À Paris, les oiseaux continuent de chanter plus aigu à cause du bruit, malgré la lutte contre la pollution sonore

Source: The Conversation – France (in French) – By Dan Mennill, Professor and Associate Dean of Science, University of Windsor

Les bruits des voitures, des avions, des bateaux et des activités industrielles dans les zones urbaines produisent un bruit de fond constant qui affecte les oiseaux, comme cette mésange charbonnière. Wikimedia Commons, CC BY-SA

Paris a perdu trois décibels en dix ans grâce à des mesures efficaces contre la pollution sonore. Mais le bruit de la circulation oblige encore et toujours les oiseaux à chanter plus haut.


En 1962, la biologiste Rachel Carson nous mettait en garde dans le Printemps silencieux. Cet ouvrage, devenu depuis une référence majeure, alertait sur le monde muet et sans oiseau qui nous guettait du fait de l’impact incontrôlé des activités humaines.

Quarante ans plus tard, des biologistes ont mis en évidence un effet frappant de la pollution sonore sur le chant des oiseaux. Ils ont découvert que les bruits à basse fréquence de la circulation obligeaient les oiseaux à chanter à des fréquences plus élevées dans les villes européennes. Ainsi, les oiseaux d’un parc bruyant situé au pied de la tour Eiffel chantent à une fréquence supérieure de 400 hertz (Hz) à celle de leurs congénères vivant dans les forêts calmes de la banlieue parisienne.

L’étude que j’ai publiée dans la revue scientifique Ornithological Applications avec mon collègue Hans Slabbekoorn de l’Université de Leyde, montre cependant que Paris est un exemple de réussite dans la lutte contre la pollution sonore.

Pourtant, même si Paris est devenu plus calme, les oiseaux n’ont pas retrouvé leurs tonalités de chant naturelles. Nos recherches montrent que les mésanges charbonnières de Paris continuent de chanter à des fréquences plus aiguës que les oiseaux des zones sauvages situées en dehors de la ville.

Chant de mésange charbonnière.
Chantal Dengis, CC BY72,5 ko (download)

Il parait donc essentiel de redoubler d’efforts en matière de réduction du bruit dans les zones urbaines du monde entier afin de permettre aux oiseaux sauvages de communiquer à leurs fréquences sonores naturelles.

Les effets dévastateurs du bruit

De fait, les activités humaines inondent le monde des divers bruits. Les bruits des voitures, des avions, des bateaux et des activités industrielles produisent ainsi un grondement constant qui affecte les animaux sauvages, les oiseaux et les insectes. Nous négligeons souvent la pollution sonore en tant que problème de conservation, alors qu’elle peut avoir des effets dévastateurs sur la faune sauvage à une époque d’urbanisation croissante.

Le bruit de la circulation perturbe par exemple la capacité des oiseaux et des grenouilles à attirer des partenaires. Le bruit des bateaux entraîne lui une diminution de la communication vocale chez les baleines. Enfin, le bruit de la circulation influence par exemple les interactions prédateur-proie entre les papillons de nuit et les chauves-souris.

Depuis que l’on a découvert que, dans les villes européennes, les bruits de circulation à basse fréquence poussaient les oiseaux à chanter à des fréquences plus élevées, ce phénomène a également été observé chez diverses populations d’oiseaux à travers le monde.

Dans les prairies canadiennes, les bruants des prés émettent ainsi des chants plus aigus à proximité des pompes à pétrole bruyantes. Les rouges-gorges familiers chantent eux des mélodies plus aiguës en présence du bruit des éoliennes. On sait également que les zostérops à dos gris d’Australie produisent des chants et des cris plus aigus dans les zones urbaines bruyantes par rapport aux zones rurales.

Or, tous ces changements réduisent la capacité des oiseaux à défendre leurs territoires de reproduction et à attirer des partenaires.




À lire aussi :
Préserver les océans du bruit humain pour mieux les protéger


Se battre pour une ville plus calme

Paris est l’une des plus grandes et des plus densément peuplées d’Europe, mais les Parisiens ont mis au point des stratégies innovantes pour lutter contre la pollution sonore.

La ville a transformé de nombreuses voies de circulation en pistes cyclables et a posé des revêtements antibruit sur les axes routiers principaux.

Une boîte noire fixée à un lampadaire, sur laquelle figure l’image d’un oiseau. La circulation est floue en arrière-plan
Un radar sonore.
Dan Mennill

Des radars sonores infligent également des amendes aux véhicules trop bruyants. Un observatoire régional appelé Bruitparif surveille enfin le bruit dans toute la ville et supervise les efforts de réduction du bruit.

Toutes ces actions visent à rendre la ville plus calme, tant pour les habitants que pour la faune. Ces efforts contre le bruit soulèvent cependant la question suivante : peut-on réduire le niveau de pollution sonore afin de minimiser son impact sur le chant des oiseaux ?

Un frein au vacarme

En 2023, je me suis rendu à Paris pour enregistrer le chant de la mésange charbonnière, un oiseau commun des jardins européens.

J’ai utilisé des microphones et des enregistreurs numériques pour enregistrer les oiseaux dans les rues, sur les places et dans les parcs de toute la ville. J’ai suivi les traces de mon collaborateur, Hans Slabbekoorn, le biologiste qui avait été le premier à enregistrer les mésanges charbonnières à Paris en 2003.

Le chercheur se tient debout, un gros micro noir à la main, avec la Tour Eiffel en arrière-plan
Dan Mennill utilise un micro pour enregistrer le chant des oiseaux près de la tour Eiffel.
Dan Mennill

En comparant le bruit de fond au chant des oiseaux, nous avons constaté que les mésanges charbonnières émettaient des chants plus aigus dans les environnements bruyants. En chantant à un ton plus aigu, elles évitent ainsi que leur chant ne soit masqué par les bruits de circulation à basse fréquence.

Nous avons également analysé les données sur le bruit recueillies dans tout Paris par Bruitparif. Nous avons ainsi constaté que Paris est en passe de gagner la bataille contre la pollution sonore et que la ville est devenue plus calme ces dernières années.

En effet, Paris est aujourd’hui environ trois décibels plus calme qu’il y a dix ans. Comme l’échelle des décibels est logarithmique, une baisse de trois décibels représente une réduction importante de l’intensité sonore. Mais malgré ces progrès, les mésanges charbonnières de Paris continuent de chanter à des fréquences plus aiguës que celles des oiseaux vivant dans les zones sauvages en dehors de la ville.

Les oiseaux peuvent changer de chant

Il y a toutefois des raisons d’être optimiste. Des recherches menées dans d’autres villes ont montré que lorsque l’environnement devient moins bruyant, les oiseaux retrouvent leur tonalité naturelle.

Ainsi, le calme observé dans les rues pendant les confinements liés au Covid-19 a offert une occasion rare d’étudier les oiseaux dans un monde plus silencieux. Des biologistes de San Francisco (Californie) ont comme cela constaté que le paysage sonore urbain était devenu environ sept décibels plus silencieux pendant les confinements – des niveaux rarement observés depuis les années 1950.

Ce calme ambiant a permis aux oiseaux de modifier leur chant. À San Francisco, les bruants à couronne blanche ont réagi en chantant des mélodies plus graves et plus douces.

De nombreuses espèces d’oiseaux ont ainsi tiré profit de cet apaisement qui a régné pendant la période de confinement. Dans le cadre d’une étude portant sur 47 espèces d’oiseaux chanteurs en Amérique du Nord, notre équipe de recherche a constaté que les espèces dont le chant couvre une large gamme de fréquences – c’est-à-dire les sons les moins sensibles aux effets du bruit à basse fréquence – ont étendu leur aire de répartition pendant cette période de calme.

Ces résultats montrent que la pollution sonore affecte diverses espèces d’oiseaux, même celles dont le chant semble pourtant bien adapté aux environnements bruyants.

À l’écoute du futur

Nos études menées à Paris montrent qu’une réduction de trois décibels n’est pas suffisante pour permettre aux oiseaux de retrouver leurs fréquences de chant naturelles. Des efforts supplémentaires de réduction du bruit seront donc nécessaires pour que nous puissions partager l’espace sonore de manière adéquate avec nos amis à plumes.

Paris nous offre également une leçon porteuse d’espoir dans la lutte contre la pollution sonore. Les villes peuvent réduire le bruit en encourageant le vélo et les modes de transport plus silencieux. Les politiques publiques jouent également un rôle important, comme l’illustre l’agence Bruitparif à Paris.

Si nous mesurons la pollution sonore, nous pouvons nous efforcer de la réduire, d’améliorer notre propre bien-être et de créer un espace permettant aux oiseaux sauvages de communiquer à leurs fréquences sonores naturelles.

The Conversation

Dan Mennill a reçu des financements de la Natural Sciences and Engineering Research Council of Canada

ref. À Paris, les oiseaux continuent de chanter plus aigu à cause du bruit, malgré la lutte contre la pollution sonore – https://theconversation.com/a-paris-les-oiseaux-continuent-de-chanter-plus-aigu-a-cause-du-bruit-malgre-la-lutte-contre-la-pollution-sonore-281659

Le monopole syndical existe-t-il vraiment ?

Source: The Conversation – France (in French) – By Rémi Bourguignon, Professeur des Universités, IAE Paris-Est, Université Paris-Est Créteil Val de Marne (UPEC)

Mais pourquoi persiste-t-on à parler de monopole syndical ? Martin Winkler/Unsplash, CC BY

L’idée selon laquelle il faudrait mettre fin au monopole syndical pour redynamiser la démocratie sociale française fait son chemin depuis une dizaine d’années. Il faudrait faciliter la participation aux élections professionnelles des salariés non organisés sous la forme d’un syndicat voire leur permettre, sous certaines conditions, de prendre en charge la négociation collective. Alors que cette idée est revenue dans le débat social à la suite des prises de position de plusieurs économistes, il apparaît qu’elle repose sur une ambiguïté qui rend les enjeux peu perceptibles. Décryptage.


Pour réformer le fonctionnement de la démocratie sociale française, une proposition de réforme fait l’objet de vifs et récurrents débats depuis une dizaine d’années : la fin du monopole syndical. Cette proposition figurait en bonne place dans le programme politique de François Fillon lorsqu’il était candidat à l’élection présidentielle et a fait l’objet, dans la même période, d’un projet de loi déposé par le sénateur Jean-Louis Masson.

Les controverses suscitées par cette mesure ont été réamorcées ces derniers mois par les prises de position d’économistes occupant une place centrale dans le débat social. Pierre Cahuc et André Zylberberg sont ainsi les auteurs d’une tribune parue dans le journal les Échos dans laquelle ils appellent à remettre en cause le « monopole syndical » aux élections professionnelles selon lequel seuls les syndicats peuvent se présenter au premier tour de ces élections. Une « rente » qui nuirait non seulement à l’emploi, mais aussi à la démocratie sociale elle-même, nous disent les deux économistes qui proposent d’ouvrir ces élections en permettant aux salariés non investis par une organisation syndicale de pouvoir constituer une liste candidate.

Pouvoir de négocier

Gilbert Cette, économiste à Neoma Business School et président du Conseil d’orientation des retraites, propose, de son côté, de remettre en cause le monopole syndical sur la négociation collective selon lequel seuls les syndicats sont habilités à négocier avec les employeurs. Avec Jacques Barthélémy puis dans un ouvrage coécrit avec Guy Groux et Richard Robert ainsi que dans de nombreuses interventions médiatiques, il propose que, sous certaines conditions, le pouvoir de négocier soit retiré aux syndicats pour être confié à l’instance élue du personnel, le comité social et économique (CSE). La mise en cause du monopole syndical sur la négociation collective avait déjà fait l’objet d’intenses discussions en 2016 à un moment où les organisations patronales demandaient à ce que le référendum d’entreprise puisse se substituer à la négociation avec les syndicats. Certains juristes se questionnaient alors sur la constitutionnalité du monopole syndical.

Qu’il s’agisse de la présentation de candidats au premier tour des élections professionnelles ou du droit de négocier avec l’employeur, les auteurs de ces propositions suggèrent de remettre en cause le monopole syndical pour laisser plus de place aux travailleurs non syndiqués. Mais que faut-il entendre par « monopole syndical », et y a-t-il réellement monopole syndical ?




À lire aussi :
Syndicats : moins d’encartés, mais une image toujours positive auprès des salariés


Une expression ambiguë

En réalité, cette expression, sans être totalement fausse, est suffisamment ambiguë pour biaiser le débat public. Le non-spécialiste a, en effet, de quoi ne rien y comprendre. Pierre Cahuc et André Zylberberg parlent d’un monopole syndical tout en indiquant qu’il est réservé à un grand nombre d’organisations. D’ailleurs, comme une manifestation de leur embarras, les deux économistes parlent, dans la même tribune, d’un « quasi-monopole ». De même, pour Gilbert Cette et ses coauteurs, la principale entrave à la démocratie sociale est le trop grand nombre d’organisations syndicales. Leur principale proposition, qu’ils nomment la « mère des batailles », est de parvenir à réduire le nombre de syndicats. Là aussi, étrange conception du monopole que ce monopole partagé par un trop grand nombre d’acteurs.

L’ambiguïté, et donc la complexité, du débat tient à ce qu’il existe deux acceptions du monopole syndical. Une première acception est celle renvoyant à un droit de représentation exclusif. Christian Morel rappelle, à cet égard, qu’à l’époque du New Deal et de la rédaction des lois américaines sur la négociation collective dans les années 1930, deux idées de la démocratie étaient en discussion :

« D’un côté, celle de la représentation proportionnelle : selon cette philosophie, plusieurs syndicats pouvaient représenter une même collectivité de salariés. D’un autre côté, celle de la représentation majoritaire, selon laquelle le syndicat détenant la majorité devait disposer du monopole de la représentation. »

Et de rappeler que c’est la seconde qui l’a emporté de sorte que le monopole syndical prévaut dans les entreprises nord-américaines et, plus généralement, dans les systèmes anglo-saxons de relations professionnelles. Lorsqu’un syndicat parvient à s’implanter dans un établissement, il dispose d’un droit de représentation exclusif. Le système français, pour sa part, rejette le principe du monopole syndical et en prend même le contre-pied par un pluralisme particulièrement marqué.

Au cœur de la démocratie sociale

Alors, de quoi parle-t-on lorsqu’on évoque le monopole syndical dans le système français ? En fait, pas d’un monopole syndical au sens où ces droits seraient réservés à un acteur exclusif mais d’un principe au cœur de la démocratie sociale française, à savoir un encadrement collectif de la représentation des salariés. On pourrait également dire un contrôle syndical sur cette représentation. En termes plus clairs, pour s’investir dans la représentation de leurs collègues et dans la négociation avec l’employeur, les salariés doivent s’inscrire dans le cadre d’une organisation collective, extérieure à l’entreprise et disposant d’une personnalité morale.

Ces organisations s’appellent syndicats et ont pour mission de constituer les listes au premier tour des élections professionnelles et de mandater des négociateurs auprès de l’employeur. Ce sont ces organisations qui portent la responsabilité de l’action de leurs militants sur le terrain. C’est en ce sens qu’il s’agit d’un contrôle syndical. Mais si l’on doit parler de monopole, c’est un monopole accordé à un statut, celui de syndicat. Pas un monopole accordé à un acteur.

En effet, l’ensemble des salariés ont la possibilité de se constituer en syndicat et, s’ils remplissent quelques critères, peuvent se présenter aux élections professionnelles. Si, à l’issue de ces élections, ils ont démontré leur représentativité, ils pourront prendre part aux négociations collectives. Le droit de se présenter aux élections professionnelles est donc parfaitement ouvert pourvu que les salariés qui le souhaitent inscrivent leur action dans le cadre d’une organisation collective responsable.

Une ouverture déjà présente

La loi indique notamment qu’elle est ouverte aux organisations syndicales « qui satisfont aux critères de respect des valeurs républicaines et d’indépendance, légalement constituées depuis au moins deux ans et dont le champ professionnel et géographique couvre l’entreprise ou l’établissement concernés ». Bref, si des salariés ont déposé des statuts, font preuve de transparence financière, respectent les valeurs républicaines et sont indépendants de l’employeur, ils peuvent se présenter aux élections professionnelles.

Opposer le monopole syndical à des élections ouvertes obscurcit la question. Car, à ce compte, il fait peu de doute que l’élection ouverte est préférable. Mais ce n’est précisément pas la question puisque l’élection est déjà ouverte. Ce qui est contesté par celles et ceux qui appellent à mettre fin au monopole syndical est, en réalité, moins une rente qui biaiserait la représentativité des négociateurs qu’une prérogative.

Le monopole syndical, pris en ce sens, serait plutôt à rapprocher du monopole médical selon lequel seuls les médecins sont habilités à prescrire des médicaments bien que les médecins soient en concurrence. De la même manière, si l’accès au premier tour des élections professionnelles et à la négociation collective est réservé aux organisations syndicales, celles-ci sont mises en concurrence et l’accès aux statuts de syndicats est possible pour tous les salariés.

Arte, 2024.

Reposer le débat dans le bon cadre

Le débat sur la fin du monopole syndical invite ainsi à se demander si la représentation du personnel et la négociation collective doivent s’inscrire dans le cadre d’une action collective portée par une organisation identifiée et responsable ou si elle peut être le fait d’une collection de salariés plus ou moins coordonnés et organisés.

La forme syndicale joue actuellement un rôle important. Tout d’abord, elle offre une personnalité morale aux salariés qui s’y engagent, ce qui contribue à leur indépendance vis-à-vis de l’employeur et leur ouvre des modalités d’action dont ne disposent pas des salariés qui constitueraient une liste candidate dite non syndiquée.

Elle est surtout une organisation fondée sur des principes démocratiques et doit constituer, à ce titre, un espace permettant de mettre en discussion la diversité des intérêts et des visions qui traversent le monde du travail pour faire advenir, par la délibération, des revendications les plus partagées possibles. C’est au regard de cette fonction que le syndicalisme est habituellement considéré comme l’institution centrale de la démocratie sociale.

La contestation du monopole syndical est nourrie par l’idée selon laquelle les syndicats ne rempliraient, en réalité, plus cette fonction. Si le débat sur la vitalité de la démocratie syndicale est tout à fait légitime et bienvenu, l’argument selon lequel l’affaiblissement voire la suppression des prérogatives syndicales est de nature à renforcer la démocratie sociale reste à étayer.

The Conversation

Rémi Bourguignon a reçu des financements de recherche de France Stratégie, l’agence d’objectifs de l’IRES, la fédération CFE-CGC Métallurgie

ref. Le monopole syndical existe-t-il vraiment ? – https://theconversation.com/le-monopole-syndical-existe-t-il-vraiment-281070

Do birds have accents? The fascinating regional differences in birdsong

Source: The Conversation – UK – By Louise Gentle, Principal Lecturer in Wildlife Conservation, Nottingham Trent University

Yellowhammers have two main dialects in the UK. WaceQ/Shutterstock

Birds sing the most around an hour before dawn, when the air is at its stillest. Theoretically, this enables sounds to travel further, making song up to 20 times more effective than if sung at midday.

With International Dawn Chorus day approaching, it’s time to take a moment to soak in the spring birdsong and notice the individual harmonies blending together.


International Dawn Chorus Day brings casual bird appreciators, ornithological experts and dedicated twitchers together in a celebration of birdsong. In our series, experts give their insights on nature’s chorus.


The dawn chorus is beautiful anywhere, but your local birdsong may sound rather different to nearby areas. Even in the same neighbourhood, birds of the same species don’t always sound exactly alike. I was recently teaching undergraduates about bird song, and they recorded blue tits singing around campus. The students found plenty of differences between individual birds. Some blue tits sang their classic song, which sounds a bit like they are saying “he-llo, I’m a little blue tit”. Some sang a more elaborate “he-llo, I’m a little blue tit, blue tit”, and some only bothered with “he-llo”.

Alongside individual differences, birds have regional differences in song. For example, the birdsong that sounds a bit like “my toe bleeds Be-tty”, commonly sung by the woodpigeon is, in some parts of the UK, “my toe bleeds Ju-li-a”, with an extra syllable to the final section of the song. These sorts of regional dialects have been reported in several British bird species including blackbirds and great tits.

However, one of the most interesting accents comes from farmland bird the yellowhammer, who typically sings birdsong that sounds like “a little bit of bread and no cheese please”. In the UK, the yellowhammer largely has two distinct dialects, differing in the final “cheese please” part of the song. In the east of England, “cheese” has a lower pitch than “please”, and this is reversed in south and west England.




Read more:
Why do birds sing?


The yellowhammer was introduced to New Zealand from the UK in the 1860s and 70s. But, unlike the UK, the New Zealand yellowhammers have around seven dialects, despite originating from the south of England. These five extra dialects have also been detected in birds across Europe, indicating that the New Zealand birds still sing the 19th century British dialects that have since disappeared in the UK. This is likely due to the large decline in the number of yellowhammers in the UK which caused some populations to go extinct. An ongoing project allows you to view a map of yellowhammer dialects or help with citizen science research on their song.

Most birds only sing one dialect, learned from parents or neighbours, resulting in a geographical mosaic of regional accents. Dialects often overlap but can dominate certain areas, essentially producing geordie, brummie, cockney and scouse birds.

Although some bird species have an innate ability to sing the song of their species (the cuckoo, for example), species with more elaborate song must learn to sing. Young birds inherit a template which they add to from listening to songs around them.

For example, chaffinches that have been hand-reared in isolation produce simple songs, whereas wild chaffinches learn complexities from their parents or immediate neighbours in their first weeks of life. Finer details of their song are acquired the following breeding season when they come into contact with neighbouring territory owners. Interestingly, corn buntings, a farmland bird, sing the same song as their nearest neighbour rather than their parents, seeming to learn most after dispersing from their nest.

Birds are also adapting to humans. In urban areas, wildlife is subjected to human-made noise such as cars and machinery. Consequently, urban birds now sing at a higher pitch than rural birds as higher-pitched songs carry better over low-pitch urban noise. And it’s not just the pitch of the song that has been altered.

Great tits sing shorter and faster songs in cities compared to forests, and blackbirds sing louder in urban areas. However, even when cities are quiet, like in the early hours, urban birds maintain these song features, which suggests that sounds echo off large buildings and don’t travel as far in urban areas.

Birds are singing earlier in response to traffic noise, with city blackbirds starting their dawn chorus up to five hours earlier than rural birds. The effect of artificial light also leads to an earlier start of dawn singing, with song thrushes starting ten minutes earlier, and robins and great tits 20 minutes earlier than in areas without street lighting. And, artificial light causes blackbirds to sing around an hour earlier than those exposed to natural light.

Scientists still have much to learn about the differences in birdsong within a species. When you hear birdsong, it’s easy to assume that it’s a male. And it is more usually males that sing. Females choose males with the best song so that his high quality genes will be inherited by her offspring. But female birds have been massively under-represented in archives and scientific studies. A 2016 analysis found that for 3,500 out of 4,814 species we don’t even have enough data to know whether or not the females of the species sing. As researchers take a closer look at female birdsong, we may learn of even more differences.

Next time you listen to a bird singing, see if you can hear the nuances in the dialect, or spot the difference between urban and rural birds.

The Conversation

Louise Gentle works for Nottingham Trent University.

ref. Do birds have accents? The fascinating regional differences in birdsong – https://theconversation.com/do-birds-have-accents-the-fascinating-regional-differences-in-birdsong-278108

Were enormous octopuses apex predators in ancient oceans?

Source: The Conversation – UK – By Thomas Clements, Lecturer, University of Reading

Illustration of the giant octopus. Image: Yohei Utsuki, Department of Earth and Planetary Sciences, Hokkaido University

At the time of the dinosaurs, the oceans were teeming with life. Below the waves, giant marine reptiles, such as the fearsome 4m (13ft) long mosasaurs, were the undisputed apex predators.

In artistic reconstructions of these ancient oceans, cephalopods – the animal group that includes squid, cuttlefish, octopuses, and their ancestors – are almost always portrayed as prey, often seen desperately swimming away from the jaws of a marine reptile to avoid becoming lunch.

However, a remarkable new fossil suggests our view of the ancient oceans is incomplete, and that giant octopuses, perhaps reaching as long as 19m (62ft), may have been the ones doing the hunting.

The fossil in question is a giant octopus jaw, belonging to a new species called Nanaimoteuthis haggarti. It is found in Late Cretaceous rocks of Japan, making it between 100 million and 72 million years old.

Like other cephalopods, octopuses have a hard beak that looks like a parrot’s bill, used to bite and tear prey, and this fossil example is enormous – larger than that of the famous giant squid Architeuthis.

Based on the shape and size of the beak, Shin Ikegami, from Hokkaido University, Japan, and colleagues, identify it as belonging to the Cirrata, a group of finned octopuses still found today in the deepest oceans. They estimate that the animal may have reached between seven and 19 metres in length. Details have been published in the journal Science.

If that upper estimate is even close to correct, Nanaimoteuthis, would represent the largest invertebrate yet described from the fossil record — an animal rivalling the largest marine reptiles in scale.

The authors also use the wear and damage on the octopus beak as indicators of ancient behaviour. Scratches and pits on the surface point to an animal hunting and crushing prey with bones or shells, not scavenging or feeding on soft-bodied organisms.

Additionally, the wear pattern is asymmetric, interpreted by the authors as evidence of a preference for chewing on one side over the other, a trait associated with higher cognitive function.

Far from being food, Nanaimoteuthis may have been one of the most formidable predators in its ecosystem, in an era we have long assumed was defined by vertebrate dominance.

That such a claim can be made at all is remarkable, because cephalopods almost never leave any trace in the fossil record. Unlike fish, marine reptiles, or even ammonites, most cephalopods have no hard parts like bones.

Octopuses, in particular, are almost entirely “skin bags” filled with water. When they die, they rot quickly, and even the few hard parts, such as the beak, are seldom preserved.

This creates a systematic bias that skews our understanding of ancient ecosystems: animals that preserve well dominate our reconstructions, and the animals that don’t, even if they were common among certain ancient ecosystems, are largely invisible to us.

Every fossil cephalopod, therefore, represents a vital piece of palaeontological information, giving us a fleeting glimpse into a lost world of squishy invertebrates.

But not all cephalopodologists are convinced by the size estimate, with the potential length of 19m in particular drawing scrutiny on social media.

Scaling cephalopod body sizes from beaks is not straightforward. The relationship between jaw dimensions and total body size varies considerably across cephalopod species, a problem compounded by the patchy data available for rarely caught deep-water cirrate octopuses.

Other researchers have also questioned the behavioural inferences drawn from the wear patterns, arguing that bite asymmetry can be caused by many factors, and that drawing conclusions about animal intelligence from a single specimen is premature.

It is also important to put this finding into context of the living relatives of Nanaimoteuthis. Modern cirrate octopuses are not known to swim after prey, typically hunting small invertebrates on the seafloor, raising questions about whether their giant ancient cousins would ever have encountered, let alone challenged, the formidable marine reptiles.

But step back from the debate over metres and scaling equations, and something fundamental comes into view. Our reconstructions of ancient ecosystems are shaped by what preserves (bones, shells, teeth) and often systematically blind to what doesn’t.

While future investigations may test the size estimate or refine behavioural interpretations, this remarkable fossil shows that there may have been giants lurking in the vast, deep, and dark waters of the ancient oceans. We just couldn’t see them until now.

The Conversation

Thomas Clements 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. Were enormous octopuses apex predators in ancient oceans? – https://theconversation.com/were-enormous-octopuses-apex-predators-in-ancient-oceans-281518

Gaza: six months of ceasefire have left the territory in rubble and little vision for the future of its people

Source: The Conversation – UK – By Rafeef Ziadah, Senior Lecturer in Politics and Public Policy (Emerging Economies), King’s College London

Municipal elections in the occupied West Bank and in the central Gaza city of Deir al-Balah on April 25 have been quickly framed by Fatah, the dominant faction within the Palestinian Authority (PA), as a sweeping victory.

But it’s worth taking a closer look at how the election was organised. Candidates were required to commit to the political programme of the Palestine Liberation Organisation (PLO), which which includes the recognition of Israel, the renunciation of terrorism and the pursuit of a two-state solution. It was a condition that was widely seen as effectively excluding Hamas, which does not support these policies.

Hamas – which is understood to be preparing to hold elections for its leadership, which has been decimated during the 30-month conflict in Gaza – did not field candidates. A number of other groups, including the People’s Front for the Liberation of Palestine, the Democratic Front for the Liberation of Palestine, the Palestine People’s Party, FIDA, and Palestinian National Initiative, also opted not to field candidates in the election.

It’s important, when looking at the turnout and results, to bear this in mind. In the West Bank, turnout reached around 56%, but Fatah-affiliated lists were elected unopposed in 197 councils, roughly half of all municipalities in this round.

In the Gaza Strip, voting took place only in the central city of Deir al-Balah. Here, turnout was significantly lower, at around 23%, reflecting the mass displacement, incomplete voter registries and widespread loss of life. The Fatah-backed list won six of 15 seats. A list widely seen as aligned with Hamas secured two seats, with the remainder going to non-affiliated groups.

For the Fatah-dominated Palestinian Authority, these municipal elections serve several purposes. They are presented as a way to reaffirm a political link between the West Bank and Gaza, and to signal a continued role in Gaza’s future governance. They also offer a platform promising reforms to the watching world at a moment when the PA faces pressure to demonstrate political legitimacy.




Read more:
Council elections take place for some Palestinians – but continuing mass displacement makes Gaza poll farcical


While regular municipal elections have been held in the West Bank, presidential and legislative elections have not been held since 2005 and 2006. In the intervening two decades, concerns over the concentration of power under Fatah leader Mahmoud Abbas have intensified. In this context, the municipal elections represented a lower-stakes form of participation. It was a way to show electoral activity without reopening the broader question of national leadership.

Rather than a clear mandate, the results point to a constrained political landscape, shaped as much by exclusion and limited participation as by electoral competition. What these elections will change on the ground is unclear, particularly in Gaza, which remains stricken by 30 months of war.

Gaza in ruins

According to the UN, over 1.9 million people – between 80% and 90% of Gaza’s population – are displaced – six months into what is supposed to be a ceasefire. Families live in damaged homes, tents or overcrowded shelters, without reliable access to clean water, electricity, food or healthcare.

According to the World Health Organization, only 19 of Gaza’s 36 hospitals function even partially and nearly half of essential medicines have run out. Conditions in displacement sites are deteriorating. Around 81% of sites show signs of rodents or pests, affecting 1.45 million people and increasing public health risks.

A recent joint World Bank–EU–UN assessment estimates that the recovery and reconstruction of the Gaza Strip will cost more than US$70 billion (£52 billion). The restoration of housing alone accounts for US$18 billion in damage, while more than 68 million tonnes of debris will need to be removed before rebuilding can begin.

But reconstruction depends on access to materials, land and infrastructure and Israel continues to control all of these. Israeli authorities control the entry of aid into Gaza, funnel deliveries through a single crossing, impose inspection regimes that delay or halt shipments, and close crossings altogether. Aid entering Gaza fell by 37% in the three months to April 2026, as raids and other ceasefire violations continue.

Reconstruction without Palestinians

While the people of Gaza remain in these conditions, outsiders are moving ahead with plans to shape Gaza’s future. In November 2025, the UN Security Council endorsed resolution 2803, backing a US-led initiative known as the Board of Peace to oversee the territory. When it first met on February 19, the Board of Peace pledged around US$17 billion – including US$10 billion from the US and additional commitments from Gulf states such as the UAE, Qatar, Saudi Arabia and Kuwait.

Palestinians have no representatives on the Board of Peace, which is chaired by the US president Donald Trump, who also sets the agenda and calls meetings. Israel, however, does, as do Trump’s most prominent envoys, Jared Kushner and Steven Witkoff, who both have considerable business and real estate interests in the Middle East.

Palestinian civil society organisations have warned that the Board of Peace excludes Palestinians from meaningful decision-making and undermines their right to self-determination. European governments have also raised concerns about the concentration of authority in the hands of the US president and the lack of oversight.

Control over funding is also taking shape. The Gaza Reconstruction and Development (Grad) fund is structured as a World Bank Financial Intermediary Fund, with the bank acting as “limited trustee”. In practice, this means the World Bank manages donor money but has no say in how the money is spent. But World Bank president Ajay Banga also sits on the Board of Peace executive board, placing the institution inside the political structure that sets priorities.

In documents related to the Grad, the World Bank describes this moment as an opportunity to “fundamentally reshape” Gaza’s economy through private investment. The vision, as has been widely covered in the media, is to transform Gaza into a “hub” in the Imec development corridor that links India to the Middle East and beyond. The rebuilt Gaza would include a major port, high-tech industrial development, data centres and tourism resorts. Little provision has been made for the restoration of Palestinian homes, healthcare or water and power infrastructure.




Read more:
Donald Trump’s vision for Gaza’s future: what a leaked plan tells us about US regional strategy


Recent discussions with the Dubai-based port operator and logistics company DP World appear to highlight Board of Peace priorities. In April 2026, representatives linked to the board explored bringing the company in to manage key parts of Gaza’s supply chains, including warehousing, tracking systems and the movement of both humanitarian and commercial goods.

The talks also included proposals for a new port in Gaza or on the Egyptian coast, as well as a free-trade zone. It’s a plan for market-led development in its most concentrated form, which envisages the reconstruction of Gaza to serve regional and global economic interests. It reflects external priorities, not the needs on the ground in Gaza.

The Conversation

Rafeef Ziadah 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. Gaza: six months of ceasefire have left the territory in rubble and little vision for the future of its people – https://theconversation.com/gaza-six-months-of-ceasefire-have-left-the-territory-in-rubble-and-little-vision-for-the-future-of-its-people-281541

What women’s work songs reveal about the changing climate

Source: The Conversation – UK – By Reetika Revathy Subramanian, Senior Research Associate, Global Development, University of East Anglia

Anusuyabai Pandekar and her daughter-in-law Mandabai sit facing each other beside a stone grindmill. The mill is still. No grain rests between its stones. No flour gathers at the edges. Instead it sits between them like an object from another time.

One of the women begins to sing. The other joins. The melody carries the rhythm of a labour no longer being done, cyclical and without clear beginning or end:

It is raining heavily, let the soil become wet.

Women go to the fields, carrying baskets of bhakri (bread).

The pre-monsoon rain is beating down on the fields.

Under the jasmine tree, the ploughman is working with the drill-plough.

Scenes like the one this song describes, once common across rural western India, now belong increasingly to the archive. Hand-grinding has given way to electric mills. The work that once informed these songs has thinned out, leaving behind recordings, fragments and memory.

Accounts of drought and environmental change rarely include such voices. In official records and news reports, what is measured often overshadows what is lived. Climate change is typically explained through numbers, including emissions targets, temperature thresholds and rainfall variability. This data is necessary. But it cannot capture how change is inhabited: how it settles into bodies, reshapes routines and presses into everyday life.

Long before climate science named the crisis, women were registering these shifts in another language – song.

Anusuyabai Pandekar and her daughter-in-law Manda singing in May 2017 for the Grindmill Songs Project archive.

Climate, labour and everyday life

Across the world, women’s work songs function as informal archives of environmental change. Emerging from repetitive labour – including grinding, pounding, planting and carrying – they register shifts in seasons, resources and survival long before these enter formal records.

I began to understand this during my doctoral work in 2020 and 2021. I was researching labour arrangements within the sugar industry in drought-affected regions of western India. Policy reports described rainfall deficits, groundwater depletion and crop loss. But women spoke instead of work – walking further for water, delaying planting and stretching food across uncertain seasons.

Their voices extended beyond conversation into an unexpected archive – The Grindmill Songs Project. First documented in the 1990s and now hosted by the People’s Archive of Rural India, the project brings together around 100,000 songs organised by people, places and themes. I used this archive alongside ethnographic interviews to trace labour, marriage and drought in the sugarcane industry, where women’s voices were largely absent from official records.

Here, labour and environmental strain were articulated with a precision often absent from formal accounts. Climate was not abstract; it was embedded in the rhythms of work.


The climate crisis has a communications problem. How do we tell stories that move people – not just to fear the future, but to imagine and build a better one? This article is part of Climate Storytelling, a series exploring how arts and science can join forces to spark understanding, hope and action.


The water-guzzling sugarcane crop, around which the region’s economy turns, surfaced repeatedly in both speech and song. It appeared as a metaphor for happiness, for domestic violence, even for dowry; a substance moving between fields and households, binding labour, desire and coercion. Environmental stress did not stand apart from these concerns, but moved through them. As one song goes:

A daughter’s existence is like a sack of sugar

Father got his daughter married, he became a merchant

Another describes married life through the language of extraction:

Father says, daughter, how are you treated by your in-laws

Like a 12-year-old sugarcane crushed in the sugar-mill

A broader pattern emerges from this context. Across regions, environmental change is first encountered through its effects on labour, and only later abstracted into data. Comparable dynamics appear elsewhere. In west African farming communities, songs synchronise collective labour while expressing shared experience of seasonal uncertainty. In Malawi, during famine, women sang:

Koke kolole … pull, pull hard, pull the clouds –

why does the rain not come?

Our dead fathers, what have we done?

Forgive us … do you want us to die?

Send us rain.

Here, ecological crisis is framed as a breakdown within a moral and social order. Such songs interpret environmental failure through relationships between the living and the dead and between obligation and neglect.

On the Swahili coast, fishing songs similarly accompany sailing and net-making, embedding weather knowledge, labour discipline and social commentary within everyday maritime life. These songs accompany work, but they also organise it, giving rhythm to collective effort while encoding knowledge about seasons, risk and survival.

A Gaelic waulking song that helps women beat cloth to a specific rhythm, sung in the Outer Hebrides.

This relationship between labour and environment extends across very different histories. In the Caribbean, work songs bear the imprint of plantation economies shaped by extraction and environmental vulnerability. In Latin America, women’s traditions carry histories of colonial labour within their rhythms.

In Colombia’s San Basilio de Palenque, women still sing as they coax peanuts from rain-softened soil, gathering food, language and memory in the same gesture. Elsewhere, songs track movement itself: young men leaving with the dry-season wind, rivers in flood separating families.

Along cold North Sea coasts, herring workers, known as the “gutters”, sang Gaelic work songs in the 19th century while gutting fish at speed, their rhythms coordinating labour under harsh conditions. Beyond work, women also composed laments that dwelt on separation from men at sea.

Listening to climate differently

These songs describe hardship. But they also make it perceptible, situating environmental stress within labour, social relations and obligation. Climate change follows existing inequalities. In many contexts, its earliest effects are absorbed through women’s work, through longer hours, shifting responsibilities and increased strain.

Importantly, these songs were not intentionally composed as records of environmental change. They emerge from labour, relationships and survival. Yet because women’s work is so closely tied to land, water and season, environmental shifts are registered within them, often indirectly, as part of their lived experience.

Work songs therefore offer a distinct kind of record. Against archives that have historically privileged elite and male voices, they preserve forms of knowledge grounded in everyday labour.

But the conditions that sustained such singing are fading. Mechanisation and the decline of collective work have reduced the spaces in which these songs were produced and shared, with many now confined to ritual settings such as weddings and childbirth gatherings. As these practices decline, so too do the forms of knowledge embedded within them.

Listening to these songs does not replace data-driven, scientific knowledge about climate change. It complements it by making visible dimensions of change that are otherwise difficult to capture, including the reorganisation of labour, the strain on relationships and the uncertainty of survival.

The Conversation

Reetika Revathy Subramanian received funding from the Gates Cambridge Trust for her doctoral research at the University of Cambridge Centre for Gender Studies (2019–2024), on which this article primarily draws.

ref. What women’s work songs reveal about the changing climate – https://theconversation.com/what-womens-work-songs-reveal-about-the-changing-climate-280964

Why your brain turns against you during arguments – and what to do about it

Source: The Conversation – UK – By Trudy Meehan, Lecturer, Centre for Positive Psychology and Health, RCSI University of Medicine and Health Sciences

DimaBerlin/Shutterstock.com

My ex once told me, mid-argument, that I was the most unempathetic person he’d ever met. It was a low blow. I’m a clinical psychologist. Empathy is literally my job.

What he probably didn’t know – and I was too “flooded” to explain at the time – is that when we argue with people we love, our brains can briefly turn against us.

Researchers call it emotional flooding or diffuse physiological arousal. Your heart hammers. You flush, sweat and shake. Adrenaline surges through you as though you are being chased by something that wants to eat you.

Lisa Feldman Barrett, a professor of psychology at Northeastern University in the US, describes the brain as being “locked in a dark, silent box” (your skull) with no direct access to the outside world. It can only work with signals from your senses, and it uses past experience to predict what those signals mean. So when my partner looked away during an argument – eyes down, head turned – my brain didn’t just register disconnection. It reached into my past and found my father, largely absent, largely disengaged and screamed – a threat.

If you’ve experienced a lot of conflict, rejection or trauma, your brain becomes a hair-trigger prediction machine, interpreting interpersonal friction as danger even when you’re perfectly safe. It’s trying to protect you. The problem is that once you tip into that negative emotional state, you also shift from “we” thinking to “me” thinking – fast. Empathy evaporates. You’re in survival mode, not relationship mode.

It would be convenient to blame all of this on my neurology, or on my ex for arguing in ways that made me feel threatened. But that’s not quite how it works. Our physiological states don’t exist in isolation. We regulate each other, pulling one another up or dragging each other under. Which means we carry some responsibility for what happens in each other’s nervous systems.

This gets particularly charged in the parent-child relationship. Parents are already stretched. When a child acts out, the most useful response is curiosity: what is this behaviour trying to communicate? But a flooded parent is far more likely to react harshly or defensively than with the openness a child actually needs.

So what can we do when the flood waters rise? The first thing is to get to know your own internal state in real time. Awareness alone can slow emotional reactivity. It won’t happen overnight, but learning to notice the early physical signs of flooding – the heat, the racing pulse – gives you a tiny window of choice before your brain takes over.

The second tool is what psychologists call cognitive reappraisal: consciously inserting a different story between the trigger and your response. When a colleague sighs and says: “Do we really need a meeting about this?”, your brain will offer you one interpretation immediately. Reappraisal asks: what else might be true here? This isn’t about suppressing your feelings – suppression actually increases flooding – it’s about widening the range of possible responses available to you.

When all else fails, the most powerful intervention is also the simplest: leave the room. Not by stonewalling or slamming doors, but by agreeing in advance on a word or phrase that means: “I need a break. I’m not abandoning you.”

The 20-minute rule

The break needs to be real – at least 20 minutes – long enough for your body to return to baseline, and spent doing something genuinely distracting rather than replaying the argument in your head. This works for parents too. Stepping away briefly and explaining to a child that you’re not punishing them but regrouping is a far better model than pushing through while flooded.

For those who find it hard to read their own physiological state, biofeedback can help. The researchers John and Julie Gottman, who have spent decades studying couples in conflict, used simple fingertip pulse oximeters (devices that measure pulse rate and blood oxygen levels) in their lab to track what was happening to people’s bodies during arguments. They went on to recommend using the same tools at home, as a concrete way of learning to self-soothe before the flooding takes hold.

A person putting a pulse oximeter on their finger.
Pulse oximeters can be useful in these situations.
Enrique Micaelo/Shutterstock.com

None of this is about avoiding conflict. Friction is part of human relationships in every form – romantic, familial, professional – and trying to eliminate it entirely would be both exhausting and counterproductive. The goal is to stay present enough, and regulated enough, to keep hold of your empathy even when your brain is telling you to run.

My ex wasn’t entirely wrong. In that moment, flooded and frightened, I probably wasn’t empathetic. But I’d like to think I understand why, and that understanding, at least, is a start.

The Conversation

Trudy Meehan 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. Why your brain turns against you during arguments – and what to do about it – https://theconversation.com/why-your-brain-turns-against-you-during-arguments-and-what-to-do-about-it-280538

Bacteriophages: meet the viruses that hunt superbugs

Source: The Conversation – UK – By Manal Mohammed, Senior Lecturer, Medical Microbiology, University of Westminster

Model of bacteriophages. These are viruses that multiply inside bacteria and cause their death. In some cases they are used in the fight against bacteria instead of antibiotics. shoma81/Shutterstock

Bacteriophages, or phages, are viruses that infect and kill bacteria. These microscopic predators are found everywhere from soil and water to food and the human gut. Because they attack only specific bacteria, researchers are increasingly exploring them as tools for reducing harmful bacteria in humans and animals without disturbing helpful microbes.

That makes them especially interesting at a time of rising antimicrobial resistance. This is when bacteria evolve ways to survive drugs designed to kill them. It’s a global health threat driven in part by the overuse of antibiotics in medicine and agriculture. Unlike broad-spectrum antibiotics, which kill many different kinds of bacteria and can also disrupt helpful gut microbes, research has shown that phages may be able to remove harmful bacteria with less disruption to the wider microbiome.

This has led researchers to investigate phages both as nutraceuticals, dietary supplements intended to promote health, and as feed additives in livestock production. In both cases, the aim is similar: reduce harmful bacteria, support gut health and potentially cut reliance on antibiotics.

How phages work

Phages work very differently from antibiotics. Rather than killing a broad range of bacteria, each phage typically infects only particular bacterial species or closely related types of bacteria.

When a phage encounters its target bacterium, it attaches to the cell and injects its genetic instructions. The virus then replicates inside the bacterium until the cell bursts. This releases new phage particles that go on to infect other bacteria.

This precision is one reason phages are attracting attention as a possible way to fight harmful bacteria. Unlike broad-spectrum antibiotics, which can disrupt entire communities of microbes, phages may be able to remove particular harmful bacteria without the same wider effects on the microbiome, according to studies of phage-microbiome interactions and research on antibiotic-associated microbiome disruption.

That raises the possibility that phages could be used not simply to kill bacteria, but to shape communities of microbes in ways that support health. Researchers have explored their potential in food safety, agriculture and human health.

In recent years, researchers and biotechnology companies have begun exploring phages as dietary supplements for humans. The idea is that people could ingest phages to reduce harmful gut bacteria in the hope of restoring balance in the gut microbiome, the community of microbes that lives in the digestive system.

Early findings are encouraging, though still preliminary. For example, one human clinical study found that a commercially available phage product targeting E. coli reduced levels of the bacteria in the gut without causing major disruption to the rest of the microbiome.

Other work has examined phage products designed to support digestive health by targeting bacteria associated with digestive discomfort or dysbiosis, an imbalance in gut microbes. A randomised controlled trial of a phage-based supplement reported improvements in digestive symptoms among participants with mild digestive issues.

This is still an emerging field, and the evidence remains limited. But the results so far suggest phage-based nutraceuticals could eventually form part of diet-based approaches to improving gut health.

There are already signs of commercial interest. In the US, phage products have been approved for certain food safety uses, such as reducing bacterial contamination on foods. Phage-containing supplements are already on sale.

Public acceptance, however, may prove just as important as scientific progress. Because viruses are usually associated with disease, researchers and manufacturers will need to explain clearly why these “good viruses” are different. They occur naturally, they are highly specific and they target bacteria rather than human cells.

Improving animal health through feed additives

Phages may also have an important role to play in livestock production. Farm animals often carry disease-causing bacteria such as Salmonella, Campylobacter and harmful strains of E. coli. These bacteria can harm animal health and contaminate food products. They can contribute to food-borne illness in humans.

Phage-based feed additives are being developed to target these bacteria in livestock. By incorporating phages into feed or drinking water, farmers may be able to reduce harmful bacteria while preserving beneficial microbes that support digestion and the immune system.

Experimental studies have produced promising results. In poultry, phage supplementation has been shown to reduce the presence of Salmonella and Campylobacter, two of the most common causes of food-borne infection worldwide. Research in pigs has also found that phage treatments can reduce harmful E. coli infections, improving gut health and growth.

Phages are also being investigated as alternatives to antibiotic feed additives used to prevent diseases such as liver abscesses – pockets of infection in the liver – in cattle. Because phages replicate only when their target bacteria are present, their effects may naturally taper off once those bacteria are gone, making them a potentially useful way to control infection.

Despite promising research, bacteriophage supplements are not yet widely authorised as feed additives in the UK. Regulators require extensive evidence of safety, stability and effectiveness. Because phages are biological entities that can evolve alongside bacteria, agencies must also consider whether they remain genetically consistent over time and what effects they might have on other microbial communities in the environment.

Even so, regulatory progress is emerging elsewhere. Phage-based food safety products targeting disease-causing bacteria such as Listeria monocytogenes and Salmonella have already been approved in several countries. This includes the US, where they are already being used in food safety applications.

More recently, European regulators authorised the first bacteriophage-based feed additive designed to reduce Salmonella in poultry. That marks an important step towards broader adoption of the technology.

Interest in bacteriophages reflects a wider shift in how microbes are understood in relation to health. If research continues to advance, and regulation keeps pace, phage-based nutraceuticals and feed supplements could become part of a new generation of more targeted ways to shape the microbiome, supporting both human health and more sustainable agriculture.

Tiny though they are, these bacterial viruses may end up playing a significant role in how we manage harmful bacteria.

The Conversation

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

ref. Bacteriophages: meet the viruses that hunt superbugs – https://theconversation.com/bacteriophages-meet-the-viruses-that-hunt-superbugs-278440

Can the nearly $1 trillion-a-year US military really be depleting key weapons in Iran?

Source: The Conversation – USA – By Michael A. Allen, Professor of Political Science, Boise State University

The guided-missile destroyer USS Frank E. Petersen Jr. fires a Tomahawk missile during Operation Epic Fury on Feb. 28, 2026. U.S. Navy via AP

The fragile U.S.-Iran ceasefire announced on April 7, 2026, after 40 days of war came at an opportune time for the United States. Several reports indicate it is running out of weapons amid the conflict.

As a scholar focused on U.S. military deployments, these reports are concerning and somewhat surprising.

After all, the United States spends more money on its military – nearly US$1 trillion annually – than the next nine highest-spending countries combined.

How can the U.S. military be depleting its weapons against a largely isolated country that spends less than 1% of what the United States does?

I believe that gauging U.S. weapons stockpiles provides insight into how the U.S. military may be constrained in the future, and what countries such as Russia and China may learn from the Iran conflict.

The US has a missile problem

Operation Epic Fury, as the U.S. calls the military operation in Iran, has employed a large amount of military assets in a short time. Military analysts suggest the U.S. is running low on Tomahawk missiles, surface-to-surface missiles and air-defense interceptor missiles.

After a month of war, the U.S. had used over 850 Tomahawk missiles, the sea- or ground-launched cruise missile that has a 1,500-mile range.

That represents years of stockpile accumulation. The U.S., for instance, budgeted for 57 Tomahawk missiles in 2025 and procured 22 of them. The U.S. has built roughly 9,000 since the 1980s and may have deployed over 30% of its current stockpile since the start of the Iran war.

The U.S. military has used two types of surface-to-surface missiles at rates that are not sustainable if the Iran conflict were to continue at its previous intensity. These missiles have a range of 200 to 250 miles (320 to 400 km) and are used for precision strikes against military targets, such as air defenses or enemy troops.

Tanks and military equipment appear in front of a military plane.
Trucks carry parts of U.S. missile launchers and other equipment needed for the THAAD missile defense system at Osan Air Base, South Korea, in 2017.
NurPhoto/Contributor/Getty Images

The air-defense interceptor missiles used for the Patriot system, a ground-based air defense system, and terminal high-altitude area defense system, or THAAD, are used to protect bases, infrastructure and troops.

The U.S. has eight THAAD systems and has sent munitions from a Korean THAAD system to the Middle East for the Iran conflict.

THAAD systems operate by shooting a missile without an explosive payload. Instead, THAAD interceptors rely on kinetic energy, which is derived from its motion, to destroy incoming missiles. The U.S. has used between 50% to 80% of its THAAD stockpile in its war with Iran, according to the Center for Strategic and International Studies.

The rapid consumption of these resources has forced the U.S. to divert missiles from other regions while seeking new funding and contractors to build missiles. But producing and deploying missiles can take 18 to 24 months because certain components need to be manufactured before being assembled into a final product.

The U.S. has alternatives to these systems, such as the shorter-range, low-cost unmanned combat attack system that uses drones. They are known as LUCAS drones and are based on Iran’s Shahed drone design.

These lower-cost alternatives, however, are less effective and increase the danger to ships, service members and civilians.

Broader concerns

The Iran conflict is not the first time the U.S. has been reported to be depleting its weapons stockpiles. In part, that’s due to its role as the world’s largest supplier of arms, accounting for 43% of global arms exports.

The U.S. has supplied Ukraine with substantial military hardware – missile defense systems, missiles, tanks – for its war with Russia. That has led to delays in weapons shipments, including stinger missiles and Paladin howitzers, to Taiwan, where the U.S. has sent arms since the 1950s to deter China from invading it.

After pausing aid, the Trump administration resumed sending weapons to Ukraine in July 2025. And European support for Ukraine comes through the purchase of U.S. military equipment.

Israel’s war in Gaza and Lebanon has put additional pressure on the U.S. weapons stockpile. The U.S. provides $3.8 billion annually in military aid to Israel, in addition to $16.3 billion since the Oct. 7, 2023, Hamas attacks in Israel.

Whether the U.S. is depleting its weapons because it’s consuming its own stockpile or because of its global commitments, or both, it has ripple effects across the globe. A conflict in the Middle East and new demands on the supply chain for increased production mean there will be shortfalls in Europe and Asia, where U.S.-aligned countries rely upon arms exports for their security.

The US and other powers

The U.S., nonetheless, has evolved its approach to preparing for global threats since the end of the Cold War.

In the 1990s, Washington’s strategy was to be prepared to fight wars in two regions simultaneously. The U.S. has scaled back this 1990s strategy to focus on conflict against a single adversary in a single theater.

The Iran war has nonetheless exposed the limits of U.S. military dominance. And rivals such as China and Russia are learning lessons from the Iran conflict at the United States’ expense.

The Conversation

Michael A. Allen received grant research funding from the Department of Defense’s Minerva Initiative, the US Army Research Laboratory, and the US Army Research Office from 2017 to 2021.

ref. Can the nearly $1 trillion-a-year US military really be depleting key weapons in Iran? – https://theconversation.com/can-the-nearly-1-trillion-a-year-us-military-really-be-depleting-key-weapons-in-iran-280986

Stockings once worn by Philly’s wealthiest man show the value of women’s mending in early America

Source: The Conversation – USA – By Emily J. Whitted, Ph.D. Candidate in Early American History, UMass Amherst

At the time of his death in 1831, Stephen Girard – a Philadelphia merchant, banker and philanthropist – was the wealthiest man in the United States. In his will, he left the city of Philadelphia an extraordinary gift of roughly US$6 million, which is almost $227 million today.

Girard also left instructions to use a portion of this gift to found a boarding school for poor, orphaned white boys. Today, this K-12 institution is known as Girard College, and it now admits students from underserved communities regardless of race or gender. Girard College inherited Girard’s material possessions, including furniture, personal papers and clothing – including this pair of heavily repaired silk stockings.

Their survival might make you wonder: Why was the wealthiest man in America walking around in mended clothing?

As a textile historian who writes about the labor of mending in early America, I studied the stitches used to repair Girard’s stockings along with his expansive archival records.

Together, this historical evidence helped me unravel new details about the value of textiles in early America, but also the women – including those who worked in Girard’s household — who made the country’s expansive economic growth possible.

Lessons from a rich man’s socks

Textiles were used every day by virtually every single early American, and were at the time usually the most valuable items one could own.

Prior to widespread mechanization, textiles were expensive due to the cost of materials and skilled labor needed to produce fabric, and they were often sourced abroad. In the late 18th and early 19th centuries, the U.S. had a growing domestic textile industry, but many Americans still imported fabrics from other countries like Great Britain, France and India. Bills from Girard’s household show that he regularly purchased many articles of his clothing, including silk stockings, from France.

The high value of textiles at this time meant that even the wealthiest households rarely discarded damaged clothes. Instead, they repaired them, using sewing needles and thread. While some men did mend, the overwhelming majority of textile repair was completed by women.

The menders: Sally, Polly and Hannah

In Girard’s household, at least three women would have mended his silk stockings and other clothes.

While Girard did marry, his wife, Mary, was institutionalized for mental illness at the Pennsylvania Hospital in 1790, and they had no children. In Mary’s absence, Girard had several mistresses who served as his housekeepers: Sally Bickham, a Quaker woman described by Girard in a letter as a “tayloress” or seamstress, and Polly Kenton, who was a laundress. As part of their labor, they managed Girard’s household affairs and shopping to keep his life running smoothly.

In addition, a Black woman named Hannah Brown from Saint-Domingue, a former French colony in what is now Haiti, was enslaved in Girard’s household for more than 40 years. This was the case even though Pennsylvania’s Gradual Abolition Act in 1780 should have ensured her freedom within six months of her arrival in the U.S. Pennsylvania unevenly enforced gradual abolition, and enslavers like Girard were able to skirt its implementation. Girard’s will granted Brown her freedom.

All three women labored in Girard’s household to mend his stockings, run his household’s daily activities and maintain his home. Three different mending techniques on Girard’s stockings – such as Swiss darning or duplicate knit stitch, woven darning and reinforced heels – are also material expressions of their work alongside paper records like household bills, letters and receipts.

Many early American women both free and enslaved completed unpaid labor in homes, but their labor was a central force in the national economic growth of the early 19th century. Across the country, men like Girard encouraged and profited from widespread industrialization and expanded commercial opportunities, but women’s unpaid domestic labor made their participation and profits possible.

While Philadelphians today may not find their names on prominent street signs or city buildings, Sally, Polly and Hannah’s combined efforts — hidden inside Girard’s shoes and behind his looming historical legacy in Philadelphia – were integral to Girard’s economic success.

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The Conversation

Emily J. Whitted currently receives funding from The Library Company of Philadelphia.

ref. Stockings once worn by Philly’s wealthiest man show the value of women’s mending in early America – https://theconversation.com/stockings-once-worn-by-phillys-wealthiest-man-show-the-value-of-womens-mending-in-early-america-279724