Mass hysteria at Heathrow aiport – how social contagion works

Source: The Conversation – UK – By Kit Yates, Professor of Mathematical Biology and Public Engagement, University of Bath

Heathrow’s Terminal 4 was evacuated on September 8 as fire crews were called in to investigate “possible hazardous materials” at the London airport. After a few hours of halted flights and frustrating inconvenience, emergency services declared that no “adverse substance” had been found anywhere in the airport.

People were allowed back into the terminal, and normal service was resumed. In the meantime, however, 21 people were treated at the scene by the London Ambulance Service. So what really happened at Heathrow?

According to the Metropolitan Police, it was probably “mass hysteria”. Such outbreaks – variously called mass psychogenic disorder, mass sociogenic illness, epidemic hysteria or mass hysteria – are all types of social contagion. They are typically characterised by the rapid spread, between members of a social group, of symptoms that have no apparent known cause and for which no physical infectious agent can be identified. The symptoms are real, but the trigger is psychological.

History is full of examples. In 1962, a textile factory in the US city of Spartanburg, South Carolina, shut down after dozens of workers reported rashes, numbness, nausea and fainting. Investigators suspected an insect in a shipment of cloth, but no evidence of such a cause was ever found.

Sociologists later concluded that, while an insect bite may have triggered the first case, the rest were probably psychogenic (something that originates from psychological factors rather than a physical cause). Clusters of illness followed social ties, and the main predictors were background anxiety and stress – classic conditions for hysterical contagion.

Mass psychogenic effects have been recorded even further back in time. The infamous “dancing plague” of 1518 in Strasbourg began with a single woman dancing without pause. Within weeks, hundreds of others had joined her.

In a misguided attempt to help the victims “dance away their mania”, officials in the town hired musicians and erected an enormous stage for the merrymakers to help them burn off their energy. Unsurprisingly, this only attracted more people to the fray. At its height, 15 people a day were reported to be dropping dead until the dancing abruptly stopped.

Positive feedback loop

In their early stages, infectious diseases typically spread according to a mathematical mechanism known as a positive feedback loop. These are characterised by a signal that triggers a response – or series of responses – which ultimately ends up amplifying the original signal.

In an epidemic, infected individuals can come into contact and infect susceptible people, creating more infectious individuals who have the power to infect more people, and so on.

Something similar happens in the spread of social epidemics – only in these cases, the illness is spread by the infectious power of emotion, rather than something physical. The same mathematics that we use to describe the explosive onset of an infectious disease can be used to describe the viral outbreak of an idea.

Just because an illness is spread by an idea or emotion, rather than a virus or bacterium, it doesn’t make that illness any less real for the communities or people affected. Scientists have suggested that a hugely diverse range of social phenomena – from generosity to violence and from kindness to unemployment – may be socially contagious.

Some scientists have even come full circle by suggesting that diseases like obesity, which is typically considered to be a non-communicable disorder, may have a strong social component that allows it to spread like a contagious disease. Whether teen pregnancy, for example, is genuinely socially contagious, as some scientists claim, is still hotly debated.

What is clear is that positive feedback loops can amplify an initially small quantity to unexpected magnitudes. For this reason, the impact of positive feedback is sometimes referred to as the snowball effect. A small amount of snow that begins rolling down a hillside picks up more snow as it rolls and increases in size. The bigger it gets, the more snow it picks up, until the initially small snowball has gathered both size and pace.

It seems that social contagion, mediated by a positive feedback loop, may have been the cause of the disruption at Heathrow airport. Of the 21 people assessed by ambulance staff, all but one was discharged at the scene. The Metropolitan Police even used the positive feedback loop terminology, suggesting the incident may have started with a single person falling ill and then “snowballed” from there.

The situation at Heathrow was quickly resolved, but when ideas spread like diseases, they’re much harder to stop than actual germs. Underestimating an idea’s potency, its longevity and its ability to enthral can lead us to misjudge or misunderstand how a situation will unfold.

One only has to look at the pervasive spread of disinformation throughout the COVID pandemic to see the damage that dangerously incorrect ideas – overstating the potential harms of effective vaccines, underplaying the risks of contracting COVID and falsely claiming the effectiveness of unproven treatments – can do.

The viral spread of such falsehoods through social media means they can reach far and wide in virtually no time – and are, consequently, extremely difficult to counter. We underestimate the snowballing of these pervasive myths at our peril.

The Conversation

Kit Yates 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. Mass hysteria at Heathrow aiport – how social contagion works – https://theconversation.com/mass-hysteria-at-heathrow-aiport-how-social-contagion-works-264900

How the global anti-scam community could come together to beat the criminals

Source: The Conversation – UK – By Mark Button, Professor of Security and Fraud, University of Portsmouth

iSOMBOON/Shutterstock

Consumers are increasingly being targeted by financial fraudsters who deceive them into sending money, access their bank accounts or take out loans using their identity. Over the summer, new and more sophisticated scams have been widespread. Behind these frauds – things like phishing emails and scam calls – are a variety of schemes designed to trap people from any section of society.

In England and Wales, there was a 33% increase in the number of people falling victim to fraud in 2024, meaning it now accounts for 40% of all crime against individuals. According to one study, looking at the scale of the problem internationally, 31% of all adults in the US were targeted by fraudsters between 2021 and 2023. This figure was just 8% for Japan.

Much of this fraud is cross-border, so much so that the UK Home Office estimated in 2023 that 70% of fraud has an international element. And while some fraud schemes involve only lone fraudsters, the spectrum runs right through to sophisticated organised crime groups. In some of the most disturbing cases in east Asia, scam compounds have evolved, filled with tens of thousands of people forced to carry out scams – generating billions of dollars for the crime gangs.




Read more:
Scam Factories: the inside story of Southeast Asia’s brutal fraud compounds


This cross-border nature of most fraud poses immense challenges for police. There are substantial barriers to conducting international investigations and securing extraditions. The truth is that most active fraudsters based in different countries to their victims have few worries about being caught and punished, or even of having their criminal activities interrupted.

Indeed, there is very little evidence of extradition in western countries. So what can be done about this cruel, complex and costly problem?

The UK government has taken a leading role against cross-border fraud, introducing several initiatives in its counter-fraud strategy. However, most of the action points are defensive – focused on protecting potential victims and tightening the systems fraudsters exploit, such as banks, tech firms and telecoms.

On the offensive

Campaigns centred on fraud awareness, as well as making banks invest in prevention and getting internet companies to take down fraudulent adverts, are all important measures that should form the basis of any strategy. But offensive measures targeted at fraudsters have been under-used so far.

Our own research has highlighted several ways to take more offensive actions against fraudsters. Disruption efforts such as taking down scam websites, fake profiles and using bots are already being carried out by private companies, nongovernmental organisations and the private anti-scam community (Pasc). This group includes “scambaiters” (people who pretend to be taken in by the fraud in order to keep the criminals occupied) and volunteers working against scammers.

Some tactics are widely accepted – things like talking to fraudsters to waste their time, taking down fraudulent websites and using bots to communicate with criminals. However, other disruption methods are more controversial as they often break the law. These include placing malware on scammers’ computers, using “call-flooders” to disable scam phone numbers, hacking scammers to destroy files and intervening to warn victims.

Some groups also expose known scammers by informing their associates, friends and family of what they are doing. Alternatively, they report them to internet service providers and regulators. But publicly outing scammers runs the risk of serious harm to the criminal outside the formal justice system. Worse, it has the potential for mistaken identity and innocent people being vilified or even harmed.

The Pasc community is larger than any one country or global body’s anti-fraud police infrastructure. Retail giant Amazon alone has 15,000 people in its global anti-fraud community. As well as engaging in disruption, it also possesses huge amounts of data.

finger hovering above a link in a scam text message
The focus is on keeping consumers alert to fraud – but more offensive strategies could also be effective.
mundissima/Shutterstock

For any kind of global anti-fraud strategy to work, governments must embrace this community. In this way, they could work together to share data and strategies to target scammers efficiently and effectively.

Much more offensive disruption is needed, but it needs to be done with proper legal and ethical safeguards and in a coordinated way. This means working with existing or new international structures.

And police based in the victims’ countries should work more closely with the nations that are home to large numbers of cross-border scammers.

Sanctions too are a big part of the solution. While actions such as freezing assets and travel bans have been used against individuals and groups (as well as governments) to target things like corruption, money-laundering and people-trafficking, they have not been used in the counter-fraud area. These measures could easily be used against known scammers.

Fraud prevalence looks set to continue to grow globally. Increasing investment in prevention is welcome, but it is only part of the solution. Both public and private groups must renew their focus on offensive measures to target the fraudsters themselves. Sanctions should be central to a suite of strategies to disrupt the scammers, slashing the profits of their criminal enterprises.

The Conversation

Mark Button receives funding from various Government funded bodies to conduct research on fraud and related areas. He is also a member of the Labour Party.

Branislav Hock receives funding from various Government funded bodies to conduct research on economic crime and related areas.

ref. How the global anti-scam community could come together to beat the criminals – https://theconversation.com/how-the-global-anti-scam-community-could-come-together-to-beat-the-criminals-258450

The hidden plastic problem in your daily dental routine – and what’s being done about it

Source: The Conversation – UK – By Saroash Shahid, Reader in Dental Materials, Queen Mary University of London

Vladimir Sukhachev/Shutterstock.com

You brush twice daily, floss religiously and see your dentist every six months. But what if these acts of oral hygiene are quietly contributing to one of the planet’s most pressing environmental crises?

A growing body of research reveals that our pursuit of clean, healthy teeth comes with an unexpected cost: we’re washing billions of microplastic particles down the drain every day.

Take toothpaste, for example. Decades of using toothpastes with plastic microbeads triggered bans in many countries, but studies show that many modern toothpastes still contain microplastic particles.

And toothpaste isn’t the only offender; dental floss is another stealth culprit. Most flosses are made of nylon or Teflon – non-biodegradable fibres – that shed and linger in ecosystems.

Even the simple toothbrush sheds dozens of nylon bristle fragments during normal use. These fragments enter sewage, pass through treatment systems and end up in marine food chains where they are ingested by plankton, shellfish, fish and, eventually, us.

Beyond daily hygiene products, the materials dentists use inside our mouths also matter. For years, dentists have been replacing mercury-containing silver amalgam fillings with white plastic ones, believing them safer for patients and the planet.

That shift got a boost in 2013, when the UN Minamata Convention treaty urged countries to phase out dental amalgam to cut mercury pollution.

Resin-based composite fillings (the white plastic kind) became the go-to alternative. However, new research suggests these plastic fillings might have their own hidden environmental costs.

A 2022 review in the British Dental Journal confirmed this risk, showing how resin-based composites could contribute to pollution. It found that all the ingredients in these fillings might act as pollutants once they start breaking down.

In other words, the plastic material in a filling doesn’t just sit harmlessly in your tooth forever. Over time, tiny fragments and chemical components can wear off and leach out.

These resin bits and monomers (the basic chemical building blocks of the plastic) can make their way into saliva and wastewater, and eventually into the wider environment.

These risks don’t only emerge while fillings are in the mouth. A key concern is the microscopic plastic dust produced during routine dental work. Drilling out an old composite or polishing a new one generates fine debris that gets suctioned up and flushed down the drain.

These particles, often only a few microns wide, are essentially microplastics. They spread easily through water, and their large surface area means they can leach even more of the filling’s chemicals as they break down.

The problem doesn’t stop with fillings. Acrylic dentures, worn by millions of older adults, are another constant source of microplastic exposure. With every bite and every cleaning, tiny particles can rub off their surfaces and be swallowed.

Similarly, acrylic mouthguards, nightguards, clear aligners and removable retainers are held in the mouth for hours each day and show visible wear over time. That wear is a sign that microscopic fragments are being released and either ingested or rinsed into the sink.

An orthodontist fitting a retainer.
Retainers and mouthguards can also shed plastic through wear and tear.
Rec Stock Footage/Shutterstock.com

Effect on health

All of this plastic debris inevitably raises a bigger question: what does it do to us? The effect of microplastics on our health is worrying. Bisphenol A, a chemical used in some dental resins (plastics), can mimic hormones and disrupt the endocrine system.

In 2024, a medical study detected microplastics embedded in arterial plaque and those patients were far more likely to suffer a heart attack or stroke. Other studies suggest swallowed microplastics may disturb gut microbes and trigger inflammation.

Given these mounting risks, solving this plastic invasion will take action from industry and consumers alike. Manufacturers are developing toothpastes with natural abrasives like silica or clay instead of plastic beads and researching biodegradable polymers for future dental products.

Over 15 countries have already banned plastic microbeads in toothpastes and cosmetics, removing one obvious source of pollution. Some dental clinics are testing filters (like activated carbon filters) to trap resin dust before it enters wastewater.

Consumer choice

Consumers also have choices. Toothpaste tablets or powders in plastic-free packaging are now available. Bamboo toothbrushes or those with natural bristles significantly reduce plastic waste.

Plastic-free natural fibre-based floss options can also help minimise the impact of plastics.

For orthodontics, traditional metal braces offer effective alternatives without adding plastic to your mouth or the environment.

Dental plastics have brought clear benefits such as whiter teeth, easy treatments and safer alternatives to mercury. Yet their environmental costs and possible health risks are now coming into focus.

With microplastics turning up from the oceans to the human bloodstream, even our mouths are not safe from this invisible contamination. The hope lies in innovation and vigilance so dentistry can continue to protect our smiles without adding to the plastic crisis.

The Conversation

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

ref. The hidden plastic problem in your daily dental routine – and what’s being done about it – https://theconversation.com/the-hidden-plastic-problem-in-your-daily-dental-routine-and-whats-being-done-about-it-264072

Why listening to stories and talking about them is so important for young children

Source: The Conversation – UK – By Fufy Demissie, Senior Lecturer in Early Years Education, Sheffield Hallam University

PeopleImages/Shutterstock

Story time – at home, at nursery and at school – is where young children encounter the magic of books. Reading stories to young children is a pleasurable activity in itself, but it also lays the foundation for language and literacy development and has social and emotional benefits.

What’s more, research for decades has shown a clear difference in the language skills of children who had story time at home and those who didn’t.

Parents and teachers can further expand the benefits of story time by getting children involved in what’s known as dialogic reading – engaging in conversations about stories. This means using questions to get children talking about the book. This talk can deepen children’s knowledge and understanding, and help them learn about language. It can include asking what children remember about plot points to encourage their recall of the book, and asking “why” questions about characters’ choices.

A wealth of evidence has highlighted the significance of these kind of conversations during story time. It has benefits for reading enjoyment, reading motivation, parent-child attachment and parental confidence.

Dialogic reading affects children’s vocabulary as well as their literacy outcomes. One particular study divided 36 children with vocabulary delays into groups taking part in shared reading or shared dialogic reading. While both groups showed improvements, the dialogic reading group had significantly larger gains in vocabulary.

It has benefits for reading enjoyment, reading motivation, parent-child attachment and parental confidence.

Language and communication is a prime area of the early years foundation stage in England – the guidelines for the education and development of children aged from birth to five. What’s more, the practice of dialogic reading is a valuable way to develop young children’s “oracy” – the ability to articulate ideas when speaking, listen carefully and communicate effectively.

Teacher reading to children in school library
Story time at school.
Rido/Shutterstock

However, curriculum pressures can make it difficult for teachers to prioritise story time at school. Policy directives that prioritise decoding skills – reading instruction that focuses on the ability to understand how letters and groups of letters represent sounds. This leaves less time for the development of oracy skills.

Oracy education

In 2024, the Oracy Commission, an independent body campaigning to embed oracy across the curriculum, published a report highlighting oracy’s importance. It pointed out that oracy prepares young children and pupils for the demands of their future lives: it’s needed to give a presentation, argue an idea, and take part confidently in university seminars and work meetings. The report noted that access to high-quality oracy education is not universal.

Oracy in education was a key part of the current Labour government’s election manifesto. But its absence from the interim report of an ongoing review into curriculum and assessment has campaigners worried.

My research project Talk with Tales for Children has worked to improve early years teachers’ skills in using dialogic reading techniques with three- and four-year-olds. The programme uses traditional tales, such as Goldilocks and the Three Bears. In addition to questions such as “what can you see on this page?” and “what happened next?”, practitioners are also encouraged to ask questions that provoke childrens’ thinking. These include “would it be good or bad to eat someone else’s porridge?” and “was Goldilocks brave?”

The early findings suggest that high-quality training through this programme has improved early years teachers and practitioners’ interactions during shared reading and enhanced childrens’ listening and attention, thinking skills and enjoyment of and engagement with stories.

The language, social, and emotional benefits of story time mean it should be seen as a fundamental part of the early years curriculum – rather than a luxury or an add-on.

The Conversation

Fufy Demissie receives funding from the Educational Endowment Foundation

ref. Why listening to stories and talking about them is so important for young children – https://theconversation.com/why-listening-to-stories-and-talking-about-them-is-so-important-for-young-children-249302

A rocky planet in its star’s ‘habitable zone’ could be the first known to have an atmosphere – here’s what we found

Source: The Conversation – UK – By Hannah Wakeford, Associate professor, University of Bristol

New research using Nasa’s powerful JWST telescope has identified a planet 41 light years away which may have an atmosphere. The planet is within the “habitable zone”, the region around a star where temperatures make it possible for liquid water to exist on the surface of a rocky world. This is important because water is a key ingredient that supports the existence of life.

If confirmed by further observations, this would be the first rocky, habitable zone planet that’s also known to host an atmosphere. The findings come from two new studies published in the journal Astrophysical Journal Letters.

The habitable zone is partly defined by the range of temperatures generated by heat from the star. The zone is located at a distance from its star where temperatures are neither too hot nor too cold (leading to it occasionally being nicknamed “the Goldilocks zone”).

But exoplanets (worlds orbiting stars outside our solar system) capable of hosting liquid water often also need an atmosphere with a sufficient greenhouse effect. The greenhouse effect generates additional heating due to absorption and emission from gases in the atmosphere and will help prevent evaporation of water into space.

Together with an international team of colleagues, we trained the largest telescope in space, Nasa’s JWST, on a planet called Trappist-1 e. We wanted to determine whether this rocky world, which lies in its star’s habitable zone, hosts an atmosphere. The planet is one of seven rocky worlds known to orbit a small, cool “red dwarf” star called Trappist-1.

Rocky exoplanets are everywhere in our galaxy. The discovery of abundant rocky planets in the 2010s by the Kepler and Tess space telescopes has profound implications for our place in the Universe.

Most of the rocky exoplanets we’ve found so far orbit red dwarf stars, which are much cooler than the Sun (typically 2500°C/4,500°F, compared to the Sun’s 5,600°C/10,000°F). This isn’t because planets around Sun-like stars are rare, there are just technical reasons why it is easier to find and study planets orbiting smaller stars.

Red dwarfs also offer many advantages when we seek to measure the properties of their planets. Because the stars are cooler, their habitable zones, where temperatures are favourable to liquid water, are located much closer in comparison with our solar system, because the Sun is much hotter. As such, a year for a rocky planet with the temperature of Earth that orbits a red dwarf star can be just a few days to a week compared to Earth’s 365 days.

Transit method

One way to detect exoplanets is to measure the slight dimming of light when the planet transits, or passes in front of, its star. Because planets orbiting red dwarfs take less time to complete an orbit, astronomers can observe more transits in a shorter space of time, making it easier to gather data.

During a transit, astronomers can measure absorption from gases in the planet’s atmosphere (if it has one). Absorption refers to the process whereby certain gases absorb light at different wavelengths, preventing it from passing through. This provides scientists with a way of detecting which gases are present in an atmosphere.

Crucially, the smaller the star, the greater the fraction of its light is blocked by a planet’s atmosphere during transit. So red dwarf stars are one of the best places for us to look for the atmospheres of rocky exoplanets.

Located at a relatively close distance of 41 light years from Earth, the Trappist-1 system has attracted significant attention since its discovery in 2016. Three of the planets, Trappist-1d, Trappist-1e, and Trappist-1f (the third, fourth, and fifth planets from the star) lie within the habitable zone.

JWST has been conducting a systematic search for atmospheres on the Trappist-1 planets since 2022. The results for the three innermost planets, Trappist-1b, Trappist-1c and Trappist-1d, point to these worlds most likely being bare rocks with thin atmospheres at best. But the planets further out, which are bombarded with less radiation and energetic flares from the star, could still potentially possess atmospheres.

We observed Trappist-1e, the planet in the centre of the star’s habitable zone, with JWST on four separate occasions from June-October 2023. We immediately noticed that our data was strongly affected by what’s known as “stellar contamination” from hot and cold active regions (similar to sunspots) on Trappist-1. This required a careful analysis to deal with. In the end, it took our team over a year to sift through the data and distinguish the signal coming from the star from that of the planet.

Our star-corrected JWST transmission spectrum of Trappist-1e’s atmosphere which could either be fit by the blue wiggles, suggestive of an atmospheric signal, or the orange flat line suggestive of no atmosphere at all. The white shows how these two possibilities overlap and thus the challenge to interpret our initial TRAPPIST-1e observations.
JWST

We are seeing two possible explanations for what’s going on at Trappist-1e. The most exciting possibility is that the planet has a so-called secondary atmosphere containing heavy molecules such as nitrogen and methane. But the four observations we obtained aren’t yet precise enough to rule out the alternative explanation of the planet being a bare rock with no atmosphere.

Should Trappist-1e indeed have an atmosphere, it will be the first time we have found an atmosphere on a rocky planet in the habitable zone of another star.

Since Trappist-1e lies firmly in the habitable zone, a thick atmosphere with a sufficient greenhouse effect could allow for liquid water on the planet’s surface. To establish whether or not Trappist-1e is habitable, we will need to measure the concentrations of greenhouse gases like carbon dioxide and methane. These initial observations are an important step in that direction, but more observations with JWST will be needed to be sure if Trappist-1e has an atmosphere and, if so, to measure the concentrations of these gases.

As we speak, an additional 15 transits of Trappist-1e are underway and should be complete by the end of 2025. Our follow-up observations use a different observing strategy where we target consecutive transits of Trappist-1b (which is a bare rock) and Trappist-1e. This will allow us to use the bare rock to better “trace out” the hot and cold active regions on the star. Any excess absorption of gases seen only during Trappist-1e’s transits will be uniquely caused by the planet’s atmosphere.

So within the next two years, we should have a much better picture of how Trappist-1e compares to the rocky planets in our solar system.

The Conversation

Hannah Wakeford receives funding from UK Research and Innovation (UKRI) framework under the UK government’s Horizon Europe funding guarantee for an ERC Starter Grant (grant number EP/Y006313/1).

Ryan MacDonald has recieved funding from NASA through the NASA Hubble Fellowship grant HST-HF2-51513.001, awarded by the Space Telescope Science Institute, which is operated by the Association of Universities for Research in Astronomy, Inc., for NASA, under contract NAS 5-26555.

ref. A rocky planet in its star’s ‘habitable zone’ could be the first known to have an atmosphere – here’s what we found – https://theconversation.com/a-rocky-planet-in-its-stars-habitable-zone-could-be-the-first-known-to-have-an-atmosphere-heres-what-we-found-264715

Gin Lane by William Hogarth is a critique of 18th-century London’s growing funeral trade

Source: The Conversation – UK – By Dan O’Brien, Visiting Research Fellow, Centre for Death and Society, University of Bath

Gin Lane by William Hogarth (1751). Royal Academy of Arts

In 1751, the English painter William Hogarth created a nightmarish depiction of the London slum of St Giles. The familiar spire of the parish church towered over a scene of human ruin. This is Gin Lane, an imagined thoroughfare where the consumption of gin has deprived the inhabitants of sense, finances – and in some instances life.

At the heart of the image, Hogarth depicted a series of steps on which different characters illustrated the gin drinker’s descent from propriety to death. At the top of the steps, residents deposited their goods with the prosperous pawnbroker, including a carpenter who handed over his saw – a reminder that gin disrupts industry.

Just below on the steps is a drunken mother whose eagerness to take a pinch of snuff causes her baby to slip from her arms to its death below. The drunken mother is the most striking aspect of Hogarth’s image, a focal point that represents how gin detaches the drinker from their closest bonds and duties. Beneath the mother, reclines an emaciated gin drinker whose skeletal features hint at his imminent death. He even lacks the strength to hold his gin glass.


This article is part of Rethinking the Classics. The stories in this series offer insightful new ways to think about and interpret classic books, films and artworks. This is the canon – with a twist.


Gin Lane was one of two contrasting Hogarth visions of life in England’s capital in which the fortunes of Londoners were shaped by the drinks they consumed. The inhabitants of the other, Beer Street (1751), are artisans enjoying a foaming tankard during their long day of work.

Black and white engraving of a busy London street, filled with people drinking beer.
Beer Street by William Hogarth (1751).
Royal Academy of Arts

A blacksmith and paviour (person who lays paving) are in the foreground, while a man tasked with carrying a sedan chair quenches his thirst in the background.

Beer Street is a scene of industriousness in which draughts were consumed without disrupting the effort of the day. High in the scene, a group of workers enjoys beer shared from a jug while a tailor toasts them from a nearby window. The inhabitants’ prosperity has just one noticeable consequence in the tattered premises of the pawnbroker.

While Gin Lane can be read as a commentary on the dangers of vice, I believe it also comments on another significant development in 18th-century London – the growth of the funeral trade.

Birth of the undertaker

Just above the shoulder of the drunken mother are two coffins. One lies on the ground as a body is placed in it and the other is suspended outside the premises of an undertaker. This latter coffin was a shop sign, which could be seen across the city in the mid- to late-18th century. Undertaking was a developing trade that had many advocates. These undertakers were artisans or traders who supplemented their existing businesses with funerary work.

Undertakers were primarily middlemen who sourced the items required for a funeral, as well as providing items from their own stock. A carpenter acting as undertaker, for example, might build a coffin himself, before turning to ironmongers, drapers and painters for other elements of funerary display.

The supplemental nature of early undertaking enabled many people to adopt the title and some of the most successful eventually specialised fully in funerary work. In the closing decades of the 17th century, the earliest undertakers organised the elaborate funerals of elites, having previously supplied goods for these occasions. As the trade spread, its development was driven by profit and therefore thrived in urban centres where there were more prospective customers.

drawing of an undertaker's shop
Detail of the undertaker’s shop in Gin Lane by William Hogarth (1751).
Royal Academy of Arts

The presence of the undertaker’s shop in Hogarth’s Gin Lane is a reflection of the trade’s increasing popularity beyond the early origins in funerals of the elite.

By the mid-18th century, undertaker-led funerals were a common sight on the city’s streets, travelling from bereaved households to parish churches. The upstart trade had drawn criticism as early as 1699 when the author Thomas Tryon argued that undertakers were diminishing the worth of the funerary customs of the elites. And for many critics, there was no group thought less deserving of funerary spectacle than the gin-drinking poor.

Critiquing the undertaker

Hogarth’s inclusion of the undertaker was also a comment on the motives of the developing trade and the worth of its service. In Gin Lane, he emphasised the way that undertakers profited from the misfortune and misery of others.

He places the undertaker’s shop at the heart of a ruined street, where other trades have failed and the residents lie incapacitated and dying. His message is clear – the undertaker gains from the loss of others and so is little different from the other thriving businesses of the fictional street, the pawnbroker and the gin shop.

engraving of people lowering a body into a coffin.
The open coffin and the distant funeral party, detail from Gin Lane by William Hogarth (1751).
Royal Academy of Arts

The opened coffin and distant funeral party can also be read as a comment on the worth of the funerary products that underpinned the trade’s success. The lidless coffin is presented as little more than a box to contain the half-naked remains of the woman who is lowered into it. And the depiction of the dead woman reminds us that the coffin does nothing for its inhabitant – its purpose is purely aesthetic.

A uniform aesthetic is important to the funerary party, wearing hatbands and mourning cloaks as they wander through the tattered background. Yet the neatly attired procession is lost within the image and fails to hold the attention of the neighbourhood. The cost of these items cannot influence the attitudes of those outside of the funeral. Through these small details, Hogarth reminds the viewer that funerary goods are a hollow expenditure, which cannot improve the circumstances of the dead or the bereaved.

Much as the inhabitants of Gin Lane ruin themselves in pursuit of gin, so might the viewer waste their money on funerary goods that do not serve any practical purpose. As such, Hogarth’s work is more than a simple comment on the consequences of the gin craze – it’s a wider critique of how 18th-century Londoners spent their money.

Beyond the canon

As part of the Rethinking the Classics series, we’re asking our experts to recommend a book or artwork that tackles similar themes to the canonical work in question, but isn’t (yet) considered a classic itself. Here is Dan O’Brien’s suggestion:

Juan Manuel Echavarría has used photography to document how people experience death in a time of crisis and brutality. His work Réquiem NN (2006-13) uses imagery of graves in a Colombian cemetery to explore how people’s treatment of the dead is both an act of dignity and a form of resistance.

Réquiem NN depicts graves used for unidentified bodies that have been recovered from Colombia’s Magdalena River as a result of civil war. We see each grave in two periods, bringing to life the act of mourning, which has been performed for the unnamed dead, and revealing how the living use the graves to record the names of victims who were their own relatives.


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The Conversation

Dan O’Brien 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. Gin Lane by William Hogarth is a critique of 18th-century London’s growing funeral trade – https://theconversation.com/gin-lane-by-william-hogarth-is-a-critique-of-18th-century-londons-growing-funeral-trade-234761

Why preserved vegetables can turn deadly – and how to stay safe

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

Kmpzzz/Shutterstock

A food truck in southern Italy recently became the centre of a deadly health scare. A food-borne outbreak linked to preserved vegetables killed two people and sent more than a dozen to hospital.

At the same time, the UK’s Food Standards Agency warned shoppers to avoid jars of broccoli from a specific batch code, fearing they too could contain the same hidden danger, Clostridium botulinum, the bacterium that produces the toxin responsible for botulism – one of the deadliest food-borne illnesses known.

The canning process removes air from food and seals it tightly, creating an oxygen-free (anaerobic) environment. This is normally what keeps food safe for long storage – but it also creates the perfect conditions for C botulinum. Unlike many bacteria, it doesn’t need oxygen to grow.

Its spores, which are commonly found in soil, can survive cooking and processing. In low-acid foods such as broccoli, green beans, corn, beets and peas, if the canning process isn’t hot enough or long enough, those spores can “wake up”, multiply and release their toxin. Because the toxin is invisible, tasteless and odourless, contaminated food can look and smell perfectly normal while being deadly.

Botulism is rare but extremely serious and even a tiny amount can be deadly – just two nanograms per kilogram of body weight can be fatal.

The spores themselves are usually harmless if swallowed. But in an anaerobic environment they can germinate and release toxin. That’s why homemade preserved foods are a common cause of outbreaks.

Why botulism is so dangerous

Botulism is caused by a neurotoxin that attacks the nerves, leading to muscle weakness, breathing difficulties, paralysis, and, in severe cases, death. Symptoms usually appear within 18 to 36 hours of eating contaminated food, but can range from six hours to ten days.

Early signs include difficulty swallowing or speaking, drooping eyelids, blurred or double vision, facial weakness, vomiting and progressive muscle paralysis, which can cause respiratory failure.

Diagnosis is tricky, as symptoms can mimic other conditions, including stroke, Guillain-Barré syndrome (a rare autoimmune disorder where the body’s immune system attacks the nerves), and myasthenia gravis (a chronic condition that causes muscle weakness due to problems with communication between nerves and muscles). Doctors usually confirm botulism through clinical assessment and laboratory testing of serum, stool or food samples.

The main treatments for botulism are supportive care and antitoxin. Supportive care means treating the complications of the illness — for example, patients may need a ventilator if they develop breathing difficulties, or help managing infections. Antitoxin is a medication that binds to and neutralises the toxin circulating in the body. If given early, it can stop the toxin from causing further harm, though it cannot reverse damage already done. Survivors often face long recoveries with lingering fatigue and breathing problems.

There are simple but vital ways to reduce the risk of foodborne botulism. First, never eat food from cans or jars that are dented, bulging, leaking, or discoloured. If you can your own low-acid foods, make sure you boil them for ten minutes before eating to kill spores. And make sure use proper pressure canners and always follow tested canning instructions.

When in doubt, throw it out.

A deadly toxin with a double life

Despite its dangers, botulinum toxin also has important medical uses. When injected in minute, controlled doses, botulinum toxin can reduce muscle spasticity (a condition where muscles tighten or stiffen abnormally), treat chronic migraines, and manage conditions such as strabismus (crossed eyes) and cervical dystonia (a painful condition where the neck muscles contract involuntarily). The US Food and Drug Administration first approved it for medical use in 1989, and it has since been authorised for a wide range of treatments.

Botulinum toxin works by blocking nerve signals that trigger muscle contraction, smoothing wrinkles and fine lines, and has become a global cosmetic phenomenon. But the same toxin that has medical and aesthetic benefits can also cause catastrophic harm if misused. Unlicensed or poorly regulated injections are risky – and in August 2025, botulinum toxin was linked to a deadly outbreak in the UK.

Food-borne botulism is rare but deadly. Prevention depends on safe food handling, proper canning and avoiding suspicious-looking jars and cans. And while botulinum toxin has life-saving medical uses and cosmetic appeal, outside of controlled and licensed conditions it remains one of the most lethal substances on earth.

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. Why preserved vegetables can turn deadly – and how to stay safe – https://theconversation.com/why-preserved-vegetables-can-turn-deadly-and-how-to-stay-safe-263161

Sustainable fuels could reduce the climate impact of military aircraft

Source: The Conversation – UK – By Elna Heimdal Nilsson, Professor of Aeronautical Sciences, Department of Aviation and Aeronautical Sciences, Lund University

Staff Sgt. Madelyn Brown

Military aircraft – from fighter jets to transport planes – are playing a significant role in today’s unstable world. Cumulatively, the operations carried out by these fleets, from combat missions to training flights, consume large amounts of fossil fuel.

Nevertheless, military aviation is rarely included in national climate inventories. In addition to greenhouse gases, aviation also emits other pollutants such as soot and particles, which affect both climate and air quality, and have detrimental effects on human health and ecosystems.

Recently, the UK government announced that it would purchase 12 F-35A fighter aircraft, some of which will be used to reduce a backlog in pilot training. The F-35A is the standard variant of the F-35 fighter jet.

While the decision is primarily motivated by defence and alliance commitments, it also has environmental implications. Expanding training activities will increase the number of flight hours, and consequently, fuel use and emissions. Fighter jets consume large quantities of fuel per flight hour.

The combustion process in aircraft engines releases carbon dioxide (CO₂), but the impact on the climate and environment extends further: emissions of soot particles, nitrogen oxide compounds, water vapour and sulphuric compounds influence atmospheric chemistry and cloud formation.

The persistent contrails and the cirrus clouds they generate are estimated to cause an impact on the climate comparable in magnitude to the warming effect of CO₂ from commercial aviation.

Any assessment of mitigation options must therefore consider both CO₂ and non-CO₂ effects arising from aircraft engine combustion. To mitigate aviation-related climate effects, the civil aviation sector has been promoting the development of sustainable aviation fuels (SAF).

When produced from waste oils or residues, hydroprocessed esters and fatty acids (Hefa) fuels – which are forms of sustainable aviation fuel – typically achieve 50–70% lower life-cycle CO₂ emissions compared with fossil-based jet fuel. Synthetic aviation fuels known as advanced power-to-liquid (PtL) e-fuels, produced using renewable electricity, could reduce emissions by more than 80%, though they are not yet available at scale.

Wars and climate change are inextricably linked. Climate change can increase the likelihood of violent conflict by intensifying resource scarcity and displacement, while conflict itself accelerates environmental damage. This article is part of a series, War on climate, which explores the relationship between climate issues and global conflicts.

In addition to a lower carbon footprint compared to fossil fuels, SAFs have
also been shown to produce fewer soot particles during combustion, reducing the likelihood and severity of contrails and cirrus clouds.

For technical reasons, down to the specific molecular composition SAF compared to fossil based jet fuel, commercial SAFs are currently not certified as standalone fuels. However, they are available for blends of up to 50% along with fossil-based jet fuels.

The quality of the sustainable fuels is very high and there is no technical barrier to their use in military aviation. The question is: to what extent can the climate and environmental impact of military aviation operations be reduced if sustainable aviation fuels are introduced?

Sustainable fuel and the F-35

Let’s take the example of the F-35, which was the aircraft purchased recently by the UK government. Under certain conditions, the F-35 can burn five tonnes of jet fuel in a single sortie lasting an hour. For comparison, a diesel car like the Volvo V70 would, in its whole lifespan, burn an amount of fuel corresponding to just four hours of combat manoeuvring with the F-35.

Technically, the F-35 is already approved to operate on blends of conventional kerosene and certified synthetic fuels. Similar to civil aviation standards, military standards allow for blending ratios of up to 50%, depending on the production pathway.

No modifications to engines or fuel systems are required. F-35 flights that used commercially available fuel with 40% SAF were carried out by the Norwegian Air Force in early 2025.

There are no significant technical barriers to the new F-35A aircraft entering UK service to operate on commercially available SAF blends with up to 50% renewable fuel. Compatibility is not the limiting factor, but, unfortunately, the availability and cost of fuel are.

For military training flights, which may involve large numbers of sorties, SAF can therefore provide significant reductions in life-cycle greenhouse gas emissions. A 50% blend of Hefa, for instance, could cut average CO₂ emissions per flight by around one third.

Since contrails can account for a large fraction of aviation’s total climate impact, this effect is potentially important. The strategic allocation of SAF to flights that are most likely to generate persistent contrails, like training missions at high altitude in humid conditions, could amplify the climate benefit of limited SAF supplies.

The UK’s acquisition of additional F-35A aircraft will help address a backlog in pilot training, but it will also increase emissions. From both a climate and national security perspective, SAFs represent the most practical near-term mitigation option.

The F-35 is technically compatible with sustainable aviation fuels – and substantial life-cycle emission reductions are achievable this way. Additional benefits may come from reduced contrail formation. However, limitations in global SAF production and their higher costs restrict the extent to which these fuels can currently be deployed.

SAFs will not make military aviation climate neutral, but they could substantially reduce its environmental footprint at a time when both security and sustainability are pressing concerns.

The Conversation

Elna Heimdal Nilsson 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. Sustainable fuels could reduce the climate impact of military aircraft – https://theconversation.com/sustainable-fuels-could-reduce-the-climate-impact-of-military-aircraft-264792

What we’ve learned about narcissism over the past 30 years

Source: The Conversation – UK – By Sarah A. Walker, Assistant Professor of Educational Psychology, Durham University

Nicoleta Ionescu/Shutterstock

You’ve probably seen the word “narcissist” thrown around online in headlines, on dating apps or in therapy-themed TikToks. But the label that people often unthinkingly slap on toxic bosses or reality TV villains hides a much more complicated psychological picture.

Psychologists have studied narcissism for many years, but over time, our understanding has evolved. One of the biggest changes is that today, narcissism is no longer seen as just grandiosity, arrogance or egotism.

Early scientific descriptions of narcissism focused on dominance, ambition and self-importance, all of which are traits associated with traditional masculine stereotypes. That meant narcissistic tendencies in women were often misread or overlooked. When those traits show up as emotional sensitivity, insecurity or relational manipulation, they sometimes still are misdiagnosed as anxiety, mood disorders or borderline personality disorder traits.

The most extreme and persistent forms of narcissism can sometimes be diagnosed as narcissistic personality disorder. This condition was added to the Diagnostic and Statistical Manual of Mental Disorders, the American Psychiatric Association’s diagnostic manual, in 1980. But most people with narcissistic tendencies won’t meet the threshold for a diagnosis.

So what does the research actually say?

Narcissism in general is now understood as a complex set of personality characteristics that can show up in different ways.

Psychologists had long suspected that there might be different kinds of narcissism, but it wasn’t until 1991 – when researcher Paul Wink and his colleagues presented a model including grandiose and vulnerable subtypes – that they were more formally recognised. Although there are other models, this remains one of the more popular approaches to understanding narcissistic tendencies in the wider population.

A 2021 review by US psychologist Joshua Miller and his colleagues pulled together decades of research to offer one of the most authoritative summaries of how psychologists now understand narcissism. It explains that narcissism has a common foundation, which includes things such as self-importance and entitlement. It then branches into different forms of narcissism, such as grandiosity, antagonism and vulnerability.

Researchers now often use the terms grandiose and vulnerable to describe two major forms of narcissism. One person with narcissistic traits may be bold with high levels of grandiose traits, confidence and emotional resilience. Another might be defensive, anxious and hypersensitive to criticism. Both show signs of narcissistic self-focus, but they end up looking quite different in how they experience and express emotion.

In a 2022 research paper I wrote with colleagues, we carried out the first meta-analysis examining how narcissistic traits relate to the ability to control one’s emotions. The results showed that vulnerable narcissism is consistently associated with greater emotional difficulty, which means these people might find it harder to keep their emotions in check.

In particular, people with high scores on vulnerable narcissism scales are more likely to rely on suppression. Suppression is a strategy that people use to hide or inhibit their emotional expressions, and has been linked to poorer wellbeing. On the surface, suppression might sound like self-control.

In some situations, it can be. For example, keeping a lid on your emotions when your boss is yelling at you. But trying to mute emotional expression without addressing the underlying emotions increases stress when it becomes our default strategy. It can worsen mental and physical health over time.

Montage of man against purple background with celebratory symbols.
Narcissism isn’t always this overt.
Roman Samborskyi/Shutterstock

In contrast, grandiose narcissism wasn’t linked with emotion regulation difficulties. In fact, several of the studies included in our analysis suggest that people with higher levels of grandiose traits may not experience as much emotional distress in the first place. This challenges the popular idea among researchers that people who exhibit narcissistic tendencies are also experiencing emotional instability.

Emotional intelligence and self-perception

The differences between forms of narcissism show up in emotional intelligence research as well. In a 2021 systematic review on narcissism and emotional intelligence, my colleagues and I found that people with grandiose traits often said they were good at understanding and managing emotions. For instance, how well they think they can handle anger or recognise other’s emotions.

But when their skills were tested using emotion tasks (such as recognising facial expressions or identifying the best way to respond to an emotional situation), their performance didn’t always match up with how skilled they said they were. This is consistent with a 2018 study which also found that people with grandiose tendencies rated themselves as emotionally skilled but performed worse on skill-based emotional intelligence tasks compared to other participants.

In contrast, people with vulnerable narcissistic traits tend to rate themselves lower in emotional intelligence, and seem to genuinely struggle more with managing emotions in everyday life.

So what should we make of all this?

It’s time to move beyond the pop-psych trend of labelling difficult people as narcissists. Narcissism isn’t about taking too many selfies. And no, the partner who ghosted you or the colleague who dominates meetings isn’t necessarily high in narcissistic traits either – no matter how much we might like to complain about them over coffee.

These kinds of casual diagnoses aren’t just unhelpful, they’re often wrong.

Narcissism is a complex psychological pattern that can show up in different ways and can reflect a deeper struggle with things such as self-esteem, emotion regulation and social connection. Understanding this doesn’t excuse people’s bad behaviour – not at all. But it does help us look past the stereotypes to get a clearer picture of what narcissistic traits look like in everyday life.

The Conversation

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

ref. What we’ve learned about narcissism over the past 30 years – https://theconversation.com/what-weve-learned-about-narcissism-over-the-past-30-years-258505

What we learned about North Korea at the summit in Beijing

Source: The Conversation – UK – By Jim Hoare, Honorary Research Associate in the Centre of Korean Studies, SOAS, University of London

China invited world leaders to its capital, Beijing, recently to celebrate the 85th anniversary of Japan’s surrender in the second world war. Western leaders were notably absent. But despite the presence of many other leaders, such as Russian president Vladimir Putin, it was the arrival of North Korea’s Kim Jong-un that seemed to attract most international media attention.

This was Kim’s fifth visit to China since he assumed power in 2011 – the last was in 2019 before the COVID pandemic. And it was the first time he had attended a multilateral international meeting.

Kim travelled to Beijing by train – an armoured train at that. Although he does not seem to have the fear of flying his father had, it is not the first time Kim has used a train to travel overseas. In 2019, he went to Hanoi in Vietnam – a much longer journey – to meet US president Donald Trump the same way.

The train allows for a large entourage and provides an opportunity to prepare for meetings. It may also be more secure than the country’s aircraft after some years of no or little use due to the pandemic and the effective sealing off of North Korea from most of the rest of the world.

Aside from the travel preferences of its leadership, here are three things we learned about North Korea from the summit in Beijing.

1. There is no obvious succession plan

Kim was accompanied not by his wife, Ri Sol-ju, who was with him on at least one previous visit to China. Nor did he travel with his sister, Kim Yo Jong, who has been seen by many as a power in her own right. He arrived in Beijing with his daughter, Kim Ju Ae, who is believed to be about 13.

She first appeared in public in 2022, joining the North Korean leader at an inspection of a major intercontinental ballistic missile launch. Kim Ju Ae has been seen with her father, and occasionally her mother, on several subsequent occasions. This has led to speculation that she is being groomed to be Kim’s successor.

However, she made no appearances with her father after arriving in Beijing. This may have been a learning trip rather than an indication that she has been selected to succeed her father.

Before 2022, there was similar speculation about Kim Yo Jong, who was noted for hostile statements on relations with South Korea. While she has not disappeared from the scene, Kim Yo Jong is not shown the same level of deference as her niece.

If Kim is preparing a successor, he is departing from the approach of his grandfather and first North Korean supreme leader, Kim Il-sung, as well as his father, Kim Jong-il. Kim Jong-il did not make public appearances until he was in his 30s. He was not identified as the successor until later.

Only after he suffered a stroke in 2008 did Kim Jong-il select Kim Jong-un, aged 24, as his successor. To select a child – and a female at that – seems fraught with difficulties. Korean society, north and south, still tends to attach a high value to age and experience. And despite formal equality in both countries, there is a strong belief in male superiority.

2. It can rely on strong regional support

More significant than the presence of his daughter was the reception given to Kim Jong-un in Beijing. He was beside the Chinese president, Xi Jinping, and Russia’s Putin in front of the other leaders on the viewing platform for the ceremonial parade. This was the first time that leaders of the three countries had met together since Kim Il-sung, Mao Zedong and Nikita Khrushev met in China in 1959.

Kim Jong-un also held summit meetings with Putin and Xi, both of whom had signed up to sanctions on North Korea just a few years ago because of its nuclear programme. All of that now seems forgotten. The meeting with Putin reinforced the rapidly developing relations between the two countries, especially over the war in Ukraine.

Following Putin’s acknowledgement of the role North Korean troops have played in Ukraine, Kim said: “If there is any way we can assist Russia, we will certainly do it as a fraternal duty.” This may open the door for North Korea to send more troops to Ukraine and provide Russia with arms and ammunition.

In return for North Korea’s assistance, Kim has had economic support and, probably, some help in updating his country’s military capacity. Troops sent to support Russia will also have learned lessons about the nature of modern warfare.

The meeting with Xi produced pledges of further economic cooperation. Despite signing up for sanctions over the nuclear issue, China has not stopped providing food and oil to North Korea. This support now seems likely to increase.

Xi said the two countries were “friends with a common destiny”, while the Korean Central News Agency reported that North Korea would invariably support China’s interests.

3. It has been recognised as a nuclear state

Absent from both meetings was any reference to the denuclearisation of the Korean peninsula. This seems to indicate that both Russia and China accept that North Korea is a nuclear state.

According to a 2025 assessment by the US Office of the Director of National Intelligence, Kim views nuclear weapons as a “guarantor of regime security”. Some experts estimate that North Korea has produced enough fissile material to build up to 90 nuclear warheads.

Russia, China and North Korea can all show benefits from the summit in Beijing. Russia has a promise of continued North Korean support in the Ukraine conflict.

China, meanwhile, has reinforced its traditionally close relationship with North Korea. And Kim has not only been treated as a major world leader, but has gained additional practical support from his two big neighbours.

In such circumstances, it seems unlikely that he will be very receptive to overtures from Trump or to make any concessions over the nuclear issue.

The Conversation

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

ref. What we learned about North Korea at the summit in Beijing – https://theconversation.com/what-we-learned-about-north-korea-at-the-summit-in-beijing-264718