Jesse Jackson’s misdiagnosis of Parkinson’s is common – new genetic discovery could lead to treatment for this deadly disease

Source: The Conversation – USA – By Jose Abisambra, Professor of Neuroscience, University of Florida

Rev. Jesse Jackson died at age 84 after living with progressive supranuclear palsy. AP Photo/Erin Hooley

“Yes, doctor. My dad’s first fall was on his 65th birthday. He stood in the driveway and suddenly dropped backwards on his back. After he fell two more times, we came to the clinic.”

The symptoms the patient’s son described didn’t fit the usual diagnosis of Parkinson’s disease. The family noted mood changes, including outbursts of anger. When the patient tried reading, the words “jumped” at him. Instead of looking down the page with his eyes, he moved his entire head. While his hands didn’t shake, he noticeably moved around more slowly.

Dad was diagnosed with Parkinson’s. The doctors weren’t convinced this was the right diagnosis, but it was the best they could come up with. He was given medications for Parkinson’s. They treated his symptoms with physical therapy and blood thinners to prevent clots if he got injured from a fall. But his condition worsened, and he died within 10 years.

He had been misdiagnosed. He actually had progressive supranuclear palsy, a rare and aggressive neurodegenerative disease with similar symptoms to Parkinson’s. The late Rev. Jesse Jackson, who died on Feb. 17, 2026, at age 84, had a similar experience of misdiagnosis.

About 6 to 10 in 100,000 people are affected by progressive supranuclear palsy, totaling around 30,000 patients in the United States. But because this disease is often misdiagnosed, the real numbers are likely higher. It shares similar symptoms with Parkinson’s, making it very challenging to distinguish between the two. In fact, PSP is also called atypical parkinsonism. Moreover, the brain cells of people with PSP share similar pathological signs with 20 other neurodegenerative disorders.

Progressive supranuclear palsy significantly reduces a person’s ability to function.

There are no biological tests to screen for progressive supranuclear palsy and no therapies specifically for this disease. Patients like Jackson are stuck with treatments that don’t improve their quality of life. In our recently published research, my neuroscience lab identified a potential biomarker that could help change how doctors approach this disease.

Genetics of progressive supranuclear palsy

Rare genetic changes can increase someone’s risk of developing progressive supranuclear palsy.

For example, researchers found that a single mutation on the gene coding for the stress sensor protein PERK increases a person’s risk of developing the disease. PERK helps relieve stress from a part of the cell that acts as a warehouse for newly made proteins. When the cell becomes stressed, PERK dials down the production of new proteins and gives this warehouse time to recover.

Many labs worked to find why this single change in DNA could unleash a devastating life sentence. My team and I had previously found that alterations in a key protein involved in neurodegenerative diseases, tau, can activate PERK, which further weaponizes abnormal tau against cells.

3D model of a cluster of green spirals and ribbons, a clump of yellow spheres near the center
PERK protein.
A2-33/Wikimedia Commons, CC BY-SA

After identifying three other PERK mutations, the field focused on targeting PERK as a way to treat the disease. However, results were conflicting: Both increasing and decreasing PERK activity improved cell survival and brain function in animal and cell models.

Then researchers made a crucial discovery: Unlike properly functioning PERK, the mutant form of this protein could not eliminate tau clumps in the brain. This meant that the brain normally has a way to get rid of toxic tau, but this mechanism was compromised in people who have the mutation.

Treatment strategies that could change the activity of PERK, even in sick patients, could provide a way to fight this disease.

How PERK connects to PSP

My team and I wanted to understand how PERK promotes the abnormal accumulations of tau protein that causes progressive supranuclear palsy.

First, we genetically engineered cells to express normal or mutant PERK. As expected, while both forms of PERK carried out nearly identical functions, mutant PERK did not sufficiently clear out tau. Our next step was to identify which proteins PERK actually affected.

We hypothesized that both versions of PERK reduced the production of different proteins. To test this, we tagged cells with an antibiotic that attaches to newly made proteins.

Surprisingly, only four proteins differed between normal and mutant PERK cells, suggesting we’d found a potential key to understand how progressive supranuclear palsy develops and how it kills brain cells.

One of the proteins we identified, DLX1, was previously associated with the disease. After confirming that DLX1 is enriched in the brains of people with PSP, we tested how changing DLX1 levels would affect fruit flies engineered to produce high levels of tau in their brains.

We found that reducing DLX1 levels in the flies minimized the damage tau causes on cells. These findings strongly imply that DLX1 plays a role in the development of progressive supranuclear palsy.

Future of PSP treatment

Effectively treating diseases requires identifying how they damage cells at the molecular level. Early diagnosis is especially critical to opening an effective therapeutic window before irreversible damage occurs.

Our study offers the first evidence linking key proteins involved in the development of progressive supranuclear palsy, which has major implications for how it’s treated and diagnosed. For example, screening for higher DLX1 levels in the brain or blood could confirm a diagnosis of the disease. Also, developing drugs that reduce DLX1 could potentially reduce symptoms in patients.

Importantly, our team identified three other proteins we are currently testing to see whether they can also offer improved diagnostic and therapeutic value. Combination therapies that target these proteins could potentially help improve patients’ lives.

As researchers work toward more accurate diagnoses and treatment, patients can have more hope to alleviate the devastating consequences of progressive supranuclear palsy.

The Conversation

Jose Abisambra receives funding from the National Institutes of Health. Prior research funding for his work originated from the Department of Defense, the Alzheimer’s Association, the Rotary Club, and the CurePSP foundation. He is a consultant for CurieBio and co-editor-in-chief of the scientific journal Brain Research.

ref. Jesse Jackson’s misdiagnosis of Parkinson’s is common – new genetic discovery could lead to treatment for this deadly disease – https://theconversation.com/jesse-jacksons-misdiagnosis-of-parkinsons-is-common-new-genetic-discovery-could-lead-to-treatment-for-this-deadly-disease-276944

Nearly 1 in 3 missing children in the US are Black, driving Pennsylvania and other states to propose ‘Ebony Alerts’ to ensure equal protection and public safety

Source: The Conversation – USA – By Itay Ravid, Associate Professor of Law, Villanova University

A disproportionate number of Black and Indigenous children go missing in the United States. Catherine McQueen/Moment Collection via Getty Images

Nearly one-third of U.S. children reported missing are Black, even though Black people constitute roughly 14% of the U.S. population.

To address one dimension of this problem, Pennsylvania and a few other states, including Alabama and Massachusetts, have in recent years proposed legislation to reform missing child alert systems. Not all missing children cases trigger an Amber Alert – the nationwide emergency alert system for missing children – but those that do receive greater public and media attention. These states suggest implementing an “Ebony Alert” that focuses on children of color.

Pennsylvania state Rep. Gina Curry introduced a bill “specifically tailored to finding missing Black and Brown youth” in June 2024 and reintroduced it in January 2025. It is currently sitting in the Children and Youth Committee.

Pennsylvania and the other states where these laws are pending are taking a cue from California, which started its statewide Ebony Alert program in January 2024. California’s system aims to guarantee that cases of missing Black youth are treated fairly by law enforcement agencies and the public is alerted in similar fashion and through the same venues offered under Amber Alerts.

I am a law professor who studies victimization and inequalities in the criminal legal system. In a recent legal paper, attorney Tanisha Brown and I examined how Ebony-like laws might save more Black children who go missing.

Our study focuses specifically on Black children, though we recognize that the disproportionate number of missing children from Native American and other marginalized communities also deserve attention and further inquiry.

The crisis of missing Black children

Our original data analysis suggests that the probability of Black children going missing is three times that of white children.

The May 2025 Minority and Missing Report – a collaborative effort among leading law enforcement and various civil society groups – also highlighted the disproportionate number of missing Black, American Indian and Alaska Native children.

These disparities extend beyond reporting rates for missing children.

Black children are also more vulnerable to trafficking and exploitation than white children. Structural inequalities, such as poverty, housing instability and overrepresentation in the foster care system, compound their risks.

Amber’s role in the disparities

The Amber Alert system was adopted in the early 2000s. Amber stands for America’s Missing: Broadcast Emergency Response. It is a powerful and comprehensive alert infrastructure that distributes information about a missing child through radio, television, text messages, highway signs, email notifications and major online platforms, including Google and Facebook.

A digital sign with lights that spell out 'Amber Alert Call 511 for Info'
Amber Alerts inform the public about abducted children.
Darwin Brandis/iStock via Getty Images Plus

Many of the kids who go missing are victims of crime – abducted from their neighborhoods, homes and schools, subjected to physical and psychological abuse, and, in some tragic cases, killed. Amber Alerts mobilize communities to assist in the search process.

To issue an Amber Alert, law enforcement must determine that specific statutory conditions are met, including the age of the child, law enforcement’s belief in imminent danger of serious injury or death, and the sufficiency of existing information to assist in recovery. Crucially, children who are categorized as “runaways” are excluded from Amber eligibility.

Advocacy groups for missing children argue that for a host of reasons, including implicit and explicit racial bias, Black children who go missing are disproportionately labeled as runaways. This excludes them from the protections of the Amber system and reduces the likelihood of them being found.

Even when an Amber Alert is initiated, some data suggests that Black children are less likely to be recovered than white children.

States respond with Ebony Alerts

California’s Ebony Alert system ensures that all cases involving missing Black youth receive public notification comparable in scope and visibility to Amber Alerts. It offers different criteria for the initiation of the alerts. For example, an Ebony Alert may be issued when law enforcement determines that an individual went missing under “unexplained and suspicious circumstances.”

The Pennsylvania proposal generally follows California’s provisions, while stating that it is intended for “young people of color.”

These efforts publicly acknowledge and attempt to address the disproportionate impact of missing-child crises on Black communities. They also shine light on the limitations of formally colorblind frameworks like Amber, as Amber’s race-neutral design has, in practice, produced racially disparate outcomes – with potential life-or-death consequences.

Addressing Amber’s structural flaws

In order to fix the Amber Alert system in states without Ebony Alert legislation, we propose three reforms that would reduce flaws in its design.

1. A more holistic evaluation of missing child cases: Currently, all Amber factors must be present to initiate an alert. Our approach suggests that no single factor should stop an alert from being issued. Doing so will require law enforcement agents to approach each case with more complexity and nuance, including recognizing particular community needs.

2. A broader spectrum of “at risk” conditions: Law enforcement can issue alerts in cases beyond the most typical cases of “serious risk to bodily integrity or death.” This might include “unexplained and suspicious circumstances” or recognizing that the missing person might be subject to trafficking.

3. Shift the burden within law enforcement decision-making: To mitigate bias in alert initiation, we propose that law enforcement bear the burden of explaining why not to initiate an alert – instead of why to – when they cannot explain circumstances behind a child going missing.

Together, these reforms could significantly address existing problems within the Amber system itself.

Equal protection challenges

The design of Ebony Alert laws, however, raises a constitutional question: Can such laws withstand equal protection challenges?

Under current doctrine, Ebony Alert laws would likely be considered a racial classification subject to strict scrutiny, an almost impassable legal hurdle. The 2020 Students for Fair Admissions Inc. v. President and Fellows of Harvard College, in which the Supreme Court ruled that several race-conscious admission programs at Harvard and the University of North Carolina violated the equal protection clause, might have further challenged this type of legislation.

To pass strict scrutiny, laws must be narrowly tailored interventions that serve a compelling state interest.

As Brown and I argue, the interests and context of Ebony Alert laws differ meaningfully from those in the Students for Fair Admission case. Ebony is law-enforcement legislation aimed at protecting children who are victims of crime. Courts have long recognized that “safeguarding the physical and psychological well-being of a minor” is a compelling interest.

Ebony Alert laws also address documented racial disparities in the Amber system that undermine equal protection and public safety. According to case law, race-conscious measures may be deemed compelling when “essential to accomplishing criminal system objectives within a community served,” including maintaining trust and perceptions of fairness. These points are developed more fully in our paper.

To be sure, Ebony Alerts are not a panacea. As the Minority and Missing Report emphasizes, there are broader issues, such as inconsistent reporting protocols, inadequate training and strained relations between marginalized communities and police.

Nonetheless, Ebony Alert proposals invite a broader reckoning with how race-neutral systems can produce racially unequal outcomes. Carefully designed race-conscious remedies may be necessary to fulfill the criminal legal system’s most basic promise: protecting children’s lives.

Read more of our stories about Philadelphia and Pennsylvania, or sign up for our Philadelphia newsletter on Substack.

The Conversation

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

ref. Nearly 1 in 3 missing children in the US are Black, driving Pennsylvania and other states to propose ‘Ebony Alerts’ to ensure equal protection and public safety – https://theconversation.com/nearly-1-in-3-missing-children-in-the-us-are-black-driving-pennsylvania-and-other-states-to-propose-ebony-alerts-to-ensure-equal-protection-and-public-safety-275388

In its hunt for critical minerals, the US is misconstruing what is and is not America’s

Source: The Conversation – USA (2) – By Coalter G Lathrop, Senior Lecturing Fellow in International Law, Duke University

A metal claw reaches for an iron and manganese nodule on the seabed for testing. USGS Pacific Coastal and Marine Science Center

Americans have a reputation for being bad at world geography, and the current U.S. administration is no exception, particularly when it comes to correctly identifying what is – and is not – part of the United States of America.

President Donald Trump’s April 2025 executive order “unleashing America’s offshore critical minerals” provides an example. It purports to “unleash” seabed minerals both within and far outside U.S. jurisdiction.

The minerals on the U.S. seabed are America’s. The minerals on the international seabed are not “America’s.” The administration plans to authorize companies to mine in international areas, nonetheless.

A submersible shines a light on many potato-sized lumps on the seafloor.
The Deep Discoverer rover explores a field of iron and manganese nodules in the North Atlantic.
NOAA

I have studied the international agreements and customary rules governing the oceans since the Law of the Sea Convention entered into force in 1994. The Trump administration’s attempt to unilaterally exploit the seabed resources of the global commons will severely undermine part of the rules-based international order that the U.S. built and of which it has been the main beneficiary.

The scramble for critical minerals

The U.S. has been trying to secure access to critical minerals that are essential for modern technology. These materials include nickel, manganese and cobalt for large batteries and copper for the power grid. All can be found on land, but some can also be found at the bottom of the sea.

Of particular interest are polymetallic nodules – agglomerations, typically smaller than a potato, containing manganese and other metals and found in the silt of the deep ocean floor. An Australian mining executive described these nodules as “an EV battery in a rock.”

A map shows the Clarion Clipperton Zone in the central Pacific, southeast of Hawaii.
The Clarion Clipperton Zone is rich in ancient polymetallic nodules, found loose on the seafloor. The zone, southeast of Hawaii, covers approximately 1.7 million square miles (4.5 million square kilometers).
U.S. Geological Survey

The Clarion Clipperton Zone, in the middle of the Pacific Ocean, contains one of the highest concentrations of polymetallic nodules. But whose nodules are they?

My ocean

In September 1945, President Harry Truman claimed for America a large part of the seabed extending from its shores, areas that, before Truman’s claim, were shared by the international community.

In reaction, countries around the world spent the next five decades hammering out a system to limit how much of the seabed that coastal countries could claim, and establishing rules that would govern the remaining shared areas of the oceans.

The resulting arrangement, finalized in 1994, gives countries that border the ocean authority over the resources in the water and seabed within 200 nautical miles (370 kilometers) of their coasts, known as “exclusive economic zones,” and, for some countries, additional areas of seabed beyond that limit.

A map shows large areas around the US that the nation claims for its exclusive use.
America’s exclusive economic zones, outlined in yellow, extend out 200 nautical miles and include rings around several islands in the Pacific Ocean.
NOAA National Center for Environmental Information, 2020

add kilometer number in the caption

The United States enjoys one of the world’s largest exclusive economic zones today. It includes an area totaling over 4 million square miles (10 million square kilometers) – larger than all 50 U.S. states combined – and an additional nearly 400 million square miles (1 million square kilometers) of seabed extending even farther offshore.

In those areas, the United States controls the exploitation and management of living and nonliving natural resources, including seabed minerals.

Our ocean

But exclusive economic zones were only one part of what the Law of the Sea Convention negotiators called a “package deal.”

The other part of the deal retains the remaining areas – approximately half of the planet’s seabed – for the international community. It’s known as “the Area,” and its resources are considered the common heritage of mankind. To prevent a free-for-all, no single country can authorize mining in the Area. Instead it is managed by the International Seabed Authority for the benefit of humankind as a whole. To date, the ISA has executed 31 contracts with countries and companies to explore the mineral resources in the Area.

An illustration showing ships on the surface with deep pipes extending down to equipment on the seafloor.
Examples of proposed seabed mining methods.
Congressional Research Service, modification of Kathryn Miller et al., 2018

One hundred and seventy-one countries have joined the convention so far. However, the United States, despite being one of its primary architects, is the only industrialized nation remaining outside the treaty.

Nonetheless, the U.S. has long considered the treaty to reflect rules of customary international law. Where the Area is concerned, the U.S. respected the terms of the package deal – until now.

‘America’s’ offshore critical minerals

Trump’s offshore mining order relies on a U.S. statute enacted in 1980 as an interim measure pending completion of negotiations related to the Area. It authorized the National Oceanic and Atmospheric Administration to license exploration and permit commercial recovery of polymetallic nodules on the seabed in areas outside U.S. jurisdiction.

When that 1980 statute was enacted, there was a spurt of commercial interest. The U.S. issued four exploration licenses. Two were relinquished in the 1990s. In the 30-plus years since the international community finalized the package deal, even the company holding the two remaining NOAA licenses – Lockheed Martinhas considered them largely worthless unless the U.S. ratifies the Law of the Sea Convention.

That changed in April 2025 when Trump, citing the 1980 U.S. law, ordered the NOAA to “expedite the process for reviewing and issuing seabed mineral exploration licenses and commercial recovery permits in areas beyond national jurisdiction.”

The Metals Company tests its equipment, pulling up small nodules from the seafloor in the Clarion Clipperton Zone.

A few days later, Canadian mining firm The Metals Company submitted an application via its wholly-owned subsidiary TMC USA to mine polymetallic nodules in the Area under U.S. unilateral authority. TMC USA touted its application for mining areas in the nodule-rich Clarion Clipperton Zone – in the middle of the Area – as a “world first”.

The International Seabed Authority condemned the move and reminded countries that “unilateral exploitation of resources that belong to no single State but to all of humanity is prohibited.”

Is that legal?

So, does the Trump administration’s plan violate U.S. international obligations?

The answer is maybe.

The U.S. is not a party to the Law of the Sea Convention, so it is not bound by the treaty. But scholars disagree on whether U.S. unilateral mining would violate obligations arising from rules of customary international law.

A cross-section shows a central core with rings of metallic materials that very slowly accumulated around it.
The cross-section of a small manganese nodule, about 3 inches (8 centimeters) across, shows how metals very slowly accumulate around a core.
Hannes Grobe/AWI via Wikimedia, CC BY-SA

The United States is not the only player in this game. If any of the 171 countries that have subscribed to the treaty were to participate in or allow their citizens to participate in U.S.-authorized mining activity in the Area, they would violate their treaty obligations. Any other convention partner could bring them before the International Tribunal for the Law of the Sea in Hamburg, Germany.

Canada, home of TMC, could find itself in that position. So could many nations whose citizens or companies have worked with TMC. If those partners continued their work with TMC USA under U.S. authorization, their home countries could be exposed to legal action.

The Area is not a domestic source

In announcing an expedited seabed mining application process in January 2026, NOAA Administrator Neil Jacobs mischaracterized polymetallic nodules in the Area as “a domestic source of critical minerals for the United States.”

To be clear, the United States has critical minerals on its land territory and within its area of exclusive seabed jurisdiction. It is beginning to explore those resources with an eye to possible future mining. These are domestic American sources of critical minerals – they are “America’s.” The minerals in the Area are not.

Yes, America needs critical minerals, but it should not undermine the system of international ocean governance – a system it engineered and from which it benefits perhaps more than any other nation – to get them.

The Conversation

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

ref. In its hunt for critical minerals, the US is misconstruing what is and is not America’s – https://theconversation.com/in-its-hunt-for-critical-minerals-the-us-is-misconstruing-what-is-and-is-not-americas-278185

How sewage treatment plants could handle food waste, sparing landfills and the climate

Source: The Conversation – USA (2) – By Ahmed Ibrahim Yunus, Ph.D. Candidate in Environmental Engineering, Georgia Institute of Technology

Treatment plants can capture over 95% of methane from food waste, compared to about 50% at landfills. Justin Sullivan/Getty Images

Every day, food scraps disappear into trash bags, are hauled away and forgotten. But that waste could be turned into something productive.

Across the United States, about 97 million metric tons of food waste are discarded each year, of which about 37 million metric tons end up buried in landfills.

Once underground, that organic material breaks down without oxygen and releases methane, a short-lived yet powerful greenhouse gas.

At the same time, the nutrients and energy stored in that food are permanently lost. But there is a better way. Research my colleagues and I conducted found that communities across the country already operate facilities designed to handle organic matter: wastewater treatment plants. Many larger, well-funded plants already have the infrastructure to process food waste, though not every plant is ready to do so today.

A large truck dumps trash in a massive pile.
Landfills are not great places to dump food.
AP Photo/Damian Dovarganes

Landfills are not designed for food waste

Food waste is fundamentally different from plastics, metals or glass. It’s organic and can decompose naturally. But when it’s placed in a landfill, its decomposition emits significant greenhouse gases.

Modern landfills are designed to capture the methane emitted, but even the most efficient systems still allow almost 58% to escape into the atmosphere. That food waste could be turned into energy or fertilizer, but instead it contributes to global warming.

By contrast, wastewater treatment plants process sewage using microbial communities that naturally break down organic matter. Many also capture methane produced during treatment and convert it into usable energy. Others recover nutrients such as phosphorus that can be turned into agricultural fertilizer. Over time, many plants have evolved from simple sanitation systems into resource-recovery facilities that generate power, reclaim materials and reduce environmental pollution.

These existing systems already process organic matter and could handle food waste, too.

What happens when food waste goes to a treatment plant

Our research examined what would happen if food waste were sent to wastewater treatment plants rather than landfills. We used real data from a full-scale plant that handles food waste along with sewage.

When we compared greenhouse gas emissions for the same food waste composition, we found that sending food to a landfill would emit 58.2 kilograms (129 pounds) of carbon dioxide equivalent per ton of food waste.

In comparison, we looked at a conventional wastewater treatment plant, the type of plant most common in the U.S. It achieved net-negative emissions of –0.03 kilograms (about 1 ounce) of carbon dioxide equivalent per ton of food waste treated. The plant captures over 95% of methane, compared to roughly 50% at landfills, saving the atmosphere from additional greenhouse gases.

But we found that the advanced treatment plant we studied reduced emissions further. In our analysis, the advanced facility achieved net-negative emissions of –0.19 kilograms (about 7 ounces) of carbon dioxide equivalent per ton of food waste treated.

Both conventional and advanced plants achieve these benefits in similar ways. Treating food waste at either type of plant prevents the 58.2 kilograms of carbon dioxide equivalent per ton that would otherwise escape from landfills. The plants capture biogas to generate renewable electricity, reducing the need to purchase power from the grid. They also recover enough nutrients to fertilize about 23 acres of farmland annually, reducing the need for synthetic fertilizers, which require energy-intensive mining and processing.

How the logistics work

A brown plastic bin labeled 'food scraps, yard waste.'
New York City has a large food waste collection program.
Deb Cohn-Orbach/UCG/Universal Images Group via Getty Images

Getting the food waste to a wastewater plant doesn’t mean people put their food scraps in the drain or grind them up with an in-sink disposal. At the plant we studied, food waste was collected separately, much like recycling or yard waste, and transported by truck to treatment plants. Our emissions calculations don’t include truck emissions, because trucks are used in the other methods of food waste disposal as well.

Some cities already collect food waste by truck to go to composting facilities. San Francisco has done so since 1996. And New York City has the nation’s largest curbside organics collection, which composts food waste from 3.4 million households.

At the southeastern U.S. treatment plant we studied, trucks deliver food waste to a receiving station, where it’s processed to remove plastics, metals and other nonorganic materials before being blended into a slurry with the sewage solids. This mixture is then added to anaerobic digesters – sealed tanks where microorganisms break down organic material.

The methane that is produced is captured to generate electricity and heat. The remaining solid material is rich in nutrients and can be used to produce useful material, such as fertilizer.

We also found that adding food waste did not overload the plant or cause problems in its operation. The facility processed all of the county’s landfilled food waste – 107,320 tons annually, representing 38% of the county’s total food waste generation. Because of food waste’s lower density compared to wastewater, this added only 0.43% to the plant’s daily capacity. The plant consistently met effluent water regulatory standards. And at certain points, treatment efficiency improved as a result of the additional organic material, which supported the system’s biological processes.

The economics may surprise cities

Local officials, as well as taxpayers, are often worried about the potential costs of a project like this. Wastewater treatment is already expensive, and communities’ existing plants may be nearing capacity.

But the economic results from our analysis suggest that handling food waste in wastewater treatment plants can be financially viable. Towns already pay landfills and incinerators what are called “tipping fees,” based on the weight of the waste delivered. Wastewater treatment plants can also charge these fees.

They can also sell, or use themselves, the methane produced and sell the fertilizer. That additional income means plants can make money even if they charge lower tipping fees than landfills.

Not every wastewater plant is ready to accept food waste immediately. The facility we analyzed is large and well equipped. Smaller operations would likely require new or upgraded equipment, which would involve planning and local investment.

The overall finding of our research is that the limitation isn’t technological or financial. The core systems already exist to transform food waste into a recoverable resource: Cities already handle organic material every day. And they operate complex biological treatment systems. Our evidence suggests these facilities could, in fact, handle food waste in ways that are environmentally beneficial and economically realistic.

The Conversation

Ahmed Ibrahim Yunus receives funding from Georgia Tech’s Renewable Bioproducts Institute (RBI).

Joe Frank Bozeman III receives funding from Georgia Tech’s Renewable Bioproducts Institute (RBI).

ref. How sewage treatment plants could handle food waste, sparing landfills and the climate – https://theconversation.com/how-sewage-treatment-plants-could-handle-food-waste-sparing-landfills-and-the-climate-275529

As the Oscars approach, Hollywood grapples with AI’s growing influence on filmmaking

Source: The Conversation – USA (2) – By Holly Willis, Professor of Cinematic Arts, University of Southern California

Artificial intelligence’s relationship to filmmaking is rapidly evolving, with each week bringing new – often startling – developments. Nick Lehr/The Conversation, CC BY-SA

I teach a course on AI and filmmaking at USC’s School of Cinematic Arts, and lately, rather than planning each session well in advance, I’ve been structuring the class the night before. I’ll browse platforms like X, Substack and YouTube, selecting the most provocative articles and video clips to present the following morning.

It’s a testament to how quickly artificial intelligence’s relationship to filmmaking is evolving: Each week brings new – often startling – developments.

The next morning in class, my students and I debate the ethics, aesthetics and the storytelling changes taking place in these collaborations with AI.

And we’re not alone: Throughout Hollywood, everyone – aspiring actors and filmmakers, stars, screenwriters and studio execs – seems to have a take on what’s coming next. But I think three trends in particular are going to be hot topics of conversation at this year’s Oscars parties.

Nothing uncanny about this clip

In February 2026, a 15-second AI-generated video clip of Tom Cruise battling Brad Pitt on a burned-out highway overpass went viral.

Depending on the viewer, the video elicited either admiration, outrage or existential hand-wringing.

Created by Irish filmmaker Ruairi Robinson via a generative-AI tool called Seedance 2.0, the video marked yet another milestone in the propulsive growth of AI tools.

Seedance 2.0 – which was developed by ByteDance, the Chinese company behind TikTok – is now one of the many AI tools available to create short-form video clips. But unlike most AI-generated videos, Pitt and Cruise don’t look creepy, uncanny or animated in the clip, which almost perfectly mimics live-action footage. The appearance of two A-list stars in a fairly realistic scene created by a relatively unknown director using stolen likenesses jolted the industry.

A brief clip featuring AI-generated avatars of Brad Pitt and Tom Cruise stunned the film industry.

The backlash was swift. Disney sent a cease-and-desist letter, claiming that the video was generated from a dataset that most likely includes Disney’s copyrighted characters. The actors’ union, SAG-AFTRA, pointed to the video’s “blatant infringement” of the actors’ likenesses, as well as their voices.

“SAG-AFTRA stands with the studios in condemning the blatant infringement enabled by Bytedance’s new AI video model Seedance 2.0,” the guild wrote in a statement. This practice, the guild added, “undercuts the ability of human talent to earn a livelihood,” while disregarding “law, ethics, industry standards and basic principles of consent.”

In class, after watching the video, we explored the ethics of using someone’s likeness without permission, the challenges facing actors who build careers based on their unique ability to embody characters, and what the future holds for our understanding of acting.

If filmmakers can prompt fake actors to deliver precise performances, where does that leave human actors?

In with the old

Since 2023, the skyline of the Las Vegas strip has been dominated by an illuminated orb called the Sphere: an entertainment complex featuring a 360-degree LED screen covering 160,000 square feet (14,864 square meters). The Sphere recently surpassed 2 million tickets sold for a reimagining of the classic 1939 film “The Wizard of Oz.”

The film, which premiered in August 2024, was shortened, its color was enhanced, and it was stretched to expand across the interior of the dome. AI was used to transfer the imagery from the film’s original, modest aspect ratio to the giant dome. This required generating new imagery around the edges of the original shots in what’s known as “AI outpainting.” The technology was also deployed to boost the original film’s resolution and to enhance certain scenes.

A landscape image of a city featuring casinos, a ferris wheel and a blue, glowing orb.
‘The Wizard of Oz’ is getting an encore in Las Vegas, with an assist from AI.
Aaron M. Sprecher/Getty Images

Some critics fretted that this fairly radical augmentation of the original classic would offend viewers. Instead, it has drawn them in droves to the Sphere, where they’ve been willing to shell out between US$100 and $200 per ticket.

Not bad for a movie about a girl from Kansas made in 1939.

Given the resounding success of “The Wizard of Oz,” experts expect producers to plumb the film archives for other potential hits and enhance them with AI before screening them in venues as varied as IMAX theaters and Cosm, another 360-degree dome with locations in Los Angeles, Dallas and Atlanta.

Or AI can simply be used to create material that was never completed for a historic film.

In fact, The New Yorker recently profiled AI media entrepreneur Edward Saatchi, who is working to recreate and reincorporate lost footage from Orson Welles’ 1942 feature “The Magnificent Ambersons.” While Welles was in Brazil shooting a documentary, executives at RKO Radio Pictures reedited the film without his approval after a poor preview screening. They cut around 45 minutes, replaced the original ending with a happier one and destroyed most of the footage that had been removed.

Saatchi’s idea is to build a dataset that includes the existing film, as well as scripts, notes, images and even new performances by actors. Then he plans to use his AI platform, Showrunner, to create new scenes from this data.

While Saatchi hopes to honor the director’s creative vision by producing the film he originally intended, his efforts open up some thorny questions.

Is it appropriate to take an existing artwork and revise it without the creator’s input? Isn’t there something sacrosanct about a film, the intentions of the director and the performances of the actors in a film’s original form? To what extent should these questions be overlooked if refashioning old movies will introduce them to new audiences?

Fewer opportunities?

There’s also an undercurrent of anxiety in my classes. What will happen, my students often wonder, once they graduate?

They’re worried that within a year or two, AI will have replaced entry-level film industry jobs, from concept artists to apprentice-level editors, before they’ve even had a chance to enter the workforce.

They have reason to fear.

In 2024, the Animation Guild published a sobering report claiming that by 2026, “creative workers will be facing an era of disruption, defined by the consolidation of some job roles, the replacement of existing job roles with new ones, and the elimination of many jobs entirely.”

Some of those predictions have borne out: 41,000 jobs in film and television have disappeared in Los Angeles County alone over the past three years.

But I’ve tried to counter the hard statistics with some stories of thoughtful practices.

For example, filmmaker Paul Trillo at the AI studio Asteria has talked about how he seeks to keep artists at the center of the process. When he detailed the company’s work on a music video for the singer-songwriter Cuco, he was keen to highlight the number of artists working on the project. Yes, AI tools were used. But they were integrated in a way that replaced the tedious work, not the creative practice.

“Rather than removing [artists] from the process, it actually allowed them to do a lot more so a small team can dream a lot bigger,” Trillo explains at the end of the video.

In January 2026, the management consulting firm McKinsey published a report that largely echoes Trillo’s positive outlook. It forecasts more adoption of AI throughout the industry. But it also points to ways that the technology could lead to different kinds of work and open up new possibilities. For example, as AI-generated scenes become commonplace, studios will need technicians who know how to blend real footage with digitally created worlds. And as AI lowers the cost of producing polished films and shows, it could allow more “micro-studios” and independent filmmakers to create professional-quality content.

At the same time, the report also quotes a studio executive who concedes that AI could represent “a more significant platform shift than we have ever seen before in our industry.”

So it’s no wonder my students, along with varied critics, commentators and industry professionals, are nervous.

However, from where I stand, I’m convinced that the industry will weather this radical disruption. It’s adapted to big changes in the past: the addition of sound in the 1920s, the threat posed by videotape in the 1980s and streaming in the 2000s.

In the end, people will always crave new, artfully told stories. While the filmmaking tools and job market may be in transition, that core need for storytelling is not going away.

The Conversation

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

ref. As the Oscars approach, Hollywood grapples with AI’s growing influence on filmmaking – https://theconversation.com/as-the-oscars-approach-hollywood-grapples-with-ais-growing-influence-on-filmmaking-273766

Young Latinos – and their commitment to social justice – are shaping the future of the Catholic Church

Source: The Conversation – USA (3) – By Hosffman Ospino, Professor of Hispanic Ministry and Religious Education, Boston College

A protester holds up a candle with the image of La Virgen de Guadalupe while marching in Los Angeles during a January 2026 vigil in solidarity with immigrants facing raids in Minneapolis. Ronaldo Bolaños/Los Angeles Times via Getty Images

On Ash Wednesday, 2026, two Roman Catholic priests and a religious sister entered an Immigration and Customs Enforcement facility in Broadview, Illinois, to celebrate Mass with detainees inside.

It might seem like a simple, routine event: a religious service to mark the start of Lent. But the Mass represented a legal win for the Coalition for Spiritual and Public Leadership, based in Chicago. Among its founders are Michael N. Okińczyc-Cruz and Joanna Arellano-Gonzalez, a young married couple dedicated to advocacy for migrant rights.

The coalition and other Catholic leaders sued the Trump administration after attempts to bring spiritual care to detainees in 2025 were blocked. On Feb. 18, 2026, a federal judge ordered authorities to allow clergy inside for Ash Wednesday.

That same day, Catholics in Communion, a new coalition of ministry organizations, religious orders, academic leaders and parish partners, launched its Season of Faithful Witness campaign. Spearheaded by faith-based community organizers such as Joseph Tomás McKellar and Sergio Lopez, the initiative invites Catholics to practice solidarity by praying and advocating on behalf of migrants.

And two weeks earlier, dozens of students at Juan Diego Catholic High School in Draper, Utah, many of them Latino, participated in a walkout to support migrants, although the school did not sanction the event.

What do these leaders have in common? They are young, Latino and Catholic. Most were born in the United States. Many of the migrants they advocate for are their relatives, friends and neighbors.

About 4 in 10 Catholics in the United States identify as Hispanic or Latino. Among young Catholics born after 1982, that rises to 5 in 10.

As Catholic theologians who have researched Latino Catholics for several decades, we believe they are redefining U.S. Catholicism. Young Latinos’ faith-based advocacy has put a spotlight on this group that will shape the future of the church.

Beyond stereotypes

Young people constitute the largest portion of the more than 68 million Latinos in the United States. Despite their diversity, though, their experiences tend to be lumped together, and often treated as the same as migrants’.

Most young Hispanics in the U.S., in fact, are not immigrants. Ninety-four percent of Latinos under age 18 were born in the U.S, as were 65% of millennial Latinos.

The vast majority of Latinos under age 35 are English speakers. Around 40% say they are bilingual, while around 20% say they are dominant in Spanish.

An estimated 30% of Latinos between 18-29, and 42% between 30-49, identify as Catholic – a decrease from older generations. Overall, 43% of Latino adults in the U.S. are Catholic, compared to 67% in 2010. Among ages 18-29, 15% are Protestant, and 49% are unaffiliated. Among ages 30-49, 23% are Protestant, and 29% are religiously unaffiliated.

Regardless of how Latinos identify, however, many of them grew up deeply influenced by a Catholic spirituality that permeates Latino culture, with traditions such as small altars in homes and businesses; “posadas,” a popular nine-day period of prayer leading up to Christmas that remembers Mary and Joseph’s search for a a place to rest before Jesus’ birth; and “quinceañeras,” a rite of passage when young women turn 15.

A young man and woman, both of whom wear white costumes, walk at the front of a small procession outside at night.
Young people playing Mary and Joseph take part in ‘las posadas,’ commemorating the Christmas story’s journey to Bethlehem, at Our Lady of Visitation Church in Denver in 2018.
AP Photo/David Zalubowski

The lives of young Latinos often unfold in between cultural worlds. This can be simultaneously a source of strength or confusion. Young Latinos often feel they don’t fully belong anywhere: that they are “too Latino for the U.S. Americans” but also “too North American for Latinos.”

Bridging faith and activism

Yet many of these young people, whether they are Catholic or not, are increasingly embracing their two or more cultures. They see that inheritance as a gift – and often as inspiration to advocate for social justice. Leaders we have interviewed see themselves as “gente puente,” or “bridge builders,” who can find fresh ways of being Catholic and American, grounded in faith-inspired commitments to justice.

In another recent study from Boston College, one of us, Hosffman Ospino, looked closely at 12 national organizations serving young Hispanic Catholics. The report concludes that initiatives that invite young Latinos to get involved with faith-based social justice are one of the most important ways to keep them engaged with their Catholic identity. When serving in their parishes, young Latinos are often involved with efforts to teach English to migrants, denounce racism, bring food to the hungry, protect life from “womb to tomb” and care for the environment, among others.

Many young Latino Catholics balance faith and public engagement through social justice immersion trips, visiting the U.S.-Mexico border, starting social ministries in their parishes or collecting food for families of migrants who have been detained. Others write letters to elected officials about immigration reform and just treatment of migrants and refugees, or help migrants file their taxes.

A small group of boys and girls walk two-by-two through a town square, holding protest signs.
Young Latinos hold signs in support of workers picked up during a 2019 immigration raid at a food processing plant in Canton, Miss., following a Spanish Mass at Sacred Heart Catholic Church.
AP Photo/Rogelio V. Solis

Present and future of the church

As the percentage of U.S. Catholics who are Latino rises, the country’s bishops have repeatedly asserted the importance of listening to young Latinos.

In 2018, for example, the bishops conference convened a gathering of 3,000 delegates as part of the Fifth National Encuentro for Hispanic/Latino Ministry. This multiyear process consulted nearly 300,000 Catholics, mostly Hispanic, about their faith and priorities. The “Encuentro” – or “Encounter” – highlighted the need to empower Latinos to participate in church and society.

In 2023, the bishops approved the National Pastoral Plan for Hispanic/Latino Ministry, which proposed 10 priorities to accompany Latino Catholics. Supporting Latino youth and strengthening young adult ministries were among the top four.

Pope Francis, too, emphasized the need to listen to young Catholics, and Latinos in particular. His 2019 apostolic exhortation “Christus Vivit” – “Christ is alive” – insisted that all in the church “need to make [more] room for the voices of young people to be heard.” Visiting Philadelphia in 2015, he told Hispanic Catholics, “By contributing your gifts, you will not only find your place here, you will help to renew society from within.”

It’s the kind of message that resonates with young Catholic Latino community organizers like Joseph Tomás McKellar, one of the leaders behind the Season of Faithful Witness campaign. Born in California to a Mexican mother and a Scottish father, he wrote in the book we edited that “bridge-building and kinship are at the heart of my family’s origin story.”

McKellar recalled speaking with a border patrol agent who, seeing his brown skin and name, accused him of lying about U.S. citizenship. Instead of making him resentful, the experience deepened his commitment to be a bridge builder. It galvanized his “sense of vocation,” renewing a commitment to “create a society where all people can belong and thrive.”

The Conversation

Hosffman Ospino works for Boston College.

Both authors, Hosffman Ospino and Timothy Matovina, interviewed Michael N. Okińczyc-Cruz, Joanna Arellano and Joseph Tomás McKellar for a book project cited in the article.

Timothy Matovina is a board member of Iskali, an Hispanic Catholic youth organization in Chicago, and co-director (with Hosffman Ospino), of Haciendo Caminos, a national initiative in pastoral theological education funded through a grant with the Lilly Endowment.

ref. Young Latinos – and their commitment to social justice – are shaping the future of the Catholic Church – https://theconversation.com/young-latinos-and-their-commitment-to-social-justice-are-shaping-the-future-of-the-catholic-church-277158

When US fights in the Middle East, American Muslim students often face discrimination

Source: The Conversation – USA (3) – By Amaarah DeCuir, Senior Professorial Lecturer in Education, American University

People protesting the U.S. and Israeli strikes on Iran gather in front of a New York Public Library location on March 8, 2026. Selcuk Acar/Anadolu via Getty Images

The war in the Middle East is rapidly expanding across the Gulf countries, including Iran and Lebanon. The conflict has already targeted the region’s civilians, natural resources, tourist destinations and U.S. military bases.

Some Muslim community leaders in the U.S. warn that people far from the conflict could experience backlash. They say Muslim and Arab communities in the U.S. may face increased hostility as the war intensifies.

Fouad Berry, a board member at the Islamic Institute of Knowledge in Dearborn, Michigan, said that the community center and mosque is heightening security because of the war.

“We get threatening calls all the time, especially when things like that happen in the Middle East,” he recently told WXYZ, a local ABC News affiliate. “And we’re anticipating that.”

The risk of violence is likely furthered by some national political leaders spreading anti-Muslim rhetoric. On March 9, 2026, Rep. Andy Ogles, a Republican from Tennessee, wrote on the social media platform X, “Muslims don’t belong in American society.” Rep. Randy Fine, a Republican from Florida, also recently wrote on X that the choice between dogs and Muslims is not a “difficult” one.

Anti-Muslim and anti-Arab discrimination was already on the rise in the U.S. before the Feb. 28 airstrikes on Iran by the U.S. and Israel.

Iran is not an Arab country. Most of its population is Persian and speaks Farsi. Still, some people may conflate Iran and Iranian Americans with Arab countries.

In 2025, 63% of Muslims in the U.S. said they experienced religious discrimination, according to the Institute for Social Policy and Understanding, a research organization that focuses on Muslim Americans. That percentage was comparable with what the Council on American-Islamic Relations, a Muslim civil rights and advocacy organization, reported in 2024 as the highest number of discrimination complaints received since it began recording.

This would not be the first time a conflict involving Muslim-majority countries led to increased discrimination against Muslim and Arab communities in the U.S.

I study Muslim and Arab student experiences in American public schools. My research shows that global conflicts in the Middle East tend to provoke Islamophobia, meaning hatred and fear of Muslim people, in the U.S.

A beige wall that says The Islamic Center of America has graffiti on it that says 'Go Home 911' and 'You Idol Worship'
Anti-Muslim graffiti defaces a Shiite mosque at the Islamic Center of America in January 2007 in Dearborn, Mich.
Bill Pugliano/Getty Images

A ‘war on terror’ reaches students

Days after the Sept. 11, 2001, terrorist attacks, President George W. Bush declared a “war on terror,” primarily targeting al-Qaida and the Taliban in Afghanistan.

In 2002, Bush helped establish the Department of Homeland Security, a new federal agency to prevent terrorism. As part of this work, the department began monitoring Americans’ phone records and other personal information, disproportionately monitoring Muslims.

Public attitudes also shifted quickly after the attacks. A Gallup poll conducted three days after Sept. 11 found that 3 out of 10 Americans had heard negative comments about Arabs since al-Qaida’s attack. More than half of those surveyed supported increased security measures aimed at Arab Americans.

Nine weeks after Sept. 11, the American-Arab Anti-Discrimination Council, an organization that advocates for Muslim and Arab Americans, reported an unprecedented number of anti-Arab discriminatory incidents, including cases involving students at schools.

In 2002, the FBI published hate crime statistics showing an increase in racial and religious hate incidents. The report did not specifically break down findings about particular religious or ethnic groups.

According to NPR, the FBI’s Uniform Crime Reporting Program did not specifically track statistics on Muslims and Arabs from 1992 through 2015.

A 2007 mental health study of Muslim American youth was among the other findings that revealed heightened discrimination and bullying toward Muslim students.

A fixed trend

This pattern of anti-Muslim and anti-Arab discrimination has continued since then.

In her 2016 book, “The 9/11 Generation,” scholar Sunaina Marr Maira explored how California students who were from communities targeted by the war organized to promote human and civil rights. They wanted to challenge stereotypes they often heard about Muslims and Arabs being violent and prone to terrorism.

In 2020, 51% of American Muslim families reported that their children experienced religious-based bullying at school, in the form of insults or physical assaults.

In 2021, mental health researchers documented lingering effects of 9/11 backlash. Students continued to describe facing discrimination at school, which resulted in anxiety, depression and post-traumatic stress disorder.

My own research from 2021 found that Muslim and Arab students tended to experience a spike in hate and bigotry during lessons on Sept. 11, when some educators and students conflated terrorism with Islam and Muslims.

Students I spoke with described being called terrorists and other Muslim and Arab tropes.

These findings likely only capture part of the problem, because anti-Muslim and anti-Arab hate crimes are often underreported.

After Hamas’ Oct. 7, 2023, attacks on Israel and Israel’s subsequent war in the Gaza Strip, Arab and Muslim students in the U.S. faced a spike in discriminatory and hateful incidents, according to Vision of Humanity, a project of the think tank Institute for Economics & Peace. In November 2023, three Palestinian students were shot in Vermont.

What teachers can do

The current, rapidly shifting war in the Middle East is sharply distinct from the war on terror. For starters, the U.S. in the early 2000s mainly fought against terrorist groups like al-Qaida and the Islamic State group, not a sovereign country like Iran.

But some elements are similar – including the fact that both wars have involved countries with majority Muslim populations.

It is not easy for educators to anticipate how this conflict may impact Muslim and Arab students.

But the war on terror offers some lessons that may help educators protect students and minimize anti-Muslim and anti-Arab hate.

My research shows that teachers create unsafe classrooms when they teach inaccurate narratives of international conflicts. Students can feel more isolated, and even targeted, if lessons replicate stereotypes. Teaching current events during times of war is difficult in K-12 classrooms. In many cases, teachers do not have up-to-date curriculum materials that they can use. But I still think it is necessary.

Some educator guides recommend teaching media literacy, including people’s firsthand experiences. Teachers could also help students learn about how to find reliable media sources to understand complex issues like U.S. foreign policy.

Next, I think classrooms can create safe and caring environments for students impacted by war. Muslim and Arab students with deep emotional and cultural ties to the Middle East could still experience trauma, even if they are not physically close to the war.

A 2025 Muslim community poll by the nonprofit research group Institute for Social Policy and Understanding found that educators and teachers are responsible for 1 of 3 reported incidents of anti-Muslim bullying, which could reflect their own biases.

But educators remain the best line of defense against anti-Muslim and anti-Arab bullying.

Teaching against Islamophobia and enforcing policies that prohibit discrimination can help build safe and supportive environments for Muslim and Arab students.

It is not clear what the future will bring to the Middle East, or to Muslim and Arab people in the U.S. But these lessons might help make schools and classrooms safer for Muslim and Arab students.

The Conversation

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

ref. When US fights in the Middle East, American Muslim students often face discrimination – https://theconversation.com/when-us-fights-in-the-middle-east-american-muslim-students-often-face-discrimination-277676

I was teaching virtue and knowledge while lying on the side

Source: The Conversation – USA (3) – By Katherine Moses, Instructional Assistant Professor of Philosophy and Religion, University of Mississippi

Vice usually emerges from a series of small permissions and self-deceptions that gather steam. Rafa Elias/Moment via Getty Images

I had been with my boyfriend, Tyler, for almost 10 years when we finally agreed that we should get engaged and married. Up until then, our respective jobs – mine as an academic, his as a fisherman – had forced us to endure long stretches apart.

But I had been offered a permanent academic job teaching philosophy in Florida. Tyler said he was willing to start a business there. It seemed like the beginning of a new, stable chapter of our lives.

We moved before he officially proposed, however. Then he went to Canada for seasonal work.

In our new house in Florida, the engagement ring remained stashed away in a box for the three months he was in Canada, a period in which we didn’t see each other at all.

Alone in a new and exciting place, I tested the boundaries of our relationship to the breaking point.

Self-deception is at the heart of lying

Aristotle says that truthfulness is the virtuous middle ground between exaggeration and understatement when communicating with others. One can only become virtuous by habituation – one becomes just by doing just acts; one becomes truthful by practicing truth-telling.

Unfortunately, we can much more easily steer ourselves in the opposite direction. Vice emerges from a series of small permissions and self-deceptions that break down the walls of limits and restraint.

Aristotle said that lying is an unjust act. Every time we slide a lie into our testimony, we move a little closer to developing the vice of injustice.

I was, it turned out, failing in exactly this regard, at a time that I was studying and writing on Aristotle.

In Florida, I felt untethered. I threw myself into surfing. And exercising. And meeting people.

I also threw myself into dancing. I had already line danced a decent bit in the past, and I had even been salsa dancing once before.

But Florida’s dance culture was exhilarating. There were countless lessons to sign up for, parties where I could practice my moves, and festivals to attend. Each event was charged with undercurrents of romance and flirtation. I convinced myself that these were both harmless and fruitful, as dancing was allowing me to “get to know” other people in interesting ways.

When I was out late one night at a dance club, a young woman came up to me just to tell me how beautiful my dance partner and I looked together – how he treated me “like a queen.” At first concerned that she and others thought we were a couple, I quickly dismissed it as unimportant.

I didn’t tell Tyler about that encounter. Nor did I mention the night I spent a little too closely with someone else dancing alone.

The omissions multiplied.

I drove two hours to dance with a different man, driving home at 2 in the morning, half asleep at the wheel. Soon after, I stopped sharing my phone location with Tyler, reasoning that since I didn’t have his location, he shouldn’t have mine.

To act truly viciously after having been at least a half-decent person, you first have to persuade yourself that the bad habit you’ve developed isn’t so bad after all. Lying to another consistently, then, requires lying to oneself about either the value of the truth or about what actually counts as true.

The irony is that I’m a philosopher who studies knowledge and virtue. I had even attended a weeklong workshop on honesty shortly before moving to Florida. That fall, I taught Aristotle’s virtue ethics to undergraduates, lecturing about moral character without pausing to measure the distance between his theories and my own life.

Meanwhile, the ring sat unopened in a drawer.

A women with closed eyes is partially visible amidst the dense canopy of palm fronds.
It’s easy to fall into a pattern of rationalization.
Curly_photo/Moment via Getty Images

In truth-telling, timing is everything

In retrospect, my behavior in Florida didn’t come out of nowhere. A pattern had emerged years earlier.

Most of our relationship had unfolded across state lines. I moved to St. Louis for graduate school while he worked in Alabama. Later, he began working seasonally across the continent.

To ease my loneliness in graduate school, I spent much of my free time meeting people, including men – philosophy is a male-dominated field, after all.

Though I never became romantically involved with anyone, I would often spend time with other men, which, unsurprisingly, led to some unseemly situations. I might eat dinner out, one on one, with a male friend, or watch a movie with another guy at his house. There was the guy I’d take hourslong walks with occasionally, and the friend whose radio show I’d listen to every day.

Over time, it became clear that some of these men hoped for more.

One friend once asked, over coffee, “Are you sure you don’t have any single sisters?” Two other male friends often joked that my boyfriend must not exist, since they had never met him – that I invoked him only to deflect advances.

I avoided telling Tyler these stories in real time. I feared he would suggest creating distance. Instead, I waited until friendships faded naturally and then disclosed these sorts of details, reassuring myself that I was being transparent.

But truthfulness, like comedy, depends on timing. A late truth can function just like a lie, and Aristotle thought that the person who values the truth will always share it at the appropriate time.

Cold, hard truths

According to Aristotle, truthfulness as a virtue “requires us to honor truth above our friends.” In other words, truth should be honored utmost within a relationship, even if that means that your friend or partner may feel hurt by the truth. Truth is actually the foundation for a stable, virtuous friendship.

Tyler seemed to understand this instinctively, and, when I first began dating him, it didn’t take long to learn how brutally honest he could be.

Early in our relationship, I wanted to spend every day with him. But one day he told me that he would always need days where he was alone, because he didn’t always like to be around other people, including me. Later in our relationship, I joked about having a baby while being severely obese; Tyler responded plainly, “You’ll need to lose some weight before we have any kids.”

It was the first time anyone had ever told me that I needed to lose weight in order to have something I wanted or accomplish a goal.

I didn’t appreciate the wisdom of these messages, or see them as opportunities to learn and grow. Instead, I resented the messenger.

Aristotle thought that telling the truth is crucial in friendship and in general, even if it could lead to hurt feelings. Oftentimes, feeling wounded by the truth shows something in need of repair in you; maybe there is something you can do to improve yourself. If telling the truth harms the relationship, then your relationship was like a house of cards – it was built on lies, half-truths or omissions, making it fragile and susceptible to destruction when the truth finally shows up on the scene.

Justice is always accompanied by truth and trust for Aristotle; he believed that even political alliances and civic communities should be built on truthfulness rather than deception. For friendships and communities to really thrive, everyone involved has to value the truth for its own sake.

In many of these contexts, truth is not the priority; it didn’t used to be in my relationship either.

Honesty is a relationship’s beating heart

When Tyler got back to Florida, seeing him in person, I finally felt the guilt about what I had been doing – dancing in inappropriate ways, spending time with other men in romantic settings. As I told him the truth, I felt horribly ashamed. And rightly so: To tell the truth to Tyler was also to admit to myself that I had done something degrading and shameful.

In reality, my telling the truth was the only way for us to figure out whether the relationship could be and ought to be made whole again.

Tyler was always confident in the value of truth in his everyday life. I had been more skeptical, more prone to weakness of will and self-deception. His mindset didn’t change when the truth came out – he wanted to hear what I had to say, even though it hurt him deeply.

For Aristotle, truthfulness does not demand indiscriminate disclosure of every passing thought, nor does it license cruelty. But it does require an intention to be accurate and not mislead. And it was clear that throughout our relationship, I had been less than truthful and could take a page from Tyler’s book.

There is, of course, good reason for the clichés that “the truth hurts” and “the truth shall set you free.”

Taken together, they capture the idea that truth-telling can be a damaging yet liberating act, both for speakers and their audiences. I was – and often still am – resentful and disheartened when I hear difficult truths from Tyler, my parents or my friends.

But Aristotle emphasizes how the good and noble person – the magnanimous person – cares more about truth than about what other people think about him, and so he will be appreciative of the truth when he comes across it. He will also “speak and act openly,” including and particularly when others are doing something discreditable. When you have done something discreditable, Aristotle thinks that to become more good, to become more noble, you have to call yourself out for it.

Something changed after I opened up about what had been happening in Florida. I realized that I had resented Tyler for words that were true but hard to hear. And that was wrong; the truth should never be the source of resentment, but rather coming to know the truth should always be grounds for appreciation. Truth is not something that can override friendship; rather, truth is essential for genuine friendship.

In the moment, hearing the truth can feel uncomfortable or even devastating. But when the listener really values the truth, then even hearing something outrageously blunt or inappropriately timed can be made righteous – if it is used by the listener to become more self-aware and to make better decisions moving forward.

For Aristotle, truth is part of the aim of human life. That means that when human beings are at their absolute best, they are discovering truth and contemplating it once discovered.

After many months of rebuilding our relationship, Tyler and I eventually got engaged and married. We’re much stronger now because we’ve built a relationship explicitly on truthfulness, which involves both truth-telling and truth-seeking. We each recognize the importance of truth in giving us the chance to love one another more fully.

While rationalizing deception is easy to do, developing the virtue of truthfulness is not. But it’s an invaluable trait to develop – brutal honesty may temporarily wound, but deceptions, whether they’re small or large, will ultimately corrode all relationships.

The Conversation

This work was supported by the John Templeton Foundation grant “The Honesty Project” (ID#61842). Nevertheless, the opinions expressed here are those of the author and do not necessarily reflect the views of the Foundation.

ref. I was teaching virtue and knowledge while lying on the side – https://theconversation.com/i-was-teaching-virtue-and-knowledge-while-lying-on-the-side-270668

A Woman of Substance: Channel 4’s lavish remake revives the pleasures – and contradictions – of the bonkbuster

Source: The Conversation – UK – By Beth Johnson, Professor of Television & Media Studies, University of Leeds

When Channel 4 premiered its adaptation of Barbara Taylor Bradford’s A Woman of Substance in 1985, the saga of Emma Harte – the Yorkshire maid who becomes one of the richest women in the world – was a ratings juggernaut. The new eight-part remake arrives with a curious mix of nostalgia and reinvention: an attempt to revive the glossy melodrama of the 1980s bonkbuster, while reframing its heroine for a contemporary audience.

Episode one establishes the drama’s central tension through a double timeline. In 1970s New York, the elderly Emma Harte (Brenda Blethyn) presides over a vast retail empire, but faces betrayal from within her own family. Meanwhile, the narrative flashes back to 1911 Yorkshire, where the young Emma (Jessica Reynolds) works as a maid at the aristocratic Fairley Hall. She begins a forbidden romance with Edwin Fairley (Ewan Horrocks), the master’s youngest son.

It is a structure that foregrounds destiny: we know Emma will triumph, but the question is how.

Taylor Bradford’s 1979 novel is one of the great rags-to-riches fantasies of late-20th-century popular fiction. Its appeal lies partly in the audacity of Emma’s rise: from impoverished servant girl to international business titan.

The new Channel 4 version leans heavily into that mythology. The opening sequence places Blethyn’s Emma in 1970s New York, where young journalist Jim Fairley (Toby Regbo) intercepts her with news that leaked medical records have sent the share price of her Harte Stores empire tumbling. By the end of the episode, she tells him her entire life has been revenge for the way his family once treated her.

The trailer for A Woman of Substance.

The first episode lays the emotional groundwork for this transformation. At Fairley Hall, Emma is intelligent, observant and acutely aware of the rigid class system that constrains her life – a reality underscored by her mother’s dying advice to “get out and get on”. Her attraction to Edwin is therefore not merely romantic; it is a transgressive crossing of class boundaries.

The drama emphasises how precarious this relationship is within the Edwardian household, where servants and masters inhabit carefully maintained social worlds.

The episode also introduces the toxic atmosphere within the Fairley family, including a simmering love triangle between Adam Fairley (Emmett J. Scanlan), his wife Adele (Leanne Best) and her sister Olivia (Lydia Leonard). These aristocratic intrigues function as a mirror to Emma’s story, highlighting the moral hypocrisies of the ruling class she both envies and resents.

Melodrama with a modern sheen

Visually, the episode is sumptuous. Shot largely in Yorkshire, the landscapes and interiors evoke a heritage-drama aesthetic: sweeping moorland vistas, candlelit halls and meticulously detailed period costumes. The result is an unapologetically glossy period world.

Yet the storytelling retains the unabashed melodrama that made the original so popular. Affairs, rivalries and social scandal are introduced at a brisk pace, suggesting that the series intends to deliver the kind of sprawling, soap opera-style storytelling that once dominated Sunday night television.

Critics have already noted the show’s willingness to embrace these conventions. A Guardian review described the remake as “a lavishly absurd, cliche-packed tribute to simpler times”, acknowledging both its excesses and its entertainment value.

But there is also an attempt to frame Emma’s journey in more explicitly feminist terms. Her ambition is not portrayed as a moral failing but a necessary response to a system designed to exclude her. The rigid class hierarchy of Edwardian Britain defines the social boundaries Emma is determined to cross.

Much of the first episode’s success rests on Reynolds’ portrayal of the young Emma. She gives the character a mixture of vulnerability and steely determination, hinting at the formidable matriarch she will eventually become. Blethyn, meanwhile, lends the older Emma a commanding presence: sharp-tongued, elegant and clearly accustomed to power.

The interplay between these two performances helps ground the drama’s expansive narrative. In young Emma, we see both a hopeful-but-unconfident servant and the calculating mogul she will become.

Why Emma is returning now

Revisiting A Woman of Substance more than four decades after Taylor Bradford’s novel first appeared is not simply about nostalgia. While the 1985 TV adaptation became a landmark of glossy 1980s drama, the story’s appeal has always rested on something more durable: the scale of Emma’s transformation from servant to tycoon.

Episode one leans into that sense of narrative sweep. It offers spectacle, romance and simmering scandal, but also something slightly rarer: the slow construction of a life story.

Emma’s rise will unfold across decades, continents and generations, giving this drama a scope that foregrounds long-term ambition, rather than the tighter arcs typical of contemporary television storytelling.

By juxtaposing elderly Emma’s immense power with the precarious position of her younger self at Fairley Hall, the series foreshadows the distance she will travel – socially, economically and emotionally.

Whether the remake fully captures the addictive pacing that made Taylor Bradford’s novel such a phenomenon remains to be seen. But its first episode demonstrates why the story still has traction. Emma is a heroine defined not by romance but by determination, and the drama of watching her build – and defend – her business empire remains a compelling one.

The Conversation

Beth Johnson receives funding from the AHRC.

ref. A Woman of Substance: Channel 4’s lavish remake revives the pleasures – and contradictions – of the bonkbuster – https://theconversation.com/a-woman-of-substance-channel-4s-lavish-remake-revives-the-pleasures-and-contradictions-of-the-bonkbuster-278219

To win freedom from Trump’s America, Europe needs to overcome its ‘downward coping syndrome’

Source: The Conversation – UK – By Richard Youngs, Professor of International and European Politics, University of Warwick

The US military operation against Iran has demonstrated in the most dramatic terms the need for EU autonomy in global affairs. Responding to the situation, European Commission president Ursula von der Leyen has called for a new EU foreign policy to guide the bloc towards “European independence”.

But it is not enough for the EU simply to set itself against the Trump administration. It also needs to resolve a muddled “illiberal liberalism” that afflicts the way it has begun to pursue European autonomy. The EU can’t currently seem to decide whether it seeks independence so that it can preserve the liberal order or so that it can move beyond it.

The second Trump administration has supercharged the EU’s push for independence. It has prompted European governments to get far more serious about reducing their military and security dependence on the US and to reduce their broader external trade vulnerabilities. This is now the unrivalled driving force behind most European foreign and security policies.

But criticising the current US administration does not in itself amount to a vision for the EU’s place in the radically changed international order. Current debates have become unduly narrowed down to a focus on decoupling from and standing up to the US. This creates a false sense of comfort, as reacting against Trumpian excess is more straightforward than defining a coherent order-based geopolitical vision. The EU needs to ask not just what it is against but what it is for, and this remains unclear – at least, beyond rhetorical cliches.

An overly self-satisfied celebration of incipient EU resolution against the US – over Iran, Venezuela, Greenland, tariffs – draws the bloc away from clarifying the ultimate goal of toughened European autonomy.

In all this, the EU shows signs of what in psychology is known as “downward coping syndrome”. It seems to be feeling unjustifiably righteous about itself in comparison with the abominably low-standards of predatory diplomacy and illegality set by the Trump administration.

French president Emmanuel Macron’s speech at the Munich security conference, in which he merely ran through all the ways in which Europe stands in favourable contrast to the US, was an especially egregious case of this. Commentators also repeatedly celebrated the superiority of European rhetoric on peace, freedom, and rules and democracy compared to Maga’s civilisational chauvinism. These perspectives set a very low bar and do not interrogate whether European policies actually follow through on their own stated principles.

An illiberal turn

In practice, the EU is itself retreating from the very same liberal norms that it rightly excoriates the US for having jettisoned. Even if this policy drift is, of course, far more subtle than what is occurring in US foreign policies, it raises questions about what the EU really seeks to do with its emerging strategic autonomy.

At present, contradictory logics abound as the bloc advances towards greater independence. The EU is striking partnerships with illiberal regimes like the Gulf states and autocracies in Asia ostensibly in the name of preserving liberalism. It courts other powers with desperate neediness apparently as a way of showing it has less need of others. It is adopting hard power supposedly to contain hard power. It is adopting distortionary trade preferences in the name of defending free trade.

In many ways, as the EU resists illiberal powers, it is becoming more like them and yet frames such resistance as a way of defending its traditional liberal identity. In this, it increasingly conflates two aims that are quite distinct: protecting itself and protecting progressive values in international politics.

While military capability is needed to dissuade territorial invasion, the EU needs other kinds of resources and action to wield influence over other powers for non-military aims. There is a risk of the military-defence turn becoming so predominant that it draws effort away from these other forms of leverage. It may be that ultra-realpolitik is what some people want from Europe, but then it cannot convincingly pitch its geostrategy as a defence of liberal order, peace and democracy.

These conundrums can clearly be seen in European responses to events in Iran. European governments are entirely correct to defend international law against military intervention. Spain’s prime minister Pedro Sanchez has been especially impressive in setting out this position. But they have failed to map out policies that lie in the vast ground between illegal military attacks, on the one hand, and indulgent inaction towards repressive regimes on the other. Repeating fealty to international law and standing back in moral self-satisfaction does little to help citizens who are suffering under regimes like those in Iran and Venezuela. A liberal European autonomy would surely entail more proactive engagement for democratic change, even as the bloc stands back from US military actions.

The complex and spiralling crises in Iran and elsewhere require the EU to show firm resolve against Trump but also a critical self-reflection. European governments need to define whether EU autonomy is to be measured in terms of a conceptually distinctive “alternative power” or the more visceral power politics that other powers are now adopting. Without this, European independence is a ship setting sail with no destination set.

The Conversation

Richard Youngs receives project funding from EU bodies through Carnegie Europe.

ref. To win freedom from Trump’s America, Europe needs to overcome its ‘downward coping syndrome’ – https://theconversation.com/to-win-freedom-from-trumps-america-europe-needs-to-overcome-its-downward-coping-syndrome-277981