There are no exceptions to the First Amendment, even in a pandemic – Independent Women’s Forum

A few weeks ago, theTexas Supreme Courtmade headlines by warning state officials that there was not, in fact, a pandemic exception to the United States Constitution. This past week, however, the U.S. Supreme Court seemed to create one. In an orderthat surprised even theliberals atVox, the Supreme Court blessed a Nevada law that preferences casinos over churches. The decision has no basis in First Amendment law and establishes a worrisome precedent for government overreach in times of crisis.

Located in Dayton, Nevada, Calvary Chapel is a small, rural church that wishes to host worship services for about 90 congregants, which is 50% of its fire-code capacity. Calvary Chapels reopening plans are more than compliant with state and CDC requirements. A limited, 45-minute service (half the normal length), one-way entrance and exit footpaths, six-feet of separation between families, a prohibition on passing items, and sanitization between services are just some of the measures proposed by Calvary Chapel.

Yet Nevada forbade Calvary Chapel from opening its doors. In a breathtaking assertion of governmental power premised on COVID-19, Gov. Steve Sisolak (a Democrat) issued a directive that severely constrains church attendance. No church, synagogue, mosque, or other place of worship may admit more than 50 persons no matter the building capacity or safety measures employed.

The fact that these restrictions do not apply to casinos, gyms, bowling alleys, restaurants, or bars should have made Calvary Chapel Dayton Valley v. Sisolakan easy case. It isblackletter lawthat strict scrutiny applies to government restrictions on religious exercise that are not neutral and of general applicability. If the Free Exercise Clause means anything, it means government may not single out the religious for disfavored treatment. Yet, that is precisely what Nevada has done. While limiting church attendance to 50 people, Nevada allows the casino down the street to admitthousandsof people, up to 50% of their maximum capacity.

Further, casinos are not the only venues that are treated more favorably than churches. Other commercial interests, such as bars, gyms, and restaurants, may also operate at 50% capacity. In fact, tournament bowling alleys in Las Vegas seat hundreds of spectators, and like casinos, can admit up to 50% of capacity. State guidelines provide that groups of up to 50 people may sit together in bowling alley grandstands. Meanwhile, the synagogue down the street is limited to 50 total worshippers.

On Friday, in a one-sentence orderthat contains not a word of explanation, a sharply divided 5-4 Supreme Court denied Calvary Chapels application for an injunction restraining the state of Nevada from enforcing its 50-person limit on religious services.

Justices Samuel Alito, Brett Kavanaugh, and Neil Gorsucheach authored a dissentarguing that Nevadas reopening plan discriminated against religious services in violation of the First Amendment.

As Alito explained, a public health emergency does not give public officials carte blanche to disregard the Constitution for as long as the medical problem persists. Rather, officials are required to craft policies that account for constitutional rights.

This principle is hardly new. In 1866, at the height of the Civil War, the Supreme Court heldthat the Constitution may not be modified in times of crisis. Rather, our founding charter applies at all times and under all circumstances. Indeed, the court could not think of any other doctrine involving more pernicious consequencesthan that any of its provisions can be suspended during any of the great exigencies of government.

If only the current Supreme Court would return to this view. As Gorsuch explained, the world we inhabit today, with a pandemic upon us, poses unusual challenges. But there is no world in which the Constitution permits Nevada to favor Caesars Palace over Calvary Chapel.

All is not lost, however. Although Calvary Chapel will not receive its injunction, the courts still have a chance to consider the case on the merits and to ensure that the First Amendments protections apply at all times and in all circumstances.

Erin Hawley is a senior legal fellow at Independent Womens Law Center and a former clerk to Chief Justice John Roberts of the Supreme Court of the United States.

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There are no exceptions to the First Amendment, even in a pandemic - Independent Women's Forum

Princeton professor pushes back on cancel culture on campuses: ‘First Amendment is for all of us’ – FOX 32 Chicago

The right to free speech in America needs to be protected, Princeton University jurisprudence professor Robert George stated Friday.

George's comments during an interview on "Fox News @ Night" came following a Michigan bed and breakfast's decision to remove their Norwegian flag after dozens wrongly accused the owners of flying a Confederate flag.

According to reporting from WLIX, when Greg and Kjersten Offbecker created the St. Johns inn -- named The Nordic Pineapple -- they installed the flag, hanging an American flag alongside it.

The pair then began to receive cruel emails and phone calls. Some were even convinced that the "B&B" was built by Confederate leaders when, in fact, union workers constructed the Civil War-era building for the daughter of the Saint Johns founder.

Kjersten Offbecker said the flag was hung as a way for her to represent her Scandinavian heritage. However, with the confusion, she took it down because she said it was not worth the frustration.

The Norwegian flag has the same colors as the Confederate flag, but the patterns and symbols are different. The Confederate flag is red with a blue X containing white stars.

"It's a combination of a very bad attitude and a great deal of ignorance," George remarked. "You would think that Americans would be able to tell what is and isn't a Confederate flag -- even if it's a flag that, in some ways, resembles a Confederate flag.

"But, look at how quickly people just turn to outrage and tried to shut these people down because they thought they had broken the rule against wrongthink..." he told host Shannon Bream. "So, the combination of malice and ignorance is really toxic."

George highlighted the importance of speaking up in defense of the free speech rights of those you strongly may disagree with.

"Temple University was under pressure to discipline [Professor] Marc Lamont Hill for some statements that I very strongly disagreed with. But I, nevertheless, threatened to myself lead a protest...in defense of the free speech rights of the very progressive Marc Lamont Hill," he explained. "Because he has every bit of [a right to] free speech as I have or as anybody else has.

"The First Amendment is for all of us," George pointed out.

"It's not the property of the left. It's not the property of the right. It's not the conservatives'; it's not the liberals' [property]. It's everybody's right..." he said.

"And so, we need to protect the free speech rights and stand up for the free speech rights of those we oppose," George urged.

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Princeton professor pushes back on cancel culture on campuses: 'First Amendment is for all of us' - FOX 32 Chicago

Assembly to look at limiting First Amendment rights of therapists and clients – Must Read Alaska

ANCHORAGE COULD BAN SOME FORMS OF THERAPY FOR GAY CLIENTS

On Tuesday, the Anchorage Assembly will take up an ordinance that would prohibit counselors and therapists from helping young clients who are struggling with unwanted homosexual thoughts, gender dysphoria, or other gender identity or sexual variations.

Offered by three gay members of the Anchorage Assembly, the ordinance would mandate that if a minor wants counseling for unwanted sexual urges or expressions, therapists would have to end the counseling session and show their client the door. Families could, of course, travel to Palmer or Wasilla for such counseling, but it would not be available in Anchorage.

Opponents of the measure say the ordinance would infringe on the First Amendment rights of both patients and therapists, and put a chill on therapists who believe a young person is experiencing a temporary identity problem and want to explore what may be going on in that young persons life.

The ordinance leans on the authority of a three-part story by the Anchorage Press that says persons who are homosexual are discriminated against. In the third part of the series, the Anchorage Press calls gender therapy Conversion, The real hell, focusing on two minors who had therapy forced on them by their parents.

The ordinance would not prevent pro-gay counseling and hormone therapies to assist a young person in presenting as the opposite sex or following romantic attractions with the same sex, but would prevent a counselor or therapist from any communication that would discourage that road for their patients.

In an Alaska Family Council workshop for pastors and others concerned that their religious freedoms or patient-therapist relationships are being infringed upon, Peter Sprigg of the Family Research Council warned that sexuality among minors can change as children grow in or out of experimentation phases.

He said that the ban on counseling is a form of viewpoint discrimination by a governing body, and that is a constitutional infringement on many levels.

Going to counseling is deeply personal experience that involves viewpoints, perceptions, and emotions, and if therapists think they are going to be sued because they ask questions of their patients, it will make therapists suppress their own viewpoints.

Sprigg added that parents are in charge of the health care and development of their children, something that has been upheld numerous times at the U.S. Supreme Court, and that there are minors who do want to undergo counseling for homosexual urges.

He also faulted the ordinance because it refers to licensed counselors, but doesnt say who the licensing authority is. In some cases, churches sanction or license counseling services through ordination.

[The entire ordinance in its current form is at this link.]

The meeting starts at 5 pm, but the public is not allowed to attend, per an order by Mayor Ethan Berkowitz. You can find the full agenda and watch the proceedings at this link.

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Assembly to look at limiting First Amendment rights of therapists and clients - Must Read Alaska

Federal Authorities’ Conduct Against Protesters and Reporters in Portland Gross Violations of the First Amendment – PEN America

PEN America says federal agents are not above the rule of law in repressing and attacking protesters and reporters

(New York, NY) Reports have emerged that federal authorities have required detained protesters in Portland to commit to not attending further protests as a condition for release, and that federal officers have shot at and maced reporters and legal observers covering protests. PEN Americas director of U.S. free expression programs Nora Benavidez released the following statement in response:

Forcing First Amendment-abiding protesters to sign away their right to demonstrate to be released. Law enforcement using live ammunition against reporters and legal observers. These are gross violations of the First Amendment. Federal agents are not above the rule of law, and certainly not above the Constitution. The actions unfolding in Portland are aimed not only at silencing dissent, but also silencing the reporters and journalists working to reveal whats happening on the ground. This has to stop. Freedom predicated on silence isnt freedom at all.

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Federal Authorities' Conduct Against Protesters and Reporters in Portland Gross Violations of the First Amendment - PEN America

People do not have the right to riot – New York Post

Protesters in Gotham and other cities around the nation are so used to getting their way, theyve been spoiled. Their illegal occupation of our streets and parks has become so routine that the protesting class throws tantrums when it faces consequences, however rarely that happens.

Last weeks arrest of Nikki Stone, wanted for alleged serial vandalism of police cameras, was a case in point. The 18-year-old homeless woman was marching in a peaceful, though non-permitted, march down Second Avenue when plainclothes NYPD officers arrested her and put her in an unmarked van.

Stonehad been filmed on multiple occasions painting over NYPD security cameras around City Hall Park during the last months occupation. Her alleged actions suggest a flagrant lawlessness and enmity against the public good.

Yet Stone became a cause celebre, with supporters claiming she had been disappeared, as if by a right-wing regime in Latin America circa 1982. Rep. Alexandria Ocasio-Cortez tweeted: There is no excuse for snatching women off the street and throwing them into unmarked vans. Cable host Chris Hayescalled it kidnapping.

The City Councils Progressive Caucus claimed that this arrest was a tactic meant to intimidate protesters and discourage civil disobedience. Lawmakers accused Mayor Bill de Blasio of failing to hold the NYPD accountable for the brutality unleashed on those exercising fundamental rights.

Back in the real world, plainclothes officers with unmarked cars arrest wanted suspects like Stoneevery day, because it is the most effective way to approach them without tipping them off and letting them escape. It is only kidnapping if one believes that law enforcement, operating with judicial warrants, has no authority to bring criminals to court.

Moreover, the progressive councilmembers radically confuse civil disobedience and First Amendment rights.

The First Amendment protects the right peaceably to assemble, but that doesnt mean you can block traffic any time you want to. Ask Chris Hayes if you can sit in his MSNBC office or studio for a week in the name of your favorite cause.

Civil disobedience means intentionally breaking the law to draw attention to the (alleged) unfairness of the law. But de Blasio has been so spinelessly indulgent of anti-cop protests, allowing wildcat marches to take place every day, all over the city, that the protesters have come to believe that they have the right to break the law. When confronted, they exhibit the outrage of a pampered toddler denied a toy at nap-time.

Similarly petulant, VOCAL-NY, a government-funded nonprofit, is stamping its feet because the city is no longer planning to pay for the construction of its new headquarters. VOCAL-NY was the prime mover behind the Defund the Police encampment, marches and protests that dominated downtown in the run-up to the city budget deal. The groups chief organizer, Jawanza James Williams, proudly declared: We will occupy. We will not leave here until the mayor listens to us!!!

VOCAL-NY receives about $500,000 from the city each year, mostly for drug-abuse-prevention and other health programs.Taxpayers didnt allocatemoney to the group so it could establish an illegal campsite, stage marches across the Brooklyn Bridge,harass and attack law enforcers, destroy public property or demand abolition of the police. Members of the group went to the homes of local politicians, and even the home of Speaker Corey Johnsons boyfriend, screaming at them.

When Johnson removed several million dollars in capital spending that had been earmarked for VOCAL-NY to build a new headquarters, the group shrieked that he was being spiteful and violating their constitutional rights: There can be no place in New York Citys politics for this kind of attack on our First Amendment rights. Yeah, cry more.

VOCAL-NY, like many other ostensible charities, is used to taking millions of dollars in taxpayer funding for explicitly political activity. Theyve gotten used to it because no one in charge says no.

Johnson insists that the money was removed as a fiscal measure and had nothing to do with the way that VOCAL-NY portrayed him as a cop-loving bootlicker during the budget process, embarrassing him ahead of a possible mayoral run, or that they threw paint at his boyfriends front door. But VOCAL-NY, and the protesters who want to dictate the time and manner of their arrests and the clothing of their arresting agents, need to relearn a key lesson of toddlerhood: Actions have consequences.

Seth Barron is associate editor of City Journal.

Twitter: @SethBarronNYC

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People do not have the right to riot - New York Post

Opinion: Heres a monument all Americans can rally around: Lets celebrate the Bill of Rights – Pocono Record

Amid the turmoil over taking down Confederate monuments and others ranging from Christopher Columbus to Theodore Roosevelt, heres an idea that that almost everyone can get behind: How about erecting monuments that celebrate the Bill of Rights?

Yes, the Bill of Rights: 10 amendments to the Constitution, ratified in 1791, that spelled out the individual freedoms Americans have enjoyed ever since including the freedom to protest against things like monuments (thanks to the First Amendment.)

A campaign to place Bill of Rights monuments in state capitols in all 50 states is already underway, albeit moving slowly. Arizonas Bill of Rights monument was built in Phoenix in 2012, and plans for an OkIahoma monument in Oklahoma City are progressing. A smaller scale monument can be found in Montezuma, Iowa.

Its the brainchild of Chris Bliss, a comic by trade who has made the Bill of Rights his side project. Comics, after all, benefit greatly from the First Amendment. His campaign began nearly two decades ago, when there was controversy over monuments that celebrated the Ten Commandments, also often placed in state capitols.

Bliss envisioned erecting Bill of Rights monuments as a way to "comparison shop" with the Ten Commandments, he says whimsically. He also wants the monuments built near state capitols because "every kid goes to state capitols" on school field trips. He estimates that 40,000 students a year have visited the Arizona monument.

As he delved into the project, Bliss found that the Bill of Rights was something of a forgotten document, rarely taught in schools. People knew about a patients bill of rights or a bill of rights for airline passengers. But it was hard for people to grasp the abstract principles of the constitutional Bill of Rights, Bliss says, and therefore hard to turn those principles into marble or limestone.

Donations and support for Bliss Bill of Rights project have been sporadic over the years, with comedians like Lewis Black and the late Dick Gregory helping out. The Bill of Rights has "no preexisting constituency," Bliss says, unlike other organized groups that can lobby successfully for building monuments.

But in the aftermath of the recent protests nationwide that involve monuments and civil liberties, he hopes to jump-start his project and hasten the building of Bill of Rights monuments nationwide. "This is a very positive moment," Bliss says.

Amendments a safeguard for citizens

The relevance of the Bill of Rights to todays divisions is clear and deserves recognition. The Bill of Rights fosters freedom of expression, religion, due process, fair trials, protection against unreasonable government intrusion or excessive fines, among other important rights.

The 10 amendments are not without controversy. Interpreting the religion clauses of the First Amendment, the right to bear arms in the Second Amendment, and the "cruel and unusual punishment" clause of the Eighth Amendment has been a contentious task for centuries.

And there are parts of the Bill of Rights that are quirky, to say the least. The Third Amendment, for example, prohibits soldiers from being quartered in homes without the consent of owners. It was a big issue at the time of the founding, but not now.

Opportunity to celebrate liberty

Bliss says there is no better remedy for monument controversies than to commemorate the Bill of Rights, which he calls "the most powerful and successful assertion of individual rights and liberties ever written."

He adds, "The ideas were radical at the time, but now, people say, Of course. There is not an exclusionary phrase in the entire document. It is time for us to rediscover our own Bill of Rights and to elevate it to the position of public prominence it richly deserves."

Tony Mauro, a member of USA TODAY's Board of Contributors, covered the Supreme Court for USA TODAY from 1982 to 2000.

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Opinion: Heres a monument all Americans can rally around: Lets celebrate the Bill of Rights - Pocono Record

The PACT Act Is Not The Solution To The Problem Of Harmful Online Content – EFF

The Senate Commerce Committees Tuesday hearing on the PACT Act and Section 230 was a refreshingly substantive bipartisan discussion about the thorny issues related to how online platforms moderate user content, and to what extent these companies should be held liable for harmful user content.

The hearing brought into focus several real and significant problems that Congress should continue to consider. It also showed that, whatever its good intentions, the PACT Act in its current form does not address those problems, much less deal with how to lessen the power of the handful of major online services we all rely on to connect with each other.

As we recently wrote, the Platform Accountability and Consumer Transparency (PACT) Act, introduced last month by Senators Brian Schatz (D-HI) and John Thune (R-SD), is a serious effort to tackle a serious problem: that a handful of large online platforms dominate users ability to speak online. The bill builds on good ideas, such as requiring greater transparency around platforms decisions to moderate their users contentsomething EFF has championed as a voluntary effort as part of the Santa Clara Principles.

However, we are ultimately opposed to the bill, because weakening Section 230 (47 U.S.C. 230) would lead to more illegitimate censorship of user content. The bill would also threaten small platforms and would-be competitors to the current dominant players, and the bill has First Amendment problems.

One important issue that came up during the hearing is to what extent online platforms should be required to take down user content that a court has determined is illegal. The PACT Act provides that platforms would lose Section 230 immunity for user content if the companies failed to remove material after receiving notice that a court has declared that material illegal. Its not unreasonable to question whether Section 230 should protect platforms for hosting content after a court has found the material to be illegal or unprotected by the First Amendment.

However, we remain concerned about whether any legislative proposal, including the PACT Act, can provide sufficient guardrails to prevent abuse and to ensure that user content is not unnecessarily censored. Courts often issue non-final judgments, opining on the legality of content in a motion to dismiss opinion, for example, before getting to the merits stage of a case. Some court decisions are default judgments because the defendant does not show up to defend herself for whatever reason, making any determination about the illegality of the content the defendant posted suspect because the question was not subject to a robust adversarial process. And even when there is a final order from a trial court, that decision is often appealed and sometimes reversed by a higher court.

Additionally, some lawsuits against user content are harassing suits that might be dismissed under anti-SLAPP laws, but not all states have them and there isnt one that consistently applies in federal court. Finally, some documents that appear to be final court judgments may be falsified, which would lead to the illegitimate censorship of user speech, if platforms dont spend considerable resources investigating each takedown request.

We were pleased to see that many of these concerns were discussed at the hearing, even if a consensus wasnt reached. Its refreshing to see elected leaders trying to balance competing interests, including how to protect Internet users who are victims of illegal activity while avoiding the creation of broad legal tools that can censor speech that others do not like. But as weve said previously, the PACT Act, as currently written, doesnt attempt to balance these or other concerns. Rather, by requiring the removal of any material that someone claims a court has declared illegal, it tips the balance toward broad censorship.

Another thorny but important issue is the question of competition among online platforms. Sen. Mike Lee (R-UT) expressed his preference for finding market solutions to the problems associated with the dominant platforms and how they moderate user content. EFF has urged the government to consider a more robust use of antitrust law in the Internet space. One thing is certain, though: weakening Section 230 protections will only entrench the major players, as small companies dont have the financial resources and personnel to shoulder increased liability for user content.

Unfortunately, the PACT Acts requirements that platforms put in place content moderation and response services will only further cement the dominance of services such as Facebook, Twitter, and YouTube, which already employ vast numbers of employees to moderate users content. Small competitors, on the other hand, lack the resources to comply with the PACT Act.

The hearing also touched upon understandably concerning content categories including political and other misinformation, hate speech, terrorism content, and child sexual abuse material (CSAM). However, by and large, these categories of content (except for CSAM) are protected by the First Amendment, meaning that the government cant mandate that such content be taken down.

To be clear, Congress can and should be talking about harmful online content and ways to address it, particularly when harassment and threats drive Internet users offline. But if the conversation focuses on Section 230, rather than grappling with the First Amendment issues at play, then it is missing the forest for the trees.

Moreover, any legislative effort aimed at removing harmful, but not illegal, content online has to recognize that platforms that host user-generated content have their own First Amendment rights to manage that content. The PACT Act intrudes on these services editorial discretion by requiring that they take certain steps in response to complaints about content.

Amidst a series of bad-faith attacks on Internet users speech and efforts to weaken Section 230 protections, it was refreshing to see Senators hold a substantive public discussion about what changes should be made to U.S. law governing Internet users online speech. We hope that it can serve as the beginning of a good-faith effort to grapple with real problems and to identify workable solutions that balance the many competing interests while ensuring that Internet users continue to enjoy the diverse forums for speech and community online.

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The PACT Act Is Not The Solution To The Problem Of Harmful Online Content - EFF

US Homeland Security Created Files on Journalists – Voice of America

The U.S. Department of Homeland Security (DHS) said Friday that it has ordered agents to stop compiling and circulating intelligence reports on journalists.

The move came a day after The Washington Post reported that a DHS office had created three reports on two journalists covering demonstrations in Portland, Oregon, that were distributed to federal law enforcement agencies.

The reports, compiled by the Office of Intelligence and Analysis, noted that the journalists had published leaked, unclassified documents about the deployment of federal agents to protests in Portland. The office is tasked with integrating DHS intelligence and distributing information to state and local authorities, as well as private partners.

In a statement, the Intelligence Office said that Acting DHS Secretary Chad Wolf had suspended the collection of information on journalists and ordered an investigation.

In no way does the acting secretary condone this practice, said DHS spokesperson Alexei Woltornist. The acting secretary is committed to ensuring that all DHS personnel uphold the principles of professionalism, impartiality and respect for civil rights and civil liberties, particularly as it relates to the exercise of First Amendment rights.

Details of the intelligence reports came amid unrest in Portlandand New York City, where plainclothes law enforcement officers have been spotted pulling protesters into unmarked vans. Portland police have livestreamed protests, which the American Civil Liberties Union of Oregon alleges violates state law blocking police from collecting information on law-abiding citizens.

The Post reported that the intelligence reports contained images and descriptions of tweets by Mike Baker, a journalist at The New York Times and Benjamin Wittes, editor-in-chief of Lawfare, a blog that focuses on national security and policy. The reports included the number of likes and retweets the social media posts received.

Baker had co-reported on two internal DHS memos related to protests and unrest in Portland: a July 18 article detailing a memo that warned federal agents in the city do not specifically have training in riot control or mass demonstrations. and a Tuesday article on a memo in which the department acknowledged it lacked insight into the motives for the most recent attacks in Portland. The Times published both memos in full.

Wittes, also a senior fellow at the Brookings Institution, tweeted images of internal Intelligence Office memos about leaks to Lawfare and Washington Post reporter Shane Harris, who later broke the news of the DHS reports. Wittes had reported that the DHS in mid-July authorized its personnel to monitor social media posts and collect information on people suspected of damaging public monuments.

In a Twitter thread about the intelligence reports, Wittes said that he was considering his legal options.

What is troubling about this story is that [the Office of Intelligence and Analysis] shared my tweets as intelligence reporting, wrote Wittes. I am not sure how my reporting of unclassified material constitutes any kind of homeland security threat that justifies the dissemination of intelligence reporting on a U.S. person, particularly not one exercising core First Amendment rights.

Analysts warned that the move appeared to threaten the First Amendment, which protects freedom of speech in the U.S.

Even if individual reporters are not quivering in their boots, potentially, I think it does set a very troubling and potentially unconstitutional tone, said Nora Benavides, director of U.S. Free Expression Programs at Pen America, a nonprofit advocating for free expression and press freedom. Other reporters may think twice before engaging in these types of investigative and journalistic practices."

Benavides described the intelligence reports as a very serious threat to the First Amendment.

We should not be in a position, and journalists should not be in the position to question whether they should do their job at the risk of being added, potentially, to an intelligence report and being investigated as if they are committing some criminal act, Benavides told VOA. Journalism and a free press, those are not inherently criminal. Those are the types of tactics we see in undemocratic governments.

The Reporters Committee for Freedom of the Press condemned the intelligence gathering and called on the DHS to make public the findings of its investigation.

Federal law prohibits the creation of dossiers on journalists precisely because doing so can morph into investigations of journalists for news coverage that embarrasses the government, but that the public has a right to know, Gabe Rottman, director of the technology and press freedom project at the Reporters Committee, said in a statement.

The DHS reports on journalists are not an isolated incident, said Benavides. Multiple U.S. federal agencies collaborated last year to create a secret database of journalists, activists and attorneys covering a large migrant caravan.

NBC7 in San Diego, California, reported that the database listed 10 journalists and 48 others whom officials recommended be targeted for screening at the U.S.-Mexico border. Each entry contained a photo, data of birth, country of commencement, alleged tie to the caravan, and any alerts placed on a subjects passport.

Benavides said the reports on journalists appear to harken back to the types of chilling practices in which a federal agency is using its ability to investigate individuals, especially reporters, to try to chill them or prevent them from investigating.

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US Homeland Security Created Files on Journalists - Voice of America

How to boost metabolism naturally: tips to help you lose weight AND keep it off – T3 (US)

Looking to get in shape and lose weight? There are a number of straightforward ways to boost metabolism naturally and we have listed them right here. With these top tips and your efforts, you can kick start and speed up your metabolism, to help your dieting and weight loss. Although please note that while these ways to speed up your metabolism are easy to understand, they do require some effort to carry out!

ASICS Runners Face Cover is a workout face mask so breathable, you can DRINK through it

A slow metabolism can cause a lot of trouble over time but luckily, you don't have to put yourself through the horrors of intermittent fasting or the keto diet in order to boost metabolism although both approaches have been researched thoroughly and proven to aid weight loss.

If you want to lose weight, you should consider applying some of the tips below to your daily routine. Who knows, they might help you lose belly fat sooner rather than later.

New Nike Metcon 6 looks like the ULTIMATE workout shoes

An improved rate of metabolism can help you keep weight off, and generally turn you into a healthier and leaner individual. As usual, there's no instant fix to be had here, but being fit and having a faster metabolism quickly become a virtuous circle.

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Why should you try HIIT workouts? For one, it improves metabolism and burns calories long after you finished with your daily HIIT session, making you a fat-torching machine that's on 24/7. The best thing about HIIT workouts is that they can be done anywhere using any sort of equipment: you can do a full body HIIT workout in the park or even follow the ultimate HIIT workout that uses your bodyweight only (and a skipping rope).

You can also have a HIIT sessions on a treadmill, elliptical trainer or rowing machine but even if you haven't got the best home gym setup, you can do HIIT with cheap fitness equipment still available to buy online. Try to do HIIT workouts in the morning: research reveals what is the best time for exercising for weight loss.

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According to research cited by Healthline, "proteincauses the largest rise in TEF (thermic effect of food). It increases your metabolic rate by 1530%, compared to 510% for carbs and 03% for fats." As Healthline explains, the "thermic effect of food caused by the extra calories required to digest, absorb and process the nutrients in your meal."

Since digesting protein takes more effort from your body, by eating more of it you will basically work out using your metabolic system (we might be exaggerating here). Protein is also essential for muscle repair and recovery, so if you are actively working out, it is recommended to take between 1.6-2 grams of protein per body kilogram per day.

You should source protein from a variety of food stuff like lean meat, nuts, green veg and eggs. Supplementing protein is also popular among athletes: protein powder shakes are probably the most convenient way to get your protein fix on the go but you can also have protein bars or jerky as well as post workout snack.

(Image credit: Pexels)

This technique may have a very complicated-sounding name Non-Exercise Activity Thermogenesis and a vaguely annoying acronym NEAT but it's actually very simple. NEAT means adjusting how you live your day-to-day life, in order to be more active. You know when exercise experts say, 'Take the stairs, not the lift' and you think, 'Oh yes, good idea,' but then you don't do it? Well NEAT is actually doing things like that.

Like a lot of great ways to get fit, NEAT is perfectly straightforward in principle, but it does require some effort on your part. However the great thing about NEAT for many people is that it specifically does not involve going to the gym or setting aside time for exercise. Although of course, it can also be used as one component of a healthy lifestyle, alongside gym, running, cycling, watching Joe Wicks, etc.

Learn about using NEAT to speed up your metabolism

(Image credit: Sage)

Caffeine found in coffee and teas can boost metabolism significantly. Not everyone reacts to caffeine the same way and it is also recommended not to drink too many cups of coffee/caffeinated beverages in a day. Green tea has a lower caffeine content so combining coffee and green tea consumption can have better results.

Drinking more water can also improve metabolism: combine increased water consumption with more fibrous food for the best results.

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Spa and Salon Software Market 2020 | Research Objectives and Methodology, Growth Analysis, Top Manufacturers Sales, and Cost Structures Forecast 2024…

The Spa and Salon Software Market report 2020 covers all the significant developments which are recently being adopted across the global market. The prime objective of the Spa and Salon Software market report is to provides an in-depth analysis of all market dynamics including drivers and restraints, and trends, and opportunities. The Spa and Salon Software market report covers both the demand and supply aspects of the market. The report also highlighted the future trends in the Spa and Salon Software market that will impact the demand during the forecast period.

Scope of the Report:

Spa and salon management software is a web-based solution that aids spa and salon businesses manage their daily business operations. The system automates a range of tasks including appointment booking and scheduling, appointment confirmations, customer interactions, inventory tracking, staff management, secure storage of data, and implementation of marketing campaigns.

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Market Overview:

Some of the Top Key Players of Spa and Salon Software Market Report Are:

Report Highlights:

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Key Market Trends:

Cloud-Based Software to Gain Maximum Market Traction

Cloud-based software allows a business to set up a virtual office which offers the flexibility of connecting the business anywhere, at any given time. According to a study conducted by the International Data Group in 2018, 73% of organizations have at least one application, or a portion of their computing infrastructure already in the cloud, while 17% plan to do so within the next 12 months. With the gradual shift towards beauty and wellness products owing to the increasing trend of a healthy lifestyle, salon and spa businesses are also growing substantially. Hence the need to efficiently collaborate the business is increasing. Adoption of cloud solutions is expected the business to communicate and share more easily across different locations apart from the traditional methods. Factors such as reduced IT costs, increased flexibility, instant data accessibility and recovery, and business continuity in case of a crisis minimizing the downtime and loss of productivity are driving the adoption of cloud solutions.

North-America to Hold the Highest Market Share

The North America region is expected to hold the highest market share in terms of revenue in the spa and salon software market. It is majorly due to the early adoption of beauty salon services and products by individuals and professionals in salons and spas owing to the increased demand for healthy and standard lifestyles. Moreover, the changing lifestyles of the urban population and increasing health and skin problems is stimulating the growth of the market. Further, with increasing disposable income, people are getting more focused towards personal appearance, and the advanced techniques and technology used in spa and salons are some more products expected to boost the market.

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Detailed TOC of Spa and Salon Software Market Report 2020-2024:

1 INTRODUCTION

2 RESEARCH METHODOLOGY

3 EXECUTIVE SUMMARY

4 MARKET DYNAMICS4.1 Market Overview4.2 Market Drivers4.2.1 Rising Demand for Healthy and Standard Lifestyle4.2.2 Automation in Business Processes4.3 Market Restraints4.3.1 Initial Setup Cost4.4 Industry Attractiveness Porters Five Force Analysis4.4.1 Bargaining Power of Suppliers4.4.2 Bargaining Power of Buyers/Consumers4.4.3 Threat of New Entrants4.4.4 Threat of Substitute Products4.4.5 Intensity of Competitive Rivalry

5 MARKET SEGMENTATION5.1 By Size of the Enterprise5.1.1 Small and Medium Enterprises5.1.2 Large Enterprise5.2 By Deployment5.2.1 Cloud-Based5.2.2 On Premise5.3 By Solutions5.3.1 Customer Relationship Management5.3.2 Inventory Management5.3.3 Resource Management5.3.4 Enterprise Management & Reporting5.3.5 Business and Financial Reporting & Analysis5.4 Geography5.4.1 North America5.4.2 Europe5.4.3 Asia Pacific5.4.4 Rest of the World

6 COMPETITIVE LANDSCAPE6.1 Company Profiles6.1.1 MindBody, Inc.6.1.2 DaySmart Software6.1.3 Springer-Miller Systems6.1.4 Zenoti6.1.5 Waffor6.1.6 Salonist.io6.1.7 Vagaro, Inc.6.1.8 Simple Spa6.1.9 Pxier

7 INVESTMENT ANALYSIS

8 MARKET OPPORTUNITIES AND FUTURE TRENDS

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Spa and Salon Software Market 2020 | Research Objectives and Methodology, Growth Analysis, Top Manufacturers Sales, and Cost Structures Forecast 2024...

The Goopification of grapes: why ‘clean wine’ is a scam – The Guardian

Cameron Diaz gives a happy sigh. Im really excited, she says to her friend Katherine Power. On the table are two bottles of their new wine, Avaline, launched mid-July.

We were mad for a while, adds Diaz. You were a little bit more mad than I was. You had some real anger.

Anger? About wine?

When Diaz and Power decided to make their own wine, they discovered theres more to it than fermented grape juice. No transparency, no labelling, says Power, so shocked by what she found, she threw out all her wine.

The pair, speaking on Instagram, say they became determined to make a clean, chemical-free wine and are now, according to their publicist, on a mission to bring transparency to the wine industry.

Theyre not the only ones. Out of nowhere has come Good Clean Wine, which pairs with a healthy lifestyle; the Wonderful Wine Company, which offers wellness without deprivation; and Scout & Cellar, a multi-level marketing company that boasts of its clean-crafted wine and intends to disrupt the wine industry and do better for the planet, among others.

Dr Creina Stockley sighs when she hears this over Zoom. Ive been in the industry for close to 30 years and this comes up periodically, just under different names minimal intervention is one she remembers its a marketing exercise.

A pharmacologist and lecturer at the University of Adelaide, Stockley is a world authority on wine additives and processing aids, the heart of this issue.

Unlike the food industry, winemakers dont have to list ingredients. This has opened a door for opportunists, who profit by claiming that other wineries fill their wines with noxious chemicals (they dont).

The clean wine companies are chasing a lucrative prize a piece of the $52.5bn wellness market. A Scout & Cellar recruitment video notes 68% of consumers will pay more for products if theyre free of ingredients perceived as bad; disparaging the competition is good marketing. Its also working; the company reportedly made $20m in 2018, its first year.

Strangely, for companies committed to ripping the lid off the wine industry, the clean wine gang is pretty quiet about where their own wines come from, and most declined to be interviewed. Where many wineries love giving encyclopaedic detail about the hill where their grapes are grown, for example, the Wonderful Wine Company simply says its white comes from France.

People are very interested in origin stories, says Brian Smith, CEO of Winc Wines, which launched the Wonderful Wine Co in May, but the modern consumer is looking for how does this fit into my life?

Winc Wines, founded by Smith and Geoff McFarlane, is one of the USs most sophisticated online direct wine businesses. Asked how Wonderful Wines offer wellness without deprivation, Smith says they use organic grapes wherever possible and dont manipulate their wines.

Which is an interesting claim, because wine doesnt make itself. If you drop Vitis vinifera grapes in a tub and leave them, they ferment, but what youll get is vinegar or cloudy, sour wine. Winemaking is both art and science and, over centuries, winemakers have learned to prevent taints and spoilage, from using sulfur dioxide as an anti-bacterial and antioxidant, to dropping egg whites into the wine to remove harsh-tasting tannins, a process known as fining.

Yet only 40 years ago, a wine could be good one year and horrible the next. Since then, an explosion of microbiology, chemistry and viticulture research has driven a quality revolution.

Todays winemakers have an array of yeasts, antimicrobials and fining agents to choose from. Some function as ingredients that go into the wine, like extra acidity to perk up grapes from warm regions. Others are processing aids, mostly used to take things out of the wine. Some have terrifying names, like polyvinylpolypyrrolidone (PVPP), but its the same binding agent found in aspirin tablets. Its sometimes used to reduce colour, to achieve pale pink ross. Such aids are legally defined and heavily regulated, and they dont stay in the wine.

But all this research has also allowed commercial winemakers to create bland, homogeneous wines that taste the same each year, regardless of vintage variation. In the US, some mass-market red wines have grape concentrate added the best known of which is Mega Purple to give extra colour and sweetness. Its illegal to add concentrate in the EU, where nothing can be added that changes the essential nature of a wine.

Many wine lovers are appalled by such practices, which render terroir the origin, or sense of place redundant and the backlash has led to a new category: natural wines. These are made by the nothing added, nothing taken away principle, usually from organic grapes.

But between natural and mass-market wines lies a vast and varied world. Just because winemaking tools exist doesnt mean people use them wineries dont spend money on things they dont need and artisanal winemakers, in particular, pride themselves on their hands-off approach. Stockley says, in any case, that modern wine needs less intervention than in the past, partly because winemakers have learned to make things smarter and better, but mostly because of improved grape growing. Some winemaking aids are no longer permitted; until 1997, animal blood could be used for fining. Ferrocyanide, which Scout & Cellar claims is a common additive in commercial wines, was a processing aid thats no longer legal.

So why not list ingredients? Dr Ignacio Snchez Recarte, secretary general of the Comit Europen des Entreprises Vins (Ceev), which represents the EUs wine sector, says its because wine isnt made by an industrial process. While, say, a commercial bakery works to a strict, unchanging recipe, winemaking decisions change each vintage. Asking a small winery to update labels every year would impose an economic burden.

If you have anything in the wine with potential allergenic effects, you are obliged to indicate that on the label, however, and he adds the wine sector understands that modern consumers want transparency. Legislative change is under way in the EU.

I expect that by the end of 2022 there will be labels on wine, he says, adding they will either be traditional labels or e-labels. They will list ingredients, not processing aids nor will they show if the producer used pesticides.

Now youre opening up a can of worms, says Jamie Goode PhD, wine writer and author of wine textbooks. You cant grow grapes from Vitis vinifera without spraying eight to 14 times a year. The problem is mildew and then, at the end of the growing season, rot.

One of wines paradoxes is that the most prized, expensive grapes come from regions prone to fungal diseases, which can only be treated with commercial pesticides or, for organic growers, applications of copper sulfate. Its all about the concentration, says Goode, adding: There are strict regulations concerning their use and concerning residue levels that are permitted. Wine is one of the most regulated and safe products there is.

Promising ultraviolet light therapies are being trialled that may eliminate pesticides forever but, for the moment, there is another potential way to avoid them. Its to farm in drier, warmer areas with less disease pressure, like Languedoc in southern France birthplace of the Wonderful Wines white.

There are plenty of warm regions producing grapes at lower cost. California also has a grape glut right now and theres more wine in tanks than many wineries know what to do with. Some use the best for themselves, then quietly sell the rest to whats known as the bulk wine market, where everything from commodity grapes to certified organic wines are sold. Wineries also use their excess to make on-demand wines for buyers. In a twist, these exclusive wines often come from big wineries; despite being thoroughly conventional, they can even be marketed as minimal intervention or clean, because these are meaningless terms.

Its a type of wine known as private label, which can be highly profitable beca
use the seller doesnt have vineyards or wineries to maintain. Most winemakers talk obsessively about their land and heritage (try and stop them), so if these details are missing or vague, the wine could be private label, although some mass-market brands also omit this information.

Diaz and Scouts Avaline, for example, is silent on who makes it. Then theres Scout & Cellars $25 Gallivant chardonnay, whose web copy says its made by a fifth-generation family winery founded in Monterey in 1883, but not which one. In contrast, consider the $18 Wente Vineyards Morning Fog chardonnay, which has a downloadable technical sheet explaining the region, soils and winemaking. Coincidentally, its also made by a fifth-generation family winery founded in 1883 in Monterey.

Unfortunately, all wine, however its made, contains a dangerous chemical: alcohol. No matter how sustainably the grapes are grown nor how consciously its made, there is no wine that wont deliver a hangover if you drink too much.

Wine is not a wellness potion. Its a snapshot of time, a manifestation of the place and the people who made it, which works a special magic when paired with friends and food.

When it comes to clean wine, the only thing being cleaned is your wallet.

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The Goopification of grapes: why 'clean wine' is a scam - The Guardian

Frontiers | Nanomedicine: Principles, Properties, and …

Introduction

Over the last years, nanotechnology has been introduced in our daily routine. This revolutionary technology has been applied in multiple fields through an integrated approach. An increasing number of applications and products containing nanomaterials or at least with nano-based claims have become available. This also happens in pharmaceutical research. The use of nanotechnology in the development of new medicines is now part of our research and in the European Union (EU) it has been recognized as a Key Enabling Technology, capable of providing new and innovative medical solution to address unmet medical needs (Bleeker et al., 2013; Ossa, 2014; Tinkle et al., 2014; Pita et al., 2016).

The application of nanotechnology for medical purposes has been termed nanomedicine and is defined as the use of nanomaterials for diagnosis, monitoring, control, prevention and treatment of diseases (Tinkle et al., 2014). However, the definition of nanomaterial has been controversial among the various scientific and international regulatory corporations. Some efforts have been made in order to find a consensual definition due to the fact that nanomaterials possess novel physicochemical properties, different from those of their conventional bulk chemical equivalents, due to their small size. These properties greatly increase a set of opportunities in the drug development; however, some concerns about safety issues have emerged. The physicochemical properties of the nanoformulation which can lead to the alteration of the pharmacokinetics, namely the absorption, distribution, elimination, and metabolism, the potential for more easily cross biological barriers, toxic properties and their persistence in the environment and human body are some examples of the concerns over the application of the nanomaterials (Bleeker et al., 2013; Tinkle et al., 2014).

To avoid any concern, it is necessary establishing an unambiguous definition to identify the presence of nanomaterials. The European Commission (EC) created a definition based on the European Commission Joint Research Center and on the Scientific Committee on Emerging and Newly Identified Health Risks. This definition is only used as a reference to determine whether a material is considered a nanomaterial or not; however, it is not classified as hazardous or safe. The EC claims that it should be used as a reference for additional regulatory and policy frameworks related to quality, safety, efficacy, and risks assessment (Bleeker et al., 2013; Boverhof et al., 2015).

According to the EC recommendation, nanomaterial refers to a natural, incidental, or manufactured material comprising particles, either in an unbound state or as an aggregate wherein one or more external dimensions is in the size range of 1100 nm for 50% of the particles, according to the number size distribution. In cases of environment, health, safety or competitiveness concern, the number size distribution threshold of 50% may be substituted by a threshold between 1 and 50%. Structures with one or more external dimensions below 1 nm, such as fullerenes, graphene flakes, and single wall carbon nanotubes, should be considered as nanomaterials. Materials with surface area by volume in excess of 60 m2/cm3 are also included (Commission Recommendation., 2011). This defines a nanomaterial in terms of legislation and policy in the European Union. Based on this definition, the regulatory bodies have released their own guidances to support drug product development.

The EMA working group introduces nanomedicines as purposely designed systems for clinical applications, with at least one component at the nanoscale, resulting in reproducible properties and characteristics, related to the specific nanotechnology application and characteristics for the intended use (route of administration, dose), associated with the expected clinical advantages of nano-engineering (e.g., preferential organ/tissue distribution; Ossa, 2014).

Food and Drug Administration (FDA) has not established its own definition for nanotechnology, nanomaterial, nanoscale, or other related terms, instead adopting the meanings commonly employed in relation to the engineering of materials that have at least one dimension in the size range of approximately 1 nanometer (nm) to 100 nm. Based on the current scientific and technical understanding of nanomaterials and their characteristics, FDA advises that evaluations of safety, effectiveness, public health impact, or regulatory status of nanotechnology products should consider any unique properties and behaviors that the application of nanotechnology may impart (Guidance for Industry, FDA, 2014).

According to the former definition, there are three fundamental aspects to identify the presence of a nanomaterial, which are size, particle size distribution (PSD) and surface area (Commission Recommendation., 2011; Bleeker et al., 2013; Boverhof et al., 2015).

The most important feature to take into account is size, because it is applicable to a huge range of materials. The conventional range is from 1 to 100 nm. However, there is no bright line to set this limit. The maximum size that a material can have to be considered nanomaterial is an arbitrary value because the psychochemical and biological characteristics of the materials do not change abruptly at 100 nm. To this extent, it is assumed that other properties should be taken in account (Lvestam et al., 2010; Commission Recommendation., 2011; Bleeker et al., 2013; Boverhof et al., 2015).

The pharmaceutical manufacturing of nanomaterials involves two different approaches: top down and bottom down. The top down process involves the breakdown of a bulk material into a smaller one or smaller pieces by mechanical or chemical energy. Conversely, the bottom down process starts with atomic or molecular species allowing the precursor particles to increase in size through chemical reaction (Luther, 2004; Oberdrster, 2010; Boverhof et al., 2015). These two processes of manufacturing are in the origin of different forms of particles termed primary particle, aggregate and agglomerate (Figure 1). The respective definition is (sic):

Figure 1. Schematic representation of the different forms of particles: primary particle, aggregate, and agglomerate (reproduced with permission from Oberdrster, 2010).

particle is a minute piece of matter with defined physical boundaries (Oberdrster, 2010; Commission Recommendation., 2011);

aggregate denotes a particle comprising strongly bound or fused particlesand the external surface can be smaller than the sum of the surface areas of the individual particles (Oberdrster, 2010; Commission Recommendation., 2011);

agglomerate means a collection of weakly bound particles or aggregates where the resulting external surface area are similar to the sum of the surface areas of the individual components (Oberdrster, 2010; Commission Recommendation., 2011).

Considering the definition, it is understandable why aggregates and agglomerates are included. They may still preserve the properties of the unbound particles and have the potential to break down in to nanoscale (Lvestam et al., 2010; Boverhof et al., 2015). The lower size limit is used to distinguish atoms and molecules from particles (Lvestam et al., 2010).

The PSD is a parameter widely used in the nanomaterial identification, reflecting the range of variation of sizes. It is important to set the PSD, because a nanomaterial is usually polydisperse, which means, it is commonly composed by particles with different sizes (Commission Recommendation., 2011; Bleeker et al., 2013; Boverhof et al., 2015).

The determination of the surface area by volume is a relational parameter, which is necessary when requested by additional legislation. The material is under the definition if the surface area by volume is larger than 60 m2/cm3, as pointed out. However, the PSD shall prevail, and for example, a material is classified as a nanomaterial based on the particle size distribution, even if the surface area by volume is lower than the specified 60 m2/cm3 (Commission Recommendation., 2011; Bleeker et al., 2013; Boverhof et al., 2015).

Nanomaterials can be applied in nanomedicine for medical purposes in three different areas: diagnosis (nanodiagnosis), controlled drug delivery (nanotherapy), and regenerative medicine. A new area which combines diagnostics and therapy termed theranostics is emerging and is a promising approach which holds in the same system both the diagnosis/imaging agent and the medicine. Nanomedicine is holding promising changes in clinical practice by the introduction of novel medicines for both diagnosis and treatment, having enabled to address unmet medical needs, by (i) integrating effective molecules that otherwise could not be used because of their high toxicity (e.g., Mepact), (ii) exploiting multiple mechanisms of action (e.g., Nanomag, multifunctional gels), (iii) maximizing efficacy (e.g., by increasing bioavailability) and reducing dose and toxicity, (iv) providing drug targeting, controlled and site specific release, favoring a preferential distribution within the body (e.g., in areas with cancer lesions) and improved transport across biological barriers (Chan, 2006; Mndez-Rojas et al., 2009; Zhang et al., 2012; Ossa, 2014).

This is a result of intrinsic properties of nanomaterials that have brought many advantages in the pharmaceutical development. Due to their small size, nanomaterials have a high specific surface area in relation to the volume. Consequently, the particle surface energy is increased, making the nanomaterials much more reactive. Nanomaterials have a tendency to adsorb biomolecules, e.g., proteins, lipids, among others, when in contact with the biological fluids. One of the most important interactions with the living matter relies on the plasma/serum biomoleculeadsorption layer, known as corona, that forms on the surface of colloidal nanoparticles (Pino et al., 2014). Its composition is dependent on the portal of entry into the body and on the particular fluid that the nanoparticles come across with (e.g., blood, lung fluid, gastro-intestinal fluid, etc.). Additional dynamic changes can influence the corona constitution as the nanoparticle crosses from one biological compartment to another one (Pearson et al., 2014; Louro, 2018).

Furthermore, optical, electrical and magnetic properties can change and be tunable through electron confinement in nanomaterials. In addition, nanomaterials can be engineered to have different size, shape, chemical composition and surface, making them able to interact with specific biological targets (Oberdrster et al., 2005; Kim et al., 2010). A successful biological outcome can only be obtained resorting to careful particle design. As such, a comprehensive knowledge of how the nanomaterials interact with biological systems are required for two main reasons.

The first one is related to the physiopathological nature of the diseases. The biological processes behind diseases occur at the nanoscale and can rely, for example, on mutated genes, misfolded proteins, infection by virus or bacteria. A better understanding of the molecular processes will provide the rational design on engineered nanomaterials to target the specific site of action desired in the body (Kim et al., 2010; Albanese et al., 2012). The other concern is the interaction between nanomaterial surface and the environment in biological fluids. In this context, characterization of the biomolecules corona is of utmost importance for understanding the mutual interaction nanoparticle-cell affects the biological responses. This interface comprises dynamic mechanisms involving the exchange between nanomaterial surfaces and the surfaces of biological components (proteins, membranes, phospholipids, vesicles, and organelles). This interaction stems from the composition of the nanomaterial and the suspending media. Size, shape, surface area, surface charge and chemistry, energy, roughness, porosity, valence and conductance states, the presence of ligands, or the hydrophobic/ hydrophilic character are some of the material characteristics that influence the respective surface properties. In turn, the presence of water molecules, acids and bases, salts and multivalent ions, surfactants are some of the factors related to the medium that will influence the interaction. All these aspects will govern the characteristics of the interface between the nanomaterial and biological components and, consequently, promote different cellular fates (Nel et al., 2009; Kim et al., 2010; Albanese et al., 2012; Monopoli et al., 2012).

A deeper knowledge about how the physicochemical properties of the biointerface influence the cellular signaling pathway, kinetics and transport will thus provide critical rules to the design of nanomaterials (Nel et al., 2009; Kim et al., 2010; Albanese et al., 2012; Monopoli et al., 2012).

The translation of nanotechnology form the bench to the market imposed several challenges. General issues to consider during the development of nanomedicine products including physicochemical characterization, biocompatibility, and nanotoxicology evaluation, pharmacokinetics and pharmacodynamics assessment, process control, and scale-reproducibility (Figure 2) are discussed in the sections that follow.

Figure 2. Schematic representation of the several barriers found throughout the development of a nanomedicine product.

The characterization of a nanomedicine is necessary to understand its behavior in the human body, and to provide guidance for the process control and safety assessment. This characterization is not consensual in the number of parameters required for a correct and complete characterization. Internationally standardized methodologies and the use of reference nanomaterials are the key to harmonize all the different opinions about this topic (Lin et al., 2014; Zhao and Chen, 2016).

Ideally, the characterization of a nanomaterial should be carried out at different stages throughout its life cycle, from the design to the evaluation of its in vitro and in vivo performance. The interaction with the biological system or even the sample preparation or extraction procedures may modify some properties and interfere with some measurements. In addition, the determination of the in vivo and in vitro physicochemical properties is important for the understanding of the potential risk of nanomaterials (Lin et al., 2014; Zhao and Chen, 2016).

The Organization for Economic Co-operation and Development started a Working Party on Manufactured Nanomaterials with the International Organization for Standardization to provide scientific advice for the safety use of nanomaterials that include the respective physicochemical characterization and the metrology. However, there is not an effective list of minimum parameters. The following characteristics should be a starting point to the characterization: particle size, shape and size distribution, aggregation and agglomeration state, crystal structure, specific surface area, porosity, chemical composition, surface chemistry, charge, photocatalytic activity, zeta potential, water solubility, dissolution rate/kinetics, and dustiness (McCall et al., 2013; Lin et al., 2014).

Concerning the chemical composition, nanomaterials can be classified as organic, inorganic, crystalline or amorphous particles and can be organized as single particles, aggregates, agglomerate powders or dispersed in a matrix which give rise to suspensions, emulsions, nanolayers, or films (Luther, 2004).

Regarding dimension, if a nanomaterial has three dimensions below 100 nm, it can be for example a particle, a quantum dot or hollow sphere. If it has two dimensions below 100 nm it can be a tube, fiber or wire and if it has one dimension below 100 nm it can be a film, a coating or a multilayer (Luther, 2004).

Different techniques are available for the analysis of these parameters. They can be grouped in different categories, involving counting, ensemble, separation and integral methods, among others (Linsinger et al., 2012; Contado, 2015).

Counting methods make possible the individualization of the different particles that compose a nanomaterial, the measurement of their different sizes and visualization of their morphology. The particles visualization is preferentially performed using microscopy methods, which include several variations of these techniques. Transmission Electron Microscopy (TEM), High-Resolution TEM, Scanning Electron Microscopy (SEM), cryo-SEM, Atomic Force Microscopy and Particle Tracking Analysis are just some of the examples. The main disadvantage of these methods is the operation under high-vacuum, although recently with the development of cryo-SEM sample dehydration has been prevented under high-vacuum conditions (Linsinger et al., 2012; Contado, 2015; Hodoroaba and Mielke, 2015).

These methods involve two steps of sample treatment: the separation of the particles into a monodisperse fraction, followed by the detection of each fraction. Field-Flow Fractionation (FFF), Analytical Centrifugation (AC) and Differential Electrical Mobility Analysis are some of the techniques that can be applied. The FFF techniques include different methods which separate the particles according to the force field applied. AC separates the particles through centrifugal sedimentation (Linsinger et al., 2012; Contado, 2015; Hodoroaba and Mielke, 2015).

Ensemble methods allow the report of intensity-weighted particle sizes. The variation of the measured signal over time give the size distribution of the particles extracted from a combined signal. Dynamic Light Scattering (DLS), Small-angle X-ray Scattering (SAXS) and X-ray Diffraction (XRD) are some of the examples. DLS and QELS are based on the Brownian motion of the sample. XRD is a good technique to obtain information about the chemical composition, crystal structure and physical properties (Linsinger et al., 2012; Contado, 2015; Hodoroaba and Mielke, 2015).

The integral methods only measure an integral property of the particle and they are mostly used to determine the specific surface area. Brunauer Emmet Teller is the principal method used and is based on the adsorption of an inert gas on the surface of the nanomaterial (Linsinger et al., 2012; Contado, 2015; Hodoroaba and Mielke, 2015).

Other relevant technique is the electrophoretic light scattering (ELS) used to determine zeta potential, which is a parameter related to the overall charge a particle acquires in a particular medium. ELS measures the electrophoretic mobility of particles in dispersion, based on the principle of electrophoresis (Linsinger et al., 2012).

The Table 1 shows some of principal methods for the characterization of the nanomaterials including the operational principle, physicochemical parameters analyzed and respective limitations.

Another challenge in the pharmaceutical development is the control of the manufacturing process by the identification of the critical parameters and technologies required to analyse them (Gaspar, 2010; Gaspar et al., 2014; Sainz et al., 2015).

New approaches have arisen from the pharmaceutical innovation and the concern about the quality and safety of new medicines by regulatory agencies (Gaspar, 2010; Gaspar et al., 2014; Sainz et al., 2015).

Quality-by-Design (QbD), supported by Process Analytical Technologies (PAT) is one of the pharmaceutical development approaches that were recognized for the systematic evaluation and control of nanomedicines (FDA, 2004; Gaspar, 2010; Gaspar et al., 2014; Sainz et al., 2015; European Medicines Agency, 2017).

Note that some of the physicochemical characteristics of nanomaterials can change during the manufacturing process, which compromises the quality and safety of the final nanomedicine. The basis of QbD relies on the identification of the Quality Attributes (QA), which refers to the chemical, physical or biological properties or another relevant characteristic of the nanomaterial. Some of them may be modified by the manufacturing and should be within a specific range for quality control purposes. In this situation, these characteristics are considered Critical Quality Attributes (CQA). The variability of the CQA can be caused by the critical material attributes and process parameters (Verma et al., 2009; Riley and Li, 2011; Bastogne, 2017; European Medicines Agency, 2017).

The quality should not be tested in nanomedicine, but built on it instead, by the understanding of the therapeutic purpose, pharmacological, pharmacokinetic, toxicological, chemical and physical properties of the medicine, process formulation, packaging, and the design of the manufacturing process. This new approach allows better focus on the relevant relationships between the characteristics, parameters of the formulation and process in order to develop effective processes to ensure the quality of the nanomedicines (FDA, 2014).

According to the FDA definition PAT is a system for designing, analzsing, and controlling manufacturing through timely measurements (i.e., during processing) of critical quality and performance attributes of raw and in-process materials and processes, with the goal of ensuring final product quality (FDA, 2014). The PAT tools analyse the critical quality and performance attributes. The main point of the PAT is to assure and enhance the understanding of the manufacturing concept (Verma et al., 2009; Riley and Li, 2011; FDA, 2014; Bastogne, 2017; European Medicines Agency, 2017).

Biocompatibility is another essential property in the design of drug delivery systems. One very general and brief definition of a biocompatible surface is that it cannot trigger an undesired' response from the organism. Biocompatibility is alternatively defined as the ability of a material to perform with an appropriate response in a specific application (Williams, 2003; Keck and Mller, 2013).

Pre-clinical assessment of nanomaterials involve a thorough biocompatibility testing program, which typically comprises in vivo studies complemented by selected in vitro assays to prove safety. If the biocompatibility of nanomaterials cannot be warranted, potentially advantageous properties of nanosystems may raise toxicological concerns.

Regulatory agencies, pharmaceutical industry, government, and academia are making efforts to accomplish specific and appropriate guidelines for risk assessment of nanomaterials (Hussain et al., 2015).

In spite of efforts to harmonize the procedures for safety evaluation, nanoscale materials are still mostly treated as conventional chemicals, thus lacking clear specific guidelines for establishing regulations and appropriate standard protocols. However, several initiatives, including scientific opinions, guidelines and specific European regulations and OECD guidelines such as those for cosmetics, food contact materials, medical devices, FDA regulations, as well as European Commission scientific projects (NanoTEST project, http://www.nanotest-fp7.eu) specifically address nanomaterials safety (Juillerat-Jeanneret et al., 2015).

In this context, it is important to identify the properties, to understand the mechanisms by which nanomaterials interact with living systems and thus to understand exposure, hazards and their possible risks.

Note that the pharmacokinetics and distribution of nanoparticles in the body depends on their surface physicochemical characteristics, shape and size. For example, nanoparticles with 10 nm in size were preferentially found in blood, liver, spleen, kidney, testis, thymus, heart, lung, and brain, while larger particles are detected only in spleen, liver, and blood (De Jong et al., 2008; Adabi et al., 2017).

In turn, the surface of nanoparticles also impacts upon their distribution in these organs, since their combination with serum proteins available in systemic circulation, influencing their cellular uptake. It should be recalled that a biocompatible material generates no immune response. One of the cause for an immune response can rely on the adsorption pattern of body proteins. An assessment of the in vivo protein profile is therefore crucial to address these interactions and to establish biocompatibility (Keck et al., 2013).

Finally, the clearance of nanoparticles is also size and surface dependent. Small nanoparticles, bellow 2030 nm, are rapidly cleared by renal excretion, while 200 nm or larger particles are more efficiently taken up by mononuclear phagocytic system (reticuloendothelial system) located in the liver, spleen, and bone marrow (Moghimi et al., 2001; Adabi et al., 2017).

Studies are required to address how nanomaterials penetrate cells and tissues, and the respective biodistribution, degradation, and excretion.

Due to all these issues, a new field in toxicology termed nanotoxicology has emerged, which aims at studying the nanomaterial effects deriving from their interaction with biological systems (Donaldson et al., 2004; Oberdrster, 2010; Fadeel, 2013).

The evaluation of possible toxic effects of the nanomaterials can be ascribed to the presence of well-known molecular responses in the cell. Nanomaterials are able to disrupt the balance of the redox systems and, consequently, lead to the production of reactive species of oxygen (ROS). ROS comprise hydroxyl radicals, superoxide anion and hydrogen peroxide. Under normal conditions, the cells produce these reactive species as a result of the metabolism. However, when exposed to nanomaterials the production of ROS increases. Cells have the capacity to defend itself through reduced glutathione, superoxide dismutase, glutathione peroxidase and catalase mechanisms. The superoxide dismutase converts superoxide anion into hydrogen peroxide and catalase, in contrast, converts it into water and molecular oxygen (Nel et al., 2006; Arora et al., 2012; Azhdarzadeh et al., 2015). Glutathione peroxidase uses glutathione to reduce some of the hydroperoxides. Under normal conditions, the glutathione is almost totally reduced. Nevertheless, an increase in ROS lead to the depletion of the glutathione and the capacity to neutralize the free radicals is decreased. The free radicals will induce oxidative stress and interact with the fatty acids in the membranes of the cell (Nel et al., 2006; Arora et al., 2012; Azhdarzadeh et al., 2015).

Consequently, the viability of the cell will be compromised by the disruption of cell membranes, inflammation responses caused by the upregulation of transcription factors like the nuclear factor kappa , activator protein, extracellular signal regulated kinases c-Jun, N-terminal kinases and others. All these biological responses can result on cell apoptosis or necrosis. Distinct physiological outcomes are possible due to the different pathways for cell injury after the interaction between nanomaterials and cells and tissues (Nel et al., 2006; Arora et al., 2012; Azhdarzadeh et al., 2015).

Over the last years, the number of scientific publications regarding toxicological effects of nanomaterials have increased exponentially. However, there is a big concern about the results of the experiments, because they were not performed following standard and harmonized protocols. The nanomaterial characterization can be considered weak once there are not standard nanomaterials to use as reference and the doses used in the experiences sometimes cannot be applied in the biological system. Therefore, the results are not comparable. For a correct comparison, it is necessary to perform a precise and thorough physicochemical characterization to define risk assessment guidelines. This is the first step for the comparison between data from biological and toxicological experiments (Warheit, 2008; Fadeel et al., 2015; Costa and Fadeel, 2016).

Although nanomaterials may have an identical composition, slight differences e.g., in the surface charge, size, or shape could impact on their respective activity and, consequently, on their cellular fate and accumulation in the human body, leading to different biological responses (Sayes and Warheit, 2009).

Sayes and Warheit (2009) proposed a three phases model for a comprehensive characterization of nanomaterials. Accordingly, the primary phase is achieved in the native state of the nanomaterial, specifically, in its dry state. The secondary characterization is performed with the nanomaterials in the wet phase, e.g., as solution or suspension. The tertiary characterization includes in vitro and in vivo interactions with biological systems. The tertiary characterization is the most difficult from the technical point of view, especially in vivo, because of all the ethical questions concerning the use of animals in experiments (Sayes and Warheit, 2009).

Traditional toxicology uses of animals to conduct tests. These types of experiments using nanomaterials can be considered impracticable and unethical. In addition, it is time-consuming, expensive and sometimes the end points achieved are not enough to correctly correlate with what happens in the biological systems of animals and the translation to the human body (Collins et al., 2017).

In vitro studies are the first assays used for the evaluation of cytotoxicity. This approach usually uses cell lines, primary cells from the tissues, and/or a mixture of different cells in a culture to assess the toxicity of the nanomaterials. Different in vitro cytotoxicity assays to the analysis of the cell viability, stress, and inflammatory responses are available. There are several cellular processes to determine the cell viability, which consequently results in different assays with distinct endpoints. The evaluation of mitochondrial activity, the lactate dehydrogenase release from the cytosol by tretazolium salts and the detection of the biological marker Caspase-3 are some of the examples that imposes experimental variability in this analysis. The stress response is another example which can be analyzed by probes in the evaluation of the inflammatory response via enzyme linked immunosorbent assay are used (Kroll et al., 2009).

As a first approach, in vitro assays can predict the interaction of the nanomaterials with the body. However, the human body possesses compensation mechanisms when exposed to toxics and a huge disadvantage of this model is not to considered them. Moreover, they are less time consuming, more cost-effective, simpler and provide an easier control of the experimental conditions (Kroll et al., 2009; Fadeel et al., 2013b).

Their main drawback is the difficulty to reproduce all the complex interactions in the human body between sub-cellular levels, cells, organs, tissues and membranes. They use specific cells to achieve specific endpoints. In addition, in vitro assays cannot predict the physiopathological response of the human body when exposed to nanomaterials (Kroll et al., 2009; Fadeel et al., 2013b).

Another issue regarding the use of this approach is the possibility of interaction between nanomaterials and the reagents of the assay. It is likely that the reagents used in the in vitro assays interfere with the nanomaterial properties. High adsorption capacity, optical and magnetic properties, catalytic activity, dissolution, and acidity or alkalinity of the nanomaterials are some of the examples of properties that may promote this interaction (Kroll et al., 2009).

Many questions have been raised by the regulators related to the lack of consistency of the data produced by cytotoxicity assays. New assays for a correct evaluation of the nanomaterial toxicity are, thus, needed. In this context, new approaches have arisen, such as the in silico nanotoxicology approach. In silico methods are the combination of toxicology with computational tools and bio-statistical methods for the evaluation and prediction of toxicity. By using computational tools is possible to analyse more nanomaterials, combine different endpoints and pathways of nanotoxicity, being less time-consuming and avoiding all the ethical questions (Warheit, 2008; Raunio, 2011).

Quantitative structure-activity relationship models (QSAR) were one the first applications of computational tools applied in toxicology. QSAR models are based on the hypothesis that the toxicity of nanomaterials and their cellular fate in the body can be predicted by their characteristics, and different biological reactions are the result of physicochemical characteristics, such as size, shape, zeta potential, or surface charge, etc., gathered as a set of descriptors. QSAR aims at identifying the physicochemical characteristics which lead to toxicity, so as to provide alterations to reduce toxicology. A mathematical model is created, which allows liking descriptors and the biological activity (Rusyn and Daston, 2010; Winkler et al., 2013; Oksel et al., 2015).

Currently, toxigenomics is a new area of nanotoxicology, which includes a combination between genomics and nanotoxicology to find alterations in the gene, protein and in the expressions of metabolites (Rusyn et al., 2012; Fadeel et al., 2013a).

Hitherto, different risk assessment approaches have been reported. One of them is the DF4nanoGrouping framework, which concerns a functionality driven scheme for grouping nanomaterials based on their intrinsic properties, system dependent properties and toxicological effects (Arts et al., 2014, 2016). Accordingly, nanomaterials are categorized in four groups, including possible subgroups. The four main groups encompass (1) soluble, (2) biopersistent high aspect ratio, (3) passive, that is, nanomaterials without obvious biological effects and (4) active nanomaterials, that is, those demonstrating surface-related specific toxic properties. The DF4nanoGrouping foresees a stepwise evaluation of nanomaterial properties and effects with increasing biological complexity. In case studies that includes carbonaceous nanomaterials, metal oxide, and metal sulfate nanomaterials, amorphous silica and organic pigments (all nanomaterials having primary particle sizes smaller than 100 nm), the usefulness of the DF4nanoGrouping for nanomaterial hazard assessment has already been established. It facilitates grouping and targeted testing of nanomaterials, also ensuring that enough data for the risk assessment of a nanomaterial are available, and fostering the use of non-animal methods (Landsiedel et al., 2017). More recently, DF4nanoGrouping developed three structure-activity relationship classification, decision tree, models by identifying structural features of nanomaterials mainly responsible for the surface activity (size, specific surface area, and the quantum-mechanical calculated property lowest unoccupied molecular orbital), based on a reduced number of descriptors: one for intrinsic oxidative potential, two for protein carbonylation, and three for no observed adverse effect concentration (Gajewicz et al., 2018)

Keck and Mller also proposed a nanotoxicological classification system (NCS) (Figure 3) that ranks the nanomaterials into four classes according to the respective size and biodegradability (Mller et al., 2011; Keck and Mller, 2013).

Due to the size effects, this parameter is assumed as truly necessary, because when nanomaterials are getting smaller and smaller there is an increase in solubility, which is more evident in poorly soluble nanomaterials than in soluble ones. The adherence to the surface of membranes increases with the decrease of the size. Another important aspect related to size that must be considered is the phagocytosis by macrophages. Above 100 nm, nanomaterials can only be internalized by macrophages, a specific cell population, while nanomaterials below 100 nm can be internalized by any cell due to endocytosis. Thus, nanomaterials below 100 nm are associated to higher toxicity risks in comparison with nanomaterials above 100 nm (Mller et al., 2011; Keck and Mller, 2013).

In turn, biodegradability was considered a required parameter in almost all pharmaceutical formulations. The term biodegradability applies to the biodegradable nature of the nanomaterial in the human body. Biodegradable nanomaterials will be eliminated from the human body. Even if they cause some inflammation or irritation the immune system will return to the regular function after elimination. Conversely, non-biodegradable nanomaterials will stay forever in the body and change the normal function of the immune system (Mller et al., 2011; Keck and Mller, 2013).

There are two more factors that must be taken into account in addition to the NCS, namely the route of administration and the biocompatibility surface. When a particle is classified by the NCS, toxicity depends on the route of administration. For example, the same nanomaterials applied dermally or intravenously can pose different risks to the immune system.

In turn, a non-biocompatibility surface (NB) can activate the immune system by adsorption to proteins like opsonins, even if the particle belongs to the class I of the NCS (Figure 3). The biocompatibility (B) is dictated by the physicochemical surface properties, irrespective of the size and/or biodegradability. This can lead to further subdivision in eight classes from I-B, I-NB, to IV-B and IV-NB (Mller et al., 2011; Keck and Mller, 2013).

NCS is a simple guide to the evaluation of the risk of nanoparticles, but there are many other parameters playing a relevant role in nanotoxicity determination (Mller et al., 2011; Keck and Mller, 2013). Other suggestions encompass more general approaches, combining elements of toxicology, risk assessment modeling, and tools developed in the field of multicriteria decision analysis (Rycroft et al., 2018).

A forthcoming challenge in the pharmaceutical development is the scale-up and reproducibility of the nanomedicines. A considerable number of nanomedicines fail these requirements and, consequently, they are not introduced on the pharmaceutical market (Agrahari and Hiremath, 2017).

The traditional manufacturing processes do not create three dimensional medicines in the nanometer scale. Nanomedicine manufacturing processes, as already mentioned above, compromise top-down and bottom-down approaches, which include multiple steps, like homogenization, sonication, milling, emulsification, and sometimes, the use of organic solvents and further evaporation. In a small-scale, it is easy to control and achieve the optimization of the formulation. However, at a large scale it becomes very challenging, because slight variations during the manufacturing process can originate critical changes in the physicochemical characteristics and compromise the quality and safety of the nanomedicines, or even the therapeutic outcomes. A detailed definition of the acceptable limits for the CQA is very important, and these parameters must be identified and analyzed at the small-scale, in order to understand how the manufacturing process can change them: this will help the implementation of the larger scale. Thus, a deep process of understanding the critical steps and the analytical tools established for the small-scale will be a greatly help for the introduction of the large scale (Desai, 2012; Kaur et al., 2014; Agrahari and Hiremath, 2017).

Another requirement for the introduction of medicines in the pharmaceutical market is the reproducibility of every batch produced. The reproducibility is achieved in terms of physicochemical characterization and therapeutic purpose. There are specific ranges for the variations between different batches. Slight changes in the manufacturing process can compromise the CQA and, therefore, they may not be within a specific range and create an inter-batch variation (Desai, 2012; Kaur et al., 2014; Agrahari and Hiremath, 2017).

Over the last decades, nanomedicines have been successfully introduced in the clinical practice and the continuous development in pharmaceutical research is creating more sophisticated ones which are entering in clinic trials. In the European Union, the nanomedicine market is composed by nanoparticles, liposomes, nanocrystals, nanoemulsions, polymeric-protein conjugates, and nanocomplexes (Hafner et al., 2014). Table 2 shows some examples of commercially available nanomedicines in the EU (Hafner et al., 2014; Choi and Han, 2018).

In the process of approval, nanomedicines were introduced under the traditional framework of the benefit/risk analysis. Another related challenge is the development of a framework for the evaluation of the follow-on nanomedicines at the time of reference medicine patent expiration (Ehmann et al., 2013; Tinkle et al., 2014).

Nanomedicine comprises both biological and non-biological medical products. The biological nanomedicines are obtained from biological sources, while non-biological are mentioned as non-biological complex drugs (NBCD), where the active principle consists of different synthetic structures (Tinkle et al., 2014; Hussaarts et al., 2017; Mhlebach, 2018).

In order to introduce a generic medicine in the pharmaceutical market, several parameters need to be demonstrated, as described elsewhere. For both biological and non-biological nanomedicines, a more complete analysis is needed, that goes beyond the plasma concentration measurement. A stepwise comparison of bioequivalence, safety, quality, and efficacy, in relation to the reference medicine, which leads to therapeutic equivalence and consequently interchangeability, is required (Astier et al., 2017).

For regulatory purposes, the biological nanomedicines are under the framework set by European Medicines Agency (EMA) This framework is a regulatory approach for the follow-on biological nanomedicines, which include recommendations for comparative quality, non-clinical and clinical studies (Mhlebach et al., 2015).

The regulatory approach for the follow-on NBCDs is still ongoing. The industry frequently asks for scientific advice and a case-by-case is analyzed by the EMA. Sometimes, the biological framework is the base for the regulation of the NBCDs, because they have some features in common: the structure cannot be fully characterized and the in vivo activity is dependent on the manufacturing process and, consequently, the comparability needs to establish throughout the life cycle, as happens to the biological nanomedicines. Moreover, for some NBCDs groups like liposomes, glatiramoids, and iron carbohydrate complexes, there are draft regulatory approaches, which help the regulatory bodies to create a final framework for the different NBCDs families (Schellekens et al., 2014).

EMA already released some reflection papers regarding nanomedicines with surface coating, intravenous liposomal, block copolymer micelle, and iron-based nano-colloidal nanomedicines (European Medicines Agency, 2011, 2013a,b,c). These papers are applied to both new nanomedicines and nanosimilars, in order to provide guidance to developers in the preparation of marketing authorization applications.The principles outlined in these documents address general issues regarding the complexity of the nanosystems and provide basic information for the pharmaceutical development, non-clinical and early clinical studies of block-copolymer micelle, liposome-like, and nanoparticle iron (NPI) medicinal products drug products created to affect pharmacokinetic, stability and distribution of incorporated or conjugated active substances in vivo. Important factors related to the exact nature of the particle characteristics, that can influence the kinetic parameters and consequently the toxicity, such as the physicochemical nature of the coating, the respective uniformity and stability (both in terms of attachment and susceptibility to degradation), the bio-distribution of the product and its intracellular fate are specifically detailed.

After a nanomedicine obtains the marketing authorization, there is a long way up to the introduction of the nanomedicine in the clinical practice in all EU countries. This occurs because the pricing and reimbursement decisions for medicines are taken at an individual level in each member state of the EU (Sainz et al., 2015).

In order to provide patient access to medicines, the multidisciplinary process of Health Technology Assessment (HTA), is being developed. Through HTA, information about medicine safety, effectiveness and cost-effectiveness is generated so as support health and political decision-makers (Sainz et al., 2015).

Currently, pharmacoeconomics studies assume a crucial role previous to the commercialization of nanomedicines. They assess both the social and economic importance through the added therapeutic value, using indicators such as quality-adjusted life expectancy years and hospitalization (Sainz et al., 2015).

The EUnetHTA was created to harmonize and enhance the entry of new medicines in the clinical practice, so as to provide patients with novel medicines. The main goal of EUnetHTA is to develop decisive, appropriate and transparent information to help the HTAs in EU countries.

Currently, EUnetHTA is developing the Joint Action 3 until 2020 and the main aim is to define and implement a sustainable model for the scientific and technical cooperation on Health Technology Assessment (HTA) in Europe.

The reformulation of pre-existing medicines or the development of new ones has been largely boosted by the increasing research in nanomedicine. Changes in toxicity, solubility and bioavailability profile are some of the modifications that nanotechnology introduces in medicines.

In the last decades, we have assisted to the translation of several applications of nanomedicine in the clinical practice, ranging from medical devices to nanopharmaceuticals. However, there is still a long way toward the complete regulation of nanomedicines, from the creation of harmonized definitions in all Europe to the development of protocols for the characterization, evaluation and process control of nanomedicines. A universally accepted definition for nanomedicines still does not exist, and may even not be feasible at all or useful. The medicinal products span a large range in terms of type and structure, and have been used in a multitude of indications for acute and chronic diseases. Also, ongoing research is rapidly leading to the emergence of more sophisticated nanostructured designs that requires careful understanding of pharmacokinetic and pharmacodynamic properties of nanomedicines, determined by the respective chemical composition and physicochemical properties, which thus poses additional challenges in regulatory terms.

EMA has recognized the importance of the establishment of recommendations for nanomedicines to guide their development and approval. In turn, the nanotechnology methods for the development of nanomedicines bring new challenges for the current regulatory framework used.

EMA have already created an expert group on nanomedicines, gathering members from academia and European regulatory network. The main goal of this group is to provide scientific information about nanomedicines in order to develop or review guidelines. The expert group also helps EMA in discussions with international partners about nanomedicines. For the developer an early advice provided from the regulators for the required data is highly recommended.

The equivalence of complex drug products is another topic that brings scientific and regulatory challenges. Evidence for sufficient similarity must be gathered using a careful stepwise, hopefully consensual, procedure. In the coming years, through all the innovation in science and technology, it is expected an increasingly higher number of medicines based on nanotechnology. For a common understanding among different stakeholders the development of guidelines for the development and evaluation of nanomedicines is mandatory, in order to approve new and innovative nanomedicines in the pharmaceutical market. This process must be also carried out along with interagency harmonization efforts, to support rational decisions pertaining to scientific and regulatory aspects, financing and market access.

CV conceived the original idea and directed the work. SS took the lead in writing the manuscript. AP and JS helped supervise the manuscript. All authors provided critical feedback and helped shape the research, analysis and revision of the manuscript.

This work was financially supported by Fundao para a Cincia e a Tecnologia (FCT) through the Research Project POCI-01-0145-FEDER-016648, the project PEst-UID/NEU/04539/2013, and COMPETE (Ref. POCI-01-0145-FEDER-007440). The Coimbra Chemistry Center is supported by FCT, through the Project PEst-OE/QUI/UI0313/2014 and POCI-01-0145-FEDER-007630. This paper was also supported by the project UID/QUI/50006/2013LAQV/REQUIMTE.

The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.

Adabi, M., Naghibzadeh, M., Adabi, M., Zarrinfard, M. A., Esnaashari, S., Seifalian, A. M., et al. (2017). Biocompatibility and nanostructured materials: applications in nanomedicine. Artif. Cells Nanomed. Biotechnol. 45, 833842. doi: 10.1080/21691401.2016.1178134

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Agrahari, V., and Hiremath, P. (2017). Challenges associated and approaches for successful translation of nanomedicines into commercial products. Nanomedicine 12, 819823. doi: 10.2217/nnm-2017-0039

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Albanese, A., Tang, P. S., and Chan, W. C. (2012). The effect of nanoparticle size, shape, and surface chemistry on biological systems. Annu. Rev. Biomed. Eng.14, 116. doi: 10.1146/annurev-bioeng-071811-150124

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Controversial verdict may force legalization of assisted suicide in Italy – Grandin Media

The acquittal of two right-to-die activists who aided in the suicide of a person suffering from multiple sclerosis may force the Italian government to legalize assisted suicide in the country.

A court in the Tuscan province of Massa-Carrara ruled July 27 to acquit Mina Welby and Marco Cappato for helping Davide Trentini commit suicide in April 2017 at Dignitas, a physician-assisted suicide clinic in Switzerland.

The court judged that no crime was committed by Welby and Cappato because they did not instigate Trentinis suicide.

The day after helping Trentini commit suicide, Welby and Cappato turned themselves over to Italian authorities in a strategic move that seeks to challenge Italys penal code which prohibits euthanasia, or physician-assisted suicide.

According to Article 580 of the Italian penal code, assisting or convincing someone to commit suicide is punishable with a sentence between five and 12 years if the suicide occurs, or between one to five years if it does not occur but results in serious or very serious personal injury.

In December, the Italian Constitutional Court delayed a decision that would determine the constitutionality of Article 580. Euthanasia advocates believe that the recent acquittal will help push the court to legalize physician-assisted suicide in the country.

The acquittal mirrors a similar ruling in 2019 involving Cappato after he was acquitted in the assisted suicide of an Italian DJ at the same facility in Switzerland.

In that case, the judge ruled that assisted suicide cannot be punished if the patient requesting to die is kept alive by life support, suffering from an irreversible pathology that causes physical and mental suffering, is receiving palliative care and is still able to make a free and informed decision.

Both Cappato and Welby are members of the Luca Coscioni Association, an organization that advocates the legalization of physician-assisted suicide in Italy.

According to Italian news agency ANSA, the Coscioni Association helped an estimated 268 people commit suicide and has accompanied three people to the Dignitas clinic in Switzerland.

Throughout his papacy, Pope Francis has denounced euthanasia, including at a meeting with doctors and dental surgeons in September.

The pope urged medical professionals to reject the temptation also induced by legislative changes to use medicine to support a possible willingness to die of the patient, providing assistance to suicide or directly causing death by euthanasia.

These are hasty ways of dealing with choices that are not, as they might seem, an expression of the persons freedom, when they include discarding of the patient as a possibility, or a false compassion in the face of a request to be helped to cause death, he said.

According to the Catechism of the Catholic Church, euthanasia constitutes a murder gravely contrary to the dignity of the human person and to the respect due to the living God, his creator.

The error of judgment into which one can fall in good faith does not change the nature of this murderous act, which must always be forbidden and excluded, the catechism states.

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Controversial verdict may force legalization of assisted suicide in Italy - Grandin Media

COVID-19: Activists warn of sharp rise in human trafficking in near future – The New Indian Express

By PTI

NEW DELHI: Tarannum (name changed) has many cut marks on her wrist, scars that constantly remind her of the several years she spent in a brothel where she was sexually exploited countless times.

"Three years of hell," she recalls.

Daughter of a fisherman from a cyclone prone area of the Sundarbans, 13-year-old Tarannum was trafficked by a local shopkeeper in 2012.

He tricked her into believing that he would get her a job asa domestic worker with a good salary.

Once in Delhi, he sold her to a woman at a brothel.

After three years, she was rescued by a local NGO with the help of police.

But even after she returned home, the trauma of the past haunted her and she turned suicidal, trying to slit her wrist multiple times.

Slowly recuperating now, Tarannum hopes no one ever goes through what she did.

Another trafficking survivor Reema (name changed) does not remember her parents.

She only faintly recalls her father.

At a very young age, a brothel owner had trafficked her and forced her into prostitution.

She was finally rescued from a brothel in Sonagachi, West Bengal, in 2013 at the age of 21 after enduring many years of sexual abuse in different cities across the country.

Both Tarannum and Reema are among thousands of children and women who get trafficked in different parts of the country every year.

This year with the outbreak of the coronavirus, activists and researchers are worried that an exponential increase in human trafficking cases will take place in the coming times.

Roop Sen, anti-trafficking researcher and gender rights activist, said it's "undeniable" that those on the margins of society are vulnerable to trafficking.

"The reasons are manifold like debt trap, closing down of factories, restaurants and retail shops, probable rise in demand of young girls and women in red light areas," he said.

According to Sen, among the steps the government can take to combat human trafficking are cash transfer support to more vulnerable families and communities, cash transfer to children and adolescents attending schools and creating safe migration services.

He further suggested that anti-human trafficking units can gather intelligence on trafficking in hotspots.

Sambhu Nanda, an activist from West Bengal who coordinates an NGO-network called Partners for Anti-Trafficking claimed that multiple reports of missing and trafficking of girls have been received in the past two months.

"Even when parents reported the cases to local police stations, the officers pleaded helpless since all their energies were focussed on COVID prevention," he said.

Pompi Banerjee, a member of NGO Sanjog, said the vulnerabilities due to the lockdown and the pandemic are essentially the susceptibilities that have existed for a long time, but at a scale where they were not highly visible issues.

"The pandemic, the lockdown, and in parts of our country devastating natural calamities (floods and cyclones) are now accentuating these vulnerabilities and have brought them out in the open, visible enoughthat they can no longer be ignored by the law enforcement and politicians," Banerjee said.

N Rammohan, anti-trafficking activist from Andhra Pradesh who runs NGO HELP, claimed that many sex workers, who are the earning members for their families especially for their children, have been driven to take loans under exorbitant interests during the lockdown period.

"The local loan sharks who are not registered under the Money Lenders' Act, especially operating in red light areas, are poaching women with adolescent girls and encouraging them to take loans under high interest. When they would be unable to repay their loans, the sex workers would be forced to prostitute their daughters," he said.

Priti Mahara, Director, Policy Research and Advocacy at CRY - Child Rights and You said separated and orphaned children are also particularly vulnerable to trafficking and other exploitation like forced begging and child labour.

"The state needs to be prepared to provide enough child care homes/facilities, improve the quality and safety standard of childcare homes, child sponsorship and foster care. There are increased chances of many children getting separated from families, becoming orphans or falling out of the safety net," she said.

She further said the government and civil society need to activate local self-governance units like panchayats to keep the records of families and children entering and exiting villages and slums to help keep track of children and expedite follow ups.

Prabhat Kumar, deputy director of child protection for NGO Save the Children said whenever there is a disaster, there is rise in trafficking cases due to the crisis that follows as it becomes easier to recruit people and send them for trafficking, forced labour or sexual exploitation.

The economic crisis, lack of enforcement mechanisms and migrant crisis might lead to rise in trafficking in the coming times, he warned.

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COVID-19: Activists warn of sharp rise in human trafficking in near future - The New Indian Express

Black Windsorites say Emancipation Day is more significant this year – CBC.ca

While celebrations for Emancipation Day may look different this year due to COVID-19, four Black Windsorites say the day is more significant in light of recent events most notably the death of George Floyd, which sparked worldwide Black Lives Matter protests.

Emancipation Day, celebrated each year on Aug. 1, commemorates the abolition of slavery across the British Empire.

The Slavery Abolition Act received royal assent on Aug. 28, 1833, but the legislation wouldn't come into force across the Empire and its colonies until Aug. 1, 1834.

Since then, communities across Canada, including in Windsor-Essex, hold events in honour of the abolition of slavery.

Fourth yearpsychology student at the University of WindsorFardovza Kusow,executive director of the Sandwich Teen Action Group John Elliott,law student Kendra Wilson at the University of Windsor and musician Abdullah Abubakre, also known as Ayola, told CBC News how this year's Emancipation Day takes on a whole new meaning and discussed their hopes for the future.

Kusow: Emancipation Day not only is an acknowledgement and a reminder of what we've accomplished so far, but also a reminder of what's left to be done. As a third generation Black Canadian, I grew up still experiencing anti-Black racism and racism in and of itself, but whenever I would face it head on, I would immediately be invalidated because this is Canada. We're not as bad as you know insert other country but it's important to acknowledge that there's still issues deep-rooted in Canada. And as much as we have a wonderful day, such as Emancipation Day, liberation cannot be fully accomplished without the acknowledgement and the accountability that need to be taken for issues that are still happening.

Elliott: When I was about 10 years old and I lived downtown at that time with my family, McDougall Avenue, which was in proximity to Jackson Park, where Emancipation was held, that was a highlight as a kid. That was a highlight event for the year. It was always summer vacation but 'can't wait until Emancipation Day came around.' At the time, I think this celebration ran for about a week and a half. So, it was an extended celebration, just great memories.

Wilson: I was born in Jamaica, and so this is something we have been celebrating since I was a little girl through cultural dances and poetry from icons such as Louis Bennett. As a child, the dark significance of that day did not register to me, but as I grew older, my mother taught me about Black history through books and films, and for the longest time, I felt a great sense of anger and disappointment for the way Black people had been treated. So as it stands, Emancipation Day is a sad reminder of the horrendous period in Canadian history and countries around the world about the lived reality that Black people faced in the past and presently face. I am grateful that we are no longer bounded in chains as Black people, but Emancipation Day is just a constant reminder for me that we have a long way to go. Emancipation is not just a physical act, it's also a state of mind, and with that being said, mental slavery is still a problem. Emancipation is still a problem because Black people are still restricted, targeted and treated unjustly.

Ayola: It's huge, right, because that's about the day we were set free Black slavery and all. ... but the same time, it's hurtful because seeing that we had to be set free for some things that shouldn't even [have existed]in the first place. ... It's freedom in a painful way.

Wilson: The last couple of months show that Emancipation means that we are free from the shackles, but we still have huge issues of supremacy affecting Black livelihood and wellbeing. It's a small view of the battles we have been fighting for the longest time. Windsor is one of the cities of significance that remind me of the realities we have been facing. Just a few steps away, we have the Sandwich First BaptistChurch, a significant stop along the Underground Railroad, where enslaved Black people aimed to escape from slavery. As I said, it's great that it's not still an active reality, but the last couple of months show us that the fight against inequality, discrimination and anti-Black racism is something Black people in Canada, and around the world, continue to face. We are not free until we are liberated from these restrictions among others.

Kusow: I've been pretty involved in educating myself on Black history and social justice since high school, but when you talk to others or even my own friends, some people still don't know when Canadian Emancipation Day is or when we talk about a holiday happening this weekend. People usually don't really know which holiday that is. Due to the current political environment and considering that we are in the largest civil rights movement in history, it allows people to take a step back and ask themselves, 'okay, what's going on where I live and how can I further educate myself on my own history, my own country's history and what's left to be done?'

Ayola: Yeah, it does because the George Floyd incident isn't the first of its kind. It's been happening for years and years, but I guess the attention that was paid to this one just made one realize that I think we are moving in the right direction. Normally, I just think 'oh it's just another [political movement]' and we forget about it and everything andgo back to normal over time. With the way things are playing out now, I just feel like it's a step in the right direction. ... People are becoming more passionate about it.

Elliott: All we can do is love each other. You know, foster good friendships. There is racial tension and that sort of thing going on, but we still have to live together. We have to work together. We have to try and get along. I'm thankful we live in Canada because in the backdrop of the U.S. where their problems seem to be rather enormous compared to Windsor's .. and in Canada itself. Although there is systemic racism problems in Canada too, we realize that, but I mean, at the end of the day, that's something that we're going to have to just continue to live with and do our best to try and eliminate it. My thing is just learn to get along.

Ayola: I definitely see racism becoming a thing of the past in my lifetime. Yeah, that's what I hope to happen. And I do feel like it's getting better because there's more integration now than there ever was. So people are coming from different parts of the world you know. Slavery aside, racism is sometimes also a fact of us stillgetting to know each other and not being able to integrate, but now that everyone is everywhere ... it breeds more integration. And more integration leads to more understanding. So, I definitely feel that in my lifetime, racism would be minimal.

Wilson: The list is endless to be honest. We have made a lot of progress, but we still have a lotof work ahead of us, huge emphasis on a lot. On a large scale, I seek a future society where access to justice issues facing Blacks do not start with large scale protest, but instead, where timely justice for Black victims is no issue at all. A society where Black women do not fear having children as a result of the risk of them dying at a young age or being killed at the hands of cops or people's general racist actions. A society where Black men, there are more of them in fortune 500 companies than in the prison system. Ultimately, a society where we don't have to fight for equality and equity, where justice for Black victims comes easy and the #BlackLivesMatter is not something we constantly have to scream at the top of our lungs just to be heard. This future starts with me and you actively working toward this. Starting now, championing the work of greats like Viola Desmond, Martin Luther King Jr, Rosemary Brown among other important individuals advocating for the human rights of Black people.

Kusow: I feel like I grew up in a generation of youth that is taking a stand and launching initiatives, taking on that leadership role to not only fix but approach the issue head on and work to build a better future for future generations after us because this has been going on for a little too long and it's clear that people are fed up and wish to see a change.

Kusow also urges people to educate themselves.

"Don't be ashamed to ask questions," she said. "There are always resources that you can turn to, people that you can turn to who will be grateful to educate you on what you're asking and it'll lead to a better mindset. And later on, you can tell someone else the same things that you learned."

CBC News learned via email that Richmond Hill Liberal MP Majid Jowhari'shas been working with Nova Scotia senator Wanda Thomas Bernardto introduce a motion to Parliament to nationally recognize Aug.1as Emancipation Day.

Themotion wasset to be presented to the house earlier this year, but was delayed due to COVID-19. Jowhari'soffices continue to advocate for the motion, according to the email, and will be presenting it again.

See more here:

Black Windsorites say Emancipation Day is more significant this year - CBC.ca

The Singularity of the Human Hive Mind | Issue 139 – Philosophy Now

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The internet has become so all-pervading that even the word seems a little old-fashioned now. No-one really uses it much anymore. We ask each other for wifi, or talk of going online, or complain about a lack of data, but rarely do we talk of the internet as an entity; it has become too ubiquitous, too intrinsic to our lives, for that to be a very useful term. This prompts me to wonder: what are we becoming? Could the internet lead us to become more than individuals and disparate communities?

I believe were entering an era when the words individual and community take on new definitions or meanings as we increasingly become interconnected in what I think of as a hive mind. I also believe that a hive-minded process could itself be a transition towards a singularity in consciousness across the Earth. Is that desirable, or even possible? Are we in the process of creating it? Is it inevitable? Can it be controlled? What does it even mean?

Before addressing these questions, however, well need definitions of the words Hive and Mind and the phrase Hive Mind. What is a hive mind, exactly?

Mind: An awareness of existence with experiential content, referring both to what is outside itself and to its own existence.

Hive: Multiple entities sharing an element of awareness not unique to any individual but present to each, and experienced by all as some awareness of their collective existence.

Hive Mind: An awareness formed from the communication of individual minds but different from each of its individual minds, and so not defined by the separateness of the individual minds which compose it.

Lets consider the possibility of hive-mindedness through the framework of free will, under the assumption that a loss of individual free will is undesirable.

Basic human survival has always depended on some kinds of cooperation. By extending their abilities through cooperation in pursuit of common goals, individuals secure for themselves and each other a basic or minimum state of well-being. To a degree this could be said to result in a shared will, although we usually refer to it as group psychology. In this basic sense, humanity certainly depends on hive-mindedness. Were clearly not as hive-minded as the birds, bees or ants but nevertheless, cooperation in a sense extends the consciousness of the individual. This is evident in our historical evolution, all the way up to the information technology (IT) we have recently developed.

The internet encourages and makes possible more types of collaboration involving larger groups and faster, more intimate sharing of ideas, and this takes us ever further in the direction of a hive mind, in an accelerating process not subject to any central plan. Is a hive-minded type of thought inevitable? At any rate it seems safe to assume that, so long as no catastrophe deprives us of electricity, we will increasingly lose our sense of individuality.

If we think about the internet as a brain-to-brain connection interface, we might easily see that isolated thinking becomes increasingly difficult to sustain due to the quickening rate at which were socially encouraged to share our thoughts. Somewhere along the way, an individual brain starts to act more like a neuron to the synapses of the internet brain than a self-contained unit. This is starting to become evident as we generally begin to mimic much more information than we create, especially with sharing, reposting and retweeting. Across a range of industries and activities highly complex content is now being created by online groups rather than individuals, because it is quicker to achieve richer content that way. In addition, its easy and fast to capture our experiences through photos and videos, and pass them through filters which generically impress a sense of quality but in actuality only reduce diversity and therefore individuality.

If we consider the speed at which were evolving our connections in the virtual world, it seems safe to assume that hive-mindedness is starting to happen. Our brains no longer seem to differentiate between dealing with information from the real world, and dealing with information from an artificial world. Emotionally and intellectually, we respond to social situations online as if were part of a physical community.

Neuroscientists and psychologists keep revealing that the human mind is less centralized than we thought.The philosopher David Hume argued as far back as the eighteenth century that the unity of consciousness is an illusion, and each mind consists of a bundle of perceptions and experiences. It seems to me that for any awareness made up of multiple entities, its a matter of perspective that a singularity of identity is felt to exist at all. Technology being researched now will soon be sophisticated enough to connect our minds to a degree beyond anything we can currently imagine. For example, a non-invasive brain-to-internet network demonstrated in 2019 allowed three widely separated individuals to play a collaborative Tetris-like game using only their thoughts. A singular consciousness emerging from this technological revolution must be considered possible because singular consciousnesses arisen from multiple processes already exist namely us. But if the internet began to consider itself aware and integrated, in the same sort of way that we do, I wonder if we could ever detect that? Will we know if the net becomes conscious or perhaps more plausibly to many, coordinates a singular human mind-set?

We are undeniably in a process of increasing interconnectivity. Are we just improving our social and professional lives as individuals, or are we beginning to create one mind? Comparing our online selves to the neurons in a brain, can our individual minds be rightly called one mind, or is it more like a hive of mini-minds? Perhaps we will fracture into several hive-minds before any singular global consciousness can be formed, and even eventually revert back into individualism.

We must also ask whether this process could be controlled or limited in some way. For instance, could a hive mind like the internet in the future be compartmentalized enough to preserve a sense of individuality for its users? We cannot know the answer to this now, but I believe that in order to remain individuals and exercise individual freedom we would eventually need to reject the cyberconnection altogether. This seems very unlikely to happen. This leads to a sharp question: how much control do we have even now?

Control over the hive would require there to be a widely shared desire for individual control. But if individual control is dependent on the desire of the collective, this is tantamount to saying that we have no control as individuals. The question is, will the hive relinquish some of its power and tolerate dissent among the units that compose it? Maybe not. We already see this drama being played out with massive mobbing on platforms such as Twitter of individuals felt to have transgressed against the values of the online community. It seems as if the connectedness of the mob erodes the awareness of individual voices even being necessary, therefore eliminating the basis for a desire for individuality to begin with. In short, if any rebellion against the hive mind were possible, we probably would not even know it. This could take us all the way up to the point where individual thinking would be completely consumed by a new singular awareness, surpassing the idea of a hive mind, and instead simply becoming a mind. In this situation, control becomes a matter of self-control: that is, control by the Self.

As for the morality of such a singular mind, we can only reflect that a single mind, even if composed of what used to be individuals, would be utterly alone. It might be morally pure and absolute, therefore divine, if you wish; or perhaps it would mean morality would no longer exist or be applicable. Until then were left with the same old difficult questions about the risks to individuality and its freedoms: At what point does societal organization become tyrannical? What is freedom anyway? How free should we be? How can we be moral? and so on. These questions are always over us while we simultaneously try to establish what a human really is right up until we are no longer simply human, and have become the I of the collective individual.

James Sirois 2020

James Sirois is a writer, film maker and traveler from Montral, Canada.

Excerpt from:

The Singularity of the Human Hive Mind | Issue 139 - Philosophy Now

Elon Musk claims AI will overtake humans ‘in less than five years’ – The Independent

Elon Musk has warned that humans risk being overtaken by artificial intelligence within the next five years.

The prediction marks a significant revision of previous estimations of the so-called technological singularity, when machine intelligence surpasses human intelligence and accelerates at an incomprehensible rate.

Noted futurist Ray Kurzweil previously pegged this superintelligence tipping point at around 2045, citing exponential advances in technologies like robotics, computers and AI.

Sharing the full story, not just the headlines

Mr Musk, whose ventures include electric car maker Tesla and space firm SpaceX, said in an interview with The New York Times that current trends suggest AI could overtake humans by 2025.

The billionaire engineer, who also helped found the artificial intelligence research lab OpenAI in 2015, has consistently warned of the existential threat posed by advanced artificial intelligence in recent years. Despite this, he said he still feels that the issue is not properly understood.

My assessment about why AI is overlooked by very smart people is that very smart people do not think a computer can ever be as smart as they are. And this is hubris and obviously false, he said.

"Were headed toward a situation where AI is vastly smarter than humans and I think that time frame is less than five years from now. But that doesnt mean that everything goes to hell in five years. It just means that things get unstable or weird."

In 2016, Mr Musk said that humans risk being treated like house pets by artificial intelligence unless technology is developed that can connect brains to computers.

Shortly after making the remarks, Mr Musk announced a new brain-computer interface startup that is attempting to implant a brain chip using a "sewing machine-like device".

Neuralink will allow humans to compete with AI, according to Mr Musk, as well as help cure brain diseases, control mood and even let people "listen to music directly from our chips."

A robot designed by Neuralink would insert the 'threads' into the brain using a needle

Neuralink

A fully implantable neural interface connects to the brain through tiny threads

Neuralink

Trials of Neuralink's fully implantable neural interface system will begin in 2021

Neuralink

Neuralink says learning to use the device is 'like learning to touch type or play the piano'

Neuralink

A robot designed by Neuralink would insert the 'threads' into the brain using a needle

Neuralink

A fully implantable neural interface connects to the brain through tiny threads

Neuralink

Trials of Neuralink's fully implantable neural interface system will begin in 2021

Neuralink

Neuralink says learning to use the device is 'like learning to touch type or play the piano'

Neuralink

Both Mr Musk and Mr Kurzweil were among prominent artificial intelligence researchers to pledge support for stringent guidelines for the development of advanced AI.

An open letter published by the Future of Life Institute (FLI) in 2017 outlined a set of principles deemed necessary to avoid an out-of-control AI, as well as doomsday scenario involving lethal autonomous weapons.

"We hope that these principles will provide material for vigorous discussion and also aspirational goals for how the power of AI can be used to improve everyone's lives in coming years," the institute said at the time.

Continued here:

Elon Musk claims AI will overtake humans 'in less than five years' - The Independent

Clean Up This Mess: The Chinese Thinkers Behind Xis Hard Line – The New York Times

HONG KONG When Tian Feilong first arrived in Hong Kong as demands for free elections were on the rise, he said he felt sympathetic toward a society that seemed to reflect the liberal political ideas he had studied as a graduate student in Beijing.

Then, as the calls escalated into protests across Hong Kong in 2014, he increasingly embraced Chinese warnings that freedom could go too far, threatening national unity. He became an ardent critic of the demonstrations, and six years later he is a staunch defender of the sweeping national security law that China has imposed on the former British colony.

Mr. Tian has joined a tide of Chinese scholars who have turned against Western-inspired ideas that once flowed in Chinas universities, instead promoting the proudly authoritarian worldview ascendant under Xi Jinping, the Communist Party leader. This cadre of Chinese intellectuals serve as champions, even official advisers, defending and honing the partys hardening policies, including the rollout of the security law in Hong Kong.

Back when I was weak, I had to totally play by your rules. Now Im strong and have confidence, so why cant I lay down my own rules and values and ideas? Mr. Tian, 37, said in an interview, explaining the prevailing outlook in China. Witnessing the tumult as a visiting scholar in Hong Kong in 2014, Mr. Tian said, he rethought the relationship between individual freedom and state authority.

Hong Kong is, after all, Chinas Hong Kong, he said. Its up to the Communist Party to clean up this mess.

While Chinas Communist Party has long nurtured legions of academics to defend its agenda, these authoritarian thinkers stand out for their unabashed, often flashily erudite advocacy of one-party rule and assertive sovereignty, and their turn against the liberal ideas that many of them once embraced.

They portray themselves as fortifying China for an era of deepening ideological rivalry. They describe the United States as a dangerous, overreaching shambles, even more so in the wake of the coronavirus pandemic. They oppose constitutional fetters on Communist Party control, arguing that Western-inspired ideas of the rule of law are a dangerous mirage that could hobble the party.

They argue that China must reclaim its status as a world power, even as a new kind of benign empire displacing the United States. They extol Mr. Xi as a historic leader, guiding China through a momentous transformation.

A number of these scholars, sometimes called statists, have worked on policy toward Hong Kong, the sole territory under Chinese rule that has been a stubborn enclave for pro-democracy defiance of Beijing. Their proposals have fed into Chinas increasingly uncompromising line, including the security law, which has swiftly curbed protests and political debate.

We ignore these voices at our own risk, said Timothy Cheek, a historian at the University of British Columbia who helps run Reading the China Dream, a website that translates works by Chinese thinkers. They give voice to a stream of Chinese political thought that is probably more influential than liberal thought.

As well as earnestly citing Mr. Xis speeches, these academics draw on ancient Chinese thinkers who counseled stern rulership, along with Western critics of liberal political traditions. Traditional Marxism is rarely cited; they are proponents of order, not revolution.

Many of them make respectful nods in their papers to Carl Schmitt, the German legal theorist who supplied rightist leaders in the 1930s and the emerging Nazi regime with arguments for extreme executive power in times of crisis, Ryan Mitchell, an assistant professor of law at the Chinese University of Hong Kong, documented in a recent paper.

Theyve provided the reasoning and justification, Fu Hualing, a professor of law at the University of Hong Kong, said of Chinas new authoritarian scholars. In a way, its the Carl Schmitt moment here.

Chinas ideological landscape was more varied a decade ago, when Mr. Tian was a graduate student at Peking University, a traditionally more liberal campus. Censorship was lighter, and universities tolerated guarded discussion of liberal ideas in classrooms.

Many scholars, including Mr. Tians dissertation adviser, Zhang Qianfan, argued that Hong Kong, with its robust judicial independence, could inspire similar steps in mainland China. I had also been nurtured by liberal scholars. Mr. Tian said.

Such ideas have gone into sharp retreat since Mr. Xi took power in 2012. He began a drive to discredit ideas like universal human rights, separation of powers and other liberal concepts.

Dissenting academics are maligned in the party-run news media and risk professional ruin. Xu Zhangrun, a law professor at Tsinghua University in Beijing, was detained in July and dismissed from his job after writing a stream of essays condemning the partys direction under Mr. Xi.

The education authorities generously fund pro-party scholars for topics such as how to introduce security laws in Hong Kong. Chinese and foreign foundations that once supported less orthodox Chinese scholars have retrenched because of tightening official restrictions.

More than fear and career rewards have driven this resurgence of authoritarian ideas in China. The global financial crisis of 2007, and the United States floundering response to the coronavirus pandemic, have reinforced Chinese views that liberal democracies are decaying, while China has prospered, defying predictions of the collapse of one-party rule.

China is actually also following a path that the United States took, seizing opportunities, developing outward, creating a new world, Mr. Tian said. There is even a fervent hope that well overtake the West in another 30 years.

Chinas authoritarian academics have proposed policies to assimilate ethnic minorities thoroughly. They have defended Mr. Xis abolition of a term limit on the presidency, opening the way for him to stay in power indefinitely. They have argued that Chinese-style rule by law is inseparable from rule by the Communist Party. And more recently they have served as intellectual warriors in Beijings efforts to subdue protest in Hong Kong.

For them, law becomes a weapon, but its law thats subordinated to politics, said Sebastian Veg, a professor at the School of Advanced Studies in Social Sciences in Paris who has studied the rise of Chinas statist thinkers. Weve seen that at work in China, and now it seems to me were seeing it come to Hong Kong.

For Hong Kong, these scholars have supplied arguments advancing Beijings drive for greater central control.

Under the legal framework that defined Hong Kongs semi-autonomy after its return to China in 1997, many in the territory assumed that it would mostly manage its own affairs for decades. Many believed that Hong Kong lawmakers and leaders would be left to develop national security legislation, which was required by that framework.

But Mr. Xis government has pushed back, demanding greater influence. The authoritarian scholars, familiar with both Mr. Xis agenda and Hong Kong law, have distilled those demands into elaborate legal arguments.

Several Beijing law professors earlier served as advisers to the Chinese governments office in Hong Kong, including Jiang Shigong and Chen Duanhong, both of Peking University. They declined to be interviewed.

I dont think theyre necessarily setting the party line, but theyre helping to shape it, finding clever ways to put into words and laws what the party is trying to do, said Mr. Mitchell, of the Chinese University of Hong Kong. This is all happening through legislation, so their ideas matter.

A Chinese government paper in 2014, which Professor Jiang is widely credited with helping write, asserted that Beijing had comprehensive jurisdiction over Hong Kong, dismissing the idea that China should stay hands off. The framework that defined Hong Kongs status was written in the 1980s, when China was still weak and under the sway of foreign liberal ideas, he later said.

They treat Hong Kong as if it were part of the West, and they treat the West as if it were the entire world. Professor Jiang recently said of Hong Kongs protesters. Chinas rise has not, as some imagined, drawn Hong Kong society to trust the central authorities.

After protesters occupied Hong Kong streets in 2014, he and other scholars pressed the case that China had the power to impose national security legislation there, rejecting the idea that such legislation should be left in the hands of the reluctant Hong Kong authorities.

The survival of the state comes first, and constitutional law must serve this fundamental objective, Professor Chen, the Peking University academic, wrote in 2018, citing Mr. Schmitt, the authoritarian German jurist, to make the case for a security law in Hong Kong.

When the state is in dire peril, Professor Chen wrote, leaders could set aside the usual constitutional norms, in particular provisions for civic rights, and take all necessary measures.

Professor Chen submitted an internal study to the partys policymakers on introducing security legislation for Hong Kong, according to a Peking University report in 2018, over a year before the party publicly announced plans for such a law.

Since Chinas legislature passed the security law in late June, he, Mr. Tian and allied Chinese scholars have energetically defended it in dozens of articles, interviews and news conferences. Chinese intellectuals, Mr. Tian suggested, will next confront worsening relations with the United States.

We have to choose what side were on, including us scholars, right? he said. Sorry, the goal now is not Westernization; its the great rejuvenation of the Chinese nation.

Amber Wang contributed research from Beijing.

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Clean Up This Mess: The Chinese Thinkers Behind Xis Hard Line - The New York Times

The Myth of John James Audubon | Audubon – National Audubon Society

This piece, written by a historian and biographer of John James Audubon, is the first in a series of pieces on Audubon.org and in Audubon magazine that will reexamine the life and legacy of the organizations namesake as we chart a course toward racial equity.

John James Audubon was a man of many identities: artist, naturalist, woodsman, ladies man, storyteller, myth maker. A now-legendary painter who traveled North America in the early 19th century, in an epic quest to document all of the continents avian life, he is above all known as a champion of birds. Today we see that legacy preserved in the National Audubon Society, but also in the cities, streets, and even birds that bear his name.

Audubon was also a slaveholder, a point that many people dont know or, if they do, tend to ignore or excuse. He was a man of his time, so the argument goes. Thats never been a good argument, even about Audubons timeand certainly not in this onebecause many men and women in the antebellum era took a strong and outspoken stand for the abolition of slavery.

Audubon didnt. Instead, he dismissed the abolitionist movement on both sides of the Atlantic. In 1834, he wrote to his wife, Lucy Bakewell Audubon, that the British government had acted imprudently and too precipitously in emancipating enslaved people in its West Indian possessions. It was with remarkable understatement that one of Audubons earlier biographers wrote that Lucy and John Audubon took no stand against the institution of slavery.

They took a stand for slavery by choosing to own slaves. In the 18-teens, when the Audubons lived in Henderson, Kentucky, they had nine enslaved people working for them in their household, but by the end of the decade, when faced with financial difficulties, they had sold them. In early 1819, for instance, Audubon took two enslaved men with him down the Mississippi to New Orleans on a skiff, and when he got there, he put the boat and the men up for sale. The Audubons then acquired several more enslaved people during the 1820s, but again sold them in 1830, when they moved to England, where Audubon was overseeing the production of what he called his Great Work, The Birds of America, the massive, four-volume compendium of avian art that made him famous.

The Birds of America was a tremendous artistic and ornithological achievement, a product of personal passion and sacrifice. Audubon thought big from the beginning, making his work ambitious in its reach, with 435 engraved images of some 490 species, and impressive in its scale, with each bird depicted size of life. Audubons avian images can seem more real than reality itself, allowing the viewer to study each bird closer and longer than would ever be possible in the field. The visual impact proved stunning at the time, and it continues to be so today.

Although never fully acknowledged, people of colorAfrican Americans and Native Americanshad a part in making that massive project possible. Audubon occasionally relied on these local observers for assistance in collecting specimens, and he sometimes accepted their information about birds and incorporated it into his writings. But even though Audubon found Black and Indigenous people scientifically useful, he never accepted them as socially or racially equal. He took pains to distinguish himself from them. In writing about an expedition in Florida in December 1831, Audubon noted that he set out in a boat with six enslaved Black menhands, as he called themand three white men, his emphasis clearly underscoring the racial divide in the boat and his place on the white side of it.

Audubon also, through his writing, manipulated racial tensions to enhance his notoriety. The tale of The Runawayone of the Episodes about American life he inserted into his 3,000-page, five-volume Ornithological Biography, a companion to Birds of Americaspins the tale of an encounter with a Black man in a Louisiana swamp. Audubon, who had been hunting Wood Storks with his dog, Plato, had a gun, but so did the Black man; after a brief face-off both men put down their weapons. Even as he described the tension easing, Audubon had already hooked into the fears of his readers. Published three years after Nat Turners slave rebellion in 1831, The Runaway presented the most menacing image imaginable for many white peoplethe sudden specter of an armed Black man. Audubon knew how to get peoples attention.

He also knew how to put himself in the most favorable light. The man and his family had escaped slavery and were living in the swamp, and as the tale unfolds, Audubon spent the night at the familys encampmentcompanionably but also quite at their mercy. It was the fugitives, however, who were really most vulnerable. The next morning, Audubon took them back to the plantation of their first master and convinced the planter to buy the enslaved people back from the masters to which the family had been divided and sold. And that was that: Reunited but still enslaved, the Black family was rendered as happy as slaves generally are in that country. (Exactly what happy meant, Audubon did not say.) In the span of a single storytrue or not, and many of Audubons Episodes were notAudubon portrayed himself as both a savior of a fugitive family and a defender of slaveholders claims to human property rights.

There have long been lingering questions about Audubons own racial identity. His birth in Saint-Domingue (now Haiti) to one of his fathers two mistresses on a sugar plantation suggests he may have shared some measure of African descent. The truth of that may be impossible to know for sure even now. Audubon may not have known for sure himself, yet he took care to leave a specific impression.In an essay written for his sons, he described his birth mother as a lovely and wealthy lady of Spanish extraction from Louisiana, who went back to Saint-Domingue with Audubons father and became one of the victims during the ever-to-be-lamented period of negro insurrection on that island. Neither part is true, but both could have been useful to Audubon: Having a European mother killed by Black rebels reinforced a white identity, and in an American society where whiteness proved (and still proves) the safest form of social identity, what more could Audubon need?

Audubon made his place in American culture by creating a self-identity as outsized as his images of birds. Much of that is justified: As an artist he set a bar for realism in nature art that raised the worlds standards and continues to influence artists today. His paintings of birds and other wildlife were remarkablefull of exacting detail and often exciting drama, both of which make his work so vibrant and valuable. Although the veracity of his science has sometimes been called into question, his major written work, Ornithological Biography, remains a valuable resource and a very good read. And he left in his wake a movement of people ardent in their passion for identifying and protecting bird life, including the founders of the first Audubon societies, which took his name long after he died. But if we look at John James Audubon as a figure in history, not as a figure of his own myths, we come away with a truer picture of the man himself.

That is an important exercise, and not only for historians. Audubons Runaway could not escape the long reach of slavery, and neither should heor any of us. In this critical time of reckoning with racism, we must recognize that the institution of slavery in Americas past has a deep connection to institutions in the presentour governments, businesses, banks, universities, and also some of our most respected and beloved organizations. Audubon didnt create the National Audubon Society, but he remains part of its identity. As much as we celebrate his environmental legacy, we need to grapple with his racial legacy. If we could train our binoculars on history, now is the time to do so.

Gregory Nobles is author ofJohn James Audubon: The Nature of the American Woodsman(University of Pennsylvania Press, 2017). He is also a member of the National Audubon Society and two local chapters, Atlanta Audubon and Michigan Audubon.

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The Myth of John James Audubon | Audubon - National Audubon Society

Stony Brook Professor Among Scientists Who Designed Critical Instrument On NASAs Mars Rover Perseverance – CBS New York

NEW YORK (CBSNewYork) NASA launched a new mission Thursday to determine if life ever existed on Mars.

A local professor is among the scientists who helped make it happen, CBS2s Aundrea Cline-Thomas reported.

The Perseverance rover blasted off from Kennedy Space Center, starting its seven-month journey to Mars.

I woke up at 7 oclock in the morning with my wife and my two kids, said Joel Hurowitz, an assistant professor in the Department of Geosciences at Stony Brook University. we ran downstairs and it almost had a Christmas morning kind of feel to it.

Hurowitz said he was glued to NASAs YouTube channel.

Hes one of the scientists who developed an instrument mounted on the end of the rovers arm that will survey rocks on the Red Planet to determine what theyre made of.

Weve always wondered are we alone in the universe? Is the Earth a singularity in terms of life ever having started on this planet? said Hurowitz.

If successful, the mission will determine if life ever existed on Mars and, if so, what stopped its evolution.

The rover is as big as a car. Mounted cameras will help study the planets climate. A first of its kind Mars helicopter will capture aerial views of the planets surface. A drill can help collect samples of martian rocks for further study.

The feeling of, waking up everyday and just getting these beautiful pictures and going, Whats new on Mars today, what did we find? Its super cool, said Hurowitz.

Preparations for Perseverance were years in the making. Most of the work was done before the coronavirus pandemic hit.

As most of you know, if you miss this window, you gotta wait a couple years. And so, it was critically important for us to hit this, said Matt Wallace, the deputy project manager at NASA.

The Perseverance rover is expected to land on Mars in February 2021. Its designed to be able to roam the planet and collect information for years.

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Stony Brook Professor Among Scientists Who Designed Critical Instrument On NASAs Mars Rover Perseverance - CBS New York