‘You can’t eat electricity’: how rural solar farms became Britain’s latest culture war

Source: The Conversation – UK – By Alex Heffron, PhD Candidate in Geography, Lancaster University

Sean Matthews, the Reform UK leader of Lincolnshire County Council, has said he’ll “lie down in front of bulldozers” to stop Britain’s largest solar farm being built in the county. He’s taking sides in a new rural culture war that pits green energy against the countryside’s traditional image of food and farming.

Reform’s opposition to renewables isn’t surprising. Fossil fuel interests have provided around 92% of the party’s funding according to research by DeSmog (when contacted by DeSmog, Reform did not comment on that finding). But solar farms have become a way for the party to mask these interests by presenting itself as a defender of farms, fields and “common sense” against what Matthews called the “nonsense” of net zero.

Meanwhile, the protest group Farmers to Action has urged supporters to “keep the land growing, not glowing”. Its leader, Justin Rogers, has called climate change “one of the biggest scams that has ever been told”, and the group now operates in lockstep with the Together Declaration, a rightwing campaign group with an explicit anti-net zero agenda.

Yet a recent protest organised by these groups in Liverpool, at the Labour Party conference, suggests there is limited enthusiasm in the farming community for these culture wars. While most of the speakers were farmers, very few working farmers showed up. (One of us, Tom, who has been to around 15 of these protests, was there in person and estimates about 50 out of around 300 people present were farmers.)

Those mobilising the culture wars are trying to turn localised rural resentments against solar panels into a wedge issue, and in the process win over rural voters to Reform as the party of anti-net zero. If Reform wins the election, it will seek to impede necessary renewable energy projects.

However, this conflicts with the majority of farmer sentiment, which shows they are concerned by climate change. So, while Reform UK is positioning itself as anti-climate, is the party, despite the rhetoric, actually anti-farmer?

‘You can’t eat electricity’

Research by the Energy and Climate Intelligence Unit (ECIU) found 80% of UK farmers are “concerned about the impact of climate change on their ability to make a living”, while 87% have experienced reduced productivity due to heatwaves, floods or other climate change-induced extreme weather.

For farmers, productivity isn’t just about profit – it’s a central pillar of what sociologists have called the “good farmer” identity. This is the idea that being a successful food producer is central to how many farmers see themselves and their role.

Since the second world war, agricultural innovations have largely been aimed at producing more food, as a way to improve domestic food security.

Now, in essence, they are being asked to shift their identity to embrace energy production along with food production. But planting fields with solar panels clashes with the productivity aspect of what it means to be a good farmer. The truism that “you can’t eat electricity”, as Farmers to Action put it, is trying to speak to this sentiment.

The accusation is that taking land out of production threatens food security. In fact, only around 0.5% of UK farmland needs to be converted to solar to achieve the government’s target figure.

At the same time, as the research by ECIU has found, the very productivity of farming is being threatened by climate change. This presents an apparent tension.

Without urgent climate action, British farms will continue to bear the costs and consequences. Environmentalists and climate activists might wish to take advantage of this tension between what farmers need and what Reform is offering. While Nigel Farage, Richard Tice and co shake their fists at the Sun, farmers suffer in the heat.

Corporate profits or community interest?

Many objections to large solar farms are driven by a sense of fairness. For example, a tenant farming family in Yorkshire is about to lose 110 acres of their best arable land – half their farm – to solar panels, without any compensation. This will have a devastating impact on their business – where they have lived and farmed for many decades.

For the landowner, the switch will probably be very lucrative, with energy companies reportedly offering rents as high as £1,000 per acre per year, on long-term contracts.

In this scenario, the landowner wins and the tenant loses, which goes against the principle of a just transition, the idea that those affected by the shift to net zero should not lose out. This is despite the prime minister, Keir Starmer, making a pre-election pledge that tenant farmers would be protected.

Effective green policy must ensure that green transitions benefit those doing the work or opposition will grow. Perhaps if the profits were recouped by local communities, not far-off corporations and large absentee landowners, nimbyism wouldn’t fester so easily.

There are fairer ways to deploy renewables, via initiatives which involve and benefit local communities. An example of this is Cwm Arian Renewable Energy, near to where one of us, Alex, lives. It has used the income from wind energy to support the local community in various ways, such as offering good employment, putting on community events and teaching land skills.




Read more:
Family farmers say their way of life is an impossible dream when ‘the bread of life is worth less than rusty metal’


Farmers, like the rest of society, are paying the price of high energy costs. Recent research has shown that wind energy alone has reduced British energy costs by at least £104 billion. Making clear that renewable energy developments can help with lowering energy bills could go some way to overcoming opposition.

Ultimately, farmers still want to farm and produce food. At the same time, agriculture must fit into broader green transitions. The challenge is to take on board the voices and concerns of farmers and see them as part of the transition – not treat them as obstacles to it. If not, there are plentiful voices on the right who are eager to offer them an alternative.


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The Conversation

Tom Carter-Brookes receives funding from Leverhulme Trust.

Tom Carter-Brookes is a member of the Green Party.

Alex Heffron 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. ‘You can’t eat electricity’: how rural solar farms became Britain’s latest culture war – https://theconversation.com/you-cant-eat-electricity-how-rural-solar-farms-became-britains-latest-culture-war-268128

Why is it so difficult for the UK to deport foreign criminals?

Source: The Conversation – UK – By Sarah Singer, Professor of Refugee Law, School of Advanced Study, University of London

macondofotografcisi/Shutterstock

A convicted sex offender has been deported from Britain to Ethiopia after being accidentally released from prison. Following a national manhunt, home secretary Shabana Mahmood confirmed that Hadush Kebatu – an asylum seeker who came to the UK without authorisation on a small boat – would be returned to his home country.

Kebatu was convicted in September of sexual offences against a woman and 14-year-old girl and sentenced to 12 months imprisonment. Mahmood announced she had “pulled every lever” to ensure his deportation. But shouldn’t it be easy for the government to deport someone who has committed a crime such as this?

Under UK law, the home secretary has a duty to pursue removal of foreign national offenders (FNOs). This includes “automatic” deportation of any foreign nationals who are sentenced to 12 months or more imprisonment. They also have discretion to deport a foreign national (whether or not they have committed an offence) if they believe it “is conducive to the public good”.

But for several reasons, the UK has struggled to do this. In 2006, it was revealed that some 1,013 foreign national prisoners had been released without the Home Office considering deportation. This was a scandal that led to the resignation of then home secretary Charles Clarke.

Currently, the UK deports approximately 5,000 FNOs per year. There are currently 10,700 FNOs held in UK prisons, around 12% of the total prison population.

FNOs are considered for deportation on completion of their sentence or, increasingly (given the pressure on space in prisons), before they have served their full sentence. This may be under early release schemes or prisoner transfer arrangements with their home country.

In practice, deportations are often complicated by procedural issues. Removal can be prevented by lack of travel documents, and the Home Office may have to seek an emergency travel document from an individual’s embassy before they can be removed – a process which can be frustrated if the offender or their embassy refuses to cooperate or are slow in doing so.

Deportation arrangements

To address these issues, the UK now has 110 prisoner transfer agreements with other countries – most recently, Albania and the Philippines. Through these arrangements, offenders can partially serve their sentence in the UK, and then be transferred to serve the remainder of their sentence in their home country.

There are two other schemes under which FNOs may be deported before serving their full sentences: early removal, and facilitated return schemes. Under these schemes, they do not serve the rest of their sentence in their home country.

Recent changes to the early removal scheme mean FNOs have to serve only 30% of their sentence (rather than 50%) before removal. The home secretary has indicated plans to reduce this to 0%, so offenders can be targeted for deportation as soon as they are sentenced.

The facilitated return scheme encourages voluntary removal. It “sweetens the deal” by providing the offender up to £1,500 to help them resettle in their home country, if they agree to withdraw any outstanding appeals or applications to stay in the UK.

There has been some criticism of the fact that Kebatu was given £500 after threatening to disrupt his deportation. Although his was a forced return, not part of voluntary removal, the Home Office argued this is still a smaller payment than would have been required to detain him and put him on a different flight.

In many cases, lack of coordination and administrative errors in the Home Office are the root cause of failed removals. Complications around booking flights, arranging escorts and other practicalities have all been found to prevent deportations.

Human rights concerns

Offenders may also appeal their deportations by arguing that removal would breach their right to private and family life, under article 8 of the European convention on human rights.

This is sometimes misreported as offering FNOs very broad protection against removal. For example, the wrongly reported case of an Albanian who resisted removal on the basis his son disliked foreign chicken nuggets, or Theresa May’s assertion that a foreign offender was able to stay in the UK because he had a pet cat. These attention-grabbing headlines often misrepresent the content of decisions and mischaracterise the role of human rights.




Read more:
How the UK could reform the European convention on human rights


In fact, the UK has a very strict interpretation of article 8, and decision-makers must balance the right against aims such as controlling immigration and public safety.

UK rules state that the public interest in removing foreign offenders will almost always outweigh any article 8 rights, except in the most exceptional cases. This may be, for example, if the person has lived in the UK for almost their whole life and would have real difficulty integrating in the country they would be removed to, or if removal would be “unduly harsh” on their (UK citizen) child or long-term partner. FNOs sentenced to four or more years in prison must show “very compelling circumstances over and above” these exceptions.

Foreign nationals may also argue that their life will be at risk, that they will suffer inhuman or degrading treatment, unlawful detention, or an unfair trial on return to their home country.

In practice, this means the UK government cannot deport someone if there is a high risk they would face irreparable harm including persecution, torture, ill-treatment or other serious human rights violations. In some cases, this has been relied on to prevent deportation where there was a risk of abduction and torture at the hands of police, or to face trial where evidence obtained by torture would be used.

However, this is only applicable where there is real risk of very serious harm and will not apply in all, or even most, cases. British courts have ruled it is possible to return people even to countries in conflict, if there is a safe place in the country they could move to.

The most recent data shows that between 2008 and 2021, 11% of FNO appeals against deportation succeeded on human rights grounds. This is 3%-4% of the approximately 60,000 FNOs removed from the UK during this period.

Despite the exceptional nature of these human rights protections, the challenges they are perceived to pose to a state’s ability to control its borders mean they attract a disproportionate amount of political attention. In May this year, nine European states took the unprecedented step of issuing a letter to the European Court of Human Rights, calling for greater state powers in removing foreign criminals.

The UK justice secretary has followed suit, stating that the UK will pursue reform of the European convention.


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The Conversation

Sarah Singer 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 is it so difficult for the UK to deport foreign criminals? – https://theconversation.com/why-is-it-so-difficult-for-the-uk-to-deport-foreign-criminals-268625

US squeeze on Venezuela won’t bring about rapid collapse of Maduro – in fact, it might boomerang on Washington

Source: The Conversation – Global Perspectives – By Robert Muggah, Richard von Weizsäcker Fellow na Bosch Academy e Co-fundador, Instituto Igarapé; Princeton University

A man rides past a poster of Venezuelan President Nicolas Maduro and an anti-tank barricade in Caracas on Oct. 28, 2025. Juan Barreto/AFP via Getty Images

The U.S. military buildup along South America’s northern rim is, Washington insists, aimed at “narco-terrorists.” A growing chorus of analysts aren’t convinced; they suspect what the Trump administration is really after is regime change in Venezuela.

Nicolás Maduro, the country’s leader since 2013, is taking no chances. In recent weeks he responded to the Trump administration’s moves as if invasion were imminent. After a September emergency decree and martial rhetoric about a “republic in arms,” the Venezuelan president says militias and reservists are now mobilized nationwide.

The leftist leader has ordered armed forces, police and militia to deploy across 284 battlefronts – a national defense posture that surges troops on sensitive borders. He has also massed 25,000 soldiers near Colombia, a likely vector for infiltration.

In addition, roughly 4.5 million members of the National Bolivarian Militia, an auxiliary force created in 2005 and made up of civilian volunteers and reservists, have reportedly mobilized. Civilians are being trained by the armed forces in weapons handling and tactics sessions to knit local “people’s defense” committees into the defense architecture.

Men and women in blue tops hold guns and march.
Armed civilians participate in a military deployment in support of Venezuela’s President Nicolas Maduro on Sept. 23, 2025.
Federico Parra/AFP via Getty Images

This placing of Venezuela on a war footing follows months of U.S. military buildup in the Caribbean. And there is no doubt that should it come to it, the U.S. boasts a far larger and more sophisticated military than Venezuela.

But as an expert on Latin American politics, I suspect that might not be enough to remove Maduro from power – or encourage opposition figures in Venezuela on Washington’s behalf. In fact, any direct attempt to do so might only lead to a slow process that risks entrenching Maduro’s position.

Powerful friends overseas

Alongside nationwide domestic mobilization, the Venezuelan leader still has some pretty powerful international friends. Maduro boasts some 5,000 Russian Igla-S, man-portable anti-aircraft missiles positioned at key air-defense points. While unverified, these reports are indicative of the short-range air defense and anti-ship capabilities being supplied by nations friendly to the Maduro regime.

On Oct. 28, a Russian Il-76 heavy cargo plane, operated by a sanctioned carrier tied to Russian military logistics, landed in Caracas after a multistop route through the Caucasus and West Africa. If not an outright sign of solidarity, this is a signal that Russia can airlift advisers, parts and munitions at will.

Iran’s long, quiet hand is visible in Venezuela’s drone program. It was reportedly seeded with Mohajer-2 kits and expanded over the years into armed and surveillance platforms assembled at state plants by Tehran-trained technicians.

Cuba, for its part, has for more than a decade embedded intelligence and internal security advisers across Venezuela’s military services, an underdiscussed force multiplier that helps the regime police dissent and maintain loyalty.

Although Russia, Cuba and Iran may help Maduro survive, they are unlikely to save him from any determined American campaign.

Cautious opposition

If Washington is hoping that its military squeeze may encourage Venezuelans to take matters into their own hands, the domestic scene is less favorable. The opposition to Maduro is fragmented and vulnerable after being deprived, fraudulently by most accounts, victory in a 2024 vote and a subsequent year of repression.

The Democratic Unitary Platform remains split between a pressure wing and a participation wing after the disputed vote. The jolt of morale handed to the opposition on Oct. 10, when the de facto 2024 opposition candidate María Corina Machado won the Nobel Peace Prize, has yet to move the needle.

There is a low probability, in my opinion, that the opposition can forcibly remove Maduro without a trigger, such as a major split within the security services, sustained mass mobilization with elite defections, or a massive U.S. intervention.

The regime’s domestic security architecture and control of courts, prosecutors and the electoral council make a sudden elite split unlikely. Electoral displacement is also unpromising given that the official opposition is split on tactics, faces daily repression, and Maduro has repeatedly signaled he will not accept a loss – even if he loses.

Street power, backed by sustained international leverage and U.S. military threats, are arguably the opposition’s best asset.

Diaspora politics are febrile. South Florida’s large Venezuelan exile community reads the naval buildup as a potential turning point and lobbies accordingly, even as U.S. immigration and travel policies cut against their interests. The opposition’s mainstream leaders still mouth the catechism that change should come by Venezuelan hands, but more are openly courting external pressure to tilt the balance.

A large ship is seen at sea.
The USS Gravely, a US Navy warship, departs the Port of Spain on Oct. 30, 2025.
Martin Bernetti/AFP via Getty Images

What Washington might do next

The Trump administration has certainly shown willingness to mount pressure on Maduro and encourage his opponents. Since August, the Pentagon has surged forces, destroyers and amphibious ships into the U.S. Southern Command’s patch. Then, on Oct. 24, Washington redirected the USS Gerald R. Ford carrier strike group to the Caribbean.

Meanwhile, attacks against suspected drug vessels will likely continue.

The campaign has already resulted in at least 13 strikes and 57 killed in the Caribbean Sea and eastern Pacific. And President Donald Trump has been consistent in linking the targeted cartels to Venezuela’s government and Maduro directly. Should the U.S. wish to escalate further, precision strikes on Venezuelan territory are not out of the question. With an aircraft carrier nearby and F-35s staged in Puerto Rico, the Pentagon has options.

Meanwhile, covert actions will accompany any overt military posturing. The White House has openly declared that the CIA has authority to operate inside Venezuela. A U.S. Homeland Security agent reportedly tried to recruit Maduro’s chief pilot to fly the president into U.S. custody, a plot that fizzled but hints at the psychological ops now in play. Venezuela, meanwhile, has condemned “military provocation” by the CIA and others.

It is worth recalling past attempts to unseat Maduro, including a 2018 drone attack at a Caracas parade and a failed freelance operation in 2020 that ended with deaths and dozens captured, including two former U.S. soldiers. The U.S. has denied any connection to both incidents.

In any event, such operations seldom topple strongmen – but they do seed paranoia and crackdowns as regimes chase ghosts.

Possible endgames

If Washington’s real objective is regime change, the plausible outcomes are sobering. To be sure, a quick collapse of Maduro’s government is unlikely. A short, sharp campaign that dismantles the regime’s coercive tools could trigger elite defection. Yet Cuba-hardened internal security, patronage over the generals and years of sanctions-induced siege mentality make a palace coup improbable on a timetable that suits Washington.

In my view, a slow squeeze is likelier.

A hybrid strategy involving maritime and air pressure, covert agitation and inducements, targeted strikes to degrade regime capacity, and political, legal and cyber warfare to isolate Caracas and split the officer corps is realistic. But that path risks entrenching the regime’s hard-liners and worsening a humanitarian crisis even as it degrades Maduro’s capacity.

Analysts warn that the regime change logic, once engaged, is hard to calibrate, especially if strikes kill civilians or hit national symbols.

A boomerang is always possible. Military action will very likely rally nationalist sentiment in Venezuela, fracture hemispheric consensus and drag the U.S. into a longer confrontation with messy spillovers, from uncontrolled migration to maritime security threats.

People in fatigues stand around, one holding a poster.
A Venezuelan militiawoman holds a banner with a photo of Venezuelan President Nicolas Maduro during a military parade on April 13, 2019.
Marco Bello/Getty Images

It is worth recalling that approximately 7.9 million migrants and refugees have already left Venezuela, with over 6.7 million residing in Latin American and Caribbean countries. Even the successful decapitation of Maduro’s regime would not guarantee a successor able to govern the country.

At least three signposts matter in determining what happens next.

The first is airlift cadence: More Russian cargo flights into Caracas point to accelerated military and technical aid. A second is the expansion of U.S. targets – a strike on a military installation or a presidential bunker would cross a political Rubicon, even if framed as a counter-narcotics operation. The third is opposition mobilization. If there are credible signs of Venezuelan demonstrations, protests and action, this will shape Washington’s appetite for escalation.

But even if the White House clings to its current counter-drugs and counterterrorism narrative, all evidence points to the trajectory as an incremental regime change push with less than certain outcomes.

The Conversation

Robert Muggah is the co-founder of the Igarape Institute, a think and do tank in Brazil and a principal and co-founder of SecDev, a geopolitical and digital advisory group. Dr. Muggah is an affiliated scholar at Princeton University, a Richard von Weizsäcker Fellow at the Robert Bosh Academy, and received a DPhil from the University of Oxford.

ref. US squeeze on Venezuela won’t bring about rapid collapse of Maduro – in fact, it might boomerang on Washington – https://theconversation.com/us-squeeze-on-venezuela-wont-bring-about-rapid-collapse-of-maduro-in-fact-it-might-boomerang-on-washington-268693

25 Years of the International Space Station: What archaeology tells us about living and working in space

Source: The Conversation – USA – By Justin St. P. Walsh, Professor of Art History, Archaeology and Space Studies, Chapman University

The International Space Station has housed visitors continuously for roughly 25 years. NASA

The International Space Station is one of the most remarkable achievements of the modern age. It is the largest, most complex, most expensive and most durable spacecraft ever built.

Its first modules were launched in 1998. The first crew to live on the International Space Station – an American and two Russians – entered it in 2000. Nov. 2, 2025, marks 25 years of continuous habitation by at least two people, and as many as 13 at one time. It is a singular example of international cooperation that has stood the test of time.

Two hundred and ninety people from 26 countries have now visited the space station, several of them staying for a year or more. More than 40% of all the humans who have ever been to space have been International Space Station visitors.

The station has been the locus of thousands of scientific and engineering studies using almost 200 distinct scientific facilities, investigating everything from astronomical phenomena and basic physics to crew health and plant growth. The phenomenon of space tourism was born on the space station. Altogether, astronauts have accumulated almost 127 person-years of experience on the station, and a deep understanding of what it takes to live in low Earth orbit.

A module of a space station. It has white plastic walls, but the light is pinkish-purple from a plant habitat on one side. The space is cluttered with cables and equipment. Other modules are visible through the hatch at the far end.
A view of the European Space Agency’s Columbus laboratory module on the International Space Station.
Paolo Nespoli and Roland Miller, courtesy of NASA and ASI.

If you’ve ever seen photos of the inside of the International Space Station, you’ve probably noticed the clutter. There are cables everywhere. Equipment sticks out into corridors. It doesn’t look like Star Trek’s Enterprise or other science fiction spacecraft. There’s no shower for the crew, or a kitchen for cooking a meal from scratch. It doesn’t have an area designed for the crew to gather in their downtime. But even without those niceties, it clearly represents a vision of the future from the past, one where humanity would live permanently in space for the first time.

Space archaeology

November 2025, by coincidence, also marks the 10th anniversary of my team’s research on the space station, the International Space Station Archaeological Project. The long history of habitation on the space station makes it perfect for the kind of studies that archaeologists like my colleagues and me carry out.

We recognized that there had been hardly any research on the social and cultural aspects of life in space. We wanted to show space agencies that were already planning three-year missions to Mars what they were overlooking.

We wanted to go beyond just talking to the crew about their experiences, though we have also done that. But as previous studies of contemporary societies have shown, people often don’t want to discuss all their lives with researchers, or they’re unable to articulate all their experiences.

Astronauts on Earth are usually trying to get their next ride back to space, and they understandably don’t want to rock the boat. Our research provides an additional window onto life on a space station by using archaeological evidence: the traces of human interactions with the objects and built spaces of the site.

The problem, of course, is that we can’t go to the station and observe it directly. So we had to come up with other ways to capture data. In November 2015, I realized that we could use the thousands of photos taken by the crew and published by NASA as a starting point. These would allow us to track the movement of people and things around the site over time, and to map the behaviors and associations between them.

In 2022, the International Space Station Archaeological Project also carried out the first archaeological fieldwork off the Earth, an experiment designed by my collaborator, Alice Gorman. We asked the crew to document six sample locations in different modules by taking photos of each one every day for two months.

A view from one module of a space station into the airlock. In the airlock are two spacesuits facing each other. At the threshold, there is a hatch door at the top with pictures of people and other items on it. Below is a salmon-colored bulkhead with stickers of mission patches on it.
A view of the hatch from the Node 1 (Unity) module of the International Space Station into the U.S. airlock displays a crew-created memorial to deceased colleagues on the hatch door at the top.
Paolo Nespoli and Roland Miller, courtesy of NASA and ASI.

Lessons from photos

We learned that the crew of the International Space Station is a lot like those of us on Earth – perhaps unsurprising, since they live 95% or more of their lives here with the rest of us. They decorate the walls of the station with pictures, memorabilia and, on the Russian side, religious items, the way you might put photos and souvenirs on your refrigerator door to say something about yourself and your family. They make birthday cakes for their colleagues. They love to snack on candy or other special foods that they selected to be sent.

Unlike the rest of us, however, they live without much freedom to make choices about their lives. Their days are governed by lengthy procedures overseen by Mission Control, and by lists of items and their locations.

Crew members do show some signs of autonomy, though. They sometimes create new uses for different areas. They used a maintenance work station for the storage of all kinds of unrelated things, just because it has a lot of Velcro for holding items in place. They have to come up with solutions for storing their toiletry kits because that kind of affordance wasn’t considered necessary by the station’s designers 30 or 40 years ago.

The wall of a space station module. In the center is a blue metal panel with 40 pieces of Velcro arranged in a grid. More Velcro is visible on the wall. Many different items are stuck to the wall. A yellow square is superimposed on the central part of the image.
One of the sample locations for the International Space Station Archaeological Project’s archaeological experiment on the space station was the maintenance work area in the Node 2 (Harmony) module. On the wall, many different kinds of items are stored, mostly attached to patches of Velcro. The yellow dotted line shows the boundary of the sample area.
NASA/ISSAP

We discovered that despite the international nature of the station, most areas of it are highly nationalized, with each space agency controlling its own modules and, often, the activities going on in each one. This makes sense, since each agency is responsible to their own taxpayers and needs to show how their money is being spent. But it probably isn’t the most efficient way to run what is the most expensive building project in the history of humanity.

In our latest research, we tracked changes in scientific activity, which we found has become increasingly diverse, by documenting the use of specialized experimental equipment. This work was the result of questions from one of the companies competing to build a commercial successor to the International Space Station in low Earth orbit.

The company wanted to know if we could tell them what facilities their customers were likely going to need. Of course, understanding how people have used different parts of a site over time is a typical archaeological problem. They are using our results to improve the experiences of their crews.

The archaeology of the contemporary world

Similar archaeological studies of contemporary issues here on Earth can also make future lives better, whether by studying phenomena such as migration, ethnonationalism or ecological issues.

In this way, we and other contemporary archaeologists are charting a new future for studying the past, a path for our discipline that lies alongside our traditional work of investigating ancient societies and managing heritage resources. Our International Space Station work also demonstrates the relevance of social science research for solving all kinds of problems – even ones that seem to be purely technical, like living in space.

The Conversation

ISSAP received funding from the Australian Research Council. Justin Walsh’s co-PI on ISSAP is Dr. Alice Gorman (Flinders University). Walsh co-owns Brick Moon, a space habitat consultancy.

ref. 25 Years of the International Space Station: What archaeology tells us about living and working in space – https://theconversation.com/25-years-of-the-international-space-station-what-archaeology-tells-us-about-living-and-working-in-space-268549

What is DNS? A computer engineer explains this foundational piece of the web – and why it’s the internet’s Achilles’ heel

Source: The Conversation – USA – By Doug Jacobson, University Professor of Electrical and Computer Engineering, Iowa State University

Amazon Web Services, hosted in data centers like this one in Virginia, supports thousands of websites, apps and online services – but not during its recent DNS outage. Nathan Howard/Getty Images

When millions of people suddenly couldn’t load familiar websites and apps during the Amazon Web Services, or AWS, outage on Oct. 20, 2025, the affected servers weren’t actually down. The problem was more fundamental – their names couldn’t be found.

The culprit was DNS, the Domain Name System, which is the internet’s phone book. Every device on the internet has a numerical IP address, but people use names like amazon.com or maps.google.com. DNS acts as the translator, turning those names into the correct IP addresses so your device knows where to send the request. It works every time you click on a link, open an app or tap “log in.” Even when you don’t type a name yourself, such as in a mobile app, one is still being used in the background.

To understand why DNS failures can be so disruptive, it’s helpful to know how the Domain Name System is constructed. The internet contains over 378 million registered domain names, far too many for a single global phone book. Imagine a single book containing every American’s name and phone number. So DNS was intentionally designed to be decentralized.

Each organization that owns a domain, such as google.com, is responsible for maintaining its own DNS entries in its own DNS server. When your device needs to find an IP address, it asks a DNS server, which may ask others, until it finds the server that knows the answer. No single system has to hold everything. That’s what makes DNS resilient.

Here’s how DNS works behind the scenes.

Centralization equals vulnerability

So why did AWS, the largest cloud provider in the world, still manage to break the internet for so many, from Zoom to Venmo and smart beds?

Cloud providers host web servers but also critical infrastructure services, including DNS. When a company rents cloud servers, it often allows the cloud provider to manage its DNS as well. That’s efficient – until the cloud provider’s DNS itself has a problem.

Amazon disclosed that the specific cause of the recent disruption was a timing bug in the software that manages the AWS DNS management system. Whatever the cause, the effect was clear: Any website or service relying on AWS-managed DNS could not be reached, even if its server was perfectly healthy. In this way, the cloud concentrates risk.

This wasn’t the first time DNS became a point of failure. In 2002, attackers attempted to disable the entire DNS system by launching a denial-of-service attack against the root DNS servers, the systems that store the locations of all other DNS servers. In a denial-of-service attack, an attacker sends a flood of traffic to overwhelm a server. Five of the 13 root servers were knocked offline, but the system survived.

In 2016, a major DNS provider called Dyn, which companies paid to run DNS on their behalf, was hit with a massive distributed-denial-of-service attack. In a distributed-denial-of-service attack, the attacker hijacks many computers and uses them to send the flood of traffic to the target. In the Dyn attack, tens of thousands of compromised devices flooded its servers, overwhelming them. For hours, major sites like Twitter, PayPal, Netflix and Reddit were functionally offline even though their servers were fully operational. Yet again, the issue wasn’t the websites; it was the inability to find them.

The lesson is not that DNS is weak, but that reliance on a small number of providers creates invisible single points of failure. DNS was initially designed for decentralization. Yet, economic convenience, cloud services and DNS as a service are quietly steering the internet toward centralization.

Convenience over resilience

These failures matter far beyond shopping or streaming. DNS is also how people reach banks, election reporting systems, emergency alert platforms and the artificial intelligence tools now powering critical decision-making. It doesn’t even need to fully go down to be dangerous. Simply delaying or misdirecting DNS can break authentication between users and services, block transactions or erode public trust at sensitive moments.

The uncomfortable reality is that convenience is quietly winning over resilience. As organizations increasingly outsource DNS and hosting to the same handful of cloud providers, they accumulate what could be called resilience debt – invisible until the moment it comes due. The internet was engineered to survive partial failure, but modern economics is concentrating risk in ways its original designers explicitly tried to avoid.

The lesson from the AWS outage isn’t just about fixing one software bug. It’s a reminder that DNS is critical infrastructure. That means technology companies can’t afford to treat DNS as background plumbing, and resilience needs to be designed intentionally.

Individual DNS failures inconvenience people, but the reliability of DNS on the whole defines whether the internet still works at all.

The Conversation

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

ref. What is DNS? A computer engineer explains this foundational piece of the web – and why it’s the internet’s Achilles’ heel – https://theconversation.com/what-is-dns-a-computer-engineer-explains-this-foundational-piece-of-the-web-and-why-its-the-internets-achilles-heel-268336

Symbolism of cemetery plants: How flowers, trees and other botanical motifs honor those buried beneath

Source: The Conversation – USA – By Shelley Mitchell, Senior Extension Specialist in Horticulture and Landscape Architecture, Oklahoma State University

The popularity of rural cemeteries spurred the development of the first city parks. Heritage Art/Heritage Images via Getty Images

If you visit a cemetery, look closely and you’ll likely notice many flowering plants – adorning the graves, or maybe even carved into headstones.

As a horticulture Extension specialist and frequent geocacher, I often visit cemeteries in urban and rural areas across the country. The plants seen in cemeteries vary by climate as well as local history and culture. They are planted with purpose, often serving as symbols for the physical and spiritual realms.

Early rural cemeteries

In the early 1800s, cemeteries in the United States started separating from churchyards and common grounds of large cities, such as Boston Common. The population growth of cities quickly boxed in burial grounds, and they became overcrowded. The solution was rural cemeteries outside the city limits.

A black-and-white image of a cemetery on a hill, with a tower atop the hill and trees scattered throughout.
Mount Auburn Cemetery in Cambridge, Mass., between 1890 and 1901.
Heritage Art/Heritage Images via Getty Images

Mount Auburn, the first rural cemetery, was opened in 1831 in Cambridge, Massachusetts, in conjunction with the Massachusetts Horticultural Society. The developers kept the natural state in mind and drew inspiration from English landscape gardens and from a large cemetery in Paris: Père Lachaise – Napoleon’s solution for running out of space for burials in Paris.

Early rural cemeteries were closely linked with horticulture societies, and they became popular green spaces to visit to escape the pollution and crowds of the cities. The founder of one early rural cemetery, Laurel Hill outside Philadelphia, recorded all its plantings, representing over 175 different species, and created a guidebook.

Plants grown in cemeteries were selected not only based on whether they could grow in the climate, but also for the symbolism of their shapes and historical associations of their species. Plants frequently represented death and mourning, hope and immortality.

Weeping willow trees with their long, dangling branches were popular in cemeteries due to their dramatic emotional and visual effects. Evergreens symbolized eternal life. Deciduous trees represented the cycle of life because they lose their leaves in the winter, and flowers are comforting. Plants like iris and rose, which return every year, symbolized immortality.

Death in the Victorian era

Within a few decades of the beginning of the rural cemetery movement, the Victorian era began. Because of large numbers of dead from plagues and wars, death was a big part of Victorian life.

The Victorians were interested in floriography – “flower language” – and attached a symbolic meaning to almost every flower known. Consequently, flowers and other plants became commonplace on headstones.

This emphasis on botanical motifs on headstones contrasted the symbols that had been common on early gravestones in New England during colonial days. Many gravestones from those days had images such as winged skulls and crossed bones, representing the orthodox Puritan view that all humans were sinners. Mortal symbols on headstones were a reminder of death.

A stone carved with six symbols, including a skull and two bones crossed in an x.
Some 18th-century gravestones had skulls and crossed bones, which were meant to remind the viewer of their mortality.
Martyn Gorman, CC BY-SA

Horticultural symbols

Each symbol’s meaning may vary with time and place. Some plants may represent a person’s ancestry or birthplace. A thistle on a headstone could represent someone of Scottish descent, while an Irishman might have a shamrock. Willow is a common symbol on Iroquois graves.

A stone carving of a weeping willow tree.
A willow tree inscribed on a 19th-century tombstone in a cemetery in Savannah, Ga.
Pam Susemiehl/Moment via Getty Images

Yuccas, which can live for hundreds of years, can serve as headstones by themselves. African American or cemeteries for enslaved people sometimes used them as grave markers.

Statues of trees can also be gravestones, shaped as trunks, stumps or logs. The stump represents a life cut short. Branches can represent how many children the deceased had, or how many family members are in the plot. Trees can symbolize eternal life or the importance of family – as in a family tree.

These tree stones became popular in the Victorian era, reflecting common rustic design styles in Europe that included home decor featuring twigs, leaves, branches and bark. During this time of increasing urbanization, many people were nostalgic for simpler rural lives and nature.

Plants as religious symbols

Many religions have plants that are sacred and may appear on graves. In Buddhism and Hinduism, the lotus is a sacred symbol associated with spiritual enlightenment, purity and compassion.

Different facets of Christianity are represented in various ways: Grapes may represent the Sacraments, the palm Christ’s victory over death, the rose the Virgin Mary, and wheat the body of Christ.

On the Day of the Dead, people of Mexican descent use marigolds to decorate graves and form trails that lead to a home altar with the deceased’s favorite things.

A grave with orange flowers, a cross and a skull on it.
In Mexico, people decorate graves with marigolds on Day of the Dead.
Patricia Marroquin/Moment via Getty Images

Victorians used dandelions to symbolize love and grief and that life is not permanent: Its blowing seeds represent the soul’s journey upward.

Some plants represent careers or interests. Adolphus Busch, co-founder of the Anheuser-Busch brewery, has bronze hop flowers decorating his mausoleum. Corn or wheat could represent a farmer.

Flower symbolism

Some flowers traditionally represent particular values of the deceased or messages sent or received from beyond the grave. Daisies can stand for innocence and purity and are often found on children’s graves. Magnolias represent the deceased’s strength of character and leave a legacy of resilience.

Carnations represent affection, health and energy, while crocuses evoke cheerfulness. Oak trees symbolize strength, endurance, power and victory. Laurel, especially in the form of a wreath, has meanings that go all the way back to ancient Greece and is associated with someone of distinction in athletics, the military, or art or literature. Red poppies are associated with remembrance, particularly of World War I.

Red poppies in the foreground with a large tombstone in the background.
Red poppies act as a symbol representing the memory of those lost in World War I.
AP Photo/Virginia Mayo, FILE)

Herbs fall right in there with flowers in their meanings: Fennel means worthy of praise; garlic, courage and strength; mint, protection from illness; oleander, caution; and thyme ensures restful sleep.

The future of cemeteries

With more people choosing cremation and green burials, cemeteries aren’t selling as many plots. Cemetery horticulture may save the economic day for the cemetery business.

Some cemeteries are now offering gardening classes. A few urban beekeepers like to keep their bees in cemeteries where there are a lot of flowering plants. Cemeteries are becoming certified arboretums, a tourist draw. Citizen science projects have discovered insect and fungi species in cemeteries that are new to the scientific community or rarely seen in the area, or even the world. Rose enthusiasts come to cemeteries to harvest some heirloom varieties, and there is talk of growing edible crops in cemeteries in food desert areas of New York City.

Cemeteries may conjure images of death and decay, but the future for cemeteries is full of life.

The Conversation

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

ref. Symbolism of cemetery plants: How flowers, trees and other botanical motifs honor those buried beneath – https://theconversation.com/symbolism-of-cemetery-plants-how-flowers-trees-and-other-botanical-motifs-honor-those-buried-beneath-268660

It’s always been hard to make it as an artist in America – and it’s becoming only harder

Source: The Conversation – USA (2) – By Joanna Woronkowicz, Associate Professor of Public and Environmental Affairs, Indiana University

About 2.4 million Americans are artists, or 1% of the workforce. Ian Forsyth/Getty Images

“Being an artist is not viewed as a real job.”

It’s a sentiment I’ve heard time and again, one that echoes across studios, rehearsal halls and kitchen tables – a quiet frustration that the labor of making art rarely earns the legitimacy or security afforded to other kinds of work.

I study how artists work and earn a living in the United States. In a country that valorizes creativity yet neglects the people who produce it, I’ve seen how artists are left to navigate a system that treats their calling as a personal gamble rather than a profession worth supporting.

“I wish this country supported artists,” one artist told me. “Look how good it could be if culture was celebrated.”

The reality is that for many artists, the dream of sustaining a creative career now comes with steep odds: volatile income, limited benefits and few protections against technological or market shocks.

Some countries have begun to recognize this and act accordingly. South Korea, for instance, introduced its Artist Welfare Act in 2011 and expanded it in 2022, creating mechanisms for income stabilization, insurance coverage and protection against unfair contracts.

Such examples show that insecurity is not an inevitable feature of artistic life – it’s a symptom of policy choices.

My new book, “Artists at Work: Rethinking Policy for Artistic Careers,” uses U.S. labor force data to show how building a creative career has become an increasingly risky pursuit – and how smarter policies could make it less so.

A fragile profession

About 2.4 million Americans are artists, or roughly 1% of the workforce in 2019. This figure includes individuals whose primary occupation falls within an artistic field – such as musicians, designers, writers, actors, architects or visual artists – according to the U.S. Bureau of Labor Statistics. It’s likely an undercount, since many artists hold jobs outside of the arts to support their creative work.

But even before the COVID-19 pandemic, the number of working artists was already falling. Between 2017 and 2019, formal employment in these fields dropped from 2.48 million to 2.4 million, a quiet contraction that reflected shrinking opportunities and growing instability across creative fields.

When COVID-19 hit, that slow decline turned into a collapse. The arts economy shrank by 6.4% in 2020 – nearly twice the overall U.S. rate of decline – and more than 600,000 jobs disappeared. For artists, the pandemic didn’t create new problems so much as reveal how little of the safety net reached them in the first place.

Health insurance is one example.

Most artists are insured, but roughly 20% buy coverage on their own, compared with about 10% of all U.S. workers. When the Affordable Care Act expanded access to individual plans, artists’ coverage rates improved significantly – a reminder that good policy can make a real difference for this workforce.

Even this modest progress is now under threat: With enhanced marketplace subsidies set to expire and the current government funding impasse looming, individual premiums under the ACA could more than double for many enrollees next year.

Education doesn’t provide much protection either. Artists are among the most educated groups in the labor market – about two-thirds hold at least a bachelor’s degree – but their earnings don’t rise as much with each level of education as those of other professionals. Research shows that even artists with graduate degrees earn lower pay and face sharper income swings than workers with similar schooling in other fields.

Artists almost by definition juggle multiple roles. In 2019, about 8% held more than one job – compared with 5% of all workers – and roughly 30% worked part time in different types of jobs. Many combined teaching, freelance projects and contract gigs to piece together something close to full-time work.

A dark hallway in a hospital with a young woman mopping the floor.
A freelance artist who works as a custodian by night cleans the bathrooms at a Maryland hospital in 2016.
Astrid Riecken/The Washington Post via Getty Images

My research shows that self-employment is far more common among artists than among other workers. Yet many go independent not because they crave entrepreneurship but because it’s the only option available. The top industries employing artists include professional and technical services, arts and entertainment, information and retail.

In other words, artists often move between arts and non-arts jobs, teaching by day or working service shifts at night, just to keep their creative practice alive.

Existing labor laws assume a steady paycheck

Most U.S. labor protections – health insurance, paid leave, workers’ compensation and retirement benefits – are tied to full-time, W-2 employment. But few artists work that way. They rely on gigs that don’t fit neatly into existing systems: short-term contracts, productions with limited runs such as musicals or film shoots, and one-off project fees.

Existing rules simply do not support professional artists.

Because employers don’t pay into unemployment funds for contractors or freelancers, most artists are ineligible for unemployment insurance.

Copyright law was originally written with publishers and record labels in mind, leaving visual artists without royalties when their work is resold. Existing copyright law is being challenged by artists and record labels, who are claiming their work was used to train AI models without permission, favoring tech companies that say these tools will “democratize” artmaking.

The tax code, meanwhile, lets collectors deduct the full value of artwork they donate, but limits artists themselves to deducting only the cost of materials.

Public funding of the arts, from the New Deal’s Federal Art Project to the creation of the National Endowment for the Arts, has come in brief bursts – but is often first on the chopping block during economic downturns.

Together, these examples reveal a century-long pattern: The U.S. celebrates art but neglects artists. Instead of treating creative work as legitimate labor, the country’s policies fail to offer artists stability or protection.

Labor policy that values artists

If labor policies have largely ignored artists, it’s because policymakers start from the wrong place. Too often, artists are asked to justify their worth by proving that they drive tourism, raise property values or fuel innovation. That logic turns creative work into a tool for someone else’s goals.

In my view, a better starting point is the right to choose creative work. The ability to select one’s occupation freely – and to make a living doing meaningful work – is, to many Americans, as fundamental as freedom of speech. Yet the structure of U.S. workforce policy makes that choice nearly impossible for many artists.

A more coherent approach would treat the arts as part of the nation’s labor system, not an afterthought. One policy change could require benefits such as health care, unemployment insurance and retirement savings to be portable – following the worker, not the employer. Laws could protect freelancers from late or missing payments, such as New York’s Freelance Isn’t Free Act. And tax and copyright policies could give artists the same chance to profit from their work that investors and corporations already enjoy. Many European countries already do this through “droit de suite” laws, which grant visual artists a small royalty each time their work is resold – ensuring that creators, not just collectors, can reap the rewards of the long-term value of their art.

Designing policies around how many artists actually work – project by project, contract by contract – would make it possible for more people to build sustainable careers in the arts. It would also make the sector more inclusive, drawing talent from across social classes rather than only from those that can afford to take the risk.

But I think policy change also requires a shift in mindset.

Viewing artists not as special cases or economic tools, but as workers exercising a basic human right – the right to choose their work – strengthens both culture and democracy. To me, the central question is not whether artists deserve help because their work enriches others, but whether every individual should have the freedom to make a living through work that gives life meaning.

The Conversation

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

ref. It’s always been hard to make it as an artist in America – and it’s becoming only harder – https://theconversation.com/its-always-been-hard-to-make-it-as-an-artist-in-america-and-its-becoming-only-harder-266138

Wildlife recovery means more than just survival of a species

Source: The Conversation – USA (2) – By Benjamin Larue, Faculty Affiliate in Wildlife Biology, University of Montana

What counts as success in species recovery? U.S. Forest Service via AP

For decades, wildlife conservation policy has aimed to protect endangered species until there are enough individual animals alive that the species won’t go extinct. Then the policymakers declare victory.

That principle is enshrined in laws such as the U.S. Endangered Species Act and Canada’s Species at Risk Act. It shapes how governments manage wildlife and their habitat, how politicians weigh trade-offs between species protection and human development goals, and how the public understands conservation.

But often, those minimalist population numbers – enough to avoid extinction – aren’t enough to restore ecosystems or cultural connections between people and those animals.

There’s another way of thinking about species recovery: emphasizing not just avoiding extinction but instead enabling species to truly thrive. A shift from conserving minimum populations to restoring thriving populations involves recovering the species’ ecological role, including large parts of its geographic range and genetic diversity, as well as its relationships with people.

The difference between recovering thriving populations instead of traditional minimalist approaches becomes clear when looking at three iconic North American species: gray wolves, grizzly bears and bison.

A group of wolves gather in a snow-covered clearing.
The return of wolves to Yellowstone National Park was touted as a massive success – but was its goal too limited?
National Park Service via AP

Gray wolves: More than a number

After decades of federal protection, gray wolves were taken off the list of species protected by the Endangered Species Act in parts of the U.S. in January 2021.

The Trump administration is considering removing federal protections for gray wolves nationwide.

But in the wake of the regional protection removal, states such as Montana and Idaho expanded hunting and trapping seasons for wolves, and some organizations added bounties for killing them.

Officials justified their actions by pointing to the fact that gray wolves had surpassed a minimum population threshold for species survival, and saying that intensive predator control would not jeopardize the species’ long-term viability.

The states’ current population goals would reduce wolf populations to about one-third of current numbers: from 1,235 to 500 in Idaho and from 1,134 to 450 in Montana.

For contrast, there are 3,300 wolves in Italy. That country has an area about 80% of the size of Montana and is home to less prey, less open land and more than 50 times as many people, all of which significantly raise the potential for human-wolf conflict.

So far in Idaho and Montana, gray wolf numbers have stopped increasing and may still satisfy requirements under federal laws protecting the species. But the wolf population there is not robust and thriving – it’s just surviving.

Wolves remain absent from large areas that provide suitable habitat for them. Reducing wolf numbers further, as the states want to do, would limit their ability to reoccupy these areas, where they could restore ecosystems by helping to manage often overabundant prey populations and also inspire millions of people with their wildness.

Grizzly bears: Viable yet vulnerable

Grizzly bear populations in the Greater Yellowstone and northern Continental Divide ecosystems have exceeded the federal recovery targets set decades ago under the Endangered Species Act to prevent the bears’ extinction.

In July 2025, a U.S. House of Representatives committee agreed to remove the species’ protection under the law, which would allow states to permit people to hunt the bears for the first time in decades. But it was overhunting that, in part, drove them to near extinction in the first place.

Government agencies often say that hunting and trapping reduce human conflicts with bears. But scientific and public opinion on that point is far from a consensus. There are effective, nonlethal methods for keeping bears away from humans, such as public education, electric fencing, bear-resistant garbage containers and removal of roadkill and dead livestock.

Once numbering more than 50,000 across at least 18 states in the 48 contiguous United States, grizzlies now number just over 2,000 and occupy less than 5% of their original habitat area. They can be found in only four states.

Current grizzly populations are also not interconnected, despite the availability of suitable habitat for them. That risks genetic isolation of subpopulations, which decreases genetic diversity and their prospects for adaptation and survival. Disconnection of populations also reduces their ability to disperse seeds, improve soil health and prey on other species. Grizzly bears are also an umbrella species, meaning they share habitat with a disproportionate number of other species, so recovering grizzlies benefits the entire food web.

One day, hunting might offer a new way for humans to reconnect with thriving grizzlies. But right now, with populations isolated and vulnerable, opening a hunting season would risk cutting off their chance to thrive in large, unoccupied ranges.

A group of very large animals stand in a grassy area surrounded by tree trunks.
Bison are common in Yellowstone National Park – but not nearly as common as they once were.
Jon G. Fuller/VWPics/Universal Images Group via Getty Images

Bison: The illusion of return

Perhaps no species better captures the failure of existing recovery models to move beyond survival toward thriving populations than the bison. Tens of millions of them used to roam North America, shaping grassland ecosystems and playing significant material, spiritual and communal roles in Indigenous cultures.

Hunting for bison hides and tongues reduced their numbers to fewer than 1,000 at the cusp of the 20th century. Today, most bison live on ranches in small, fenced herds. Only 31,000 bison in North America are managed for conservation, and most are in isolated pockets of habitat at the fringe of their historic range. Even in Yellowstone National Park, which supports thousands of bison and provides a glimpse into how bison historically shaped North American ecosystems, the animals are barred from expanding to other parts of their historic range due to concerns about disease transfer to domestic livestock.

Thinking about the bison’s recovery in different terms does not mean tens of millions of them need to be stampeding across the continent. But it could mean large, free-ranging, genetically diverse herds that are integrated into a variety of ecosystems, where they also have a role in cultural revitalization.

A thriving view of species recovery is central to Indigenous-led initiatives, such as those guided by the 2014 Buffalo Treaty, which has been signed by more than 40 Indigenous nations. The treaty helped drive bison reintroduction to Banff National Park in Canada and is currently inspiring the recovery of free-roaming bison on Indigenous reservations across the U.S. and Canada, including the Blackfeet Reservation in Montana and Wind River Reservation in Wyoming.

A broader vision of recovery

Shifting away from the long-standing goal of a minimum viable population would require changes to how recovery targets are set, how success is measured, and how decisions are made when populations reach those minimum thresholds.

While national laws in the U.S. and Canada provide valuable starting points, focusing on species not just surviving but thriving would involve more ambitious goals, longer timelines and stronger human-wildlife coexistence measures. It would also require shifting public expectations away from the idea that recovery ends when minimal legal obligations are met.

Doing so could help combat climate change by restoring the role of large, wild animals in nutrient cycling, as well as reverse ecosystem degradation and help people of all backgrounds reconnect with nature.

As wildlife biologists, we aim to provide the best available science and recommendations to inform the conservation of North America’s wildlife. Yet under the current management paradigm, where recovery often equates to mere survival, we are compelled to ask whether this is enough. Should wildlife conservation aim merely to prevent extinction or to foster populations that thrive? How each and every one of us answers this question will shape not only the future of wolves, grizzly bears and bison, but also the legacy of wildlife recovery across North America.

The Conversation

Mark Hebblewhite receives funding from National Science Foundation.

Benjamin Larue and Jonathan Farr do not work for, consult, own shares in or receive funding from any company or organization that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

ref. Wildlife recovery means more than just survival of a species – https://theconversation.com/wildlife-recovery-means-more-than-just-survival-of-a-species-263898

People abused by intimate partners have worse asthma – but researchers are still untangling the reasons behind this surprising link

Source: The Conversation – USA (3) – By Anne P. DePrince, Professor of Psychology, University of Denver

Most drug treatments on the market today target inflammation, but a new approach may be needed. aquaArts studio/E+ via Getty Images

Asthma is a common, serious and difficult-to-manage chronic health condition. In the U.S., 1 in 7 people are diagnosed with asthma, and that number is rising.

Over the years, researchers have identified a mix of individual and environmental factors that play a role in asthma. For instance, obesity and alcohol use increase a person’s risk for asthma. And more extreme weather is linked to worse asthma symptoms.

In that mix of research, a new pattern has emerged pointing to links between asthma and abuse by a current or former romantic partner. As surprising as that might sound, these links are important because intimate partner abuse is common in the U.S. An estimated 47% of women and 44% of men are physically or sexually victimized or stalked by intimate partners at some point in their lives.

As a psychologist and an asthma specialist, we have teamed up to learn more about asthma and intimate partner abuse.

And what we’re seeing has important implications for treatment.

The role of inflammation

To understand how factors such as obesity or extreme weather can result in asthma, researchers have focused on inflammation. Inflammation plays a key role in keeping humans and other animals healthy.

When pathogens such as viruses attack the body, or the body suffers an injury, the immune system responds with inflammation. This immediate, short-term response helps the body minimize damage to cells and fight infection. It’s also what causes the red hotness that surrounds a skin injury or bothersome symptoms when fighting a cold.

While short-term inflammation is critical to good health, the inflammation system can go awry. Chronic inflammation contributes to many kinds of diseases, including asthma.

Uncontrolled inflammation drives asthma development and symptoms. Over the years, a better understanding of different types of inflammation that can worsen asthma has led to the identification of critical targets for asthma medications and important advances in care.

Because of this inflammation-asthma connection, most drug treatments for asthma today target overactive inflammation in the airways.

Illustration showing normal and asthmatic lungs next to a drawing of a human body.
People with asthma experience excess mucus, muscle tightness in the chest and difficult breathing, largely due to inflamed airways.
blueringmedia/iStock via Getty Images Plus

Looking for other explanations

Despite significant advances in drug treatments for asthma, a majority of adults with the condition have uncontrolled asthma, which means more flare-ups and an increased chance of dying from the disease.

As researchers and medical providers have figured out that not everyone responds to common medications, they’ve turned to more personalized approaches to understanding asthma predictors.

That more personalized approach led one of us, Dr. Wang, to wonder whether intimate partner abuse might play a role in asthma for some of her patients. After all, intimate partner abuse is linked with a host of health problems and health care costs.

Using a large database that was representative of the U.S. population, one of us (Dr. Wang) led a team in 2021 that discovered intimate partner abuse was associated with worsened asthma attacks and symptoms. That study included over 2,600 adults and found that having asthma along with a history of intimate partner abuse meant significantly greater odds of asthma attacks, more frequent symptoms and greater impact of symptoms on daily life.

This pattern was true even for adults who were out of the abusive relationships for a year or more, suggesting a persistent effect of intimate partner abuse on asthma.

Over time, other research teams also found links between intimate partner abuse and increased rates of having or developing asthma for adults.

In addition, research showed that intimate partner abuse also affects the next generation. Multiple studies have shown increased rates of asthma in children of women who were abused by their intimate partners.

A new view of inflammation

So, does this mean that intimate partner abuse leads to chronic overinflammation, which in turn causes asthma? Not necessarily, according to another study we did.

We worked with a team of researchers to recruit 60 adults with uncontrolled asthma into our study and examined many different markers of inflammation in the blood. Importantly, about half of those adults told us they had been abused by an intimate partner at some time in their lives. And about half said they had not.

First, we looked at the traditional types of inflammation studied in prior asthma research, including those targeted by currently available treatments. On measure after measure, our team found that patients with histories of intimate partner abuse had lower inflammation than those without histories of abuse, despite having uncontrolled asthma.

Surprised by this finding, we tested whether other factors that have been linked with asthma could better explain what we found. However, the pattern was still there – even when we took into account factors such as gender, obesity, anxiety and depression.

Next, we looked closely at the histories of abuse that patients reported. Most were out of the abusive relationship for more than a year. Therefore, these new findings offer additional evidence that intimate partner abuse can affect people’s health long after the trauma has ended.

Ultimately, these findings have important implications for public health and the treatment of asthma. Current asthma treatments target specific types of overinflammation. However, survivors of intimate partner abuse had lower levels of the types of inflammation that medications target. That could be key to understanding why survivors are more likely than other patients to have uncontrolled asthma even with treatment.

Our recent findings suggest that intimate partner abuse may be linked to asthma through other biological mechanisms, such as alternative or nontraditional types of inflammation. More research is needed to identify what drives asthma among survivors so more effective treatments can be developed.

The Conversation

Anne P. DePrince has received funding from the Department of Justice, National Institutes of Health, State of Colorado, and University of Denver. She has received honoraria for giving presentations and has been paid as a consultant. She has a book with Oxford University Press. She is an Advisory Group Member of the National Crime Victim Law Institute and a Senior Advisor to the Center for Institutional Courage.

Eileen Wang receives funding through her institution from the American College of Allergy, Asthma, and Immunology; Colorado Clinical and Translational Sciences Institute; Optimum Patient Care; GSK; Genentech; and Mount Sinai.

ref. People abused by intimate partners have worse asthma – but researchers are still untangling the reasons behind this surprising link – https://theconversation.com/people-abused-by-intimate-partners-have-worse-asthma-but-researchers-are-still-untangling-the-reasons-behind-this-surprising-link-263508

Back pain during pregnancy is often dismissed as a passing discomfort − a nurse explains why it should be taken seriously and treated

Source: The Conversation – USA (3) – By Julie Vignato, Assistant Professor of Nursing, University of Iowa

Serious and even debilitating back pain during pregnancy is extremely common. Jose Luis Pelaez Inc/DigitalVision via Getty Images

About half to three-quarters of expectant mothers experience pain during pregnancy that is largely untreated, contributing to preventable suffering and harm. Many mothers avoid medications and treatments during pregnancy for fear that they may cause harm to their unborn baby. Yet, most are unaware of the harms that untreated pain in pregnancy may cause.

Like many women, I experienced severe pain in pregnancy. As a nurse researcher, I listen to women’s stories and analyze data from across the United States. I share these findings through publications, presentations and the media to raise awareness and reduce the suffering of untreated pregnancy pain.

Not just minor ‘discomfort’

Mothers are often told that the pain that comes with pregnancy is a temporary discomfort that comes with the territory – and ends as soon as the baby is born.

But when pain and discomfort persist to the point that mothers cannot sleep, work and care for their other children, mothers are experiencing pain that needs to be addressed. And for some mothers, the pain does not just eventually fade. Back pain and headaches, for example, can last longer than three months, becoming a chronic condition that affects overall health.

Normal changes that occur during pregnancy often lead to pain. Pregnancy pain normally occurs from hormonal changes that can cause headaches and loosening of pelvic joints. The loosening of joints and the weight of the unborn baby contribute to back pelvic pain. The weight of the developing baby also causes the spine to abnormally curve, a condition called lordosis.

Back and pelvic pain increase in the third trimester of pregnancy when the weight of the baby is at its greatest. This is why it’s incredibly important for doctors and loved ones to believe mothers when they report pain. However, one meta-analysis, meaning an in-depth review of existing research, found that more than 50% of mothers who reported their pain received little to no treatment from their doctors.

Inadequacy of current treatments

Current treatments for pain during pregnancy are highly limited.

Tylenol, though safe – despite the current controversy – treats only mild pain and is ineffective for moderate to severe muscle pain.

Alternative treatments that are also recommended and can be effective, such as heat or cold applications, massage, chiropractic adjustments, exercise and physical therapy, may need to be used in unison and on an ongoing basis. These treatments are not always covered by insurance.

The most effective approach combines several treatments, including exercise that may be provided through physical therapy. Unfortunately, this care may be costly for mothers without adequate insurance, and awareness of these options varies among providers.

Mid-section view of a pregnant person wearing a back support strap around their belly.
A supportive belt or band can sometimes help with back pain.
Anna Reshetnikova/iStock via Getty Images Plus

The harms of untreated pregnancy pain

My team’s research reveals that when mothers report pain during pregnancy to their health care providers and loved ones, mothers are typically instructed to go home, rest, take Tylenol, go on maternity leave or a combination of these. However, this does not meet the needs of mothers who must work or care for other children. In addition, going on leave early is not an option for many mothers who desire to save their limited maternity leave for after the baby is born.

Mothers will almost always continue to take care of their children or work at the expense of their health if they feel there are no other choices. However, when expectations from their work, family or themselves are not met, mothers may feel guilty about not being a good enough mother or employee. This cycle can contribute to mental health challenges.

When pain is left untreated, mothers may feel minimized, unheard and overwhelmed. In turn, they can start to feel helpless and hopeless, which are symptoms of depression. My colleagues and I found that approximately 44% of women with severe pain report moderate to severe depressive symptoms during the third trimester of pregnancy.

Untreated depression can also lead to suicide, which is responsible for 5% to 20% of maternal deaths in the U.S.

Equally important, opioid or narcotic pain relievers may be prescribed for pregnant mothers experiencing severe pain. Yet, 1 in 5 women with pain report misusing these prescribed medications during pregnancy to relieve pain. In turn, this increases the risk of newborns experiencing withdrawal from these medications after birth, causing significant suffering. Sadly, neonatal opioid withdrawal syndrome is becoming more common, costing the country over US$462 million annually.

With suicide and drug overdoses now the leading causes of death in the year after childbirth, effective pain management in pregnancy is urgently needed.

Pregnant mom squats near toddler in kitchen.
Pregnant mothers who have younger children may often push through pain and discomfort, which can contribute to greater distress.
Stephen Simpson/Stone via Getty Images

Being assertive about pregnancy pain

Managing pregnancy pain starts with open communication between the mother and their health care provider. Our studies reveal that by gently adjusting expectations, sharing how they feel and asking about available treatments, mothers can take an active role in ensuring their pain is understood and addressed.

Pregnant mothers are strong, but it’s natural to slow down. Pregnancy is a time to listen to your body and adjust expectations. I believe that balance matters. If pain prevents you from lifting your toddler, that’s OK. What your child will remember the most are the moments you snuggled with them on the couch.

My team’s studies reveal that talking to loved ones about pain may be a challenge. So choose a calm, quiet time without distractions – when everyone can listen and respond thoughtfully. Be open about how you feel and clear about the help you need. Using “I” statements such as “I feel …” also helps. Allow for questions.

Share reliable articles or invite loved ones to a medical appointment so they can better understand what you are experiencing. If someone dismisses your pain, reach out to others who are more supportive.

It is also important to start the conversation with your doctor, midwife or nurse practitioner. Before your appointment, jot down your main concerns and any questions you would like to ask.

Be honest about your pain, especially if it is preventing you from sleeping or doing your usual activities. Tell your provider whether the pain is constant or comes and goes, and describe what it feels like – achy, throbbing, sharp or dull. Even mild ongoing pain that disrupts rest or daily life is important.

Share what you’ve already tried and how well those treatments have worked. If your pain is not improving, reach out to discuss other options, such as prescription medications or a referral to physical therapy. Sometimes, it takes more than one conversation to find relief.

If your pain continues, ask about consulting with a specialist or another health care provider for a different perspective. If your pain improves with treatment but your insurance requests you stop, ask your provider to help appeal the decision. Ongoing treatment throughout pregnancy may be necessary to control your pain.

Relief is possible when pain is taken seriously, not dismissed as an unavoidable harm of pregnancy.

The Conversation

Julie Vignato received funding from the National Institutes of Health. She is a member and Leadership Scholar with the United States Association for the Study of Pain.

ref. Back pain during pregnancy is often dismissed as a passing discomfort − a nurse explains why it should be taken seriously and treated – https://theconversation.com/back-pain-during-pregnancy-is-often-dismissed-as-a-passing-discomfort-a-nurse-explains-why-it-should-be-taken-seriously-and-treated-268264