.
    In response, in the early 1930s Congress expanded the range of banking assets that could serve as collateral for discount window loans and added a variety of new Fed emergency lending authorities.17 These new lending authorities were used in the 1930s to help alleviate distress. Some were also used in the early 1940s as the Fed helped support the World War II mobilization effort.
    The period following the war was relatively calm. The role of the discount window shifted from addressing distress in the banking system to acting as a safety valve to manage tightness in money markets and support monetary policy operations.
    1950–2000: Measures to discourage discount window borrowingIn March 1951, the U.S. Treasury and the Fed reached an agreement to separate government debt management from the conduct of monetary policy, thereby laying the foundation for the modern Fed.18
    In the 1950s, the Fed set the interest rate on discount window loans above market rates. Thus, it served as an effective ceiling on the federal funds rate. The Fed continued to discourage extensive use of the discount window, but the relatively high interest rate also made its sustained use less attractive.
    In the 1960s, the Fed placed greater emphasis on open market operations to set its monetary policy stance. Concurrently, the Fed shifted to a policy of setting the interest rate on discount window loans below the market rates. Because the interest rate no longer deterred use of the window, the Fed turned increasingly to other measures, such as administrative pressures and moral suasion, to limit the frequency with which banks requested loans from the discount window. Indeed, between the late 1920s and the 1980s, the Fed adopted and amended numerous restrictions on discount window borrowing. Whenever discount window usage increased too much, the Fed tightened the restrictions to suppress borrowing.
    For example, in the 1950s, the Fed defined appropriate and inappropriate discount window borrowing. In particular, the Board’s regulations in 1955 stated that “[u]nder ordinary conditions, the continuous use of Federal Reserve credit by a member bank over a considerable period of time is not regarded as appropriate” and provided more details on how Reserve Banks should evaluate the “purpose” of a credit request.19 By 1973, the Board had made additional changes to its regulations on discount window use and defined three distinct discount window programs: adjustment credit, intended to help depository institutions meet short-term liquidity needs; seasonal credit, intended to help small depository institutions manage liquidity needs that arise from seasonal swings in loans and deposits; and extended credit, intended to help depository institutions that have somewhat longer-term liquidity needs resulting from exceptional circumstances.20
    Over time, the Board added provisions in its regulations requiring banks to exhaust other sources of funding before using discount window credit.21 In addition, in the early 1980s, the Fed levied a surcharge on frequent borrowings by large banks to augment the administrative restrictions.22 Despite these policies to discourage use of the discount window, slide 9 shows that discount window borrowing, adjusted for the size of the Federal Reserve’s balance sheet, was notable in the 1970s and 1980s, suggesting that the discount window was an important marginal source of funding for banks during that period.
    That changed in the 1980s and early 1990s, when there were notable solvency problems in the banking industry. During this period, the discount window provided support to troubled institutions, while the FDIC sought to find merger partners or otherwise manage the failure of these institutions in an orderly manner. The discount window activity that took place while FDIC resolutions proceeded increased the association between use of the discount window and being a troubled institution.23 As a result, banks became more reluctant to borrow from the discount window. The greater reluctance to borrow from the discount window made it less effective, both as a monetary policy tool and as a crisis-fighting tool. That resulted in a series of efforts by the Fed in the early 2000s to change how the discount window operates. Tomorrow, I will discuss those efforts when I speak at the Charlotte Economics Club.
    A request for informationBefore closing, I’d like to return to where I began. Understanding the history of the discount window is important as we consider ways to ensure it continues to serve effectively in its critical role in providing liquidity to the banking system as the economy and financial system evolve. One way to ensure it continues to serve effectively is to collect feedback from the public. Slide 10 provides some touch points on the Board’s request for information document. The request for information seeks feedback from the public on a range of operational practices for the discount window and intraday credit, including the collection of legal documents; the process for pledging and withdrawing collateral; the process for requesting, receiving and repaying discount window advances; the extension of intraday credit; and Reserve Bank communications practices. My colleagues and I are looking forward to this feedback to inform potential future enhancements to discount window operations. The period for responding to our request for information ends on December 9, 2024.
    Thank you to the event organizers and to the Davidson College community for the opportunity to discuss this important topic with you. It has been such a pleasure to be back on campus.
    ReferencesAnderson, Clay (1971). “Evolution of the Role and the Functioning of the Discount Mechanism,” in Reappraisal of the Federal Reserve Discount Mechanism, vol. 1. Washington: Board of Governors of the Federal Reserve System, pp. 133–65.
    Board of Governors of the Federal Reserve System (1922). 8th Annual Report, 1921. Washington: Government Printing Office.
    ——— (1926). Federal Reserve Bulletin, vol. 12 (July).
    ——— (1927). 13th Annual Report, 1926. Washington: Government Printing Office.
    Carlson, Mark (forthcoming). The Young Fed: The Banking Crises of the 1920s and the Making of a Lender of Last Resort. Chicago: University of Chicago Press.
    Clouse, James (1994). “Recent Developments in Discount Window Policy (PDF),” Federal Reserve Bulletin, vol. 80 (November), pp. 965–77.
    Goodhart, Charles A.E. (1988). The Evolution of Central Banks. Cambridge, Mass.: MIT Press.
    Gorton, Gary (1988). “Banking Panics and Business Cycles,” Oxford Economic Papers, vol. 40 (December), pp. 751–81.
    Gorton, Gary, and Andrew Metrick (2013). “The Federal Reserve and Financial Regulation: The First Hundred Years,” NBER Working Paper Series 19292. Cambridge, Mass.: National Bureau of Economic Research, August.
    Meltzer, Allan (2003). A History of the Federal Reserve, Volume 1: 1913–1951. Chicago: University of Chicago Press.
    Miron, Jeffrey A. (1986). “Financial Panics, the Seasonality of the Nominal Interest Rate, and the Founding of the Fed,” American Economic Review, vol. 76 (March), pp. 125–40.
    Meulendyke, Ann-Marie (1992). “Reserve Requirements and the Discount Window in Recent Decades (PDF),” Federal Reserve Bank of New York, Quarterly Review, vol. 17 (Autumn), pp. 25–43.
    Shull, Bernard (1971). “Report on Research Undertaken in Connection with a System Study,” in Reappraisal of the Federal Reserve Discount Mechanism, vol. 1. Washington: Board of Governors of the Federal Reserve System, pp. 27–77.
    Terrell, Ellen (2021). “United Copper, Wall Street, and the Panic of 1907,” Library of Congress, Inside Adams: Science, Technology & Business (blog), March 9.
    Willis, Henry Parker (1923). The Federal Reserve System: Legislation, Organization and Operation. New York: The Ronald Press Company.

    1. The views expressed here are my own and are not necessarily those of my colleagues on the Federal Reserve Board or the Federal Open Market Committee. Return to text
    2. The discount window is a monetary policy facility where depository institutions can request to borrow money against collateral from the Fed. The term “window” originates with the now obsolete practice of sending a bank representative to a Reserve Bank physical teller window when a bank needed to borrow money. The term “discount” refers to how depository institutions borrow money on a discount basis—interest amount for the entire loan period (plus other charges, if any) is deducted from the principal at the time a loan is disbursed. Return to text
    3. The Federal Reserve provides intraday credit to depository institutions to foster a safe and efficient payment system. For more information on intraday credit and the Board’s Payment System Risk policy, see “Payment System Risk” on the Board’s website at https://www.federalreserve.gov/paymentsystems/psr_about.htm. Return to text
    4. See, for example, Goodhart (1988). Return to text
    5. Illiquidity is a short-term cash flow problem. An illiquid bank cannot pay its current obligations, such as deposit withdrawals, even though the value of the bank’s assets exceeds the value of its liabilities. In other words, illiquidity means the bank does not currently have the resources to meet its current obligations. With a short-term loan, an illiquid bank would be able to pay its obligations. Insolvency is a long-term balance sheet problem. Total obligations of an insolvent bank are larger than its total assets. A short-term loan would not help an insolvent bank. Of course, evaluating the quality of a bank’s loan book in real time to determine whether a bank is solvent can be extremely challenging during a crisis. In addition, in some cases, illiquidity caused by large deposit withdrawals can lead banks to sell assets at fire-sale prices that then impairs their solvency. Conversely, concerns about insolvency, even if unfounded, can lead to liquidity problems. In the bank run literature, the connections between liquidity and solvency are a key factor that gives rise to runs. Return to text
    6. The panic of 1907 started in October 1907 when three brothers—F. Augustus Heinze, Otto Heinze, and Arthur P. Heinze—as well as Charles W. Morse attempted to manipulate the price of United Copper stock by purchasing a large number of shares of the company. Their plan failed, and the stock price of United Copper collapsed. The collapse led to depositor runs on banks and trust companies associated with the Heinzes and Morse. This included a run on the Knickerbocker Trust Company, whose president was connected to Morse. The Knickerbocker Trust Company failed, and the New York Stock Exchange fell nearly 50 percent from its peak of the previous year in the wake of the failure. See Terrell (2021). Return to text
    7. To aid its thinking on reforming the monetary system, Congress established the National Monetary Commission. The landmark 24 volume report from the commission provides a rich review of the operations of central banks in other countries, a history of financial crises in the U.S., and an appraisal of the state of the contemporary banking system in the U.S. at the time. Return to text
    8. See “History and Purpose of the Federal Reserve” on the St. Louis Fed’s website at https://www.stlouisfed.org/in-plain-english/history-and-purpose-of-the-fed. Return to text
    9. See Miron (1986). Return to text
    10. See, for example, Gorton (1988). Willis (1923) and Board of Governors (1922) also suggest that the Fed prevented a crisis from happening in 1920. Return to text
    11. See Carlson (forthcoming). Return to text
    12. See Shull (1971, pp. 33–34). Return to text
    13. See Board of Governors (1927, p. 4). In 1926, approximately one-third of all banks in the U.S. were member banks, holding about 60 percent of the total loans and investments for all banks; see Board of Governors (1926). Banks receiving charters from the federal government were required to become members of the Federal Reserve System while banks receiving charters from state governments had the option to become members. Discount window borrowing was originally limited to Federal Reserve System member banks. The Monetary Control Act of 1980 opened the window to all depository institutions. Return to text
    14. See Gorton and Metrick (2013). Return to text
    15. See Anderson (1971, p. 137). In the statement, “direct pressure” refers to the Fed policy of pressuring banks not to borrow from the window. Congress may have shared some of those concerns, as the Federal Reserve Act was amended in 1933 to include a passage in section 4 requiring Reserve Banks to be careful about speculative uses of the Federal Reserve credit. Return to text
    16. Open market operations are the purchase or sale of securities (for example, U.S. Treasury bonds) in the open market by the Fed. In modern times, the short-term objective for open market operations is specified by the FOMC. For more information, please refer to “Open Market Operations” on the Board’s website at https://www.federalreserve.gov/monetarypolicy/openmarket.htm. Return to text
    17. There are several banking acts that do this, but especially the Banking Act of 1932, the Emergency Relief and Construction Act of 1932, and the Banking Act of 1935. Yet one more reason why the discount window was insufficient to address the problems of the banking system in the 1930s is that, during this period, nonmember banks did not have access to the discount window. These banks suffered the most during the Great Depression. The ability of nonmember banks to access the window only changed in 1980 with the Monetary Control Act. Return to text
    18. After the U.S. entered World War II, the Federal Reserve supported efforts by the Treasury to hold down the cost of financing the war by establishing caps on interest rates on Treasury securities (see, for instance, Meltzer, 2003, Chapter 7). The cap pertaining to longer-term interest rates continued to be in place until the 1951 agreement. Return to text
    19. See Board of Governors of the Federal Reserve System, Advances and Discounts by Federal Reserve Banks, 20 Fed. Reg. 261, 263 (PDF) (Jan. 12, 1955). Return to text
    20. See Board of Governors of the Federal Reserve System, Extensions of Credit by Federal Reserve Banks, 38 Fed. Reg. 9065, 9076-9077 (PDF) (April 10, 1973). Return to text
    21. By 1980, the Board’s regulations stated that adjustment credit “generally is available only after reasonable alternative sources of funds, including credit from special industry lenders, such as Federal Home Loan Banks, the National Credit Union Administration’s Central Liquidity Facility, and corporate central credit unions have been fully used”; seasonal credit was “available only if similar assistance is not available from other special industry lenders”; and other extended credit was available only “where similar assistance is not reasonably available from other sources, including special industry lenders”; see Board of Governors of the Federal Reserve System, Extensions of Credit by Federal Reserve Banks, 45 Fed. Reg. 54009, 54009-54011 (PDF) (Aug. 14, 1980). See also Clouse (1994). Return to text
    22. See Meulendyke (1992). Return to text
    23. A congressional inquiry found that this lending likely increased losses to the deposit insurance funds at the time and led to limitations on the ability of the Federal Reserve to provide loans to troubled depository institutions as part of the Federal Deposit Insurance Corporation Improvement Act of 1991. Return to text

    MIL OSI USA News –

    January 23, 2025
  • MIL-Evening Report: Everybody wants this – what makes a great TV kiss?

    Source: The Conversation (Au and NZ) – By Phoebe Hart, Associate Professor, Film Screen & Animation, Queensland University of Technology

    Netflix/IMDB

    There is a lot of talk about the hot onscreen chemistry between actors Kristin Bell and Adam Brody in the hit new Netflix series, Nobody Wants This. Based loosely on series creator Erin Foster’s own romance with husband Simon Tikhman, the irreverent romcom follows a sex podcasters’ whirlwind love affair with a rabbi.

    Notably, the sensual first kiss between the couple on a Los Angeles sidewalk one evening two episodes in has tongues wagging. But this is not the first case of opposites attract on TV nor, arguably, the steamiest small-screen smooch.

    The onscreen kiss has a long and storied history. Many viewers form strong connections with characters they enjoy and consider them friends – called parasocial relationships – more so when story lines lean towards love.

    Seeing caresses on screen can trigger the same neurons that fire when we lock lips in real life, making certain scenes very memorable and oh-so-marketable. Here are some of the best and the ingredients that make them great.

    From friends to lovers

    What fan of Friends could forget the classic first kiss when Rachel watches an old prom video and finally realises the depth of Ross’ feelings for her? Or when Jim on The Office (US) confesses his unrequited love for Pam, leading to an impassioned embrace? Both are preceded by a long, slow burn that heightens anticipation.

    More than colleagues then.

    Other kisses are more technically or narratively ambitious. Game of Thrones’ Jon Snow and Ygritte (real-life married couple Kit Harington and Rose Leslie) share a sizzling embrace in the geothermal springs of Grjótagjá, an Icelandic lava cave –although the actual location is only used in the establishing shots.

    ‘You know nothing Jon Snow.’

    On New Girl, Jess and Nick share an unpredicted pash at the end of an episode called Cooler. Jess (Zooey Deschanel) has been left out of her male housemates’ night of carousing because Nick believes she ruins his chances of scoring. It turns out he has a willing kissing partner closer to home.

    A sudden New Girl make-out sesh.

    Challenging the script

    Unexpected televisual trysts confront cultural scripts about romance. They can challenge viewer expectations about sex and relationships more generally. As such, some kisses have longstanding impact.

    Take for example Star Trek’s interracial kiss between Kirk and Uhura in 1968, for which actor Nichelle Nichols recalled receiving an overwhelmingly positive reaction.

    ‘I’m not afraid. I am not … afraid.’

    Dawson’s Creek characters Jake and Ethan were celebrated for being the first men to kiss on prime-time American television in 2000 (two women had already kissed on L.A. Law in 1991).

    Australian television set the standard for gay men and women kissing in the 1970s and, more recently, Franky and Bridget found a lusty forbidden bond in the prison drama Wentworth.

    ‘You’ve got tickets on yourself.’

    Future connections

    How we might connect in the future have also been a part of televisual treatments of intimacy.

    In Black Mirror’s San Junipero the creators explore the possibility of elderly bodies inhabiting their younger sexual selves via simulated reality. And then there’s the time The Doctor saved Rose’s life by absorbing a power vortex in her body via his lips in The Parting of the Ways episode of Doctor Who.

    ‘I think you need a doctor.’

    Extreme close up

    From the lighting and framing to the perfect music, there is a lot that goes into a kissing scene. All this can add up to a moment that prompts audiences to think about highlights from their own kissing histories – or their desired futures.

    Typically screen kisses last longer than in real life, and research suggests some audience expectations of their own sex lives are unrealistically influenced by what they see on TV. In other words, if you’re expecting the same intensity or duration as Joanne and Noah on Nobody Wants This on your next first date, you should probably modify your expectations.

    Today, filming kisses can be challenging and consent is an important part of the production process both onscreen and off. The role of an intimacy coordinator behind the scenes is still relatively new (and we don’t know if this Netflix production had one). But it’s clear when watching the hyped Nobody Wants This scene that both characters are willing kissers.

    There apparently wasn’t much detailed planning involved, other than an objective to capture the “best kiss ever”. Their job well done adds to a pantheon of pashes that will be remembered (and replayed) fondly.

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

    – ref. Everybody wants this – what makes a great TV kiss? – https://theconversation.com/everybody-wants-this-what-makes-a-great-tv-kiss-240792

    MIL OSI Analysis – EveningReport.nz –

    January 23, 2025
  • MIL-Evening Report: We shouldn’t lock up young offenders with fetal alcohol spectrum disorder. Here are the alternatives

    Source: The Conversation (Au and NZ) – By Elizabeth Jane Elliott, Professor of Paediatrics and Child Health, University of Sydney

    Sabphoto/Shutterstock

    Barely a month goes by without news of children and adolescents who are imprisoned and being mistreated in youth detention.

    A new parliamentary inquiry is shining a light on this mistreatment. It’s investigating if youth detention facilities are complying with children’s human rights conventions, and the need for minimum standards of care.

    This inquiry is an opportunity to consider alternatives to youth detention that support and rehabilitate children and adolescents who break the law. This is especially needed for those with disabilities relating to brain function (neurodisability), such as fetal alcohol spectrum disorder (FASD).

    FASD is a neurodevelopmental disability. It is caused by exposure to alcohol before birth, which injures the brain. We don’t have prevalence data in the general Australian population but we know it affects children from all demographics.

    Here’s what we know about the incarceration of children and adolescents with FASD – and what we could do instead.

    Imprisoning children from age 10

    Children as young as ten years may be incarcerated in Australia.

    But prison is not a solution to youth crime. Imprisonment without care can cause harm and entrench disadvantage.

    Young people’s brains experience a period of rapid development between ten and 14 and aren’t able to make complex moral decisions.

    Children and adolescents with FASD may have cognitive impairment affecting their ability to think, learn, make decisions and remember, or intellectual disability. Their mental age may therefore be significantly lower than their chronological age.

    FASD makes it harder to understand

    FASD affects children and adolescents’ motivation before committing a crime and their capacity to comprehend the consequences.

    Due to their brain injury, children and adolescents with FASD are often impulsive, easily misled and can’t distinguish right from wrong. They may not learn from past experiences.

    When they’re in the justice system, they may be suggestible. Poor memory may make it difficult for them to provide reliable witness statements. Due to poor language and communication skills, they may misunderstand court orders, leading to non-compliance.

    Rates of FASD are high among young people in the youth justice system. An estimated one in three detainees in Australia has FASD. But many adolescents in contact with the justice system have un-diagnosed FASD and complex needs.

    Internationally, young people with FASD are 19 times more likely to be jailed than people without FASD.

    Diverting adolescents from prisons

    The Productivity Commission’s 2024 report on government services found diversion programs reduced youth re-offending.

    It also found diversion programs were significantly cheaper than incarceration. In 2022–2023, the average cost for each adolescent under community-based supervision was A$305 per day, compared to $2,827 per day for adolescents in custody.

    In a 2024 report, National Children’s Commissioner Anne Hollonds recommended expanding evidence-based youth justice diversion programs:

    Tragically, by not addressing their human rights early on, and instead taking a punitive approach to their offending, we are essentially criminalising some of the most vulnerable children in Australia.

    So what do these programs look like?

    Many countries have moved from a justice system to a welfare system, which is especially appropriate for adolescents with disabilities like FASD.

    Ireland ended the imprisonment of children aged under 18 years in 2017. Children under 18 can now be sent to children detention campuses, which have games rooms and bedrooms instead of cells.

    Scotland closed its youth prisons in 2024.

    Spain has long used an in-patient approach. Adolescents live in a therapeutic environment with compassionate contact with professionally trained staff.

    Other countries are replacing child prisons with theraptutic environments and compassionate staff.
    Shutterstock/SeventyFour

    Successful Australian initiatives offer a foundation for a new model of youth justice.

    The Yiriman Project, for example, is run by Elders near Fitzroy Crossing in Western Australia, where rates of FASD are high. The project takes Aboriginal young people at risk of offending onto remote country to engage in culturally based activities, such as assisting Indigenous rangers to care for country. A three-year review of the Yiriman project found positive outcomes for Aboriginal youth with FASD.

    Research shows it’s crucial that Aboriginal and Torres Strait Islander people are involved in the design of any programs that affect their communities.

    Early detection to prevent re-offending

    Early identification of FASD allows children to receive appropriate intervention and support to enhance their social and emotional wellbeing. This may prevent them from re-offending and improve their life trajectory.

    FASD assessments are available nationally. Support services for young people with FASD aim to improve their health and wellbeing, address secondary disability, and reduce exposure to risks such as substance use.

    For young people who have offended, intensive community-based support programs improve young people’s access to education, life skills and heath-care access. Therapeutic and diversionary activities can also strengthen family relationships, which are crucial to successful community reintegration.

    What needs to happen next?

    Governments need to invest in evidence-based diversion programs for children and adolescents who commit serious crimes.

    These programs provide rehabilitation and support and are effective, compassionate and cost-efficient.

    Governments also need to urgently up-skill justice professionals to improve their recognition and assessment of adolescents with FASD and other neurodevelopmental problems.

    Early identification and understanding of young people with challenges such as FASD and cognitive impairment will enhance the young person’s health and mental health outcomes, prevent youth crime and benefit society.

    Elizabeth Jane Elliott receives funding from the Australian Department of Health and the National Health and Medical Research Council of Australia, including a Leadership Fellowship. She is a Board Director of NOFASD Australia and Royal Far West and is an Advisor in Child Health to UNICEF Australia.

    Fiona Robards is affiliated with the Public Health Association of Australia, the Australian Child Rights Taskforce and Australian Association for Adolescent Health.

    – ref. We shouldn’t lock up young offenders with fetal alcohol spectrum disorder. Here are the alternatives – https://theconversation.com/we-shouldnt-lock-up-young-offenders-with-fetal-alcohol-spectrum-disorder-here-are-the-alternatives-239318

    MIL OSI Analysis – EveningReport.nz –

    January 23, 2025
  • MIL-OSI USA: PHOTOS: Capito Tours Funding Projects in Bluefield, Presents Amelia Earhart Award

    US Senate News:

    Source: United States Senator for West Virginia Shelley Moore Capito
    BLUEFIELD, W.Va. – Today, U.S. Senator Shelley Moore Capito (R-W.Va.), a leader on the Senate Appropriations and Environment and Public Works (EPW) Committees, made several stops in Bluefield, W.Va. to highlight funding projects she has supported, receive updates from community and local leaders, and present the Amelia Earhart Award to a local resident.
    To begin the day, Senator Capito met with community leaders to receive a briefing on the city’s funding awards and the regional impact of the recent storm. Following the briefing, Senator Capito toured the U.S. Route 52 modernization project – which she supported and made funding available through the Infrastructure Investment and Jobs Act.
    “As I was worked to craft the Infrastructure Investment and Jobs Act, I saw a generational opportunity to improve West Virginia’s surface transportation infrastructure. U.S. Route 52 is a crucial thoroughfare for Bluefield and these improvements will increase road safety and continue expanding economic opportunities in and around the city. I was proud to advocate for this project and I’m thrilled to see work underway,” Senator Capito said.
    “The funding Senator Capito helped secure for infrastructure projects in Bluefield represents generational change for not only our city, but all of Southern West Virginia. We are very appreciative of Senator Capito for visiting today to see how her support for these projects will modernize downtown Bluefield, create a gateway to Bluefield State University, and improve the safety and quality of life for residents and visitors alike,” Cecil Marson, Bluefield City Manager, said.
    The tour concluded at Bluefield State University (BSU) where Senator Capito met with leaders to discuss ongoing expansion projects at the university. In September, Senator Capito secured a Congressionally Directed Spending (CDS) award for BSU to expand its healthcare education facilities and curriculum. The funding, which is part of a broader investment in health care infrastructure and education across West Virginia, will bolster the university’s efforts to train the next generation of health care professionals in the region.
    “This new center at Bluefield State University will provide students with the tools and training they need to succeed in the medical field, while also helping to alleviate the healthcare workforce shortages we are seeing across the state and the country,” Senator Capito said. “Investing in medical education is one of the most important steps we can take to ensure that West Virginians have access to high-quality healthcare.”
    “This investment is a game-changer for our students and the communities they will serve. It will allow us to expand our medical programs and offer hands-on training opportunities in a modern, state-of-the-art facility. We are deeply appreciative of Senator Capito’s commitment to the future of healthcare in West Virginia,” BSU Interim President Darrin Martin said. “By offering students more pathways to pursue careers in high-demand health fields, we are helping to address workforce shortages while providing top-tier education and holding to our mission of serving our community and providing an affordable, accessible opportunity for public higher education.”
    In the afternoon, Senator Capito traveled to the Mercer County Airport’s Civil Air Patrol West Virginia Composite Squadron where she presented the Amelia Earhart Award to Civil Air Patrol (CAP) Cadet Peyton Bogel. The award is presented to only 3% of the nearly 22,000 CAP cadets nationally each year. Learn more about the award here.
    Photos from today’s visits are included below:

    U.S. Senator Shelley Moore Capito (R-W.Va.) with local leaders after touring ongoing improvements to U.S. Route 52 in Bluefield, W.Va. on Tuesday, October 8, 2024.

    U.S. Senator Shelley Moore Capito (R-W.Va.) and Darrin Martin, Interim President at Bluefield State University, following a briefing on university expansion projects and economic development opportunities in Bluefield, W.Va. on Tuesday, October 8, 2024.

    U.S. Senator Shelley Moore Capito (R-W.Va.) presents the Amelia Earhart Award to Civil Air Patrol Cadet Peyton Bogle in Bluefield, W.Va. on Tuesday, October 8, 2024.

    MIL OSI USA News –

    January 23, 2025
  • MIL-Evening Report: Building companies feel they must sacrifice quality for profits, but it doesn’t have to be this way

    Source: The Conversation (Au and NZ) – By Kerry London, Deputy Vice-Chancellor of Research, Torrens University Australia

    The Australian construction industry has long been facing a crisis of serious defects in apartment buildings. In the past, alarming incidents such as the Sydney Opal Tower evacuation and the Melbourne Lacrosse fire signalled systemic problems in construction.

    The same problem persists today. One recent report shows serious defects in apartment buildings in New South Wales have more than doubled between 2021 and 2023.

    As the Albanese government fast-tracks its five-year plan to build 1.2 million dwellings, this number will likely worsen.

    We’ve researched the pressures the construction industry feels and how that can result in unsafe apartments, and what can be done to make housing like this better for everyone.

    Why are we in this situation?

    Serious defects endanger lives, cost building and insurance firms millions of dollars, and put pressure on regulators. Typical responses involve increased regulation, but the lack of change in apartment quality shows increased regulation is not enough. Behavioural and cultural changes are needed.

    We found the poor quality of apartment buildings is often the result of deeply entrenched patterns of unprofessional behaviour across the industry. These often arise as professionals face pressures to cut costs in an industry notorious for its low profit margin.

    We also found this pressure is exacerbated by aggressive competition, work overload, exploitation and a toxic culture.

    As pressures mount, professionals’ decision-making becomes increasingly fraught. For example, many professionals we interviewed largely believe they must choose between profit and quality.

    There are no simple answers to this age-old conundrum. However, our study shows a way forward.

    What did we find?

    Our three-year study funded by the Australian Research Council is the first in Australia to extensively investigate 12 building professions struggling to navigate and resolve this perceived dilemma.

    Teams from four Australian universities conducted desktop reviews, analysed professional codes of conduct, interviewed 53 professionals and conducted six focus group discussions. After two years of analysis and model development, we published our industry technical report and presented our findings to practitioners in NSW and Queensland.

    We have empirical evidence that shows profitability and quality do not have to be mutually exclusive. We have uncovered powerful, innovative but ad hoc strategies showing businesses can reconcile both.

    One builder we profiled, a multinational company and a market leader in apartment construction, took a pioneering approach to this dilemma.

    For many years, the company’s strategy was to build as quickly and cheaply as possible to save money. However, these savings were ultimately lost because they found they had “[…] made some money at the time, but we basically spent it all fixing things that we didn’t build that well”.

    The company re-examined its business model and developed a new strategy that reconciled profitability, quality and professional behaviours.

    The company analysed where the majority of their defects arose from and there were five key areas including:

    • balcony waterproofing

    • shower construction and waterproofing

    • fire wall installations

    • penetrations through fire walls

    • brick masonry construction.

    They then built prototypes of high quality construction for each of these typical building elements. They found their prototypes addressed defects while also integrating different technical standards.

    The company then informed their clients, subcontractors and suppliers that “this is how we will build from now on”. Over time, it became apparent their strategy supported skills training while also improving long-term financial sustainability.

    These prototypes are now showcased at a centre in NSW. Subcontractors, architects, engineers, designers, professional associations and other supply-chain actors regularly visit.

    The company now conducts training for quality based on these prototypes and reports that since the establishment of this strategy, defects have been reduced by 85%.

    Our empirical evidence shows these strategies drive quality and long-term financial sustainability.

    Safer homes nationwide

    This strategy does not have to be limited to a few large companies.

    In our report, we provide a plan to ensure safer, more financially sustainable building practices can be rolled out across the industry. It relies on collaboration across sectors.

    Best-practice companies in each state, like the one in NSW, would come under a national umbrella. Commonwealth and state governments would initiate the effort by identifying the best examples in different states. Together, they could focus on design, construction quality and on innovative materials, standards and ways to build safely and cost-effectively.

    Having best-practice example companies would help weed out apartment defects.
    Shutterstock

    With positive role models to follow, other companies can improve. This would instil a mindset and culture of leadership, accountability and responsibility across the sector. More coherent standards would be embedded across the industry would ensure workers at all levels are no longer siloed.

    Education and training organisations would progressively incorporate these new standards. Over time, the workforce would rebuild knowledge and skills that are perceived to have largely disappeared.

    It’s important to ensure clients help drive this too. By mandating or incentivising companies with safer supply chains, there’s a commercial imperative to do better.

    Professional associations also have a role to play. They can support these efforts further by creating resources and advocating for best practice.

    Making apartments safer requires a shift in the thinking of the entire construction industry. There are inventive ways to align quality with profitability. We must challenge the assumption that they are always irreconcilable.

    Kerry London received funding from Australian Research Council. ARC Linkage Project “Constructing Building Integrity: Raising Standards for Professionalism” (LP 190101218).

    Barbara Bok received funding from Australian Research Council (ARC) Linkage Project “Construction Building Integrity: Raising Standards through professionalism” (LP190101218)

    Zelinna Pablo received funding from the Australian Research Council under the ARC Linkage Project “Constructing Building Integrity: Raising Standards for Professionalism” (LP 190101218).

    – ref. Building companies feel they must sacrifice quality for profits, but it doesn’t have to be this way – https://theconversation.com/building-companies-feel-they-must-sacrifice-quality-for-profits-but-it-doesnt-have-to-be-this-way-239821

    MIL OSI Analysis – EveningReport.nz –

    January 23, 2025
  • MIL-Evening Report: The renewable energy hidden in our wastewater ponds – here’s how it could work

    Source: The Conversation (Au and NZ) – By Faith Jeremiah, Lecturer in Business Management (Entrepreneurship and Innovation), Lincoln University, New Zealand

    Getty Images

    New Zealand is confronting a perfect storm.

    Its energy grid faces three pressing challenges at once: an unreliable electricity supply, strict emissions reduction targets and ongoing environmental issues related to wastewater ponds.

    As the country prepares to meet growing energy demands, the variability of wind, solar and hydroelectric power has made year-round electricity generation hard to ensure.

    Compounding the issue are New Zealand’s emissions targets and avoidable emissions from wastewater treatment plants.

    We need immediate, practical solutions. One lies hidden within our wastewater systems.

    Three challenges, one solution

    In the search for viable renewable energy sources, one option is to install floating solar panels on wastewater ponds. However, the initial costs and environmental concerns related to manufacturing and disposal may pose temporary challenges.

    A more immediate and cost-effective solution is already available: biogas membrane covers.

    These covers generate continuous energy at half the cost of solar while addressing environmental concerns such as methane emissions and algal growth.

    Even greater efficiency and environmental benefits are possible through combining biogas covers with heat systems and floating solar panels. Together, these three technologies suggest a multi-pronged solution that could help stabilise the grid, meet emissions targets and improve wastewater management.

    Biogas from wasterwater

    Methane emissions from wastewater ponds are a major environmental concern, contributing significantly to New Zealand’s overall greenhouse gas footprint. By installing biogas membrane covers, this methane can be captured before it escapes into the atmosphere, and instead be used to generate electricity.

    This creates a year-round, consistent energy supply – something traditional renewables such as wind, solar and hydro cannot always guarantee.

    From a cost perspective, biogas systems are about 50% cheaper to install than solar power per kilowatt of energy produced. Also, because these systems produce energy continuously, they are ten times more cost-effective than solar panels, which suffer from intermittency issues.

    But beyond energy production, these covers offer other environmental benefits. They limit harmful emissions and curb ongoing complaints about unpleasant odours in neighbourhoods near wastewater treatment plants.

    Excessive algal growth is a recurring problem for wastewater treatment plants.
    Getty Images

    Repurposing excess heat

    While biogas systems have enormous potential, they do have one significant drawback. The heat generated during methane combustion can cause wastewater ponds to overheat, leading to operational challenges such as excessive algal growth.

    This is where cogeneration or combined heat and power systems come into play.

    These systems capture the excess heat from biogas combustion and convert it into additional electricity. This not only improves energy efficiency but also regulates the temperature of the wastewater ponds, helping to reduce algal growth and evaporation.

    The third part of an integrated solution involves solar panels which can be installed on top of the biogas covers. While these are more expensive to install initially, they collectively contribute valuable gains. When installed on the surface of wastewater ponds, the panels generate additional renewable energy without taking up valuable land space.

    Floating solar panels can also help manage the ponds themselves. By reducing sunlight penetration, they help limit the growth of algae.

    Wastewater ponds as energy hubs

    The beauty of an integrated approach is that it addresses several problems simultaneously.

    By rethinking wastewater ponds as renewable energy hubs, New Zealand can turn an existing problem into a key part of the solution.

    Biogas membrane covers provide immediate energy and emissions benefits. Combined heat and power systems boost efficiency by converting waste heat into electricity. And floating solar panels maximise renewable output while improving wastewater management.

    Independently, these systems have been successful overseas. In Melbourne, methane from wastewater ponds is captured and converted into renewable energy, powering thousands of homes. Meanwhile, in parts of the United States, floating solar panels are increasingly being used to boost energy production while managing water systems.

    The success of these projects provides a blueprint for New Zealand. By combining these technologies into cohesive systems, New Zealand could demonstrate how environmental challenges can be transformed into opportunities.

    The future of renewable energy will require continued exploration and integration of emerging technologies, such as tandem solar cells capable of producing 60% more energy. These could be integrated into biogas membrane covers.

    For now, though, an integration of biogas, heat and floating solar panels represents a significant step forward for New Zealand. It could generate enough power to supply about 27% of households with renewable energy from wastewater ponds, offering immediate relief from the electricity crisis while supporting emissions reduction targets.

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

    – ref. The renewable energy hidden in our wastewater ponds – here’s how it could work – https://theconversation.com/the-renewable-energy-hidden-in-our-wastewater-ponds-heres-how-it-could-work-240300

    MIL OSI Analysis – EveningReport.nz –

    January 23, 2025
  • MIL-Evening Report: Republicans once championed immigration in the US. Why has the party’s rhetoric – and public opinion – changed so dramatically?

    Source: The Conversation (Au and NZ) – By Prudence Flowers, Senior Lecturer in US History, College of Humanities, Arts, and Social Sciences, Flinders University

    It might seem surprising today in the era of Donald Trump, but Republicans in the United States once championed immigration and supported pathways to citizenship for undocumented Americans.

    In January 1989, Ronald Reagan’s final speech as president was an impassioned ode to the immigrants who made America “a nation forever young, forever bursting with energy and new ideas”.

    Contrast this with Trump, who has normalised dehumanising rhetoric and policies against immigrants. In this year’s presidential campaign, for instance, he has referred to undocumented immigrants as “animals” who are “poisoning the blood of our country”.

    Both Trump and his vice presidential running mate, JD Vance, also repeated a false story about Haitian “illegal aliens” eating pets in Springfield, Ohio.

    Perhaps most troubling, Trump has pledged to launch “the largest deportation operation in the history of our country”, if he’s elected.

    Immigration policies throughout history

    Nativism, or anti-immigrant sentiment, has a long history in American politics.

    In 1924, a highly restrictive immigration quota system based on racial and national origins was introduced. This law envisaged America as a white, Anglo-Saxon, Protestant nation.

    However, there was no restriction on immigrants from the Western Hemisphere. The agricultural and railroad sectors relied heavily on workers from Mexico.

    In 1965, the quota system was replaced by visa preference categories for family and employment-based migrants, along with refugee and asylum slots.

    Then, as violence and economic instability spread across Central America in the 1970s, there was a surge in undocumented immigration to the US.

    Scholar Leo Chavez argues that in the late 1980s and early 1990s, an alarmist “Latino threat narrative” became the dominant motif in media discussions of immigration.

    This narrative was frequently driven by Republican politicians in states on the US-Mexico border, who derived electoral advantage from amplifying voter anxieties.

    The growing popularity of this negative discourse coincided with a significant increase in income inequality – a byproduct of neo-liberal policies championed by Reagan and other Republicans.




    Read more:
    Before Trump, there was a long history of race-baiting, fear-mongering and building walls on the US-Mexico border


    A dramatic shift in Republican rhetoric

    In the early-to-mid 20th century, Democrats were often the party that supported restrictive immigration and border policies.

    However, most Republicans at the national level – strongly supported by business – tended to endorse policies that encouraged the easy flow of workers across the border and increased levels of legal immigration.

    Prominent conservative Republicans also rejected vilifying rhetoric towards undocumented Americans. They presented all immigrants as pursuing opportunities for their families, a framing that emphasised a shared vision of the American dream. In this telling, their labour contributed to the economy and America’s growth and prosperity.

    George H. W. Bush And Ronald Reagan debate immigration in a Republican primary debate in 1980.

    Reagan, the most influential conservative of the late 20th century, opposed erecting a border wall and supported amnesty over deportation.

    Reagan also strongly supported bipartisan immigration reform. In 1986, Congress passed an immigration act that increased border security funding, but also ensured 2.7 million undocumented immigrants, primarily of Latino background, were able to gain legal status.

    Twenty years later, President George W. Bush and Republican Senator John McCain lobbied for a bipartisan bill that would have tightened border enforcement while simultaneously “legalising” an estimated 12 million undocumented immigrants. It was narrowly defeated.

    This vocal support for immigrants by leading Republicans was striking because for much of the period between the late 1980s and the early 2000s, a majority of Americans actually wanted immigration levels reduced.

    Then, around 2009, a dramatic shift in political rhetoric took place. The Tea Party movement brought border security and “racial resentment” towards immigrants centre stage, challenging conservative Republicans from the populist right.

    As a result, more and more Republicans began to voice restrictionist and xenophobic rhetoric and support legislation aimed at cracking down on illegal immigration.

    What’s surprising, though, is the number of undocumented immigrants in the US was actually declining at this time, from 12.2 million in 2007 to 10.7 million in 2016.

    Donald Trump and the new nativism

    In this worsening anti-immigrant climate, Trump descended a golden escalator in mid-2015 to launch his presidential campaign.

    In his speech that day, immigration was front and centre. Trump vowed to “build a great wall” and accused Mexico of sending “rapists” and “criminals” to America.

    His speeches during the presidential campaign were marked by frequent anti-Mexican assertions and calls for Islamophobic visa policies. This hostile stance on immigration was central to his victory in both the Republican primaries and the general election against Hillary Clinton.

    Once in office, Trump then adopted a “zero tolerance” stance towards undocumented immigration. His administration pursued a heartrending family separation policy that split children and their undocumented parents at the border. This approach was celebrated on conservative media outlets such as Fox News.

    During his presidency, he also reduced legal immigration by almost half, drastically cut America’s refugee intake, and introduced bans on people from Muslim-majority countries.

    Policy expert David Bier concluded the goal of Republican lawmakers had shifted:

    It really looks like the entire debate about illegality is not the main issue anymore for Republicans in both chambers of Congress. The main goal seems to be to reduce the number of foreigners in the United States to the greatest extent possible.

    Indeed, Trump’s vision of the nation had overtly racial overtones.

    In one 2018 meeting, he asked why America should accept immigrants from “shithole countries” like Haiti, El Salvador or the African continent. His preference was for Norwegian migrants.

    Immigration as a major election theme

    From 2021–2023, undocumented US-Mexico border crossings surged due to natural disasters, economic downturns and violence in many Latin American and Caribbean nations. Many of the recent arrivals are asylum seekers.

    Though the numbers have fallen sharply in 2024, immigration and the border are still one of the top issues for voters across the political spectrum. The issue is particularly important in the key swing state of Arizona.

    In 2024, Trump’s central immigration promise was encapsulated by the beaming delegates waving signs calling for “Mass Deportations Now” at the Republican National Convention.

    The Trump-Vance ticket has blamed undocumented immigrants for almost every economic and social problem imaginable. The two candidates present them as a dangerous and subversive “other” that cannot be assimilated into mainstream American culture.

    Yet Trump, as both president and candidate, has worked to prevent the passage of border security legislation. Turmoil on the border benefits him.

    And his nativism now encompasses all forms of immigration – he has pledged to curb legal channels for people to enter the country, as well.

    All of this rhetoric has had a dramatic impact on public opinion. Between 2016 and 2024, the number of people supporting the deportation of undocumented immigrants jumped from 32% to 47%.

    In July 2024, 55% of Americans also said they wanted to see immigration levels decrease, a 14-point increase in one year.

    Many Americans do not perceive immigration as a source of vitality and renewal as they had in the past. Instead, reflecting Trump’s language, they are viewing immigrants as an existential threat to the country’s future.

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

    – ref. Republicans once championed immigration in the US. Why has the party’s rhetoric – and public opinion – changed so dramatically? – https://theconversation.com/republicans-once-championed-immigration-in-the-us-why-has-the-partys-rhetoric-and-public-opinion-changed-so-dramatically-239836

    MIL OSI Analysis – EveningReport.nz –

    January 23, 2025
  • MIL-OSI Australia: Federation University takes significant step in world university rankings

    Source: Federation University

    Federation University Australia’s reputation as a world-class regional university has been further enhanced following a significant improvement in the latest World University Rankings.

    The 2025 edition of the influential Times Higher Education World University Rankings has revealed that Federation University is now ranked in the top 401 – 500 universities in the world, an improvement on its position last year when it was within the top 601 – 800 universities globally. Federation was one of four Australian universities that improved its position in the World University Rankings this year.

    The improvement in Federation University’s global ranking, which has campuses in Ballarat, Berwick, Gippsland and the Wimmera, was driven by improved performance in the Research Environment, Research Quality, International Outlook and Industry fields – the latter underpinned by Federation’s Co-operative Education Model, which gets students work and world ready, through direct connection to employers, paid placements, career preparation and workplace skill development.

    Federation’s rise in the World University Rankings follows strong results in the latest Quality Indicators for Learning and Teaching (QILT) Graduate Outcomes Survey released earlier this year, which revealed that Federation University is the highest-ranking Victorian university – and second in Australia – for full-time postgraduate employment, while ranking second among Victorian universities for full-time undergraduate employment rate.

    Find out more about Federation University’s research at https://www.federation.edu.au/research/.

    Quotes attributable to Federation University Vice-Chancellor and President, Professor Duncan Bentley

    “Federation University’s improved ranking in the latest Times Higher Education World University Rankings is the result of our University’s ongoing commitment to research excellence, industry partnership and our unique approach to education through our Co-operative Education Model.”

    “We are proud that Federation University is now in the top 401 – 500 universities globally, and this significant improvement in our ranking will help boost our reputation while supporting our commitment to transforming lives and enhancing communities.”

    MIL OSI News –

    January 23, 2025
  • MIL-OSI: (Updated) NANO Nuclear Energy Reinforces its Nuclear Technology and Engineering Team Further with the Addition of Leading Researchers

    Source: GlobeNewswire (MIL-OSI)

    New York, N.Y., Oct. 08, 2024 (GLOBE NEWSWIRE) — NANO Nuclear Energy Inc. (NASDAQ: NNE) (“NANO Nuclear” or “the Company”), a leading advanced nuclear energy and technology company focused on developing portable, clean energy solutions, today announced that Professor Andrew W. Woods, Ph.D. and Alejandra de Lara, BSc, MPhil have joined its Nuclear Technology and Engineering Team.

    “It is a pleasure to see our Nuclear Technology and Engineering team grow with the additions of Dr. Woods and Alejandra,” said Prof. Ian Farnan, Lead for Nuclear Fuel Cycle, Radiation and Materials at NANO Nuclear Energy. “Their experience and unique expertise are a timely addition to the team and the next phase of the development of the ‘ODIN’ microreactor.”

    “We are very happy to welcome Dr. Woods and Alejandra to the team,” said Eugene Shwageraus, Lead of Nuclear Reactor Engineering of NANO Nuclear Energy. “The next steps in the development of ‘ODIN’ require a dedicated team of experts to ensure the technology is ready to meet regulatory requirements and progress towards commercialization. I am delighted to work alongside Dr. Woods and Alejandra and develop a portable, secure and reliable solution to the world’s growing energy needs.”

    Dr. Woods’ research focuses on developing simplified mathematical and experimental models to study complex fluid flow and heat transfer processes in single and multiphase flow. Applications of his work span various fields, including the dynamics of explosive volcanic eruptions, geothermal power generation, carbon sequestration, and large scale, subsurface energy storage. In recognition of his contributions, Dr. Woods was elected a Fellow of the Royal Society (FRS) in 2017. He is a Professor in the University of Cambridge.

    Figure 1 – NANO Nuclear Energy Inc. Bolsters its Nuclear Technology and Engineering Team with the Additions of Professor Andrew W. Woods (left) and Alejandra de Lara, BSc, MPhil (right).

    Alejandra de Lara has submitted her Ph.D. for examination at the University of Cambridge. Her Ph.D. project was sponsored by Framatome and focused on adapting fuel behavior prediction codes to molten salt-cooled reactors and analyzing their benefits compared to Light Water Reactors.

    Her research demonstrated several fuel design features that would improve the performance of salt-cooled reactors. High-temperature operation of such reactors enables greater thermodynamic efficiency in power conversion using advanced cycles, while also allowing for the direct use of nuclear heat to drive industrial processes such as synthetic fuel production, hydrogen generation, and district heating.

    “The ‘ODIN’ team has grown rapidly in recent months, and it is a pleasure to welcome Dr. Woods and Alejandra,” said James Walker, Chief Executive Officer, and Head of Reactor Development of NANO Nuclear Energy. “Dr. Woods is an experienced and well-versed leader in the field of complex fluid flow and heat transfer processes and I am certain his skills will be invaluable in the next steps of ‘ODIN’s” development. Similarly, Alejandra has proven herself as a leading young researcher and is the perfect example of the next generation’s excellence in nuclear science.”

    About NANO Nuclear Energy, Inc.

    NANO Nuclear Energy Inc. (NASDAQ: NNE) is an advanced technology-driven nuclear energy company seeking to become a commercially focused, diversified, and vertically integrated company across four business lines: (i) cutting edge portable microreactor technology, (ii) nuclear fuel fabrication, (iii) nuclear fuel transportation and (iv) nuclear industry consulting services. NANO Nuclear believes it is the first portable nuclear microreactor company to be listed publicly in the U.S.

    Led by a world-class nuclear engineering team, NANO Nuclear’s products in technical development are “ZEUS”, a solid core battery reactor, and “ODIN”, a low-pressure coolant reactor, each representing advanced developments in clean energy solutions that are portable, on-demand capable, advanced nuclear microreactors.

    Advanced Fuel Transportation Inc. (AFT), a NANO Nuclear subsidiary, is led by former executives from the largest transportation company in the world aiming to build a North American transportation company that will provide commercial quantities of HALEU fuel to small modular reactors, microreactor companies, national laboratories, military, and DOE programs. Through NANO Nuclear, AFT is the exclusive licensee of a patented high-capacity HALEU fuel transportation basket developed by three major U.S. national nuclear laboratories and funded by the Department of Energy. Assuming development and commercialization, AFT is expected to form part of the only vertically integrated nuclear fuel business of its kind in North America.

    HALEU Energy Fuel Inc. (HEF), a NANO Nuclear subsidiary, is focusing on the future development of a domestic source for a High-Assay, Low-Enriched Uranium (HALEU) fuel fabrication pipeline for NANO Nuclear’s own microreactors as well as the broader advanced nuclear reactor industry.

    For more corporate information please visit: https://NanoNuclearEnergy.com/

    For further information, please contact:

    Email: IR@NANONuclearEnergy.com
    Business Tel: (212) 634-9206
    PLEASE FOLLOW OUR SOCIAL MEDIA PAGES HERE:
    NANO Nuclear Energy LINKEDIN
    NANO Nuclear Energy YOUTUBE
    NANO Nuclear Energy TWITTER

    Cautionary Note Regarding Forward Looking Statements

    This news release and statements of NANO Nuclear’s management in connection with this news release or related events contain or may contain “forward-looking statements” within the meaning of Section 21E of the Securities Exchange Act of 1934, as amended, and the Private Securities Litigation Reform Act of 1995. In this context, forward-looking statements (including the anticipated benefits to NANO Nuclear of the engineering personnel described herein and statements regarding NANO Nuclear’s regulatory and licensing processes) mean statements related to future events, which may impact our expected future business and financial performance, and often contain words such as “expects”, “anticipates”, “intends”, “plans”, “believes”, “potential”, “will”, “should”, “could”, “would” or “may” and other words of similar meaning. These forward-looking statements are based on information available to us as of the date of this news release and represent management’s current views and assumptions. Forward-looking statements are not guarantees of future performance, events or results and involve significant known and unknown risks, uncertainties and other factors, which may be beyond our control. For NANO Nuclear, particular risks and uncertainties that could cause our actual future results to differ materially from those expressed in our forward-looking statements include but are not limited to the following: (i) risks related to our U.S. Department of Energy (“DOE”) nuclear fuel manufacturing submission and the development of new or advanced technology, including difficulties with design and testing, cost overruns, development of competitive technology, (ii) our ability to obtain contracts and funding to be able to continue operations, (iii) risks related to uncertainty regarding our ability to technologically develop and commercially deploy a competitive advanced nuclear reactor technology, (iv) risks related to the impact of government regulation and policies including by the DOE and the U.S. Nuclear Regulatory Commission, including those associated with the recently enacted ADVANCE Act, and (v) similar risks and uncertainties associated with the business of a start-up business operating a highly regulated industry. Readers are cautioned not to place undue reliance on these forward-looking statements, which apply only as of the date of this news release. These factors may not constitute all factors that could cause actual results to differ from those discussed in any forward-looking statement, and the NANO Nuclear therefore encourages investors to review other factors that may affect future results in its filings with the SEC, which are available for review at http://www.sec.gov and at https://ir.nanonuclearenergy.com/financial-information/sec-filings. Accordingly, forward-looking statements should not be relied upon as a predictor of actual results. We do not undertake to update our forward-looking statements to reflect events or circumstances that may arise after the date of this news release, except as required by law.

    Attachment

    The MIL Network –

    January 23, 2025
  • MIL-OSI China: ‘Hidden Cottage’ keeps heart of Chinese culture beating in Taipei

    Source: China State Council Information Office 3

    As dusk falls, a small sign lights up at the entrance of a narrow front yard in Taipei’s old town, where passersby usually pause to make out the ink-brushed calligraphy reading “Yin Lu” — or “Hidden Cottage”.

    Calligrapher Chen Jun-guang gives a lesson to students at Yin Lu in Taipei last month. FU SHUANGQI/XINHUA

    Xin Yi-yun’s lecture there on Chinese philosophy starts promptly at 7 pm every Thursday. The small hall, which seats about 30 people, is usually full, with mostly older attendees and a few younger ones scattered among them.

    Since 2011, this philosophy course has come a long way, covering various schools from Taoism to Confucianism and the lesser-known School of Naturalists. Its location was moved to the humble apartment from the grand Taipei Zhongshan Hall, a heritage site where a ceremony to accept Japan’s surrender after World War II was held in 1945.

    “A person’s basic understanding and awareness of their own culture is incredibly important, especially in today’s world, where East and West collide,” said Xin, a disciple of renowned historian and philosopher Qian Mu, when speaking about why he has been teaching Chinese classics for so many years outside campus.

    Many of the attendees came to the class to resolve the fundamental question: “Who am I?”

    “I’m not just here to take a philosophy class or acquire knowledge. I’m seeking an answer to a deeper life question,” said Liang Zheng-yi who is in his early forties. He was once a student of Xin at the Taipei University of the Arts and now regularly attends the classes at Yin Lu.

    “I began reflecting on this in college. As a musician, the techniques and materials I learned were from the West. So how can the things I create represent me? If we’re talking about using Western methods with a Chinese foundation, then what is that ‘Chinese foundation’?” he said.

    At 33, Li Yi-peng found solace from internal conflicts through the class. Growing up with parents who had worked in the United States, he said he was influenced by the notion that “Chinese culture is outdated, and the West is better; you should listen to American pop music and watch American and European movies.”

    “I didn’t want to be a person who felt disappointed in his own culture,” he said. Learning from the wisdom of his ancestors helped him realize that “our cultural tradition is amazing. It addresses daily life issues practically, unites a nation’s core spirit, and even answers the question of happiness.”

    Apart from Xin’s philosophy course, calligrapher Chen Jun-guang also teaches at Yin Lu. Compared with Xin’s course, the students in Chen’s class range more widely in age, from a fifth-grader to a university student and a grandfather.

    “Calligraphy class is like a door. Once you step through it, you encounter many other aspects of traditional culture,” said Xie Yu-juan, an architect in Taipei.

    In 2019, she and her classmates embarked on a “calligraphy journey” to the mainland, where they learned the traditional techniques of how to make paper, ink stones, ink, and brushes.

    Chen, who lives in Pingtung in southern Taiwan, lamented that enthusiasm for learning calligraphy has greatly waned since his youth.

    “In the past, the calligraphy club in a middle school would have more than 100 members; now, only a handful,” he said.

    Nonetheless, he believes that being a uniquely Chinese art form, calligraphy is deeply embedded in the cultural genes, waiting for the right conditions to sprout.

    The owner of Yin Lu, Lin Gu-fang, once chaired the Taipei Lecture Hall, located on the third floor of the Taipei Zhongshan Hall.

    Under his leadership, the busy cultural hub became a landmark for promoting traditional Chinese culture and fostering cultural exchanges across the Taiwan Strait.

    Since Lin’s departure in the autumn of 2020, Taipei Zhongshan Hall has remained an active cultural space, hosting performances and lectures on ballet, folk songs, and modern dance.

    Compared to the spacious rooms of Taipei Zhongshan Hall, Yin Lu feels cramped. Its limited space and location in a quiet residential community, have made it difficult to attract new participants.

    Both Liang and Li felt that people like themselves, who are captivated by traditional culture, are fewer in Taiwan.

    For many, the connection to tradition is either distant or vague, and the current authorities are trying to keep a distance from traditional Chinese culture because of their independence agenda.

    “However, when critical life events like birth, aging, sickness, or death occur, people instinctively turn to tradition,” Li said.

    “History is vital to the Chinese people. For us, life is a long river; only by having a past can we live firmly in the present and pursue happiness in the future,” said Xin.

    “If you forcibly sever ties with the past, you will become a drifting, lonely soul.”

    Stepping out of Yin Lu, one can still find similar people like Xin and Chen as well as attendees at their classes.

    For example, Sun Rui-jin, the chief musician at the Taipei Confucius Temple for 37 years, has dedicated himself to training successive groups of middle school students to perform ancient music at the memorial services for Confucius. Tea master Tang Wenjing has been committed to recreating the whole tea-making and drinking ritual following what was recorded in the book The Classic of Tea by Tang scholar Lu Yu in the eighth century.

    “There are three meanings behind naming this space ‘hidden cottage’,” said Lin. “First, it refers to the traditional saying that the great hermit hides in the city. Second, it reflects the ancient wisdom that when the ‘Way’ does not prevail in the world, one should retreat.”

    The third meaning comes from Lin’s unique observation of Taiwan society. He believes there is a “visible Taiwan” and a “hidden Taiwan”.

    The visible side, which people see in the media, online, and in politics, is noisy and chaotic. In contrast, the hidden side is made up of those quietly holding on to their own cause.

    “In the past, the visible and hidden sides of Taiwan coexisted in balance. Now, the hidden side is indeed gradually diminishing,” Lin remarked. “Although Yin Lu is small, it represents a small glimmer of hope.”

    MIL OSI China News –

    January 23, 2025
  • MIL-Evening Report: What is special consideration for exams? How does it work?

    Source: The Conversation (Au and NZ) – By Jill Colton, Program Director: Secondary Programs and Senior Lecturer: English and Literacy Education, University of South Australia

    Arrowsmith2/Shutterstock

    Many Year 12 students are preparing for final exams throughout October and November.

    What happens if something unexpected happens that makes final preparations or performance on the day more difficult?

    This is where special consideration or special provisions can help.

    How might you be eligible?

    Students who experience something unexpected during the exam period may be eligible for special consideration. This can minimise the impact on a student’s overall marks.

    To be eligible, incidents must be beyond the student’s control. For example, a serious illness, an accident, a family crisis or an interruption during the exam. It does not include family holidays, a teacher being away or mixing up exam dates.

    A student suffering a flare up of pain and fatigue because of glandular fever is likely to be eligible as long as they have a medical diagnosis and recent documentation such as a letter from their GP. Other unexpected illnesses might include gastro, flu or COVID.

    Unexpected mishaps or misadventure such as your home being flooded or a sporting accident that puts you into hospital can prevent you from participating in your exam. In cases like these you will need to provide evidence.

    A death of a close relative can also mean a student is considered eligible for special arrangements. Other family crises may also be included depending on the circumstances and how they affect you. It’s best to consult with your school to find out if you might be eligible.

    Students with disabilities and chronic illnesses can also apply for special consideration. This is something that must be organised earlier in the year through your school and helps teachers make adjustments that enable students to participate equitably.

    There are also a range of entry processes for university and other post-school training and education pathways. Check with the institution you are interested in for more information.

    If you get the flu or COVID during your exams, make sure you get documentation from your GP.
    JJ-stockstudio/Shutterstock

    What do you need to do to apply?

    The process of applying for special consideration for exams differs slightly depending which state or territory you live in. However, the same principles apply:

    • you will need documentary evidence – such as letters from your doctor, police reports, statutory declarations or a death certificate

    • it must be clear how the unexpected situation impacts your performance, such as being too sick to study or too unwell to attend the exam.

    Your school will then manage the process on your behalf and where relevant, submit the application to the local exam board.

    Make sure you let your school know as soon as possible if you think something has happened that will have an impact on your exams.

    What happens next?

    Special consideration aims to ensure a student’s final result is an accurate reflection of their expected achievement. Depending on what has happened, and when it happened, a student may be able to have:

    • additional reading or writing time

    • do their exam in another room

    • extensions to due dates

    • rest breaks, or

    • time to attend to medical needs without loss of test or exam time.

    If a student can’t do their exam or their participation was significantly impaired, a moderated school result or predicted mark will be used. This is a result based on performance during the year.

    This might happen in situations where a whole class is affected. For example, a fire alarm went off half way through an exam.

    Unexpected things happen to all of us at some stage in our lives. If something goes wrong in your life around exam time, talk to your school and gather your documentation. And be informed about how you can be supported to be graded fairly.

    For more state-specific information, you can go to your state’s exam board:

    • South Australia and Northern Territory (SACE)

    • Queensland (QCAA)

    • New South Wales (HSC)

    • Tasmania (TASC)

    • Western Australia (WACE)

    • Victoria (VCE)

    • Australian Capital Territory (BSSS).

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

    – ref. What is special consideration for exams? How does it work? – https://theconversation.com/what-is-special-consideration-for-exams-how-does-it-work-240441

    MIL OSI Analysis – EveningReport.nz –

    January 23, 2025
  • MIL-OSI China: National Day holiday consumption displays China’s economic vitality, potential

    Source: China State Council Information Office

    Tourists taste food at the Qianmen pedestrian street in Beijing, capital of China, Oct. 7, 2024. [Photo/Xinhua]

    China’s just-concluded National Day holiday ignited a surge in consumer activity, fueled by a dynamic blend of travel demand and targeted incentives, highlighting the strong economic vitality of the world’s second largest economy.

    Over the seven-day holiday ending on Monday, more than 2 billion cross-regional trips were made nationwide, according to the Ministry of Transport, representing a 4.1-percent average daily increase compared to 2023.

    The surge in travel not only boosted tourism-related industries but also stimulated consumer spending across various sectors — highlighting the resilience of China’s domestic market during and beyond the holiday period.

    Local governments and businesses responded to the travel rush with innovative initiatives, such as consumer vouchers and home appliance trade-in programs, aimed at tapping into the holiday spirit and bolstering consumption.

    Tourism boom with inbound surge

    The holiday unleashed a travel frenzy. During the holiday period, a remarkable 765 million domestic trips were made, marking a 5.9 percent year-on-year increase, with total tourist spending surging 6.3 percent to 700.8 billion yuan (about 99.11 billion U.S. dollars).

    The travel boom was fueled by a growing demand for diverse tourism experiences, with domestic bookings of travel packages, including flights, hotels and dining, jumping by 40 percent, according to Fliggy, a popular travel platform.

    Data from Trip.com, another leading travel platform, showed that outbound travel orders had surpassed 2019 level, driven by trips to popular destinations such as Thailand, Malaysia, Singapore and Australia.

    Notably, inbound tourism exceeded outbound travel, with inbound orders skyrocketing by 60 percent year on year during the holiday, as more foreign tourists flocked to China, drawn by its unique blend of natural beauty, historical landmarks and vibrant modern attractions.

    The China Tourism Academy predicts that foreign arrivals in the second half of 2024 will exceed 15 million, with the inbound tourism market expected to return to 2019 level, marking the start of a new growth cycle.

    Cultural tourism flourished during the holiday, seeing activities like museum visits, exhibitions and immersive experiences becoming major highlights. Beijing, for instance, hosted over 900 cultural events, an 11-percent increase compared with last year.

    Fueled by the blockbuster video game “Black Myth: Wukong,” north China’s Shanxi has recently seen a phenomenal travel boom, as this province is home to many of the stunning locations featured in the game.

    Analysts expect that as more travelers engage with diverse cultures, the vibrant growth of China’s economy and the richness of its cultural heritage will be fully showcased.

    Spending boost with policy support

    The holiday also sparked a wave of consumer activity, with government-backed incentives playing a key role in heating up the market.

    China unveiled an action plan in March this year to implement a program of large-scale equipment upgrades and trade-ins of consumer goods to expand domestic demand, and stepped up policy support in July with an extra funds injection of 300 billion yuan via ultra-long special treasury bonds.

    Encouraged by the trade-in policy and automaker discounts, the holiday period saw new car sales increase by 11.7 percent — with new energy vehicle sales surging 45.8 percent year on year.

    During the holiday, JD.com, a leading online retailer, reported an increase of 67 percent in home appliance sales compared with 2023, while home appliance retailer, Suning, saw trade-in orders rising by 132 percent year on year.

    According to the Ministry of Commerce, in the first three days of the holiday, 1.04 million consumers purchased 1.55 million home appliances under the trade-in program, contributing to sales of 7.36 billion yuan.

    Powered by the travel and tourism surge, the dining sector across China sizzled with energy. Data from Meituan, one of China’s leading e-commerce platforms for services, showed that from Oct.1 to 5, daily average dine-in consumption rose 33.4 percent compared to the same period last year.

    Audiences packed cinemas, with a total of 2.1 billion yuan in box office takings recorded during the holiday.

    Local governments rolled out policy measures to spur consumption. Shanghai, for instance, injected 5 billion yuan into vouchers for dining, entertainment and shopping, while cities including Chongqing hosted a variety of promotions to spark consumption.

    “The robust holiday consumption highlights China’s vast market, and its strong economic resilience and great potential,” said Xu Guangjian, a professor at the Renmin University of China.

    The accelerated integration of culture, sports and tourism, along with evolving business models, is creating new opportunities for sustained growth, further consolidating the role of consumption as a key driver of the economy, Xu noted.

    MIL OSI China News –

    January 23, 2025
  • MIL-OSI China: Nobel Prize in physics awarded to AI pioneers

    Source: China State Council Information Office

    The 2024 Nobel Prize in Physics is announced in Stockholm, Sweden, Oct. 8, 2024. [Photo/Xinhua]

    The 2024 Nobel Prize in Physics went to two scientists, John J. Hopfield and Geoffrey E. Hinton, for their foundational discoveries and inventions that enable machine learning with artificial neural networks, the Royal Swedish Academy of Sciences announced on Tuesday.

    This year’s laureates for the prize “used fundamental concepts from statistical physics to design artificial neural networks that function as associative memories and find patterns in large data sets,” said Ellen Moons, chair of the Nobel Committee for Physics.

    Hopfield works at Princeton University and Hinton at the University of Toronto. They used tools from physics to develop methods that are the foundation of today’s powerful machine learning, the academy said in a press release.

    Artificial neural networks, now crucial to various fields, have advanced physics research and become integral to daily life, with applications such as facial recognition and language translation, Moons noted.

    Moons said the benefits of machine learning are extensive, but the technology’s rapid development has raised concerns about its long-term effects. She stressed that “humans carry the responsibility for using this new technology in a safe and ethical way for the greatest benefit of humankind.”

    MIL OSI China News –

    January 23, 2025
  • MIL-Evening Report: Sydney Dance Company’s momenta – a breathtaking study in perpetual motion

    Source: The Conversation (Au and NZ) – By Yvette Grant, PhD (Dance) Candidate and Dance History Tutor, The University of Melbourne

    SDC/Pedro Greig

    Artistic director Rafael Bonachela’s latest work for the Sydney Dance Company, momenta, had its Melbourne premiere on October 8 at the Playhouse Theatre in the Arts Centre.

    Bonachela says that he wanted the full-length work to represent both momenta – the plural form of momentum from the Latin movimentum – and moments.

    And it does exactly that.

    The work is a maelstrom of macro and microcosmic momentums, capturing mundane and monumental moments.

    The 17 dancers move through unmarked yet distinct worlds of perpetual motion.

    Sometimes they are suggestive of atoms under a microscope that collide and react, constantly forming new molecules and compounds. They randomly meet each other in physical entanglements, only to move on in a moment to another cluster of moving bodies.

    Other times they evoke the relentless rolling of the sea with waves of unison movement. These repetitively sweep in one line after another through the bodies as they traverse across the stage.

    Still other times they stand in distinct separation in a grid pattern with minimal but identical movements that beat like a collection of pumping hearts.

    The movement never stops. It gains momentum.

    Bodies connected in momenta.
    SDC/Pedro Greig

    The dancers become human and through a series of duets we encounter the momentum of relationships.

    A solo from within the crowd shows us the secret internal flows of emotion that are a relentless apsect of the human experience.

    Using lighting, one intimate scene seems to capture the flickering motion of old grainy film. It briefly transports the audience back in time to a voyeuristic peep show.

    Damien Cooper’s lighting design acts as the narrator throughout, directing our attention to small sections of the action or opening the whole stage. The lights are rigged on a large horizontal circle over one side of the stage. It starts near the stage’s surface and moves incrementally, upward scene by scene, sometimes tilting at angles. It is suspended and moves silently until it is no longer visible, at which point it begins its decent.

    The colour palette of the lighting – whites, yellows, browns, greens and blues – changes the mood from hot to cool, soft to hard, today to yesterday.

    Choreographer Rafael Bonachela based on the work on concepts of momentum, force, time and space.

    Elizabeth Gadsby and Emma White’s costumes are mostly neutral tones with some black accent pieces. They provide almost nude surfaces on which the lighting plays. As the work progresses some of the costumes of the male dancers are removed as they appear bare-chested, even more naked, implying an increasing emotional exposure.

    The dancers show extraordinary vulnerability, athleticism and stamina.

    There is a consistency and persistence to the movement quality in momenta: sweeping, sliding, extending and contracting in cyclical patterns which contain traces of elements of the patterns that came before them.

    It is breathtaking.

    At times warm lighting washes over the dancers.
    SDC/Pedro Greig

    Nick Wales’ score has the same cyclical nature with repeated music motifs. The score is varied in an imitation of life and includes musical solos on viola and piano, contrasted with orchestral pieces and percussive and electronic elements.

    In momenta’s penultimate scene dancers spread out evenly across the stage and dance in unison. The scene is very light but with a black background when suddenly silver sparkles begin to fall from above. There is a powerful sense of both the universe and the universal.

    This cuts to a final intimate and human solo exquisitely danced by Piran Scott. In and out of the light, he slides and turns and rolls sometimes with propulsion, other times with suspense.

    He brings us back to ourselves. Perpetually in motion.

    The Sydney Dance Company’s momenta is on until October 12 at the Arts Centre, Melbourne.

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

    – ref. Sydney Dance Company’s momenta – a breathtaking study in perpetual motion – https://theconversation.com/sydney-dance-companys-momenta-a-breathtaking-study-in-perpetual-motion-240320

    MIL OSI Analysis – EveningReport.nz –

    January 23, 2025
  • MIL-OSI Russia: Sergei Sobyanin: A service for interaction between science and business has opened in Moscow

    MILES AXLE Translation. Region: Russian Federation –

    Source: Moscow Government – Government of Moscow –

    Moscow Innovation Cluster launched a service to establish connections between science and business R. He told about this Sergei Sobyanin in his telegram channel.

    “It will help to integrate scientific developments into the real sector of the economy more quickly and efficiently. Two scientific organizations and 14 universities of the capital have joined the service, eight of which have the special status of national research university,” the Mayor of Moscow noted.

    Source: Sergei Sobyanin’s Telegram channel @mos_sobyanin

    These include Lomonosov Moscow State University, I.M. Sechenov First Moscow State Medical University, and N.E. Bauman Moscow State Technical University.

    Scientists and students conduct research for the subsequent implementation of developments at large businesses. Research teams have more than 400 laboratories equipped with advanced equipment at their disposal.

    More than 300 requests have already been received from oil refining, transport, medical, metallurgical, energy, railway, and electric grid companies. Each application is accompanied by experts and the necessary laboratory is selected to implement the project.

    Sobyanin: Lomonosov Cluster Plays Leading Role in Import Substitution Development

    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.

    Please note; This information is raw content directly from the information source. It is accurate to what the source is stating and does not reflect the position of MIL-OSI or its clients.

    https://vvv.mos.ru/major/themes/11874050/

    EDITOR’S NOTE: This article is a translation. Apologies should the grammar and or sentence structure not be perfect.

    MIL OSI Russia News –

    January 23, 2025
  • MIL-OSI Russia: A joint working group of NSU and KazNU has been created to explore the possibility of opening a branch in Kazakhstan under a public-private partnership scheme

    MILES AXLE Translation. Region: Russian Federation –

    Source: Novosibirsk State University – Novosibirsk State University –

    The decision to create a joint group was made at a meeting held at NSU. It was attended by Rector of the Kazakh National University named after Al-Farabi Zhanseit Kanseitula Tuimebayev, Rector of NSU Mikhail Fedoruk and Head of the NSU Endowment Fund Igor Kim. The main task of the working group will be to work out the possibilities of opening a branch under the public-private partnership scheme. Until now, there have been no such examples in the practice of Russian universities.

    At the present moment, together with representatives of the Kazakh National University named after Al-Farabi and the NSU Alumni Association in Kazakhstan, a lot of preparatory work has already been done to open the branch, a list of natural science and interdisciplinary areas (profiles) of higher education training at NSU has been compiled, which may be of interest to Kazakhstani applicants to the NSU branch.

    Representatives of the two universities also signed an agreement to extend cooperation in the educational, scientific and cultural spheres for 5 years – until 2029. The main areas are:

    – development and implementation of joint scientific research and activities in priority areas of the Parties;

    – organizing the exchange of teachers and staff for giving lectures, conducting classes, and supervising diploma and dissertation research;

    – organization of academic exchange and internships for teachers, master’s and doctoral students;

    – improving the qualifications of the teaching staff and research staff;

    – development of joint educational programs.

    As the rectors of the universities noted at the meeting, in the near future the main focus will be on cooperation in the field of science, part of which will be joint developments. Interaction in the educational sphere will also be strengthened. In order to achieve these goals, the parties agreed to draw up a roadmap for the development and expansion of cooperation between the two universities.

    Currently, NSU cooperates with 16 leading universities of Kazakhstan, 6 of them in the field of IT technologies. Currently, about 180 Kazakhstani students study at Novosibirsk State University, mainly at the Faculty of Natural Sciences, the Humanities Institute and the Institute of Medicine and Medical Technologies.

    NSU also actively interacts with universities in Kazakhstan in the field of scientific research. Thus, NSU teachers and staff regularly travel to Kazakhstan to give lectures, participate in conferences and joint field expeditions on geology and archeology. Every year, NSU hosts participants in scientific events and internships from leading universities in Kazakhstan. In 2020, cooperation agreements were signed with such scientific organizations of the Science Committee of the Ministry of Education and Science of the Republic of Kazakhstan as the Institute of Information and Computing Technologies and the Institute of History and Ethnology named after Ch. Ch. Valikhanov. In 2024, a memorandum was signed with the Dermatovenereological Dispensary of the Turkestan Region of the Republic of Kazakhstan.

    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.

    Please note; This information is raw content directly from the information source. It is accurate to what the source is stating and does not reflect the position of MIL-OSI or its clients.

    http://vvv.nsu.ru/n/media/nevs/education/a joint-working-group-ngu-and-treasury-to-work-out-the-possibility-of-opening-a-branch-in-Kazakhs/

    EDITOR’S NOTE: This article is a translation. Apologies should the grammar and or sentence structure not be perfect.

    MIL OSI Russia News –

    January 23, 2025
  • MIL-OSI China: Steps taken to ensure food security

    Source: China State Council Information Office 2

    China has outlined detailed policy measures to underpin its “all-encompassing approach” to food and to build a diversified food supply system, which analysts said will contribute to ensuring food security and building up the country’s strength in agriculture.
    The guideline on speeding up the building of a diversified food supply system, issued by the General Office of the State Council in September, said the country will take measures to effectively promote the development of new food varieties, fields and technologies.
    Efforts will be made to expand food resources through multiple channels, boost sci-tech innovation to improve the quality and effectiveness of food development, and enhance the entire industrial chain, in particular the value chain of the food industry, according to the document.
    Both the report of the 20th National Congress of the Communist Party of China and the No 1 document of 2024 proposed an all-encompassing approach to food and the expansion of food resources, which analysts said indicates the strong emphasis China has put on the issue.
    “The adoption of an all-encompassing approach to food can not only better meet people’s growing diversified food consumption needs, but also constitute an inevitable choice to address food security challenges confronted by China,” said Tang Wei, an associate professor at Sichuan Agricultural University’s Law School.
    According to official data, last year China’s total meat production was 97.48 million metric tons, its milk production was 42.81 million tons, and poultry and egg production reached 35.63 million tons. Tang said these figures reflect changes in people’s diets and that there should be higher requirements for the diversity of food supply.
    The all-encompassing approach to food emphasizes moving beyond traditional staple crops to address food security, and instead expanding to a broader category that includes meat, eggs, dairy, fruits, vegetables, fish, mushrooms and bamboo shoots.
    Despite having only nine percent of the world’s arable land and six percent of its freshwater resources, China feeds nearly 20 percent of the global population.
    “In the context of increasing constraints on resources and the environment, embracing the approach will help ensure food security and sustainable development,” Tang said.
    The document issued last month called on expanding from arable land resources to encompass the entire territory’s resources under the premise of protecting the ecological environment, encouraging exploring new food resources from natural resources, including forests, grasslands, rivers, lakes, seas and facility-based agriculture.
    “Expanding the spatial scope of agricultural production and diversifying supply channels can reduce the pressure on arable land, further consolidating the foundation of food security,” Tang added.
    Zheng Fengtian, a professor at the School of Agricultural Economics and Rural Development at Renmin University of China, underscored the necessity to fully tap resources in accordance with local conditions and highlighted the importance of substantial investment in scientific and technological innovation in boosting agricultural modernization.
    He gave the example that the vast majority of western China, which may not be suitable for large-scale farming, is endowed with abundant forest resources. The region can support the development of the understory economy and the cultivation of various cash crops, he said.
    The understory economy refers to the development of industries under the forest canopy such as animal husbandry and planting suitable crops.
    Official data shows that beyond arable land, China has over 267 million hectares of forest, a similar amount of grassland, and abundant rivers, lakes and seas.
    More importance should be attached to these resources, and research and development into corresponding varieties and technologies to foster diversified food supply channels, Zheng said.
    Expanding agricultural production space does not mean unlimited extraction, rather, it is about the reasonable use of natural resources, he added.
    Zheng warned that the sources of China’s grain imports and transportation capacity of import channels are relatively concentrated, making the country susceptible to geopolitical and shipping risks.
    Adopting an all-encompassing approach to food could enhance the resilience of China’s food supply chains, allowing it to actively respond to external instability and uncertainty, he said.
    “If China can achieve significant agricultural technological breakthroughs, it will not only facilitate addressing its food security but also set an example for other developing countries,” Zheng said, calling for shoring up innovation in areas including breeding technology and strengthening the leading role of enterprises.
    Sheikh Ahaduzzaman, a representative for China at the United Nations Food and Agriculture Organization, said at an event held last year he expects China’s food industry to become more powerful, upgraded, innovative and sustainable. “This will not only benefit the Chinese people, but also make a significant contribution to the positive progress of the 2030 Agenda for Sustainable Development,” he said.
    According to the State Council’s September document, China will accelerate breeding innovation to cultivate high-yield, high-quality and stress-resistant new varieties, and encourage enterprises to collaborate with universities and research institutes in a bid to develop and promote new technologies and equipment.
    Sun Shujing, a senior agriculture researcher at Fujian Agriculture and Forestry University, highlighted the significant roles of scientific and technological innovation in nurturing competitiveness in agricultural products and industries.
    Sun has previously researched white fungus, with the aim of improving production technologies and increasing yields. “Influenced by the all-encompassing approach to food, research priorities will be given to innovation across the entire industry chain to promote the healthy development of the industry,” she said.
    The document specifically mentions developing and expanding the edible mushroom industry, and creating edible mushroom products, which Sun said will strengthen researchers’ confidence in engaging in the industry and motivate them to meet the significant national demand for the product.
    Zhong Yu, a researcher at the Institute of Agricultural Economics and Development of the Chinese Academy of Agricultural Sciences, said efforts should be made to achieve a virtuous cycle of mutual adaptation between demand and production to promote the high-quality development of agriculture and better meet the people’s aspiration for a better life.
    “We should accelerate the establishment of a comprehensive food safety standard and inspection system, proactively align domestic standards with international standards, and expedite the construction of a traceability system for the entire agricultural product supply chain to effectively reduce food safety risks,” he said.
    Zhong underscored the need to match supply with demand, saying technologies such as big data should be fully leveraged to understand what consumers want in a timely manner so that production can be adjusted effectively.
    As the all-encompassing approach to food emphasizes nutritious and healthy consumption, he said China should keep improving its system for nutritional health standards while continuing to promote food saving and reducing food waste.

    MIL OSI China News –

    January 23, 2025
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