How Eurostack could offer Canada a route to digital independence from the United States

Source: The Conversation – Canada – By Ted Palys, Professor of Criminology, Associate Member of Dept. of Indigenous Studies, Simon Fraser University

The contemporary internet has been with us since roughly 1995. Its current underlying economic model — surveillance capitalism — began in the early 2000s, when Google and then Facebook realized how much our personal information and online behaviour revealed about us and claimed it for themselves to sell to advertisers.

Perhaps because of Canada’s proximity to the United States, coupled with its positive shared history with the U.S. and their highly integrated economies, Canada went along for that consumerist ride.

The experience was different on the other side of the Atlantic. The Stasi in the former East Germany and the KGB under Josef Stalin maintained files on hundreds of thousands of citizens to identify and prosecute dissidents.

Having witnessed this invasion of privacy and its weaponization first-hand, Europe has been far ahead of North America in developing protections. These include the General Data Protection Regulation and the Law Enforcement Directive, with protection of personal data also listed in the European Union’s Charter of Fundamental Rights.

Canada clearly took too much for granted in its relationship with the U.S. Suddenly, Canada is being threatened with tariffs and President Donald Trump’s expressed desire to make Canada the 51st American state.

This has fuelled the motivation of Canada both internally and in co-operation with western European governments to seek greater independence in trade and military preparedness by diversifying its relationships.

Prime Minister Mark Carney has begun promoting “nation-building projects,” but little attention has been paid to Canada’s digital infrastructure.




Read more:
How Canadian nationalism is evolving with the times — and will continue to do so


Three areas of concern

Three recent developments suggest Canada would be well-advised to start paying close attention:

1. The current U.S. administration has raised concerns about its reliability as a partner and friend to Canada. Most of the concerns raised in Canada have been economic. However, Curtis McCord, a former national security and technology researcher for the Canadian government, has said the current situation has created vulnerabilities for national security as well:

“With Washington becoming an increasingly unreliable ally, Mr. Carney is right to look for ways to diversify away from the U.S. But if Canada wants to maintain its sovereignty and be responsible for its national security, this desire to diversify must extend to the U.S. domination of Canada’s digital infrastructure.”

2. Silicon Valley is exhibiting a newfound loyalty to Trump. The photo of the “broligarchy” at Trump’s inauguration spoke volumes, as their apparent eagerness to appease the president brings the data gathered by the internet’s surveillance-based economy under state control.

3. Trump’s recent executive order entitled “Stopping waste, fraud and abuse by eliminating information silos” is alarming. The order became operational when the Trump administration contracted with Palantir, a company known for its surveillance software and data analytics in military contexts. Its job? To combine databases from both the state and federal levels into one massive database that includes every American citizen, and potentially any user of the internet.

Combining multiple government databases is concerning. Combining them with all the personal data harvested by Silicon Valley and providing them to a government showing all the hallmarks of an authoritarian regime sounds like Big Brother has arrived.

Civil liberties groups such as the Electronic Freedom Foundation, academics and even former Palantir employees have raised alarms about the possibilities for abuse, including the launch of all the vendettas Trump and his supporters have pledged to undertake.

The appeal of Eurostack

European governments have attempted to rein in Silicon Valley’s excesses for years. Trump’s re-election and his moves toward potentially weaponizing internet data have further boosted Europe’s resolve to move away from the U.S.-led internet.

One newer effort is Eurostack. A joint initiative involving academics, policymakers, companies and governments, it envisions an independent digital ecosystem that better reflects European values — democratic, sovereign, inclusive, transparent, respectful of personal privacy and innovation-driven.

Spokesperson Francesca Bria explains the “stack” arises from the idea that a digitally sovereign internet needs to have European control from the ground up.

Bria discusses Eurostack in May 2025. (re:publica)

That includes the acquisition of raw materials and manufacture and operation of the physical components that comprise computers and servers; the cloud infrastructure that has the processing power and storage to be operational at scale; the operating systems and applications that comprise the user interface; the AI models and algorithms that drive services and its policy and governance framework.

Prospective gains to Europe are considerable. They include greater cybersecurity, promoting innovation, keeping high-end creative jobs in Europe, promoting collaboration on equitable terms and creating high-skilled employment opportunities.

Canada receives no mention in the Eurostack proposal to date, but the project is still very much in the developmental phase. Investment so far is in the tens of millions instead of the billions it will require.

Canada has a lot to offer and to gain from being part of the Eurostack initiative. With the project still taking shape, now is the perfect time to get on board.

The Conversation

Ted Palys 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 Eurostack could offer Canada a route to digital independence from the United States – https://theconversation.com/how-eurostack-could-offer-canada-a-route-to-digital-independence-from-the-united-states-260663

Most Pennsylvania voters ignore judicial elections − a political scientist explains why they matter, especially in a battleground state

Source: The Conversation – USA – By Daniel J. Mallinson, Associate Professor of Public Policy and Administration, Penn State

Three of the seven judges on PA’s state supreme court are up for retention votes in November 2025. AP Photo/Matt Rourke

This November, there will be no candidate for president, governor, senator or even representative on the Pennsylvania ballot.

Pennsylvanians will vote, however, on three members of their seven-member state Supreme Court.

These are retention elections, which means that voters will decide whether to keep the current members of the court or remove them.

The three seats up for grabs are three of the five Democrats that hold the majority on the court. They are Justices Christine Donohue, Kevin Dougherty and David Wecht.

While the typical voter may not think much about judicial elections, political operatives and political scientists, like me, know they have consequences.

I think it’s important that voters understand what a retention election is and why state judicial elections are growing in political importance in the U.S.

Retention elections

Federal judges are appointed by the U.S. president, confirmed by the U.S. Senate, and can serve for the rest of their lives. State judges, however, are put in place in a variety of ways.

The most powerful state courts are the so-called “courts of last resort.” These are essentially the supreme courts of each state. The method for selecting judges in these courts has varied over time and across the states. Currently, states use either gubernatorial appointment, legislative appointment, partisan elections, nonpartisan elections, or a merit process for selecting the judges of their highest courts.

Pennsylvania has partisan elections, meaning judges run for office attached to political parties, just like a candidate would run for governor or president. However, it is only in their first race for office that a judge runs in a competitive partisan election. After they assume the bench, they participate in retention elections every 10 years. These retention elections are considered nonpartisan, since party labels do not appear on the ballot.

Essentially, a retention election is an up or down vote. If more than 50% of voters cast a vote in opposition to a sitting judge, that judge will be out of the office at the end of their term. The governor, who is currently Democrat Josh Shapiro, then makes a temporary appointment to fill the seat with a special election held in the next odd year – in this case, 2027. But any appointments would need to be confirmed by the Republican-controlled state Senate, which may not confirm his picks.

Politicization of the state courts

Judges win retention elections over 90% of the time. So why should people bother to cast their vote?

Courts, including state courts, have become highly politicized over the past several decades. A marked increase in politicization occurred for the U.S. Supreme Court after the failed nomination of Robert Bork in the 1980s.

This politicization has since trickled down to lower federal courts and the states.

State supreme courts have always made big decisions, but the nationalization of American politics – where national partisan politics drive voter behavior in local elections – has elevated the controversy over state supreme court decisions on issues such as reproductive rights, trans rights, COVID-19 restrictions, environmental protection and more.

This issue became more acute when courts in battleground states were thrust to the center of adjudicating false claims of election fraud during the 2020 U.S. presidential election. And judges have faced increasing threats, particularly when opposing actions of the Trump administration, as President Donald Trump is prone to calling out specific judges in decisions that he does not like.

The Pennsylvania Supreme Court has received additional attention, in part due to the outsized role it has played in recent redistricting. In 2018, the court threw out the congressional districts drawn by the General Assembly in 2011 and invited a new plan from the governor and General Assembly. The two came to a political loggerhead, so the Supreme Court ended up using its own map as a replacement.

In 2022, the state Supreme Court once again took control of redistricting after Pennyslvania’s then-Gov. Tom Wolf vetoed the congressional district map approved by the General Assembly.

Given the importance of state supreme courts, particularly in federal elections cases in battleground states like Pennsylvania, it is little wonder why their elections are gaining attention.

The April 2025 Wisconsin Supreme Court race was the most expensive state judicial race in U.S. history, with $100 million in spending, including significant contributions from billionaires Elon Musk and George Soros.

Woman in white blazer stands at podium and smiles as she waves at the crowd
Former prosecutor Susan Crawford won the highly politicized race for Wisconsin Supreme Court justice in 2025. It was the most expensive state supreme court race in U.S. history.
Scott Olson via Getty Images

That was one seat.

Pennsylvania has three up for grabs in November 2025, with the potential to swing the current Democratic majority.

And retention elections are politically simple for opponents. As one Republican political consultant told investigative news outlet Spotlight PA: “This is a political consultant’s dream, because your message is just one thing, and that’s ‘No.’”

This can give some advantage to Republicans in a state that Trump won in 2024 and in a low-turnout election. The question will be whether there is more energy motivating opponents to turn out against the Democratic majority or supporters seeking to maintain the status quo.

Interior of stately courtroom with dark wood furnishings and gold trim
The 2025 retention elections could change the balance of power in the court.
AP Photo/Aimee Dilger

The stakes for Pennsylvania in 2025

Much is at stake for Pennsylvanians in the fall. Republicans see this as their best opportunity to break the firm 5-2 Democratic majority on the court. This would pave the way for very different judicial decisions. Many of the court’s recent election-related rulings were made on narrow 4-3 votes that could swing differently if the composition of the court changes.

Republicans have had their power in Harrisburg diminished with Shapiro in the governor’s mansion and a one-seat Democratic majority in the state House of Representatives over the past two terms.

A Republican majority on the court would significantly change the balance of power in Harrisburg.

But it is important to focus not only on the top court. The state’s two appellate-level courts – one step below the state Supreme Court – also have two important races and two retention votes in November that will decide the judiciary’s relationship with the governor and General Assembly.

The Conversation

Daniel J. Mallinson 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. Most Pennsylvania voters ignore judicial elections − a political scientist explains why they matter, especially in a battleground state – https://theconversation.com/most-pennsylvania-voters-ignore-judicial-elections-a-political-scientist-explains-why-they-matter-especially-in-a-battleground-state-259775

2026 FIFA World Cup expansion will have a big climate footprint, with matches from Mexico to Canada – here’s what fans can do

Source: The Conversation – USA (2) – By Brian P. McCullough, Associate Professor of Sport Management, University of Michigan

Lionel Messi celebrates with fans after Argentina won the FIFA World Cup championship in 2022 in Qatar. Michael Regan-FIFA/FIFA via Getty Images

When the FIFA World Cup hits North America in June 2026, 48 teams and millions of sports fans will be traveling among venues spread across Canada, the United States and Mexico.

It’s a dramatic expansion – 16 more teams will be playing than in recent years, with a jump from 64 to 104 matches. The tournament, whether you call it soccer or football, is projected to bring in over US$10 billion in revenue. But the expansion will also mean a lot more travel and other activities that contribute to climate change.

The environmental impacts of giant sporting events like the World Cup create a complex paradox for an industry grappling with its future in a warming world.

A sustainability conundrum

Sports are undeniably experiencing the effects of climate change. Rising global temperatures are putting athletes’ health at risk during summer heat waves and shortening winter sports seasons. Many of the 2026 World Cup venues often see heat waves in June and early July, when the tournament is scheduled.

There is a divide over how sports should respond.

Some athletes are speaking out for more sustainable choices and have called on lawmakers to take steps to limit climate-warming emissions. At the same time, the sport industry is growing and facing a constant push to increase revenue. The NCAA is also considering expanding its March Madness basketball tournaments from 68 teams currently to as many as 76.

A sweating soccer player squirts water from a bottle onto his forehead during a match.
Park Yong-woo of team Al Ain from Abu Dhabi tries to cool off during a Club World Cup match on June 26, 2025, in Washington, D.C., which was in the midst of a heat wave. Some players have raised concerns about likely high temperatures during the 2026 World Cup, with matches scheduled June 11 to July 19.
AP Photo/Julia Demaree Nikhinson

Estimates for the 2026 World Cup show what large tournament expansions can mean for the climate. A report from Scientists for Global Responsibility estimates that the expanded World Cup could generate over 9 million metric tons of carbon dioxide equivalent, nearly double the average of the past four World Cups.

This massive increase – and the increase that would come if the NCAA basketball tournaments also expand – would primarily be driven by air travel as fans and players fly among event cities that are thousands of miles apart.

A lot of money is at stake, but so is the climate

Sports are big business, and adding more matches to events like the World Cup and NCAA tournaments will likely lead to larger media rights contracts and greater gate receipts from more fans attending the events, boosting revenues. These are powerful financial incentives.

In the NCAA’s case, there is another reason to consider a larger tournament: The House v. NCAA settlement opened the door for college athletic departments to share revenue with athletes, which will significantly increase costs for many college programs. More teams would mean more television revenue and, crucially, more revenue to be distributed to member NCAA institutions and their athletic conferences.

When climate promises become greenwashing

The inherent conflict between maximizing profit through growth and minimizing environmental footprint presents a dilemma for sports.

Several sport organizations have promised to reduce their impact on the climate, including signing up for initiatives like the United Nations Sports for Climate Action Framework.

However, as sports tournaments and exhibition games expand, it can become increasingly hard for sports organizations to meet their climate commitments. In some cases, groups making sustainability commitments have been accused of greenwashing, suggesting the goals are more about public relations than making genuine, measurable changes.

For example, FIFA’s early claims that it would hold a “fully carbon-neutral” World Cup in Qatar in 2022 were challenged by a group of European countries that accused soccer’s world governing body of underestimating emissions. The Swiss Fairness Commission, which monitors fairness in advertising, considered the complaints and determined that FIFA’s claims could not be substantiated.

A young man looks up as he prepares to board a plane on the tarmac in Milan, Italy, for a flight to Rome on Dec. 15, 2024.
Alessandro Bastoni, of Inter Milan and Italy’s national team, prepares to board a flight from Milan to Rome with his team.
Mattia Ozbot-Inter/Inter via Getty Images

Aviation is often the biggest driver of emissions. A study that colleagues and I conducted on the NCAA men’s basketball tournament found about 80% of its emissions were connected to travel. And that was after the NCAA began using the pod system, which is designed to keep teams closer to home for the first and second rounds.

Finding practical solutions

Some academics, observing the rising emissions trend, have called for radical solutions like the end of commercialized sports or drastically limiting who can attend sporting events, with a focus on fans from the region.

These solutions are frankly not practical, in my view, nor do they align with other positive developments. The growing popularity of women’s sports shows the challenge in limiting sports events – more games expands participation but adds to the industry’s overall footprint.

Further compounding the challenges of reducing environmental impact is the amount of fan travel, which is outside the direct control of the sports organization or event organizers.

Many fans will follow their teams long distances, especially for mega-events like the World Cup or the NCAA tournament. During the men’s World Cup in Russia in 2018, more than 840,000 fans traveled from other countries. The top countries by number of fans, after Russia, were China, the U.S., Mexico and Argentina.

There is an argument that distributed sporting events like March Madness or the World Cup can be better in some ways for local environments because they don’t overwhelm a single city. However, merely spreading the impact does not necessarily reduce it, particularly when considering the effects on climate change.

How fans can cut their environmental footprint

Sport organizations and event planners can take steps to be more sustainable and also encourage more sustainable choices among fans. Fans can reduce their environmental impact in a variety of ways. For example:

  • Avoid taking airplanes for shorter distances, such as between FIFA venues in Philadelphia, New York and Boston, and carpool or take Amtrak instead. Planes can be more efficient for long distances, but air travel is still a major contributing factor to emissions.

  • While in a host city, use mass transit or rent electric vehicles or bicycles for local travel.

  • Consider sustainable accommodations, such as short-term rentals that might have a smaller environmental footprint than a hotel. Or stay at a certified green hotel that makes an effort to be more efficient in its use of water and energy.

  • Engage in sustainable pregame and postgame activities, such as choosing local, sustainable food options, and minimize waste.

  • You can also pay to offset carbon emissions for attending different sporting events, much like concertgoers do when they attend musical festivals. While critics question offsets’ true environmental benefit, they do represent people’s growing awareness of their environmental footprint.

Through all these options, it’s clear that sports face a significant challenge in addressing their environmental impacts and encouraging fans to be more sustainable, while simultaneously trying to meet ambitious business and environmental targets.

In my view, a sustainable path forward will require strategic, yet genuine, commitment by the sports industry and its fans, and a willingness to prioritize long-term planetary health alongside economic gains – balancing the sport and sustainability.

The Conversation

Brian P. McCullough 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. 2026 FIFA World Cup expansion will have a big climate footprint, with matches from Mexico to Canada – here’s what fans can do – https://theconversation.com/2026-fifa-world-cup-expansion-will-have-a-big-climate-footprint-with-matches-from-mexico-to-canada-heres-what-fans-can-do-259437

Who was the first pirate?

Source: The Conversation – USA (2) – By Brandon Prins, Professor of Political Science, University of Tennessee

Curious Kids is a series for children of all ages. If you have a question you’d like an expert to answer, send it to curiouskidsus@theconversation.com.


Who was the first pirate? – Yandel R., age 11, Lakewood Ranch, Florida


When most people imagine a pirate, they picture actor Johnny Depp playing the mad but likable swashbuckler Jack Sparrow, captain of the sailing ship the Black Pearl.

Depp’s pirate portrayal was inspired by seafaring bandits in older make-believe tales, such as Long John Silver in “Treasure Island,” Captain Hook in “Peter Pan,” or sailor Edmond Dantès in “The Count of Monte Cristo.”

painting of one-legged pirate with parrot on shoulder holds a sword
A 1915 edition of ‘Treasure Island’ illustrated Long John Silver with iconic pirate features.
Louis Rhead/Historica Graphica Collection/Heritage Images via Getty Images

Pirates in these stories were mischievous but also glamorous, courageous and mostly kindhearted. They wore flashy costumes. They had missing limbs, like Captain Cook’s iron hook for a left hand and Long John Silver’s wooden peg leg. They buried treasure chests of gold and silver, forced enemies to walk the plank and had talking parrots as shipboard companions. They flew the Jolly Roger skull and crossbones flag from the ship’s mast to frighten enemies. The new Netflix series “One Piece,” which is based on a Japanese comic book, continues this popular depiction of pirates.

While fun, these portrayals of pirates are mostly invented.

I’m a political scientist who studies modern-day commerce raiding: robbing of private cargo vessels on the high seas. I’m interested in where it happens in the world, who does it and what can be done to stop it. My research finds today’s pirates to be less like swashbuckling Jack Sparrow and more like regular old thieves.

Pirates in the ancient world

Since pirates have been around for as long as people have moved things by boat, it is hard to pin down the very first pirate.

stone relief carving depicting ancient Egyptians in a low boat carrying birds in a cage
Ancient Egyptians tied bundles of reeds together to form watertight boats.
Werner Forman/Universal Images Group via Getty Images

But archaeological evidence shows that boatbuilding goes all the way back to the ancient Egyptians, who used boats made from papyrus reeds as early as 6,000 years ago. These vessels likely carried valuable goods up and down the Nile River, and where valuable goods can be found, you can usually find thieves too. In fact, researchers know that pirates – basically just thieves on the water – targeted these river boats, because Egyptian pharaohs left records grumbling about pirates and their widespread pillaging.

By 3,500 years ago, thieves were using sailing vessels to raid coastal towns and villages in and around the Nile Delta, as well as the Aegean and Adriatic basins. Attacking ships far from land on the high seas and stealing the cargo was a logical next step in the tactics of seafaring raiders.

As trade increased across the Mediterranean Sea, boats carrying valuable cargo, such as pottery, silk, glass, spices and metals, became the targets of ancient pirates. Given the worth of these goods, pirate attacks became widespread across the ancient Mediterranean Sea. With money from the Roman senate and strong effort by a military leader named Pompey, the Roman navy worked hard to stop the pirates – and for a while it did.

The earliest named pirate?

The first mention of a pirate by name may have been in a Greek history book written in the fifth century BCE by an ancient historian named Herodotus.

He briefly describes the adventures of a naval commander by the name of Dionysius who was from Ionia, which is in modern-day Turkey. Dionysius set up a pirate base on the island of Sicily that allowed him and his fellow pirates to plunder ships that happened to sail past.

Pirates of the Caribbean

While Dionysius may have been the first recorded pirate, the most famous pirates lived during the 17th and 18th centuries, which came to be known as the golden age of sea piracy.

This was the heyday of pirates such as Blackbeard, also known as Edward Teach; William Kidd; Henry Morgan; Calico Jack; and Anne Bonny. They plundered Spanish treasure ships in the Caribbean, known as the Spanish Main, that were carrying silver from the mines in Bolivia back to the king of Spain.

Islands such as Jamaica, Tortuga and the Bahamas, as well the North Carolina coast, all became notable pirate havens. Port Royal, on the island of Jamaica, in particular, was a notorious pirate refuge. It was ideally positioned for preying upon Spanish galleons sailing across the Atlantic from ports in Panama and Venezuela. Johnny Depp’s character, Jack Sparrow, swashbuckled around a fictionalized Port Royal in the first “Pirates of the Caribbean” film.

map from west coast of Africa to east coast of Asia with red dots denoting pirate attacks along coasts
Each dot represents a maritime pirate attack that happened between 1995 and 2023.
Brandon Prins

21st-century pirates

The 2013 Hollywood movie “Captain Phillips,” starring Tom Hanks, drew attention back to real-world pirates and piracy. The movie was based on a real-life 2009 attack by Somali pirates on a ship named the MV Maersk Alabama, which was carrying food to Kenya. The 500-foot-long vessel and its crew were rescued by the U.S. Navy.

To better understand 21st-century piracy, my research team compiled data on all pirate attacks from 1995 to the present day. We found three main piracy hot spots: the Gulf of Aden near Somalia, the Strait of Malacca in Southeast Asia and the Gulf of Guinea off the coast of West Africa. All three locations experience the conditions that attract pirates: ship traffic, valuable cargo and weak governments.

Why become a pirate?

People become pirates for many reasons, not the least of which is to escape poverty and enslavement. Others just want adventure and to travel the world. These are the same motivations that drove commerce raiding in the ancient world, during the golden age of piracy, and even today.

While we may never know the first pirate, just like we will never know the very first thief, historical evidence shows that sea-raiding has been around since the very first boats traversed the world’s waterways. Despite efforts to end piracy, my research shows that the conditions that produce ship looting remain and will likely always exist.


Hello, curious kids! Do you have a question you’d like an expert to answer? Ask an adult to send your question to CuriousKidsUS@theconversation.com. Please tell us your name, age and the city where you live.

And since curiosity has no age limit – adults, let us know what you’re wondering, too. We won’t be able to answer every question, but we will do our best.

The Conversation

Brandon Prins received funding from the U.S. Department of Defense, Office of Naval Research, through the Minerva Initiative, awards #N00014-21-1-2030 and #N00014-14-1-0050.

ref. Who was the first pirate? – https://theconversation.com/who-was-the-first-pirate-256314

Zohran Mamdani’s last name reflects centuries of intercontinental trade, migration and cultural exchange

Source: The Conversation – USA (3) – By Iqbal Akhtar, Associate Professor of Religious Studies, Florida International University

Zohran Mamdani takes photos with union members during a campaign rally at the Hotel and Gaming Trades Council headquarters in New York on July 2, 2025. AP Photo/Richard Drew

When Zohran Mamdani announced his candidacy for mayor of New York City, political observers noted his progressive platform and legislative record. But understanding the Democratic candidate’s background requires examining the rich cultural tapestry woven into his very surname: Mamdani.

He takes the name from his father, Mahmood Mamdani, a prominent academic who was raised in Uganda and whose work focuses on postcolonial Uganda. I studied the history of the Khoja community for my doctoral work and have helped develop Khoja studies as an academic discipline. The Mamdani surname tells a story of migration, resilience and community-building that spans centuries and continents.

The Khoja history

Mamdanis in Uganda belong to the Khoja community, a South Asian Muslim merchant caste, that shaped economic development across the western Indian Ocean for centuries.

The name originates from greater Sindh, a region in South Asia that today includes southeastern Pakistan and Kachchh in western India.

Its etymology is twofold. Mām is an honorific title in Kachchhi and Gujarati languages, meaning kindness, courage and pride. Māmadō is a local version of the name Muhammad that often appeared in surnames in Hindu castes that converted to Islam, such as the Memons.

The Khoja were categorized by the British in the early 19th century as “Hindoo Mussalman” because their traditions spanned both religions.

Over time, the Khoja came to be identified only as Muslim and then primarily as Shiite Muslim. Today, the majority of Khoja are Ismaili: a branch of Shiite Islam that follows the Aga Khan as their living imam.

The Mamdani family, however, is part of the Twelver community of Khoja, whose Twelfth Imam is believed to be hidden from the world and only emerges in times of crisis. Twelvers believe he will help usher in an age of peace during end times.

Around the late 18th century, the Khoja helped export textiles, manufactured goods, spices and gems from the Indian subcontinent to Arabia and East Africa. Through this Western Indian Ocean trading network, they imported timber, ivory, minerals and cloves, among other goods.

Khoja family firms were built on kinship networks and trust. They built networks of shops, communal housing and warehouses, and extended credit for thousands of miles, from Zanzibar in Tanzania to Bombay – now Mumbai – on the western coast of India.

Cousins and brothers would send money and goods across the ocean with only a letter. The precarious nature of trade in this period meant that families also served as insurance for each other. In times of wealth, it was shared; in times of disaster, help was available.

Khoja contributions in Africa

The Khoja became instrumental in building the commercial infrastructure of eastern, central and southern Africa. But the Khoja contribution to the development of Africa extended far beyond trade.

In the absence of colonial investment in public infrastructure, they helped build institutions that formed the foundation of the modern nation-states that emerged after colonization. The institutions both facilitated trade and established permanent communities.

For example, the first dispensary and public school in Zanzibar were constructed by a Khoja magnate, Tharia Topan, who made his wealth through the ivory and clove trades. Topan eventually became so prominent that he was knighted by Queen Victoria in 1890 for his service to the British Empire in helping to end slavery in East Africa.

The Khoja community continues to invest in East Africa. The most famous example is the Aga Khan Development Network, whose hospitals and schools operate in 30 countries. In places such as Kenya, Uganda and Tanzania, they are considered the best.

Khoja in Uganda

Like in other parts of Africa, the Khoja settled in Uganda as a liaison business community to develop a market to serve both African and European needs. The linguistic and cultural knowledge, developed over centuries, helped facilitate business despite the challenges of colonization.

A Black man in a suit walking with a woman and another dressed in traditional African attire.
Ugandan President Idi Amin and his wife, Sarah, in Rome on Sept. 10, 1975.
AP Photo

However, in 1972, Ugandan dictator Idi Amin expelled all Asians – approximately 80,000 – forcing families like the Mamdanis into exile. These included indentured laborers, who were brought in to help build the railroad and farm during the British colonial period, and free traders, like the Mamdani family.

Amin saw them all as the same and famously said: “Asians came to Uganda to build the railway. The railway is finished. They must leave now.”

The experience was a bitter one. Families lost everything, and many left with only the clothes on their backs.

Mahmood Mamdani, who came from a Khoja merchant family, was 26 when he was exiled. Yet, unlike most Ugandan Asians, he chose to go back. At Makerere University in Kampala, Uganda’s capital, Mamdani set up the Institute for Social Research, which helped to provide rigorous social science training to Ugandan researchers trying to improve their society.

While the earlier generations of the Khoja tended to choose business or adjacent professions, such as accounting, the subsequent generations – particularly those educated in the West – embraced the knowledge economy as professionals, academics and nonprofit leaders.

Several of Mahmood Mamdani’s generation of Khoja academics conducted path-breaking work on Afro-Asian solidarity – a way of thinking about the world beyond colonial categories, such as the category of religion as a separate domain from the secular. These scholars, such as Tanzania’s Issa Shivji and Abdul Sheriff, worked on creating solidarity among the newly independent states of the Global South.

Mahmood Mamdani is known for his influential post-9/11 academic work, “Good Muslim, Bad Muslim,” which examined how Muslim identities are stereotyped. He argued that these identities are complex and varied, shaped by accumulated history and present experiences.

Interfaith identity

The Khoja community – known globally as the Khoja Shia Ithnasheri Muslim Community – has developed strong transnational connections. Today, they are concentrated in the United Kingdom, Canada, United States and France. However, Khoja can be found in almost any country in the world. In 2013, I met members of the community in Hong Kong.

The Khoja community plays an important role in interfaith dialogue and global development initiatives. A prominent Ismaili Khoja, Eboo Patel, the founder of Interfaith America, has dedicated his life to pluralism and mutual understanding through building up civil society.

Zohran Mamdani’s mother, acclaimed filmmaker Mira Nair, is Hindu by birth. This interfaith marriage exemplifies the flexibility, diversity and tolerance of Khoja Islam, which has historically navigated between Hindu and Islamic traditions.

Whether Mamdani’s policies prove practical remains to be seen, but his background offers something valuable: a deep understanding of how communities build resilience across generations and geographies.

The Conversation

Iqbal Akhtar 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. Zohran Mamdani’s last name reflects centuries of intercontinental trade, migration and cultural exchange – https://theconversation.com/zohran-mamdanis-last-name-reflects-centuries-of-intercontinental-trade-migration-and-cultural-exchange-259967

Cleaner air in east Asia has driven recent acceleration in global warming – new study

Source: The Conversation – UK – By Laura Wilcox, Professor, National Centre for Atmospheric Science, University of Reading

A traffic jam in Beijing in China, where air pollution has drastically reduced. Hung Chung Chih/Shutterstock

Global warming has picked up pace since around 2010, leading to the recent string of record warm years. Why this is happening is still unclear, and among the biggest questions in climate science today. Our new study reveals that reductions in air pollution – particularly in China and east Asia – are a key reason for this faster warming.

Cleanup of sulphur emissions from global shipping has been implicated in past research. But that cleanup only began in 2020, so it’s considered too weak to explain the full extent of this acceleration. Nasa researchers have suggested that changes in clouds could play a role, either through reductions in cloud cover in the tropics or over the North Pacific.

One factor that has not been well quantified, however, is the effect of monumental efforts by countries in east Asia, notably China, to combat air pollution and improve public health through strict air quality policies. There has already been a 75% reduction in east Asian sulphur dioxide emissions since around 2013, and that cleanup effort picked up pace just as global warming began accelerating.

Our study addresses the link between east Asian air quality improvements and global temperature, building on the efforts of eight teams of climate modellers across the world.

We have found that polluted air may have been masking the full effects of global warming. Cleaner air could now be revealing more of the human-induced global warming from greenhouse gases.

In addition to causing millions of premature deaths, air pollution shields the Earth from sunlight and therefore cools the surface. There has been so much air pollution that it has held human-induced warming in check by up to 0.5°C over the last century.

With the cleanup of air pollution, something that’s vital for human health, this artificial sunshade is removed. Since greenhouse gas emissions have kept on increasing, the result is that the Earth’s surface is warming faster than ever before.

Modelling the cleanup

Our team used 160 computer simulations from eight global climate models. This enabled us to better quantify the effects that east Asian air pollution has on global temperature and rainfall patterns. We simulated a cleanup of pollution similar to what has happened in the real world since 2010. We found an extra global warming of around 0.07°C.

While this is a small number compared with the full global warming of around 1.3°C since 1850, it is still enough to explain the recent acceleration in global warming when we take away year-to-year swings in temperature from natural cycles such as El Niño, a climate phenomenon in the Pacific that affects weather patterns globally.

yellow smoggy sky, yellow sun and building
Thick smog influences the effect of greenhouse gases.
Shaun Robinson/Shutterstock

Based on long-term trends, we would have expected around 0.23°C of warming since 2010. However, we actually measured around 0.33°C. While the additional 0.1°C can largely be explained by the east Asian air pollution cleanup, other factors include the change in shipping emissions and the recent accelerated increase in methane concentrations in the atmosphere.

Air pollution causes cooling by reflecting sunlight or by changing the properties of clouds so they reflect more sunlight. The cleanup in east Asian air pollution influences global temperatures because it reduces the shading effect of the pollution over east Asia itself. It also means less pollution is blown across the north Pacific, causing clouds in the east Pacific to reflect less sunlight.

The pattern of these changes across the North Pacific simulated in our models matches that seen in satellite observations. Our models and temperature observations also show relatively strong warming over the North Pacific, downwind from east Asia.

The main source of global warming is still greenhouse gas emissions, and a cleanup of air pollution was both necessary and overdue. This did not cause the additional warming but rather, removed an artificial cooling that has for a time helped shield us from some of the extreme weather and other well-established consequences of climate change.

Global warming will continue for decades. Indeed, our past and future emissions of greenhouse gases will affect the climate for centuries. However, air pollution is quickly removed from the atmosphere, and the recent acceleration in global warming from this particular unmasking may therefore be short-lived.


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The Conversation

Laura Wilcox receives funding from the Natural Environment Research Council (NERC), the Research Council of Norway, the Clean Air Fund, and Horizon Europe.

Bjørn H. Samset receives funding from the Research Council of Norway, the Clean Air Fund, and Horizon Europe.

ref. Cleaner air in east Asia has driven recent acceleration in global warming – new study – https://theconversation.com/cleaner-air-in-east-asia-has-driven-recent-acceleration-in-global-warming-new-study-260601

Was the Air India crash caused by pilot error or technical fault? None of the theories holds up – yet

Source: The Conversation – Global Perspectives – By Guido Carim Junior, Senior Lecturer in Aviation, Griffith University

Over the weekend, the Indian Aircraft Accident Investigation Bureau released a preliminary report on last month’s crash of Air India flight 171, which killed 260 people, 19 of them on the ground.

The aim of a preliminary report is to present factual information gathered so far and to inform further lines of inquiry. However, the 15-page document has also led to unfounded speculation and theories that are currently not supported by the evidence.

Here’s what the report actually says, why we don’t yet know what caused the crash, and why it’s important not to speculate.

What the preliminary report does say

What we know for certain is that the aircraft lost power in both engines just after takeoff.

According to the report, this is supported by video footage showing the deployment of the ram air turbine (RAT), and the examination of the air inlet door of the auxiliary power unit (APU).

The RAT is deployed when both engines fail, all hydraulic systems are lost, or there is a total electrical power loss. The APU air inlet door opens when the system attempts to start automatically due to dual engine failure.

The preliminary investigation suggests both engines shut down because the fuel flow stopped. Attention has now shifted to the fuel control switches, located on the throttle lever panel between the pilots.

This is what the fuel switches look like, with the throttle lever above them.
Aircraft Accident Investigation Bureau

Data from the enhanced airborne flight recorder suggests these switches may have been moved from “run” to “cutoff” three seconds after liftoff. Ten seconds later, the switches were moved back to “run”.

The report also suggests the pilots were aware the engines had shut down and attempted to restart them. Despite their effort, the engines couldn’t restart in time.

We don’t know what the pilots did

Flight data recorders don’t capture pilot actions. They record system responses and sensor data, which can sometimes lead to the belief they’re an accurate representation of the pilot’s actions in the cockpit.

While this is true most of the time, this is not always the case.

In my own work investigating safety incidents, I’ve seen cases in which automated systems misinterpreted inputs. In one case, a system recorded a pilot pressing the same button six times in two seconds, something humanly impossible. On further investigation, it turned out to be a faulty system, not a real action.

We cannot yet rule out the possibility that system damage or sensor error led to false data being recorded. We also don’t know whether the pilots unintentionally flicked the switches to “cutoff”. And we may never know.

As we also don’t have a camera in the cockpit, any interpretation of pilots’ actions will be made indirectly, usually through the data sensed by the aircraft and the conversation, sound and noise captured by the environmental microphone available in the cockpit.

We don’t have the full conversation between the pilots

Perhaps the most confusing clue in the report was an excerpt of a conversation between the pilots. It says:

In the cockpit voice recording, one of the pilots is heard asking the other why did he cutoff. The other pilot responded that he did not do so.

This short exchange is entirely without context. First, we don’t know who says what. Second, we don’t know when the question was asked – after takeoff, or after the engine started to lose power? Third, we don’t know the exact words used, because the excerpt in the report is paraphrased.

Finally, we don’t know whether the exchange referred to the engine status or the switch position. Again, we may never know.

What’s crucial here is that the current available evidence doesn’t support any theory about intentional fuel cutoff by either of the pilots. To say otherwise is unfounded speculation.

We don’t know if there was a mechanical failure

The preliminary report indicates that, for now, there are no actions required by Boeing, General Electric or any company that operates the Boeing 787-8 and/or GEnx-1B engine.

This has led some to speculate that a mechanical failure has been ruled out. Again, it is far too early to conclude that.

What the preliminary report shows is that the investigation team has not found any evidence to suggest the aircraft suffered a catastrophic failure that requires immediate attention or suspension of operations around the world.

This could be because there was no catastrophic failure. It could also be because the physical evidence has been so badly damaged that investigators will need more time and other sources of evidence to learn what happened.

Why we must resist premature conclusions

In the aftermath of an accident, there is much at stake for many people: the manufacturer of the aircraft, the airline, the airport, civil aviation authority and others. The families of the victims understandably demand answers.

It’s also tempting to latch onto a convenient explanation. But the preliminary report is not the full story. It’s based on very limited data, analysed under immense pressure, and without access to every subsystem or mechanical trace.

The final report is still to come. Until then, the responsible position for regulators, experts and the public is to withhold judgement.

This tragedy reminds us that aviation safety depends on patient and thorough investigation – not media soundbites or unqualified expert commentary. We owe it to the victims and their families to get the facts right, not just fast.

The Conversation

Guido Carim Junior has received funding from Boeing R&D Australia to conduct research projects in the past five years.

ref. Was the Air India crash caused by pilot error or technical fault? None of the theories holds up – yet – https://theconversation.com/was-the-air-india-crash-caused-by-pilot-error-or-technical-fault-none-of-the-theories-holds-up-yet-261102

How do you stop an AI model turning Nazi? What the Grok drama reveals about AI training

Source: The Conversation – Global Perspectives – By Aaron J. Snoswell, Senior Research Fellow in AI Accountability, Queensland University of Technology

Anne Fehres and Luke Conroy & AI4Media, CC BY

Grok, the artificial intelligence (AI) chatbot embedded in X (formerly Twitter) and built by Elon Musk’s company xAI, is back in the headlines after calling itself “MechaHitler” and producing pro-Nazi remarks.

The developers have apologised for the “inappropriate posts” and “taken action to ban hate speech” from Grok’s posts on X. Debates about AI bias have been revived too.

But the latest Grok controversy is revealing not for the extremist outputs, but for how it exposes a fundamental dishonesty in AI development. Musk claims to be building a “truth-seeking” AI free from bias, yet the technical implementation reveals systemic ideological programming.

This amounts to an accidental case study in how AI systems embed their creators’ values, with Musk’s unfiltered public presence making visible what other companies typically obscure.

What is Grok?

Grok is an AI chatbot with “a twist of humor and a dash of rebellion” developed by xAI, which also owns the X social media platform.

The first version of Grok launched in 2023. Independent evaluations suggest the latest model, Grok 4, outpaces competitors on “intelligence” tests. The chatbot is available standalone and on X.

xAI states “AI’s knowledge should be all-encompassing and as far-reaching as possible”. Musk has previously positioned Grok as a truth-telling alternative to chatbots accused of being “woke” by right-wing commentators.

But beyond the latest Nazism scandal, Grok has made headlines for generating threats of sexual violence, bringing up “white genocide” in South Africa, and making insulting statements about politicians. The latter led to its ban in Turkey.

So how do developers imbue an AI with such values and shape chatbot behaviour? Today’s chatbots are built using large language models (LLMs), which offer several levers developers can lean on.

What makes an AI ‘behave’ this way?

Pre-training

First, developers curate the data used during pre-training – the first step in building a chatbot. This involves not just filtering unwanted content, but also emphasising desired material.

GPT-3 was shown Wikipedia up to six times more than other datasets as OpenAI considered it higher quality. Grok is trained on various sources, including posts from X, which might explain why Grok has been reported to check Elon Musk’s opinion on controversial topics.

Musk has shared that xAI curates Grok’s training data, for example to improve legal knowledge and to remove LLM-generated content for quality control. He also appealed to the X community for difficult “galaxy brain” problems and facts that are “politically incorrect, but nonetheless factually true”.

We don’t know if these data were used, or what quality-control measures were applied.

Fine-tuning

The second step, fine-tuning, adjusts LLM behaviour using feedback. Developers create detailed manuals outlining their preferred ethical stances, which either human reviewers or AI systems then use as a rubric to evaluate and improve the chatbot’s responses, effectively coding these values into the machine.

A Business Insider investigation revealed xAI’s instructions to human
“AI tutors” instructed them to look for “woke ideology” and “cancel culture”. While the onboarding documents said Grok shouldn’t “impose an opinion that confirms or denies a user’s bias”, they also stated it should avoid responses that claim both sides of a debate have merit when they do not.

System prompts

The system prompt – instructions provided before every conversation – guides behaviour once the model is deployed.

To its credit, xAI publishes Grok’s system prompts. Its instructions to “assume subjective viewpoints sourced from the media are biased” and “not shy away from making claims which are politically incorrect, as long as they are well substantiated” were likely key factors in the latest controversy.

These prompts are being updated daily at the time of writing, and their evolution is a fascinating case study in itself.

Guardrails

Finally, developers can also add guardrails – filters that block certain requests or responses. OpenAI claims it doesn’t permit ChatGPT “to generate hateful, harassing, violent or adult content”. Meanwhile, the Chinese model DeepSeek censors discussion of Tianamen Square.

Ad-hoc testing when writing this article suggests Grok is much less restrained in this regard than competitor products.

The transparency paradox

Grok’s Nazi controversy highlights a deeper ethical issue: would we prefer AI companies to be explicitly ideological and honest about it, or maintain the fiction of neutrality while secretly embedding their values?

Every major AI system reflects its creator’s worldview – from Microsoft Copilot’s risk-averse corporate perspective to Anthropic Claude’s safety-focused ethos. The difference is transparency.

Musk’s public statements make it easy to trace Grok’s behaviours back to Musk’s stated beliefs about “woke ideology” and media bias. Meanwhile, when other platforms misfire spectacularly, we’re left guessing whether this reflects leadership views, corporate risk aversion, regulatory pressure, or accident.

This feels familiar. Grok resembles Microsoft’s 2016 hate-speech-spouting Tay chatbot, also trained on Twitter data and set loose on Twitter before being shut down.

But there’s a crucial difference. Tay’s racism emerged from user manipulation and poor safeguards – an unintended consequence. Grok’s behaviour appears to stem at least partially from its design.

The real lesson from Grok is about honesty in AI development. As these systems become more powerful and widespread (Grok support in Tesla vehicles was just announced), the question isn’t whether AI will reflect human values. It’s whether companies will be transparent about whose values they’re encoding and why.

Musk’s approach is simultaneously more honest (we can see his influence) and more deceptive (claiming objectivity while programming subjectivity) than his competitors.

In an industry built on the myth of neutral algorithms, Grok reveals what’s been true all along: there’s no such thing as unbiased AI – only AI whose biases we can see with varying degrees of clarity.

The Conversation

Aaron J. Snoswell previously received research funding from OpenAI in 2024–2025 to develop new evaluation frameworks for measuring moral competence in AI agents.

ref. How do you stop an AI model turning Nazi? What the Grok drama reveals about AI training – https://theconversation.com/how-do-you-stop-an-ai-model-turning-nazi-what-the-grok-drama-reveals-about-ai-training-261001

Can’t work out without music? Neither could the ancient Greeks and Romans

Source: The Conversation – Global Perspectives – By Konstantine Panegyres, Lecturer in Classics and Ancient History, The University of Western Australia

Wikimedia Commons, CC BY-SA

These days when you see people exercising, they’re usually also listening to music, whether they’re at the gym, or out jogging on the street.

It makes sense, as studies have shown listening to music can help you get the most out of a workout.

Somehow the ancient Greeks and Romans knew this too, long before modern science was there to back it.

A more than 2,000-year-old habit

In his oration To the People of Alexandria, the Greek writer Dio Chrysostom (40-110 CE) complained about a phenomenon he saw all the time.

Dio wrote people loved to listen to music in their daily activities. According to him, music could be found in the courtroom, in the lecture theatre, in the doctor’s room, and even in the gym.

“Everything is done to music […] people will presently go so far as to use song to accompany their exercise in the gymnasium,” Dio wrote.

But exercising to music wasn’t a new thing in his day. This practice has been recorded across the ancient Greek and Roman worlds from the earliest times, and as far back as the poems of Homer (circa 800 BCE).

Why exercise to music?

There are many depictions of professional athletes training, or competing, to the accompaniment of music in ancient Greek vase paintings.

In one vase painting from the 5th century BCE, a group of athletes trains while a musician plays the aulos, a type of ancient pipe instrument.

Young men exercising to the sound of an aulos player (an ancient wind instrument).
Wikimedia

The ancient writer Plutarch of Chaeronea (46-119 CE) tells us music was also played while people wrestled or did athletics.

Athenian writer Flavius Philostratus (circa 170-245 CE) offers clues as to why. In a book about gymnastics, Philostratus wrote music served to stimulate athletes, and that their performance might be improved through listening to music.

Today’s researchers have proven this to be true. One 2020 study involving 3,599 participants showed listening to music during exercise had many benefits, such as reducing the perception of fatigue and exertion, and improving physical performance and breathing.

Singing and trumpets

Since ancient people didn’t have electronic devices, they found other ways to exercise to music. Some had music played by a musician during their exercise routine. Others sang while they exercised.

Singing while playing ball games was particularly popular. In Homer’s Odyssey (circa 8th century BCE), Nausicaa, the daughter of the King of Phaeacia, plays a ball game with her girl friends, and they all sing songs as they play.

Similarly, the historian Carystius of Pergamum (2nd century BCE) wrote the women of his time “sang as they played ball”.

Another popular activity was dancing to music. Dancing was widely regarded as a gymnastic exercise people could do for better health.

One famous advocate of the benefits of dancing as exercise was the great Athenian philosopher Socrates (circa 470-399 BCE). According to the historian Diogenes Laertius (3rd century CE), “it was Socrates’ regular habit to dance, thinking that such exercise helped to keep the body in good condition”.

Exercising to music was depicted in several ancient Greek vase painting.
Wikimedia, CC BY-NC-SA

Apart from individuals using music in their personal exercise, soldiers also did training exercises, and marched to battle, to the sound of trumpets.

Don’t skip leg day

There was a belief in ancient Greek and Roman that music and exercise played an important role in shaping and developing the body and soul.

The ideal was harmony and moderation. The body and soul needed to be balanced and proportionate in all their parts, without any excess. As such, doing one kind of exercise too often, or exercising one body part excessively, was frowned upon.

The physician Galen of Pergamum (129-216 CE) criticised types of exercise that focused too much on one part of the body. He preferred ball games as they exercised the whole body evenly.

Immoderation in music – that is, listening to too much, or listening to music that was too emotional – was also sometimes frowned upon.

For example, the Athenian philosopher Plato (circa 428-348 BCE) famously argued most music should be censored as it can stir the passions too strongly. Plato thought only simple and unemotional music, listened to in moderation, should be allowed.

If the ancients could see today’s people running along the pavement with music thumping in their ears, they would surely be amazed. And they’d probably approve – as long as it wasn’t being done in excess.

The Conversation

Konstantine Panegyres 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. Can’t work out without music? Neither could the ancient Greeks and Romans – https://theconversation.com/cant-work-out-without-music-neither-could-the-ancient-greeks-and-romans-258069

Cycling can be 4 times more efficient than walking. A biomechanics expert explains why

Source: The Conversation – Global Perspectives – By Anthony Blazevich, Professor of Biomechanics, Edith Cowan University

You’re standing at your front door, facing a five kilometre commute to work. But you don’t have your car, and there’s no bus route. You can walk for an hour – or jump on your bicycle and arrive in 15 minutes, barely breaking a sweat. You choose the latter.

Many people would make the same choice. It’s estimated that there are more than a billion bikes in the world. Cycling represents one of the most energy-efficient forms of transport ever invented, allowing humans to travel faster and farther while using less energy than walking or running.

But why exactly does pedalling feel so much easier than pounding the pavement? The answer lies in the elegant biomechanics of how our bodies interact with this two-wheeled machine.

A wonderfully simple machine

At its heart, a bicycle is wonderfully simple: two wheels (hence “bi-cycle”), pedals that transfer power through a chain to the rear wheel, and gears that let us fine-tune our effort. But this simplicity masks an engineering that perfectly complements human physiology.

When we walk or run, we essentially fall forward in a controlled manner, catching ourselves with each step. Our legs must swing through large arcs, lifting our heavy limbs against gravity with every stride. This swinging motion alone consumes a lot of energy. Imagine: how tiring would it be to even swing your arms continuously for an hour?

On a bicycle, your legs move through a much smaller, circular motion. Instead of swinging your entire leg weight with each step, you’re simply rotating your thighs and calves through a compact pedalling cycle. The energy savings are immediately noticeable.

But the real efficiency gains come from how bicycles transfer human power to forward motion. When you walk or run, each footstep involves a mini-collision with the ground. You can hear it as the slap of your shoe against the road, and you can feel it as vibrations running through your body. This is energy being lost, literally dissipated as sound and heat after being sent through your muscles and joints.

Walking and running also involve another source of inefficiency: with each step, you actually brake yourself slightly before propelling forward. As your foot lands ahead of your body, it creates a backwards force that momentarily slows you down. Your muscles then have to work extra hard to overcome this self-imposed braking and accelerate you forward again.

Kissing the road

Bicycles use one of the world’s great inventions to solve these problems – wheels.

Instead of a collision, you get rolling contact – each part of the tyre gently “kisses” the road surface before lifting off. No energy is lost to impact. And because the wheel rotates smoothly so the force acts perfectly vertically on the ground, there’s no stop-start braking action. The force from your pedalling translates directly into forward motion.

But bicycles also help our muscles to work at their best. Human muscles have a fundamental limitation: the faster they contract, the weaker they become and the more energy they consume.

This is the famous force-velocity relationship of muscles. And it’s why sprinting feels so much harder than jogging or walking – your muscles are working near their speed limit, becoming less efficient with every stride.

Bicycle gears solve this problem for us. As you go faster, you can shift to a higher gear so your muscles don’t have to work faster while the bike accelerates. Your muscles can stay in their sweet spot for both force production and energy cost. It’s like having a personal assistant that continuously adjusts your workload to keep you in the peak performance zone.

A graphic with a cyclist and a pedestrian.
Cycling can be at least four times more energy-efficient than walking and eight times more efficient than running.
The Conversation, CC BY

Walking sometimes wins out

But bicycles aren’t always superior.

On very steep hills of more than about 15% gradient (so you rise 1.5 metres every 10 metres of distance), your legs struggle to generate enough force through the circular pedalling motion to lift you and the bike up the hill. We can produce more force by pushing our legs straight out, so walking (or climbing) becomes more effective.

Even if roads were built, we wouldn’t pedal up Mount Everest.

This isn’t the case for downhills. While cycling downhill becomes progressively easier (eventually requiring no energy at all), walking down steep slopes actually becomes harder.

Once the gradient exceeds about 10% (it drops by one metre for every ten metres of distance), each downhill step creates jarring impacts that waste energy and stress your joints. Walking and running downhill isn’t always as easy as we’d expect.

Not just a transportation device

The numbers speak for themselves. Cycling can be at least four times more energy-efficient than walking and eight times more efficient than running. This efficiency comes from minimising three major energy drains: limb movement, ground impact and muscle speed limitations.

So next time you effortlessly cruise past pedestrians on your morning bike commute, take a moment to appreciate the biomechanical work of art beneath you. Your bicycle isn’t just a transport device, but a perfectly evolved machine that works in partnership with your physiology, turning your raw muscle power into efficient motion.

The Conversation

Anthony Blazevich 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. Cycling can be 4 times more efficient than walking. A biomechanics expert explains why – https://theconversation.com/cycling-can-be-4-times-more-efficient-than-walking-a-biomechanics-expert-explains-why-257120