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Tuesday, July 29, 2014

Ali A. Rizvi Headshot

7 Things to Consider Before Choosing Sides in the Middle East Conflict


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Are you "pro-Israel" or "pro-Palestine"? It isn't even noon yet as I write this, and I've already been accused of being both.

These terms intrigue me because they directly speak to the doggedly tribal nature of the Israeli-Palestinian conflict. You don't hear of too many other countries being universally spoken of this way. Why these two? Both Israelis and Palestinians are complex, with diverse histories and cultures, and two incredibly similar (if divisive) religions. To come down completely on the side of one or the other doesn't seem rational to me.

It is telling that most Muslims around the world support Palestinians, and most Jews support Israel. This, of course, is natural -- but it's also problematic. It means that this is not about who's right or wrong as much as which tribe or nation you are loyal to. It means that Palestinian supporters would be just as ardently pro-Israel if they were born in Israeli or Jewish families, and vice versa. It means that the principles that guide most people's view of this conflict are largely accidents of birth -- that however we intellectualize and analyze the components of the Middle East mess, it remains, at its core, a tribal conflict.

By definition, tribal conflicts thrive and survive when people take sides. Choosing sides in these kinds of conflicts fuels them further and deepens the polarization. And worst of all, you get blood on your hands.

So before picking a side in this latest Israeli-Palestine conflict, consider these 7 questions:

***

1. Why is everything so much worse when there are Jews involved?

Over 700 people have died in Gaza as of this writing. Muslims have woken up around the world. But is it really because of the numbers?

Bashar al-Assad has killed over 180,000 Syrians, mostly Muslim, in two years -- more than the number killed in Palestine in two decades. Thousands of Muslims in Iraq and Syria have been killed by ISIS in the last two months. Tens of thousands have been killed by the Taliban. Half a million black Muslims were killed by Arab Muslims in Sudan. The list goes on.

But Gaza makes Muslims around the world, both Sunni and Shia, speak up in a way they never do otherwise. Up-to-date death counts and horrific pictures of the mangled corpses of Gazan children flood their social media timelines every day. If it was just about the numbers, wouldn't the other conflicts take precedence? What is it about then?

If I were Assad or ISIS right now, I'd be thanking God I'm not Jewish.

Amazingly, many of the graphic images of dead children attributed to Israeli bombardment that are circulating online are from Syria, based on a BBC report. Many of the pictures you're seeing are of children killed by Assad, who is supported by Iran, which also funds Hezbollah and Hamas. What could be more exploitative of dead children than attributing the pictures of innocents killed by your own supporters to your enemy simply because you weren't paying enough attention when your own were killing your own?

This doesn't, by any means, excuse the recklessness, negligence, and sometimes outright cruelty of Israeli forces. But it clearly points to the likelihood that the Muslim world's opposition to Israel isn't just about the number of dead.

Here is a question for those who grew up in the Middle East and other Muslim-majority countries like I did: if Israel withdrew from the occupied territories tomorrow, all in one go -- and went back to the 1967 borders -- and gave the Palestinians East Jerusalem -- do you honestly think Hamas wouldn't find something else to pick a fight about? Do you honestly think that this has absolutely nothing to do with the fact that they are Jews? Do you recall what you watched and heard on public TV growing up in Palestine, Saudi Arabia, Egypt?

Yes, there's an unfair and illegal occupation there, and yes, it's a human rights disaster. But it is also true that much of the other side is deeply driven by anti-Semitism. Anyone who has lived in the Arab/Muslim world for more than a few years knows that. It isn't always a clean, one-or-the-other blame split in these situations like your Chomskys and Greenwalds would have you believe. It's both.

***

2. Why does everyone keep saying this is not a religious conflict?

There are three pervasive myths that are widely circulated about the "roots" of the Middle East conflict:
Myth 1: Judaism has nothing to do with Zionism.
                        Myth 2: Islam has nothing to do with Jihadism or anti-Semitism.
     Myth 3: This conflict has nothing to do with religion.
 
To the "I oppose Zionism, not Judaism!" crowd, is it mere coincidence that this passage from the Old Testament (emphasis added) describes so accurately what's happening today?
"I will establish your borders from the Red Sea to the Mediterranean Sea, and from the desert to the Euphrates River. I will give into your hands the people who live in the land, and you will drive them out before you. Do not make a covenant with them or with their gods." - Exodus 23:31-32
Or this one?
"See, I have given you this land. Go in and take possession of the land the Lord swore he would give to your fathers -- to Abraham, Isaac and Jacob -- and to their descendants after them." - Deuteronomy 1:8
There's more: Genesis 15:18-21, and Numbers 34 for more detail on the borders. Zionism is not the "politicization" or "distortion" of Judaism. It is the revival of it.
And to the "This is not about Islam, it's about politics!" crowd, is this verse from the Quran (emphasis added) meaningless?
"O you who have believed, do not take the Jews and the Christians as allies. They are [in fact] allies of one another. And whoever is an ally to them among you--then indeed, he is [one] of them. Indeed, Allah guides not the wrongdoing people." - Quran, 5:51
What about the numerous verses and hadith quoted in Hamas' charter? And the famous hadith of the Gharqad tree explicitly commanding Muslims to kill Jews?
Please tell me -- in light of these passages written centuries and millennia before the creation of Israel or the occupation -- how can anyone conclude that religion isn't at the root of this, or at least a key driving factor? You may roll your eyes at these verses, but they are taken very seriously by many of the players in this conflict, on both sides. Shouldn't they be acknowledged and addressed? When is the last time you heard a good rational, secular argument supporting settlement expansion in the West Bank?
Denying religion's role seems to be a way to be able to criticize the politics while remaining apologetically "respectful" of people's beliefs for fear of "offending" them. But is this apologism and "respect" for inhuman ideas worth the deaths of human beings?
People have all kinds of beliefs -- from insisting the Earth is flat to denying the Holocaust. You may respect their right to hold these beliefs, but you're not obligated to respect the beliefs themselves. It's 2014, and religions don't need to be "respected" any more than any other political ideology or philosophical thought system. Human beings have rights. Ideas don't. The oft-cited politics/religion dichotomy in Abrahamic religions is false and misleading. All of the Abrahamic religions are inherently political.
***
3. Why would Israel deliberately want to kill civilians?
This is the single most important issue that gets everyone riled up, and rightfully so.
Again, there is no justification for innocent Gazans dying. And there's no excuse for Israel's negligence in incidents like the killing of four children on a Gazan beach. But let's back up and think about this for a minute.
Why on Earth would Israel deliberately want to kill civilians?
When civilians die, Israel looks like a monster. It draws the ire of even its closest allies. Horrific images of injured and dead innocents flood the media. Ever-growing anti-Israel protests are held everywhere from Norway to New York. And the relatively low number of Israeli casualties (we'll get to that in a bit) repeatedly draws allegations of a "disproportionate" response. Most importantly, civilian deaths help Hamas immensely.
How can any of this possibly ever be in Israel's interest?
If Israel wanted to kill civilians, it is terrible at it. ISIS killed more civilians in two days (700 plus) than Israel has in two weeks. Imagine if ISIS or Hamas had Israel's weapons, army, air force, US support, and nuclear arsenal. Their enemies would've been annihilated long ago. If Israel truly wanted to destroy Gaza, it could do so within a day, right from the air. Why carry out a more painful, expensive ground incursion that risks the lives of its soldiers?
***
4. Does Hamas really use its own civilians as human shields?
Ask Palestinian president Mahmoud Abbas how he feels about Hamas' tactics.
"What are you trying to achieve by sending rockets?" he asks. "I don't like trading in Palestinian blood."
It isn't just speculation anymore that Hamas puts its civilians in the line of fire.
Hamas spokesman Sami Abu Zuhri plainly admitted on Gazan national TV that the human shield strategy has proven "very effective."
The UN relief organization UNRWA issued a furious condemnation of Hamas after discovering hidden rockets in not one, but two children's schools in Gaza last week.
Hamas fires thousands of rockets into Israel, rarely killing any civilians or causing any serious damage. It launches them from densely populated areas, including hospitals and schools.
Why launch rockets without causing any real damage to the other side, inviting great damage to your own people, then putting your own civilians in the line of fire when the response comes? Even when the IDF warns civilians to evacuate their homes before a strike, why does Hamas tell them to stay put?
Because Hamas knows its cause is helped when Gazans die. If there is one thing that helps Hamas most -- one thing that gives it any legitimacy -- it is dead civilians. Rockets in schools. Hamas exploits the deaths of its children to gain the world's sympathy. It uses them as a weapon.
You don't have to like what Israel is doing to abhor Hamas. Arguably, Israel and Fatah are morally equivalent. Both have a lot of right on their side. Hamas, on the other hand, doesn't have a shred of it.
***
5. Why are people asking for Israel to end the "occupation" in Gaza?
Because they have short memories.
In 2005, Israel ended the occupation in Gaza. It pulled out every last Israeli soldier. It dismantled every last settlement. Many Israeli settlers who refused to leave were forcefully evicted from their homes, kicking and screaming.
This was a unilateral move by Israel, part of a disengagement plan intended to reduce friction between Israelis and Palestinians. It wasn't perfect -- Israel was still to control Gaza's borders, coastline, and airspace -- but considering the history of the region, it was a pretty significant first step.
After the evacuation, Israel opened up border crossings to facilitate commerce. The Palestinians were also given 3,000 greenhouses which had already been producing fruit and flowers for export for many years.
But Hamas chose not to invest in schools, trade, or infrastructure. Instead, it built an extensive network of tunnels to house thousands upon thousands of rockets and weapons, including newer, sophisticated ones from Iran and Syria. All the greenhouses were destroyed.
Hamas did not build any bomb shelters for its people. It did, however, build a few for its leaders to hide out in during airstrikes. Civilians are not given access to these shelters for precisely the same reason Hamas tells them to stay home when the bombs come.
Gaza was given a great opportunity in 2005 that Hamas squandered by transforming it into an anti-Israel weapons store instead of a thriving Palestinian state that, with time, may have served as a model for the future of the West Bank as well. If Fatah needed yet another reason to abhor Hamas, here it was.
***
6. Why are there so many more casualties in Gaza than in Israel?
The reason fewer Israeli civilians die is not because there are fewer rockets raining down on them. It's because they are better protected by their government.
When Hamas' missiles head towards Israel, sirens go off, the Iron Dome goes into effect, and civilians are rushed into bomb shelters. When Israeli missiles head towards Gaza, Hamas tells civilians to stay in their homes and face them.
While Israel's government urges its civilians to get away from rockets targeted at them, Gaza's government urges its civilians to get in front of missiles not targeted at them.
The popular explanation for this is that Hamas is poor and lacks the resources to protect its people like Israel does. The real reason, however, seems to have more to do with disordered priorities than deficient resources (see #5). This is about will, not ability. All those rockets, missiles, and tunnels aren't cheap to build or acquire. But they are priorities. And it's not like Palestinians don't have a handful of oil-rich neighbors to help them the way Israel has the US.
The problem is, if civilian casualties in Gaza drop, Hamas loses the only weapon it has in its incredibly effective PR war. It is in Israel's national interest to protect its civilians and minimize the deaths of those in Gaza. It is in Hamas' interest to do exactly the opposite on both fronts.
***
7. If Hamas is so bad, why isn't everyone pro-Israel in this conflict?
Because Israel's flaws, while smaller in number, are massive in impact.
Many Israelis seem to have the same tribal mentality that their Palestinian counterparts do. They celebrate the bombing of Gaza the same way many Arabs celebrated 9/11. A UN report recently found that Israeli forces tortured Palestinian children and used them as human shields. They beat up teenagers. They are often reckless with their airstrikes. They have academics who explain how rape may be the only truly effective weapon against their enemy. And many of them callously and publicly revel in the deaths of innocent Palestinian children.
To be fair, these kinds of things do happen on both sides. They are an inevitable consequence of multiple generations raised to hate the other over the course of 65 plus years. To hold Israel up to a higher standard would mean approaching the Palestinians with the racism of lowered expectations.
However, if Israel holds itself to a higher standard like it claims -- it needs to do much more to show it isn't the same as the worst of its neighbors.
Israel is leading itself towards increasing international isolation and national suicide because of two things: 1. The occupation; and 2. Settlement expansion.
Settlement expansion is simply incomprehensible. No one really understands the point of it. Virtually every US administration -- from Nixon to Bush to Obama -- has unequivocally opposed it. There is no justification for it except a Biblical one (see #2), which makes it slightly more difficult to see Israel's motives as purely secular.
The occupation is more complicated. The late Christopher Hitchens was right when he said this about Israel's occupation of Palestinian territories:
"In order for Israel to become part of the alliance against whatever we want to call it, religious barbarism, theocratic, possibly thermonuclear theocratic or nuclear theocratic aggression, it can't, it'll have to dispense with the occupation. It's as simple as that.
It can be, you can think of it as a kind of European style, Western style country if you want, but it can't govern other people against their will. It can't continue to steal their land in the way that it does every day.And it's unbelievably irresponsible of Israelis, knowing the position of the United States and its allies are in around the world, to continue to behave in this unconscionable way. And I'm afraid I know too much about the history of the conflict to think of Israel as just a tiny, little island surrounded by a sea of ravening wolves and so on. I mean, I know quite a lot about how that state was founded, and the amount of violence and dispossession that involved. And I'm a prisoner of that knowledge. I can't un-know it."
As seen with Gaza in 2005, unilateral disengagement is probably easier to talk about than actually carry out. But if it Israel doesn't work harder towards a two-state (maybe three-state, thanks to Hamas) solution, it will eventually have to make that ugly choice between being a Jewish-majority state or a democracy.
It's still too early to call Israel an apartheid state, but when John Kerry said Israel could end up as one in the future, he wasn't completely off the mark. It's simple math. There are only a limited number of ways a bi-national Jewish state with a non-Jewish majority population can retain its Jewish identity. And none of them are pretty.
***
Let's face it, the land belongs to both of them now. Israel was carved out of Palestine for Jews with help from the British in the late 1940s just like my own birthplace of Pakistan was carved out of India for Muslims around the same time. The process was painful, and displaced millions in both instances. But it's been almost 70 years. There are now at least two or three generations of Israelis who were born and raised in this land, to whom it really is a home, and who are often held accountable and made to pay for for historical atrocities that are no fault of their own. They are programmed to oppose "the other" just as Palestinian children are. At its very core, this is a tribal religious conflict that will never be resolved unless people stop choosing sides.
So you really don't have to choose between being "pro-Israel" or "pro-Palestine." If you support secularism, democracy, and a two-state solution -- and you oppose Hamas, settlement expansion, and the occupation -- you can be both.
If they keep asking you to pick a side after all of that, tell them you're going with hummus.

SPACE & EARTH

Shared publicly  -  Yesterday 8:09 PM
 
 
Cassini Spacecraft Reveals 101 Geysers & more on Icy Saturn Moon
Enceladus' geyser-active fractures | July 28, 2014: This artist's rendering shows a cross-section of the ice shell immediately beneath one of Enceladus' geyser-active fractures, illustrating the physical and thermal structure and the processes ongoing below and at the surface.

Scientists using mission data from NASA’s Cassini spacecraft have identified 101 distinct geysers erupting on Saturn’s icy moon Enceladus. Their analysis suggests it is possible for liquid water to reach from the moon’s underground sea all the way to its surface.
These findings, and clues to what powers the geyser eruptions, are presented in two articles published in the current online edition of the Astronomical Journal.

Over a period of almost seven years, Cassini’s cameras surveyed the south polar terrain of the small moon, a unique geological basin renowned for its four prominent "tiger stripe” fractures and the geysers of tiny icy particles and water vapor first sighted there nearly 10 years ago. The result of the survey is a map of 101 geysers, each erupting from one of the tiger stripe fractures, and the discovery that individual geysers are coincident with small hot spots. These relationships pointed the way to the geysers’ origin.

After the first sighting of the geysers in 2005, scientists suspected repeated flexing of Enceladus by Saturn’s tides as the moon orbits the planet had something to do with their behavior. One suggestion included the back-and-forth rubbing of opposing walls of the fractures generating frictional heat that turned ice into geyser-forming vapor and liquid.

Alternate views held that the opening and closing of the fractures allowed water vapor from below to reach the surface. Before this new study, it was not clear which process was the dominating influence. Nor was it certain whether excess heat emitted by Enceladus was everywhere correlated with geyser activity.

To determine the surface locations of the geysers, researchers employed the same process of triangulation used historically to survey geological features on Earth, such as mountains. When the researchers compared the geysers’ locations with low-resolution maps of thermal emission, it became apparent the greatest geyser activity coincided with the greatest thermal radiation. Comparisons between the geysers and tidal stresses revealed similar connections. However, these correlations alone were insufficient to answer the question, “What produces what?”

The answer to this mystery came from comparison of the survey results with high-resolution data collected in 2010 by Cassini’s heat-sensing instruments. Individual geysers were found to coincide with small-scale hot spots, only a few dozen feet (or tens of meters) across, which were too small to be produced by frictional heating, but the right size to be the result of condensation of vapor on the near-surface walls of the fractures. This immediately implicated the hot spots as the signature of the geysering process.

“Once we had these results in hand we knew right away heat was not causing the geysers, but vice versa,” said Carolyn Porco, leader of the Cassini imaging team from the Space Science Institute in Boulder, Colorado, and lead author of the first paper. “It also told us the geysers are not a near-surface phenomenon, but have much deeper roots.”
Thanks to recent analysis of Cassini gravity data, the researchers concluded the only plausible source of the material forming the geysers is the sea now known to exist beneath the ice shell. They also found that narrow pathways through the ice shell can remain open from the sea all the way to the surface, if filled with liquid water.  
In the companion paper, the authors report the brightness of the plume formed by all the geysers, as seen with Cassini’s high resolution cameras, changes periodically as Enceladus orbits Saturn.  Armed with the conclusion the opening and closing of the fractures modulates the venting, the authors compared the observations with the expected venting schedule due to tides.

They found the simplest model of tidal flexing provides a good match for the brightness variations Cassini observes, but it does not predict the time when the plume begins to brighten. Some other important effect is present and the authors considered several in the course of their work.

The Cassini-Huygens mission is a cooperative project of NASA, the European Space Agency and the Italian Space Agency. The Jet Propulsion Laboratory (JPL) in Pasadena, California, manages the mission for NASA's Science Mission Directorate in Washington. The Cassini orbiter and its two onboard cameras were designed, developed and assembled at JPL. The imaging team consists of scientists from the United States, England, France and Germany. The imaging team is based at the Space Science Institute.

Credit: NASA/JPL

+NASA Jet Propulsion Laboratory 

Friday Focus: How Texas’ new solar institute is planning to take on the world

  • Texas A&M's Center for Solar Energy
    Texas A&M's Center for Solar Energy is setting out to become the world's largest solar research centre.
  •   US solar ambition
    CSE is aiming to help the US become a world leader in solar.

Blogger

Lucy Woods
Following Obama’s climate action plan the US has begun flag-staking for solar, pumping investment and changing policies to put solar energy at the top: and America at the top of solar.
As the US jumps full bound into dominating solar and international solar companies look for a slice of the action, a flurry of recent announcements suggests the country is also looking to take a lead in the sphere of solar research and academia.

Earlier this month, Texas A&M University revealed grand plans for what it said would be the “world’s largest” solar research institute in the form of the US$600 million Center for Solar Energy (CSE). And hot on its heels, State University New York (SUNY) said it was planning to open a US$100 million new PV manufacturing and development research centre in New York this year.
CSE’s ambitions as the answer to the US solar industry’s problems are indeed impressive. Its promotional video unleashes a barrage of catastrophic facts: the US controlling just 7% of the world solar market when in 1995 it controlled 50%; 90% of solar products coming from outside the US; 2,000 jobs lost; the world spending 500 times more on solar than the US. Will the US be left behind, it asks, or will it regain its “rightful place through innovation and leadership?”
Urgent and inspiring quotes from prominent economists and business leaders make the message clear: America must win the international solar leadership battle, as “the country that can answer the [solar] call will be the force to be reckoned with”.The CSE video questions: “Will we rise to the occasion?” CSE “can and will answer that call,” comes the response.

In short, CSE is shooting for nothing short of being the school for solar, offering the biggest and best of everything: the largest pure solar PV research facility in the world; the only utility-scale test site in the world; the largest exclusively solar PV innovation lab globally; the most technologies deployed anywhere. Alongside all of this, CSE pledges to generate 100% of the campus’ energy from its own 50MW plant.

The US$600 million venture is being majority funded by “venture philanthropy” and government bursaries; it has already secured its first venture partner, but is far from fully funded. CSE subsequently welcomes conversations with technologies corporate groups, other institutions, and venture capitalists and of course philanthropists.

Money aside, CSE’s primary focus will be on education, then job creation with career training, engineering research specialities including cell architecture, optics, ion implantation, 3D printing and advanced manufacturing methods among others.

But with an impressive list of international solar institutes already established across the globe, will CSE ever be able to live up to its grand ambitions?
Mark Thirsk, managing partner at Linx Consulting for electric materials, believes CSE will still find it hard to overtake other established centres such as America’s National Renewable Energy Laboratory, or Germany’s Fraunhofer Institute to become a global leaders.

But he commends CSE’s focus on next-generation research technologies and predicts CSE may “help tip solar installations into becoming sure-fire money makers eventually, but those gains remain a few years away”.

And what about the cost? Fraunhofer’s expenditure over four years was less than half, at approximately US$270 million, while NREL’s expenditure in 2009 was US$316 million.
“The headline number is impressive, but it sounds as if some of the money will be invested in a ground-based array rather than in research,” concludes Thirsk.

Raju Yenamandra, vice president of business development at manufacturer SolarWorld USA, reckons only 25% of the US$600 million figure will be spent on the in-house array, but admits the “devil is in the detail” as announcements so far are not detailed enough for a full insight. Yenamandra doesn’t imagine CSE will be frivolous with its budget though, as it won’t want to be “pounced” on by critics if seen to be splashing money around.

Yenamandra mainly sings CSE’s praise for bringing practical solar to academia, offering a side-by-side comparison for installation approaches. And he predicts that if the institute can make enough money from its 50MW solar plant, it will be able to fulfil its ambitions. CSE plans to sell spare electricity from the plant to the national grid to provide Texans outside the campus walls with clean, green, cheap energy.

For America as a whole Yenamandra thinks CSE will help promote and advertise solar to the general public, as the “population is more likely to embrace solar if it is from a university”. CSE plans to provide independent verifications and breakdowns of solar products to make it clear what has been proven and what is viable in solar energy.

But what seems to define Texas A&M from other universities is its sheer boldness, says Yenamandra. Where other universities he believes are shy and purely technology and theory focused, CSE will be actively applying and installing (and gaining grants and credibility on the way).
Which is good news for graduates – Yenamandra confirms Solarworld USA would value CSE graduates as having an “edge” over others for practical work experience in the solar field, and would hope training times could therefore be minimised, accelerating solar advancement as a whole.
CSE will also run a solar entrepreneurship programme lasting two years aimed at amateurs and established solar professionals. Students are promised the chance to work with cutting edge technology teams and to learn how to start and run a global solar company.

There are also ten scholarships offered per company, with participants given the chance to live in CSE, refine their technology, train in solar business, acquire additional talent and hit the ground at a full run ready for an advanced venture capital investment - leaving the inventors and entrepreneurs in charge of their company, and the technology.

As for CSE’s ambition of America becoming a world leader in solar again, Yenamandra doesn’t think CSE will help it to overtake China in terms of solar production.
But with such bold ambitions, it is hard not to be won over by CSE’s vision of becoming the biggest and best solar research institute in the world.

At least for now anyway.

U.S. Geological Survey (USGS)

Shared publicly  -  6:57 AM
 
Marked Prairie Dog — The chin of an anesthetized prairie dog in Wind Cave National Park, South Dakota is marked before the animal is released back into the wild.

Over 30 organizations and agencies are testing a USGS-developed oral vaccine to prevent the spread of plague in prairie dogs. If successful, the sylvatic plague vaccine could help protect endangered black-footed ferrets in the western U.S. because the ferrets rely on prairie dogs for food.

A veterinarian tags each trapped prairie dog and takes hair, whisker, and blood samples before scientists release the animals. Chin markings help scientists determine whether certain trapped prairie dogs had been previously tested. If markings are present on a trapped animal, that animal is immediately released without further testing. Photo credit: Marisa Lubeck, USGS.

Monday, July 28, 2014

Good Reasons for "Believing" in God - Dan Dennett, AAI 2007

Dan Dennett's talk at the AAI 2007 Conference in Washington, D.C. He is presented with the 2007 Richard Dawkins award at the introduction.
https://www.youtube.com/watch?v=BvJZQwy9dvE
Study Sheds New Light on Extinction of Dinosaurs
Jul 28, 2014 by Sci-News.com

According to a study published in the journal Biological Reviews, non-avian dinosaurs might have survived the impact of a large bolide about 66 million years ago if it had happened a few million years earlier or later.
This image shows two individuals of Qianzhousaurus sinensis and a small feathered dinosaur called Nankangia. Image credit: Chuang Zhao.
This image shows two individuals of Qianzhousaurus sinensis and a small feathered dinosaur called Nankangia. Image credit: Chuang Zhao.
“There has long been intense scientific debate about the cause of the dinosaur extinction,” said Dr Richard Butler from the University of Birmingham, who is a co-author on the study.
“Although our research suggests that dinosaur communities were particularly vulnerable at the time the asteroid hit, there is nothing to suggest that dinosaurs were doomed to extinction. Without that asteroid, the dinosaurs would probably still be here, and we very probably would not.”
“The dinosaurs were victims of colossal bad luck,” added Dr Steve Brusatte of the University of Edinburgh, the lead author on the study.
“Not only did a giant asteroid strike, but it happened at the worst possible time, when their ecosystems were vulnerable. Our new findings help clarify one of the enduring mysteries of science.”
Dr Brusatte and his colleagues studied an updated catalogue of dinosaur fossils, mostly from North America, to create a picture of how dinosaurs changed over the few million years before the asteroid hit.
The team found that in the few million years before a large bolide (comet or asteroid) struck what is now Mexico, Earth was experiencing environmental upheaval. This included extensive volcanic activity, changing sea levels and varying temperatures.
At this time, the dinosaurs’ food chain was weakened by a lack of diversity among the large herbivorous dinosaurs on which others preyed. This was probably because of changes in the environment and climate.
This created a perfect storm of events in which non-avian dinosaurs were vulnerable and unlikely to survive the aftermath of the asteroid strike.
As food chains collapsed, this would have wiped out the dinosaur kingdom one species after another.
The only dinosaurs to survive were those who could fly, which evolved to become the birds of today.
The scientists said if the asteroid had struck a few million years earlier, when the range of dinosaur species was more diverse and food chains were more robust, or later, when new species had time to evolve, then they very likely would have survived.
_____
Stephen L. Brusatte et al. The extinction of the dinosaurs. Biological Reviews, published online July 28, 2014; doi: 10.1111/brv.12128

Reading Climate Change in the Leaves

An ecologist records nature's color signals to understand the feedback between plants and a changing climate.

By Josie Garthwaite|Tuesday, May 27, 2014
 
andrew-richardson
andrew-richardson
Andrew Richardson installs instruments 115 feet up in the Harvard Forest. 
Courtesy Donald Aubrecht

A silver station wagon loaded with climbing gear, computers, electrical wiring and a few scientists from Harvard University stops near a stand of pine and oak trees in the Harvard Forest, about 70 miles west of campus. Physiological ecologist Andrew Richardson, leader of this expedition, slips from the driver’s seat and grabs gear to ascend a metal tower among the trees. Its peak affords
Richardson a clear view of his living laboratory: the forest canopy.
Above the treetops, he checks a cluster of instruments that analyze the lush canopy as a collection of numbers: the amount of carbon being inhaled from the atmosphere, the concentration of water vapor in the air and the precise mix of hues the leaves exhibit.

Different pigments serve different functions: Green chlorophyll, which dominates during the growing season, absorbs light energy for photosynthesis, the conversion of carbon and water to sugar. In the shortening days of autumn, red anthocyanins and yellow carotenoids take over to help protect leaves against light damage.

To document this subtle seasonal color change, a webcam atop the tower snaps high-resolution images of the canopy every 30 minutes from dawn to dusk and uploads them to an online database.
During the past decade, Richardson has spearheaded an effort to install more than 80 such cameras at sites across North America, from the arctic tundra near northern Alaska’s Toolik Lake to the tropical grasslands surrounding Hawaii’s towering Mauna Kea. 

This PhenoCam Network amasses thousands of photos per day. Over time, Richardson hopes the resulting trove of color data will help scientists understand — and better predict — how ecosystems like the Harvard Forest respond to changes in the climate. 
climate-colors
climate-colors
Fall colors in the Harvard Forest on any given day (Oct. 9 in this case) vary from year to year, depending on temperature and rainfall.
Courtesy of Andrew Richardson/PhenoCam Network (3)

A Pulsating Palette

Over the course of millennia, white snow cover, vibrant autumn foliage and bright bursts of green have punctuated the rhythmic cycles of winter frosts, spring showers and long, warm summer days. Animals have evolved to be in sync with seasonal change: They bring young into the world just as nutritious green sprouts emerge in spring, and molt to blend in with winter whites and summer green-browns. It’s an intricate dance scientists refer to as phenology.

Richardson’s efforts to decipher this color code began in the 1990s, shortly after his return from an eight-month trek in Canada’s Yukon Territory. “It was the vegetation, the transition from forest to tundra and how the colors changed through the seasons that really captivated me,” he recalls.
Richardson had recently abandoned pursuit of a Ph.D. in economics at MIT and found himself in awe of nature’s colorful clockwork — so much so that he redirected his studies. 

Richardson enrolled in Yale University’s forestry program in 1996 and a few years later threw himself into a project lopping off balsam fir and red spruce branches in the White Mountains. He measured how much light the needles reflected in different wavelengths. This is an indicator of stress and “a very precise way of measuring color,” he explains.

Richardson showed that needles in the harsh, resource-poor high altitudes invested in stress-protection pigments to cope with wind, cold and blazing sun. 

Reading the Leaves

“Phenology is really sensitive to weather,” Richardson explains. “If it’s a cold spring, leaves will come out later. If it’s a warm spring, that will happen earlier.” 

Forests in the United States absorb and store more than 750 million metric tons of carbon dioxide each year, or more than 10 percent of national carbon emissions. Warmer temperatures triggering earlier green sprouts could produce a longer growing season in some places and more photosynthesis — and thus more carbon uptake. But early growth followed by frost or drought could damage fragile sprouts and reduce the amount of carbon that certain plants are able to absorb. Some species also respond to warming by fast-forwarding through their life cycles, narrowing the window for photosynthesis and carbon uptake.

Nature’s color palette already shows effects of climate change. Along the East Coast, where the “green wave” of spring leaves sprouting from maples, oaks and poplars historically has rolled from Miami to Maine in 75 days, atmospheric scientists with Princeton University predict the wave could take just 59 days by the end of the century. In parts of New England, fall colors arrive a few days later than they did 20 years ago, and the reds are more muted as autumn temperatures in the region warm.

But scientists don’t know what new rhythms will arise across different regions  — whether bursts of green will be brighter but shorter-lasting, for example, or more muted but longer-lasting. Nor do they know what such changes mean for the food web; for life-cycle events like migration, breeding and nesting; for the amount of moisture that trees will suck from the soil; or for the amount of carbon dioxide stored by plants.

That’s what Richardson hopes to tease out. “As we build up a big archive — warm years, cold years, wet years and dry years — we can use the data to develop models of how weather and phenology are related,” he says. These models can then be mapped against climate forecasts to predict how phenology could shift in the future, painting a picture of landscapes in a world of warmer temperatures, altered precipitation and humidity, and changes in cloud cover. “We want to use phenology as a biological indicator of the impacts of climate change on ecosystems,” Richardson says.
richardson-climbs-tower
richardson-climbs-tower
Richardson climbs a tower in New Hampshire’s White Mountains to repair a wireless network.
Courtesy Mariah Carbone

Cameras Rolling

Webcams offer a cheap way to monitor foliage at a local scale across a broad geographic range. “These pictures give you this permanent record,” Richardson says. “I can see what it was like on any day. I can go back to other years and compare, and tell you how things are different between those two years.” 

Scientists have used satellite-mounted sensors to indirectly measure vegetative growth around the globe for decades. But cloud cover and other atmospheric clutter often muddle the data. A study published in Nature in February suggests that previous models based on satellite data have overestimated greenness during dry seasons in the Amazon rainforest. Shadows, which shorten over the course of the tropical dry season, produce an optical illusion: Leaves reflect more light in the infrared spectrum, even as their actual greenness declines. 

Researchers need ground-level measurements like those of the PhenoCam Network to validate
remotely gathered information and refine the algorithms used to evaluate it. Richardson’s work complements field observations by researchers like Harvard ecologist John O’Keefe, who visited the same trees in the Harvard Forest every few days for more than 20 years, starting in the 1990s, to track the opening of buds in springtime and autumn leaf coloration. Last year Richardson’s team analyzed O’Keefe’s historic data set and found that most local tree species will likely display fall colors for longer durations and at higher intensity in coming years.

A decade and a half after Richardson’s shift to ecology, he has come to see leaf color the way an economist might view a financial statement. “It tells you a lot about the physiology of the leaf,” he says. 

Eighty-two feet up the tower, Richardson emerges above the dark understory of the Harvard Forest to feel a flush of sunlight and a flick of breeze on his face. “The views from the top are fantastic,” he says, “and this motivates a lot of what I do.” His methodical quest to decode the phenological rainbow has a way of propelling itself forward. As Aldo Leopold, who doggedly recorded seasonal signposts in Wisconsin in the 1930s and ’40s, once wrote: “Keeping records enhances the pleasure of the search, and the chance of finding order and meaning in these events.”

[This article originally appeared in print as "Cracking the Climate Color Code."]


Early Cretaceous Bloodsucking Bugs Found in China

July 26, 2014 | by Janet Fang

Photo credit: Flexicorpus acutirostratus / Y. Yao et al., Current Biology 2014
       
Fossilized blood-feeding bugs have been discovered in early Cretaceous sediments in China. That means at least one lineage of bloodsuckers was around 30 million years earlier than we thought. They may have even fed from dinosaurs. According to the study published in Current Biology this week, the fossils represent two new species, and they’re the earliest evidence of blood-feeding “true bugs.”

True bugs (order Hemiptera) have a mouthpart designed for sucking fluids, called the proboscis. But unlike proboscis-wielding butterflies or honeybees, true bugs can’t roll up their mouthparts. Modern true bugs include nasty bed bugs. As annoying and ubiquitous as they seem, blood-feeders (also called hematophages) are relatively uncommon among modern insects. They’re mostly found in just four orders: lice, fleas, true flies (including mosquitoes), and true bugs. The latter three have been documented prior to the Cenozoic.

It’s been hard to tell hematophages apart from their non-blood-feeding relatives in the patchy insect fossil record. Until now, only one hematophagous true bug, Quasicimex eilapinastes, has been described, from mid-Cretaceous amber in Myanmar, about 100 million years ago.
Working in the early Cretaceous Yixian Formation of Northeastern China, a team led by Yunzhi Yao and Dong Ren of Capital Normal University in Beijing studied nearly 400 insects. In seven true bug specimens, they looked specifically for geochemical signals of iron, which indicates blood meals. By combining those findings with results with morphological and taphonomic (fossilization) data, the team placed three of the bloodsuckers into two new genera within a new family, Torirostratidae.

The other fossilized true bugs belonged to phytophagous (plant eating) families or predaceous families, which include assassin bugs who would liquefy the insides of their prey, before drinking them. Their iron concentrations were much lower.

They named one of the new true bugs Flexicorpus acutirostratus. That’s Latin “flexi” for “soft” and “corpus” for “body.” The species name is taken from Latin “acuti” for “sharp” and “rostratus” for “beaked.” It's less than 10 millimeters long, and here are some cool pictures:

They’re naming the other one, which is over 12 millimeters long, Torirostratus pilosus. That’s Latin “torosus” for “bulges” and “rostratus” for “beaked” (again). The species name is comes from Latin “pilosus,” which refers to its dense setae (stiff bristles).

One of the bugs appears to have died immediately following a blood meal, which may have been taken from a mammal, bird, or dinosaur, though the researchers can’t be sure. (Insert Jurassic Park joke here, bonus points for True Blood.)

Images: Y. Yao et al., Current Biology 2014

Read more at http://www.iflscience.com/plants-and-animals/early-cretaceous-bloodsucking-bugs-found-china#mzQvUAVVY8ffihKI.99

Refreshing Our Hearts -- With Thich Nhat Hanh

Published on Mar 26, 2014
Enjoy this video stream from our friend Thich Nhat Hanh which we originally broadcast live in October of 2013, from the Paramount Theater in Oakland, CA.

https://www.youtube.com/watch?v=bC8FBdWwejk

Cleaning Up Polluting Mines With Plants--Plants That Then Turn Into Precious Metals

One enterprising scientist thinks we're close to creating a whole new, much greener mining industry.  
Nothing grows here at Walker Ridge. Oaks, pines, and wildflowers stop abruptly at the edges of a huge swath of bare earth. The dead zone--tinged an uneasy shade of green--stretches almost as far as the eye can see in one direction, down a slope that feeds directly into a watershed. Piles of dirt, scraps of rust-eaten metal, and a few crumbling bricks seem the only signs left of what was once a Gold Rush-era mercury mine. They’re not.

Downriver, fish have 20 times more mercury in their flesh than the EPA says is safe for consumption.
Two hours south, mercury concentrations spike in San Francisco Bay during big floods. Geologists and hydrologists estimate that this abandoned mine--and at least 5,200 others like it in the state--will continue to leak poison for the next 10,000 years. With the costs of “remediating” a single polluting mine falling somewhere between $.5 and $7 million, the solution often seems to be to just deal with the mercury and leave the mines as they are.

But what if there were a way to monetize that cleanup, to turn Superfund sites, abandoned mines, and other metal-contaminated dead zones into desirable (and healthier) real estate?

In Dylan Burge’s vision of the Walker Ridge site, mining operations are booming again. Thousands of rows of deeply green, compact plants are thriving in the toxic soil, reaching for sunlight that filters through fabric tarps stretched overhead. Downhill (just below glinting banks of solar panels), metal-contaminated effluent from the old mine is being captured and piped back up to the plants, watering some rows while filling hydroponics for others. The mercury problem is under control, trucks are rolling off the site, and no one’s spending $7 million. In fact, people are making money. That's because, as Burge sees the future possibilities, the world’s first loads of truly “green,” sustainable metals--mostly nickel from this site, plus a little gold--are headed for market.

Burge, 34, is a botany curator at the California Academy of Sciences and an expert in hyperaccumulators--plants that attract and suck up huge quantities of metals by releasing ion-attracting compounds from their roots. Found generally in metal-rich serpentine soils (like the kind most hard rock mines, like Walker Ridge, sit on), each species has protein pathways that seem “tuned” for a particular type of metal. Gold, nickel, copper, zinc, cobalt, aluminum, manganese, even some rare earth elements, they’re are all on the menu.

The idea of “phytomining”--using these plants in commercial mining operations-- isn’t new; mining companies actually funded much of the early research, a wave that gained momentum in the mid-1970s before petering out about 20 years ago. “Things got pretty quiet after that,” says Burge, “but not because phytomining didn’t work. It was because the yields weren’t profitable enough to be interesting. The technology wasn’t there, and the science wasn’t there.” He’s got a two-part plan to fix that.

Burge works with Streptanthus polygaloides, a small, flowering herb native to California that’s also the third most powerful nickel hyperaccumulator in the world, capable of sucking up as much as 2% of its dry bodyweight. In the Walker Ridge hypothetical, these plants are harvested up to six times a year and mixed into a live slurry. Microbes break the slurry down--creating sellable carbon-neutral ethanol as a byproduct--and metal production begins with the material that’s left. During the process, massive amounts of hydrolysis occur, allowing hydrogen to be captured, stored, and converted into electricity that helps power the plant. “And all this could be done right now,” says Burge. “No waiting. All you need is a botanist, an abandoned mine, and a tech startup that’s good at scalable solutions.”

Dylan refers to these mines as “point-source problems” (small sites with huge environmental impact), but monetizing their cleanup by creating a consumer market for sustainable metals could have benefits far beyond safer, healthier local ecosystems. Metals worldwide are cheap not because they’re unlimited or easy to get at, but because we pass on the vast environmental and social costs of mining them to other countries. If American consumers were to start asking where the metal in their devices, cars, and wedding rings come from--and paying for the kind that doesn’t leave destruction in its wake--it could pave the way for a new kind of mining.

Burge is already at work on one key to that future: unraveling the genetic secrets of hyperaccumulators. Last month, he became the first person known to have sequenced the full genome of a hyperaccumulator--of 24 of them, actually--and somewhere in the resulting terabytes of data, he expects to find the gene (or suite of genes) that gives Streptanthus its metal-mining abilities. With that discovery should come the Holy Grail of phytomining: the potential to create larger, more efficient hyperaccumulators.

“If you make it your goal as a scientist to affect the world in your lifetime,” says Burge, “you’re almost guaranteed to fail. But every once in a while,” he adds, “it’s possible to get lucky.”
Profits from a Streptanthus metal harvest will never be big enough to get the commercial mining industry excited about becoming farmers. But splice the gene for hyperaccumulation into something with significant biomass--something like corn, for example--and one of the dirtiest, most dangerous, most destructive industries in the world might start paying attention again.

A guaranteed income for every American would eliminate poverty — and it wouldn't destroy the economy

Not how an ideal basic income would be distributed. (Karen Bleier/AFP/Getty Images)   
Eliminating poverty seems like an impossibly utopian goal, but it's actually pretty easy: we can just give people enough money that they're above the poverty line. That idea, known as a basic income, has been around forever, but it's made a comeback in recent years.

And it's a sign of how far it's come that opponents of the idea are beginning to feel the need to make arguments against it. Pascal-Emmanuel Gobry, in The Week, is the latest to present a case against, and grounds it almost entirely in the findings of a series of experiments on a variant of the basic income known as a "negative income tax" conducted in the 1970s, which he says show the idea is doomed to failure.
Not so fast — the experiments raise valid worries, but they hardly herald doom, and still suggest that a negative income tax could eliminate poverty at a manageable cost.

The 1970s experiments

Alg-nixon-moynihan-jpg-560x408_mediumPresident Nixon and Daniel Patrick Moynihan, who designed his negative income tax plan. (Nixon Foundation)
A negative income tax isn't precisely the same thing as a basic income, but it's related: after giving everyone a cash grant, an NIT rapidly taxes it away, such that the vast majority of taxpayers get no money back at all. For example, Richard Nixon, during his first year as president, proposed a negative income tax that would pay around $10,000 in 2014 dollars to a family of four, and then tax it away at a 50 percent rate until families earning above $20,000 or so stopped getting anything at all.

The four experiments Gobry cites — conducted in New Jersey, Pennsylvania, Iowa, North Carolina, Seattle, Denver, and Gary, Indiana, with samples totaling about 7,500 people — are, along with a similar experiment done around the same time in Manitoba, the most comprehensive tests to date of negative income taxes. They tried various cash grant sizes (from 50 percent of the poverty line to 148 percent) and phaseout rates (from 30 percent to 75 percent), enabling a more detailed look at how the plan's components interacted with each other.

The studies found that the policy was beneficial to those getting the money, but tended to modestly reduce the number of hours they worked, and the amount they earned. The latter is a potential cost worth weighing against the policy's benefits. But to Gobry, it's definitive proof the plan is defective.
"Millions of people who could work won't, just listing away in socially destructive idleness (with the consequences of this lost productivity reverberating throughout the society in lower growth and, probably, lower employment, in a UBI-enabled vicious cycle)," Gobry concludes.

The problems with concluding too much

Gary_indiana_p9190219_miller_school__dist_8_
The Old Miller School in Gary, Indiana, one of the sites of the negative income tax experiment. (Chris Light/Wikimedia)
Gobry is right that the negative income tax experiments are the best test we have of this policy to date. But "best" does not equal perfect. My concern is that Gobry reads the experiments to be saying more than they are in fact saying, given both flaws and limitations in their methodologies and other conclusions they came to that Gobry failed to mention. Here are a few concerns worth raising.

1. "Worked less" sometimes means "the results were underreported."

This is the big one. Brookings' Gary Burtless, writing up the results, noted that the Gary and Seattle/Denver experiments relied on self-reported earnings information, rather than using official government records. When the findings were cross-referenced with actual earnings data, the labor force effects in Gary disappeared entirely, and the Seattle/Denver ones were diminished considerably.

As Princeton's Orley Ashenfelter noted in a response to Burtless, this throws the entire conclusion that negative income taxes reduce labor supply into jeopardy. "Who is to say whether there would be any labor supply response, further income underreporting, or neither, if an experiment with conventional administrative procedures were implemented?" he asks. "Only an experiment fully informed at the design stage about the possibility for income underreporting, and that tested for its effect, would shed any light on this critical issue. Sadly, the design of none of these experiments was so informed."

2. "Worked less" does not necessarily mean "dropped out of the labor force forever"

Let's assume, for the sake of argument, that underreporting doesn't invalidate all these results. That still doesn't mean the experiments are the slam-dunk case against basic income Gobry takes them to be.

For one thing, it's worth differentiating different ways that labor supply can fall. The most obvious way is that people will drop out of the labor force entirely. But as Georgetown philosopher Karl Widerquist, a vocal advocate for a basic income, noted in his write-up of the experiments, researchers didn't find any evidence that happened. "Would a large number of people respond to an NIT by withdrawing entirely from the labor force?" he asked. "The experiments found no evidence of such behavior. Some of the experimenters said that they were unable to find even a single instance of labor-market withdrawal."

So what happened, then? Burtless reported that the apparent decline in labor supply didn't come primarily from a reduction in hours worked either. It's not that people who had previously been working 60 hour weeks waiting tables cut back to 40 hours.

The remaining explanation, once we've ruled out reduced hours and permanent labor force drop-outs as major factors, is longer spells of unemployment. That has obvious costs; unemployment is generally bad for one's well-being. But the key here is that the negative income tax resulted in people choosing to remain unemployed for a longer stint; presumably, this is more pleasant than involuntarily elongated unemployment.

Further, the most obvious interpretation is that people are waiting longer to find a good job match, or are quitting bad jobs in favor of searching for better ones. Those responses have efficiency advantages and, in the long-run, connecting people with more pleasurable and rewarding work should increase well-being, something worth weighing against the well-being cost of increased unemployment.

3. "Worked less" sometimes means "got more education"

Another factor is people withdrawing from the labor force to pursue more education. Stanford's Eric Hanushek, evaluating the non-labor force effects of the experiments, found that "for youth the reduction in labor supply brought about by the negative income tax is almost perfectly offset by increased school attendance."

That's not the only positive education finding. One study looking at the New Jersey experiment found that a negative income tax of mid-range generosity increased odds of completing high school by 25 to 30 percent; a similar analysis of the Seattle-Denver experiments put the number at 11 percent. While the evidence on academic performance was more limited, there was some evidence that children in NIT households did better at standardized tests in lower grades.

4. "Worked less" is sometimes a good thing

Apart from the special case of education, it's worth asking, in general, whether maximizing labor force participation is actually a good thing, or whether there's more to human flourishing than just that. This is not to say that work is unimportant. Gobry notes research suggesting that unemployment comes at a significant well-being cost, and while some of that is probably due to financial stress more than a lack of psychic fulfillment from work, the latter factor is part of the picture.

But especially in cases where people are choosing not to work, it's worth asking whether they're being irrational, and setting themselves up for unhappiness, or whether they've actually identified something besides work that create even more value in their lives. The whole point of Social Security, for instance, is that at some point in one's life having a leisurely retirement is better for well-being than continuing to work. Social Security and private retirement savings almost certainly have a much more negative effect on labor force participation than a negative income tax would, and yet we all, correctly, have decided that's besides the point.

So it's worth considering whether some of the decrease in labor force participation hypothetically caused by a negative income tax would be desirable. What if a household uses the money to quit a part-time job in favor of caring for a chronically ill child? What if they use it to retire a few years early? What if they use it to finance a long vacation between jobs? I don't actually think any of those phenomena are big problems policymakers should be eager to avoid.

5. You can only know so much from short experiments

The final caveat is that extrapolating from short-term, small-scale experiments like these to determine the effect of a national or state-wide policy would have is fraught with peril. The experiments didn't apply to everyone in the municipalities in question; they were targeted at small, low-income subsets of the population. Would the same results hold if everyone were getting the check? You could imagine a permanent plan either having a more positive impact, by triggering macro effects like employers bidding up wages to convince people to stay in the labor market, or a more negative one, by assuring people that staying out of work longer is going to be viable long-term. We don't know which of those would actually occur.

Scaling an idea like this up from pilot to actual program introduces a wide array of confounding factors. When you find big effects, then it's plausible those confounding factors won't be enough to make them go away. But with results as small as the experiments' findings on labor supply (or the findings on education, to be fair), it's likely they'll be overwhelmed by these new complications, and the impact of a national program will look significantly different from what was found at the hyper-local level. As Gobry says, randomized controlled trials (RCTs) like these experiments are among the best tools policymakers have. But what they give us in scientific validity, they lose in scope.

What we should be debating

President_johnson_poverty_tour
Lyndon Johnson on his "poverty tour" of Appalachia, pegged to the start of the War on Poverty. (LBJ Presidential Library)
When researchers come to small and somewhat sensitive-to-error conclusions about a policy's effects, the findings become a bit of a Rorschach test, with interpretations reflecting the policy preferences of those doing the interpreting (myself very much included) more than they do the underlying facts.

"The prevalence of small effects opens the way to alternative interpretations of the research findings," Nobel economist Robert Solow, commenting on the results, wrote. "The interpretation adopted will depend a lot on the interpreter's ideological and doctrinal preconceptions and only a little on the detailed experimental results themselves.
But one finding we can rely on, with some degree of confidence, is the conclusion of Burtless and others who have evaluated the negative income tax experiments that a national NIT big enough to eliminate poverty isn't budgetarily unviable.

Widerquist notes that studies estimating the cost of compensating for lost earnings could increase the cost of the program  5 percent (at the low end) or nearly triple it (at the high end). Burtless, who produced the high-end estimate, concluded that a generous plan set to 100 percent of the poverty line would all the same only cost about 1.5 percent of GNP (which is basically the same as GDP where the US is concerned) a year on top of existing welfare programs. That's a rough estimate, especially give how much welfare programs have changed since Burtless was writing — Demos's Matt Bruenig has more current numbers here — but going from the federal government being 21.1 percent of GDP to 22.6 percent or thereabouts is hardly a sea change. And yet that's, roughly, all it would take to eliminate poverty in America.

So here's my takeaway: a negative income tax or basic income of sufficient size would, by definition, eliminate poverty. We still don't know if there'd be much of a cost in terms of people working and earning less. If there is, the effect is almost certainly small enough that a negative income tax can offset the lost earnings and remain affordable. The worst case scenario is that we eliminate poverty but see a modest decline in employment. The best case scenario is we eliminate poverty at even lower cost and don't see much of an effect on employment. That's a gamble I'm willing to take.
 
I love maps.  Especially when it comes to Earth's "Deep Time."

On Sunday’s Meet the Press, Israeli Prime Minister Benjamin Netanyahu profoundly slapped down moderator David Gregory’s assertion that Israel had been involved in the “targeting of a U.N. school that killed children and those civilians who were fleeing a safe place to go in the fighting.”
Netanyahu resoundingly condemned Gregory’s statement and insisted that the “Secretary General of the United Nations before this incident took place, said that, admitted that two U.N. schools in Gaza were used to stockpile rockets.”

The NBC host began his line of questioning by lamenting “about the price to Israel, [in] this ongoing conflict. The staggering number of dead civilians on the Palestinian side in Gaza” before falsely claiming that Israel had deliberately targeted a U.N. school in Gaza. Gregory continued to distort the facts in the case and wondered “was this a mistake on the part of Israel even though the U.N. says this was clearly marked and that the Israeli forces knew the GPS coordinates of this school?”  

Read more: http://newsbusters.org/blogs/jeffrey-meyer/2014/07/27/benjamin-netanyahu-confronts-nbc-s-david-gregory-over-claim-israel-ta#ixzz38mHbDQok
You’d think I’d declared myself a Republican. Since I said yesterday on ABC’s “This Week” that I was impressed with much of Representative Paul Ryan's discussio...n paper on "Expanding Opportunity in America,” many have accused me of selling out to the devil. Can we get a grip? Unlike Ryan's previous proposals, this one doesn’t cut a dollar from programs for the poor; in fact, it expands the Earned Income Tax Credit – a wage subsidy for low-wage workers. It gives states more discretion for how they use money for the poor, but it’s not a block grant: State plans would still have to be approved by the federal government, and they’d have to monitor various measures of success -- families lifted out of poverty, percentage of people finding work or getting off assistance, growth in wages, high school graduation rates and so on. The proposal puts attention where it belongs -- on poverty and upward mobility for those at the bottom.
I know, I know. State governments unsympathetic to the poor have too often syphoned off federal money for other purposes. And look at all the Republican state governments that refuse to expand their Medicaid programs under the Affordable Care Act, even though federal taxpayers will foot nearly the entire cost. But the Ryan plan at least offers a starting point for discussion. Have we become so polarized and distrustful we can’t even talk?
One is always wary of snake oil on places like Facebook, but this is starting to strike me as "hmmmm."  Well, I'll at least have to give it a try.
 
 
“Human consciousness is a specific form of consciousness that creates a model of the world and then simulates it in time,” or so says Michio Kaku in his new book, The Future of the Mind.  Only thing I can add to that is, then by this definition there are probably more species on Earth than we like to believe that could be called "human".

http://consciousresonance.net/?p=3655
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I had been posting "Repeal 2" comments around, perhaps a little overzealously, but with a strict purpose:  the 2'nd Amendment needs to be upgraded to meet modern technology, and that need is only getting is growing greater every year.  I do not propose an outright ban on private arms ownership, however.
There are several problems with the 2'nd as written.  First, it speaks in terms of "well regulated militia" securing "free state[s]"; second, the word "infringe" (rather than "deny", e.g.) suggests that no restriction on private arms ownership is allowed at all, for to infringe is to even gently step on toes, albeit unintentionally.  A Supreme Court could throw out All gun laws, state or federal, in this nation based on that word alone, one suspects.
The notion that our country is little more than a alliance of free states has always been false, as the events from 1865-1965 demonstrate.  Though still retaining considerable autonomy, federalism has come to mean, for good or bad, states' subservience to Washington, Congress, and the President.  For good or bad, I'm going to take this as a given.  As to militia, whether they should play a role should be the subject of debate.
Full private access to any and all "arms", particularly in the nuclear age, is, I hope, beyond debate.  It would be madness to allow individuals, or random collectives, to own tanks, jets, machine guns, WMDs, or weapons of such magnitude.  At the same time, if we do have "... the Right to Life, Liberty, and the Pursuit of Happiness" as the DOI proclaims, then we have the rights derived therein -- such as the Right to Self Defense, the Right to Sufficient Medical Care, the Right to Basic Needs such as clean air, water, food, etc.  Bear in mind, government must provide for the defense of all these rights, whether in the form of police, courts, Obamacare, the DOD, etc.  At the same time, as we correctly recognize that provision by government alone, especially centralized government, is suspect; for governments, like all human institutions, are subject to human corruptibility and so must be guarded against (why we have the federal system of course, with its separation of powers, state and local rights, again etc.).
This could, and probably should, be expanded into a full thesis, which cannot be done in a forum like this.  So I'll simply state my Revised Edition (first cut!) of the 2'nd Amendment, and leave it up for feedback.  Here goes:
"A well regulated militia, being necessary to the security of a free nation, the right of the people to self defense by necessary means shall not be denied.  Congress and the states will cooperate to regulate and support such militia and their facilities."
(From Michael Shermer on Facebook):

Psychologists have demonstrated the value of diversity—particularly diversity of viewpoints—for enhancing creativity, discovery, and problem solving. But one key type of viewpoint diversity is lacking in academic psychology in general and social psychology in particular: political diversity. This article reviews the available evidence and finds support for four claims: 1) Academic psychology once had considerable political diversity, but has lost nearly all of it in the last 50 years; 2) This lack of political diversity can undermine the validity of social psychological science via mechanisms such as the embedding of liberal values into research questions and methods, steering researchers away from important but politically unpalatable research topics, and producing conclusions that mischaracterize liberals and conservatives alike; 3) Increased political diversity would improve social psychological science by reducing the impact of bias mechanisms such as confirmation bias, and by empowering dissenting minorities to improve the quality of the majority’s thinking; and 4) The underrepresentation of nonliberals in social psychology is most likely due to a combination of self-selection, hostile climate, and discrimination. We close with recommendations for increasing political diversity in social psychology.

http://journals.cambridge.org/images/fileUpload/documents/Duarte-Haidt_BBS-D-14-00108_preprint.pdf
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A special class of tiny gold particles can easily slip through cell membranes, making them good candidates to deliver drugs directly to target cells.

http://newsoffice.mit.edu/2014/gold-nanoparticles-may-be-useful-for-delivering-drugs-0721#.U9EzQvmpmi0.google_plusone_share

Scientists explain how gold nanoparticles easily penetrate cells, making them useful for delivering drugs.
Not a bad overview.  One problem, for me:  he points out Dennett's "consciousness is an illusion" approach, without asking the obvious question,  "But what's experiencing the illusion?"  He does make a postulate I agree with, however:  not consciousness per se, but the sentience which I call "the experiencer" exists as something fundamental in the universe, permeating all mass-energy (and probably space-time), but only "emerging" in situations where information content and processing (brains of any sort) is complex enough.Show less
 
David Chalmers on consciousness.

This was a surprisingly disappointing talk. Chalmers created the notion of the "hard problem of consciousness" -- what subjective experience is and how it comes about.  In this talk, though, he goes off in strange directions. He starts by talking about consciousness as a movie playing in your head. But for a movie to be of any value, there must be a viewer of the movie. I'm sure Chalmers is not endorsing a homunculus theory of consciousness, but his analogy is. The problem, of course, is that if there were a homunculus watching the movie in your brain, what explains its experience of the movie.

Chalmers then went on to say that the real problem with the study of consciousness is that we don't know why it exists. Why aren't we all robots, he asked. That my be a useful question, but it's not the hard problem of consciousness, which is how consciousness comes about, not why it exists. He asks the "why" question again when he talks about the weakness of work studying the correlation between experience and brain components. Why does this component lead to this experience. Again, the question isn't why; it's how -- although in this case one might assume that that's what he meant.

Chalmers goes on to criticize the view that we may understand consciousness after more research, that it will be an "emergent phenomenon" like a traffic jam. His criticism is that all emergent phenomenon are about behavior and that consciousness is not about behavior. Problems with this argument are (a) emergence isn't just about behavior and (b) saying that something is "emergent" is saying much at all.  It's not clear to me that this digression on emergence amounted to anything. Chalmers then goes back to asking the "why" question, which again, is off track.

Chalmers says is a scientific materialist and that he spent a long time looking for a scientific explanation of consciousness. He has concluded that there will be no scientific explanation. He argues that this failure of science means requires that we must consider radical ideas. He then goes on to discuss what he calls two crazy ideas.

The two ideas are that consciousness is fundamental and that everything has some aspect of consciousness, i.e., panpsychism. I think this is worth considering. I wish he had something more informative to say about it though. His suggestion is that perhaps it's all related to information processing. Chalmers goes on to praise Tononi's phi theory, which has to do with the integration of information. For a discussion of Tononi, look at Aaronson's post here (http://goo.gl/ynW4xf), which also points to an earlier post.

Chalmers ends by suggesting a panpsychist perspective leads to questions about the ethics of turning off computer systems and whether groups such as countries are conscious. But then he backs away from those issues.

All-in-all a disappointing talk unless you've never heard of panpsychism. But in that case, it would have been better to make a stronger case for it or for consciousness being fundamental.

via +Lucas Glover 
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