gene therapy facts, information, pictures | Encyclopedia.com …

Gene therapy is a rapidly growing field of medicine in which genes are introduced into the body to treat diseases. Genes control heredity and provide the basic biological code for determining a cell's specific functions. Gene therapy seeks to provide genes that correct or supplant the disease-controlling functions of cells that are not, in essence, doing their job. Somatic gene therapy introduces therapeutic genes at the tissue or cellular level to treat a specific individual. Germ-line gene therapy inserts genes into reproductive cells or possibly into embryos to correct genetic defects that could be passed on to future generations. Initially conceived as an approach for treating inherited diseases, like cystic fibrosis and Huntington's disease, the scope of potential gene therapies has grown to include treatments for cancers, arthritis, and infectious diseases. Although gene therapy testing in humans has advanced rapidly, many questions surround its use. For example, some scientists are concerned that the therapeutic genes themselves may cause disease. Others fear that germ-line gene therapy may be used to control human development in ways not connected with disease, like intelligence or appearance.

Gene therapy has grown out of the science of genetics or how heredity works. Scientists know that life begins in a cell, the basic building block of all multicellular organisms. Humans, for instance, are made up of trillions of cells, each performing a specific function. Within the cell's nucleus (the center part of a cell that regulates its chemical functions) are pairs of chromosomes. These threadlike structures are made up of a single molecule of DNA (deoxyribonucleic acid), which carries the blueprint of life in the form of codes, or genes, that determine inherited characteristics.

A DNA molecule looks like two ladders with one of the sides taken off both and then twisted around each other. The rungs of these ladders meet (resulting in a spiral staircase-like structure) and are called base pairs. Base pairs are made up of nitrogen molecules and arranged in specific sequences. Millions of these base pairs, or sequences, can make up a single gene, specifically defined as a segment of the chromosome and DNA that contains certain hereditary information. The gene, or combination of genes formed by these base pairs ultimately direct an organism's growth and characteristics through the production of certain chemicals, primarily proteins, which carry out most of the body's chemical functions and biological reactions.

Scientists have long known that alterations in genes present within cells can cause inherited diseases like cystic fibrosis, sickle-cell anemia, and hemophilia. Similarly, errors in the total number of chromosomes can cause conditions such as Down syndrome or Turner's syndrome. As the study of genetics advanced, however, scientists learned that an altered genetic sequence also can make people more susceptible to diseases, like atherosclerosis, cancer, and even schizophrenia. These diseases have a genetic component, but also are influenced by environmental factors (like diet and lifestyle). The objective of gene therapy is to treat diseases by introducing functional genes into the body to alter the cells involved in the disease process by either replacing missing genes or providing copies of functioning genes to replace nonfunctioning ones. The inserted genes can be naturally-occurring genes that produce the desired effect or may be genetically engineered (or altered) genes.

Scientists have known how to manipulate a gene's structure in the laboratory since the early 1970s through a process called gene splicing. The process involves removing a fragment of DNA containing the specific genetic sequence desired, then inserting it into the DNA of another gene. The resultant product is called recombinant DNA and the process is genetic engineering.

There are basically two types of gene therapy. Germ-line gene therapy introduces genes into reproductive cells (sperm and eggs) or someday possibly into embryos in hopes of correcting genetic abnormalities that could be passed on to future generations. Most of the current work in applying gene therapy, however, has been in the realm of somatic gene therapy. In this type of gene therapy, therapeutic genes are inserted into tissue or cells to produce a naturally occurring protein or substance that is lacking or not functioning correctly in an individual patient.

In both types of therapy, scientists need something to transport either the entire gene or a recombinant DNA to the cell's nucleus, where the chromosomes and DNA reside. In essence, vectors are molecular delivery trucks. One of the first and most popular vectors developed were viruses because they invade cells as part of the natural infection process. Viruses have the potential to be excellent vectors because they have a specific relationship with the host in that they colonize certain cell types and tissues in specific organs. As a result, vectors are chosen according to their attraction to certain cells and areas of the body.

One of the first vectors used was retroviruses. Because these viruses are easily cloned (artificially reproduced) in the laboratory, scientists have studied them extensively and learned a great deal about their biological action. They also have learned how to remove the genetic information that governs viral replication, thus reducing the chances of infection.

Retroviruses work best in actively dividing cells, but cells in the body are relatively stable and do not divide often. As a result, these cells are used primarily for ex vivo (outside the body) manipulation. First, the cells are removed from the patient's body, and the virus, or vector, carrying the gene is inserted into them. Next, the cells are placed into a nutrient culture where they grow and replicate. Once enough cells are gathered, they are returned to the body, usually by injection into the blood stream. Theoretically, as long as these cells survive, they will provide the desired therapy.

Another class of viruses, called the adenoviruses, also may prove to be good gene vectors. These viruses can effectively infect nondividing cells in the body, where the desired gene product then is expressed naturally. In addition to being a more efficient approach to gene transportation, these viruses, which cause respiratory infections, are more easily purified and made stable than retroviruses, resulting in less chance of an unwanted viral infection. However, these viruses live for several days in the body, and some concern surrounds the possibility of infecting others with the viruses through sneezing or coughing. Other viral vectors include influenza viruses, Sindbis virus, and a herpes virus that infects nerve cells.

Scientists also have delved into nonviral vectors. These vectors rely on the natural biological process in which cells uptake (or gather) macromolecules. One approach is to use liposomes, globules of fat produced by the body and taken up by cells. Scientists also are investigating the introduction of raw recombinant DNA by injecting it into the bloodstream or placing it on microscopic beads of gold shot into the skin with a "gene-gun." Another possible vector under development is based on dendrimer molecules. A class of polymers (naturally occurring or artificial substances that have a high molecular weight and formed by smaller molecules of the same or similar substances), is "constructed" in the laboratory by combining these smaller molecules. They have been used in manufacturing Styrofoam, polyethylene cartons, and Plexiglass. In the laboratory, dendrimers have shown the ability to transport genetic material into human cells. They also can be designed to form an affinity for particular cell membranes by attaching to certain sugars and protein groups.

In the early 1970s, scientists proposed "gene surgery" for treating inherited diseases caused by faulty genes. The idea was to take out the disease-causing gene and surgically implant a gene that functioned properly. Although sound in theory, scientists, then and now, lack the biological knowledge or technical expertise needed to perform such a precise surgery in the human body.

However, in 1983, a group of scientists from Baylor College of Medicine in Houston, Texas, proposed that gene therapy could one day be a viable approach for treating Lesch-Nyhan disease, a rare neurological disorder. The scientists conducted experiments in which an enzyme-producing gene (a specific type of protein) for correcting the disease was injected into a group of cells for replication. The scientists theorized the cells could then be injected into people with Lesch-Nyhan disease, thus correcting the genetic defect that caused the disease.

As the science of genetics advanced throughout the 1980s, gene therapy gained an established foothold in the minds of medical scientists as a promising approach to treatments for specific diseases. One of the major reasons for the growth of gene therapy was scientists' increasing ability to identify the specific genetic malfunctions that caused inherited diseases. Interest grew as further studies of DNA and chromosomes (where genes reside) showed that specific genetic abnormalities in one or more genes occurred in successive generations of certain family members who suffered from diseases like intestinal cancer, bipolar disorder, Alzheimer's disease, heart disease, diabetes, and many more. Although the genes may not be the only cause of the disease in all cases, they may make certain individuals more susceptible to developing the disease because of environmental influences, like smoking, pollution, and stress. In fact, some scientists theorize that all diseases may have a genetic component.

On September 14, 1990, a four-year old girl suffering from a genetic disorder that prevented her body from producing a crucial enzyme became the first person to undergo gene therapy in the United States. Because her body could not produce adenosine deaminase (ADA), she had a weakened immune system, making her extremely susceptible to severe, life-threatening infections. W. French Anderson and colleagues at the National Institutes of Health's Clinical Center in Bethesda, Maryland, took white blood cells (which are crucial to proper immune system functioning) from the girl, inserted ADA producing genes into them, and then transfused the cells back into the patient. Although the young girl continued to show an increased ability to produce ADA, debate arose as to whether the improvement resulted from the gene therapy or from an additional drug treatment she received.

Nevertheless, a new era of gene therapy began as more and more scientists sought to conduct clinical trial (testing in humans) research in this area. In that same year, gene therapy was tested on patients suffering from melanoma (skin cancer). The goal was to help them produce antibodies (disease fighting substances in the immune system) to battle the cancer.

These experiments have spawned an ever growing number of attempts at gene therapies designed to perform a variety of functions in the body. For example, a gene therapy for cystic fibrosis aims to supply a gene that alters cells, enabling them to produce a specific protein to battle the disease. Another approach was used for brain cancer patients, in which the inserted gene was designed to make the cancer cells more likely to respond to drug treatment. Another gene therapy approach for patients suffering from artery blockage, which can lead to strokes, induces the growth of new blood vessels near clogged arteries, thus ensuring normal blood circulation.

Currently, there are a host of new gene therapy agents in clinical trials. In the United States, both nucleic acid based (in vivo ) treatments and cell-based (ex vivo ) treatments are being investigated. Nucleic acid based gene therapy uses vectors (like viruses) to deliver modified genes to target cells. Cell-based gene therapy techniques remove cells from the patient in order to genetically alter them then reintroduce them to the patient's body. Presently, gene therapies for the following diseases are being developed: cystic fibrosis (using adenoviral vector), HIV infection (cell-based), malignant melanoma (cell-based), Duchenne muscular dystrophy (cell-based), hemophilia B (cell-based), kidney cancer (cell-based), Gaucher's Disease (retroviral vector), breast cancer (retroviral vector), and lung cancer (retroviral vector). When a cell or individual is treated using gene therapy and successful incorporation of engineered genes has occurred, the cell or individual is said to be transgenic.

The medical establishment's contribution to transgenic research has been supported by increased government funding. In 1991, the U.S. government provided $58 million for gene therapy research, with increases in funding of $15-40 million dollars a year over the following four years. With fierce competition over the promise of societal benefit in addition to huge profits, large pharmaceutical corporations have moved to the forefront of transgenic research. In an effort to be first in developing new therapies, and armed with billions of dollars of research funds, such corporations are making impressive strides toward making gene therapy a viable reality in the treatment of once elusive diseases.

The potential scope of gene therapy is enormous. More than 4,200 diseases have been identified as resulting directly from abnormal genes, and countless others that may be partially influenced by a person's genetic makeup. Initial research has concentrated on developing gene therapies for diseases whose genetic origins have been established and for other diseases that can be cured or improved by substances genes produce.

The following are examples of potential gene therapies. People suffering from cystic fibrosis lack a gene needed to produce a salt-regulating protein. This protein regulates the flow of chloride into epithelial cells, (the cells that line the inner and outer skin layers) that cover the air passages of the nose and lungs. Without this regulation, patients with cystic fibrosis build up a thick mucus that makes them prone to lung infections. A gene therapy technique to correct this abnormality might employ an adenovirus to transfer a normal copy of what scientists call the cystic fibrosis transmembrane conductance regulator, or CTRF, gene. The gene is introduced into the patient by spraying it into the nose or lungs. Researchers announced in 2004 that they had, for the first time, treated a dominant neurogenerative disease called Spinocerebella ataxia type 1, with gene therapy. This could lead to treating similar diseases such as Huntingtons disease. They also announced a single intravenous injection could deliver therapy to all muscles, perhaps providing hope to people with muscular dystrophy.

Familial hypercholesterolemia (FH) also is an inherited disease, resulting in the inability to process cholesterol properly, which leads to high levels of artery-clogging fat in the blood stream. Patients with FH often suffer heart attacks and strokes because of blocked arteries. A gene therapy approach used to battle FH is much more intricate than most gene therapies because it involves partial surgical removal of patients' livers (ex vivo transgene therapy). Corrected copies of a gene that serve to reduce cholesterol build-up are inserted into the liver sections, which then are transplanted back into the patients.

Gene therapy also has been tested on patients with AIDS. AIDS is caused by the human immunodeficiency virus (HIV), which weakens the body's immune system to the point that sufferers are unable to fight off diseases like pneumonias and cancer. In one approach, genes that produce specific HIV proteins have been altered to stimulate immune system functioning without causing the negative effects that a complete HIV molecule has on the immune system. These genes are then injected in the patient's blood stream. Another approach to treating AIDS is to insert, via white blood cells, genes that have been genetically engineered to produce a receptor that would attract HIV and reduce its chances of replicating. In 2004, researchers reported that had developed a new vaccine concept for HIV, but the details were still in development.

Several cancers also have the potential to be treated with gene therapy. A therapy tested for melanoma, or skin cancer, involves introducing a gene with an anticancer protein called tumor necrosis factor (TNF) into test tube samples of the patient's own cancer cells, which are then reintroduced into the patient. In brain cancer, the approach is to insert a specific gene that increases the cancer cells' susceptibility to a common drug used in fighting the disease. In 2003, researchers reported that they had harnessed the cell killing properties of adenoviruses to treat prostate cancer. A 2004 report said that researchers had developed a new DNA vaccine that targeted the proteins expressed in cervical cancer cells.

Gaucher disease is an inherited disease caused by a mutant gene that inhibits the production of an enzyme called glucocerebrosidase. Patients with Gaucher disease have enlarged livers and spleens and eventually their bones deteriorate. Clinical gene therapy trials focus on inserting the gene for producing this enzyme.

Gene therapy also is being considered as an approach to solving a problem associated with a surgical procedure known as balloon angioplasty. In this procedure, a stent (in this case, a type of tubular scaffolding) is used to open the clogged artery. However, in response to the trauma of the stent insertion, the body initiates a natural healing process that produces too many cells in the artery and results in restenosis, or reclosing of the artery. The gene therapy approach to preventing this unwanted side effect is to cover the outside of the stents with a soluble gel. This gel contains vectors for genes that reduce this overactive healing response.

Regularly throughout the past decade, and no doubt over future years, scientists have and will come up with new possible ways for gene therapy to help treat human disease. Recent advancements include the possibility of reversing hearing loss in humans with experimental growing of new sensory cells in adult guinea pigs, and avoiding amputation in patients with severe circulatory problems in their legs with angiogenic growth factors.

Although great strides have been made in gene therapy in a relatively short time, its potential usefulness has been limited by lack of scientific data concerning the multitude of functions that genes control in the human body. For instance, it is now known that the vast majority of genetic material does not store information for the creation of proteins, but rather is involved in the control and regulation of gene expression, and is, thus, much more difficult to interpret. Even so, each individual cell in the body carries thousands of genes coding for proteins, with some estimates as high as 150,000 genes. For gene therapy to advance to its full potential, scientists must discover the biological role of each of these individual genes and where the base pairs that make them up are located on DNA.

To address this issue, the National Institutes of Health initiated the Human Genome Project in 1990. Led by James D. Watson (one of the co-discoverers of the chemical makeup of DNA) the project's 15-year goal is to map the entire human genome (a combination of the words gene and chromosomes). A genome map would clearly identify the location of all genes as well as the more than three billion base pairs that make them up. With a precise knowledge of gene locations and functions, scientists may one day be able to conquer or control diseases that have plagued humanity for centuries.

Scientists participating in the Human Genome Project identified an average of one new gene a day, but many expected this rate of discovery to increase. By the year 2005, their goal was to determine the exact location of all the genes on human DNA and the exact sequence of the base pairs that make them up. Some of the genes identified through this project include a gene that predisposes people to obesity, one associated with programmed cell death (apoptosis), a gene that guides HIV viral reproduction, and the genes of inherited disorders like Huntington's disease, Lou Gehrig's disease, and some colon and breast cancers. In April 2003, the finished sequence was announced, with 99% of the human genome's gene-containing regions mapped to an accuracy of 99.9%.

Gene therapy seems elegantly simple in its concept: supply the human body with a gene that can correct a biological malfunction that causes a disease. However, there are many obstacles and some distinct questions concerning the viability of gene therapy. For example, viral vectors must be carefully controlled lest they infect the patient with a viral disease. Some vectors, like retroviruses, also can enter cells functioning properly and interfere with the natural biological processes, possibly leading to other diseases. Other viral vectors, like the adenoviruses, often are recognized and destroyed by the immune system so their therapeutic effects are short-lived. Maintaining gene expression so it performs its role properly after vector delivery is difficult. As a result, some therapies need to be repeated often to provide long-lasting benefits.

One of the most pressing issues, however, is gene regulation. Genes work in concert to regulate their functioning. In other words, several genes may play a part in turning other genes on and off. For example, certain genes work together to stimulate cell division and growth, but if these are not regulated, the inserted genes could cause tumor formation and cancer. Another difficulty is learning how to make the gene go into action only when needed. For the best and safest therapeutic effort, a specific gene should turn on, for example, when certain levels of a protein or enzyme are low and must be replaced. But the gene also should remain dormant when not needed to ensure it doesn't oversupply a substance and disturb the body's delicate chemical makeup.

One approach to gene regulation is to attach other genes that detect certain biological activities and then react as a type of automatic off-and-on switch that regulates the activity of the other genes according to biological cues. Although still in the rudimentary stages, researchers are making headway in inhibiting some gene functioning by using a synthetic DNA to block gene transcriptions (the copying of genetic information). This approach may have implications for gene therapy.

While gene therapy holds promise as a revolutionary approach to treating disease, ethical concerns over its use and ramifications have been expressed by scientists and lay people alike. For example, since much needs to be learned about how these genes actually work and their long-term effect, is it ethical to test these therapies on humans, where they could have a disastrous result? As with most clinical trials concerning new therapies, including many drugs, the patients participating in these studies usually have not responded to more established therapies and often are so ill the novel therapy is their only hope for long-term survival.

Another questionable outgrowth of gene therapy is that scientists could possibly manipulate genes to genetically control traits in human offspring that are not health related. For example, perhaps a gene could be inserted to ensure that a child would not be bald, a seemingly harmless goal. However, what if genetic manipulation was used to alter skin color, prevent homosexuality, or ensure good looks? If a gene is found that can enhance intelligence of children who are not yet born, will everyone in society, the rich and the poor, have access to the technology or will it be so expensive only the elite can afford it?

The Human Genome Project, which plays such an integral role for the future of gene therapy, also has social repercussions. If individual genetic codes can be determined, will such information be used against people? For example, will someone more susceptible to a disease have to pay higher insurance premiums or be denied health insurance altogether? Will employers discriminate between two potential employees, one with a "healthy" genome and the other with genetic abnormalities?

Some of these concerns can be traced back to the eugenics movement popular in the first half of the twentieth century. This genetic "philosophy" was a societal movement that encouraged people with "positive" traits to reproduce while those with less desirable traits were sanctioned from having children. Eugenics was used to pass strict immigration laws in the United States, barring less suitable people from entering the country lest they reduce the quality of the country's collective gene pool. Probably the most notorious example of eugenics in action was the rise of Nazism in Germany, which resulted in the Eugenic Sterilization Law of 1933. The law required sterilization for those suffering from certain disabilities and even for some who were simply deemed "ugly." To ensure that this novel science is not abused, many governments have established organizations specifically for overseeing the development of gene therapy. In the United States, the Food and Drug Administration (FDA) and the National Institutes of Health require scientists to take a precise series of steps and meet stringent requirements before proceeding with clinical trials. As of mid-2004, more than 300 companies were carrying out gene medicine developments and 500 clinical trials were underway. How to deliver the therapy is the key to unlocking many of the researchers discoveries.

In fact, gene therapy has been immersed in more controversy and surrounded by more scrutiny in both the health and ethical arena than most other technologies (except, perhaps, for cloning) that promise to substantially change society. Despite the health and ethical questions surrounding gene therapy, the field will continue to grow and is likely to change medicine faster than any previous medical advancement.

Cell The smallest living unit of the body that groups together to form tissues and help the body perform specific functions.

Chromosome A microscopic thread-like structure found within each cell of the body, consisting of a complex of proteins and DNA. Humans have 46 chromosomes arranged into 23 pairs. Changes in either the total number of chromosomes or their shape and size (structure) may lead to physical or mental abnormalities.

Clinical trial The testing of a drug or some other type of therapy in a specific population of patients.

Clone A cell or organism derived through asexual (without sex) reproduction containing the identical genetic information of the parent cell or organism.

Deoxyribonucleic acid (DNA) The genetic material in cells that holds the inherited instructions for growth, development, and cellular functioning.

Embryo The earliest stage of development of a human infant, usually used to refer to the first eight weeks of pregnancy. The term fetus is used from roughly the third month of pregnancy until delivery.

Enzyme A protein that causes a biochemical reaction or change without changing its own structure or function.

Eugenics A social movement in which the population of a society, country, or the world is to be improved by controlling the passing on of hereditary information through mating.

Gene A building block of inheritance, which contains the instructions for the production of a particular protein, and is made up of a molecular sequence found on a section of DNA. Each gene is found on a precise location on a chromosome.

Gene transcription The process by which genetic information is copied from DNA to RNA, resulting in a specific protein formation.

Genetic engineering The manipulation of genetic material to produce specific results in an organism.

Genetics The study of hereditary traits passed on through the genes.

Germ-line gene therapy The introduction of genes into reproductive cells or embryos to correct inherited genetic defects that can cause disease.

Liposome Fat molecule made up of layers of lipids.

Macromolecules A large molecule composed of thousands of atoms.

Nitrogen A gaseous element that makes up the base pairs in DNA.

Nucleus The central part of a cell that contains most of its genetic material, including chromosomes and DNA.

Protein Important building blocks of the body, composed of amino acids, involved in the formation of body structures and controlling the basic functions of the human body.

Somatic gene therapy The introduction of genes into tissue or cells to treat a genetic related disease in an individual.

Vectors Something used to transport genetic information to a cell.

Abella, Harold. "Gene Therapy May Save Limbs." Diagnostic Imaging (May 1, 2003): 16.

Christensen R. "Cutaneous Gene TherapyAn Update." Histochemical Cell Biology (January 2001): 73-82.

"Gene Therapy Important Part of Cancer Research." Cancer Gene Therapy Week (June 30, 2003): 12.

"Initial Sequencing and Analysis of the Human Genome." Nature (February 15, 2001): 860-921.

Kingsman, Alan. "Gene Therapy Moves On." SCRIP World Pharmaceutical News (July 7, 2004): 19:ndash;21.

Nevin, Norman. "What Has Happened to Gene Therapy?" European Journal of Pediatrics (2000): S240-S242.

"New DNA Vaccine Targets Proteins Expressed in Cervical Cancer Cells." Gene Therapy Weekly (September 9, 2004): 14.

"New Research on the Progress of Gene Therapy Presented at Meeting." Obesity, Fitness & Wellness Week (July 3, 2004): 405.

Pekkanen, John. "Genetics: Medicine's Amazing Leap." Readers Digest (September 1991): 23-32.

Silverman, Jennifer, and Steve Perlstein. "Genome Project Completed." Family Practice News (May 15, 2003): 50-51.

"Study Highlights Potential Danger of Gene Therapy." Drug Week (June 20, 2003): 495.

"Study May Help Scientists Develop Safer Mthods for Gene Therapy." AIDS Weekly (June 30, 2003): 32.

Trabis, J. "With Gene Therapy, Ears Grow New Sensory Cells." Science News (June 7, 2003): 355.

National Human Genome Research Institute. The National Institutes of Health. 9000 Rockville Pike, Bethesda, MD 20892. (301) 496-2433. http://www.nhgri.nih.gov.

Online Mendelian Inheritance in Man. Online genetic testing information sponsored by National Center for Biotechnology Information. http://www.ncbi.nlm.nih.gov/Omim/.

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Offshore Drilling and Exploration – The New York Times

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President Obamas decision to block drilling has been a boon to efforts to protect fragile environments.

By THE EDITORIAL BOARD

The president called his action a permanent ban, but Donald J. Trump and a Republican Congress will be able to roll back some recent environmental rules.

By CORAL DAVENPORT

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By CORAL DAVENPORT

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Offshore Drilling and Exploration - The New York Times

Ethereum Project Offers Censorship Resistant ‘World …

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The popular digital currency Bitcoin, witha market capitalization of over $16 billion, was in the news over the weekend after it recrossed the $1,000/Bitcoin value threshold. Despite the buzz around Bitcoin, there is another cryptocurrency-related project that is poised to revolutionize the way in which we exchange.

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The Ethereum Project, an open source platform developed by 22-year old programmer Vitalik Buterin, is seeking to build upon the blockchain technology established by Bitcoin by allowing developers to use the blockchain to build decentralized applications.

The blockchain is a decentralized database where records and entries are virtually unchangeable. While Bitcoin utilizes blockchain technology to manage a currency, the Ethereum Project provides an open source environment where programmers can create applications on the blockchain.

Tristan Winters, a reporter at ETHNews, the leading online Ethereum news site, explained to me the Ethereum project in laymans terms: Ethereum is a world computer. Instead of hosting apps on a server, you host them on the Ethereum blockchain and p2p network (world computer). So the apps are censorship resistant and no one can shut them down, even if they want to.

Ethereum is driven by Ether, a cryptocurrency that acts as fuel for the system. According to the projects website, Ether is a necessary element that ensures that developers are writing quality applications:

Ether is a necessary element a fuel for operating the distributed application platform Ethereum. It is a form of payment made by the clients of the platform to the machines executing the requested operations. To put it another way, ether is the incentive ensuring that developers write quality applications (wasteful code costs more), and that the network remains healthy (people are compensated for their contributed resources).

Because of the open source nature of Ethereum, its has almost limitless functions. Developers have proposed and began work on decentralized file storage systems, financial systems, and business management systems.

Ethereum allows actors to create smart contracts, which are programs that run on the blockchain that can handle currency in a way that is unchangeable. Smart contracts can be used for a variety of business functions, such as the representation of shares, organizational voting, and fundraising.

The decentralized nature of the Ethereum blockchain would allow for social networks that are truly resistant to censorship. Unlike Facebook or Twitter, a social network operating on Ethereum wouldnt be accessed via centralized servers. Such a network would exist as a peer-to-peer network that lives on computers throughout the world. Because such a network would have no centralized body, censorship would be extremely difficult.

Although it is unclear what the future holds for the Ethereum Project and the value of Ether, it seems likely that there is increasing interest in decentralized applications that have the potential to liberate an increasingly centralized world.

Tom Ciccotta is a libertarian who writes about social justice and libertarian issues for Breitbart News. You can follow him on Twitter @tciccotta or email him at tciccotta@breitbart.com

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Ethereum Project Offers Censorship Resistant 'World ...

Internet censorship in Pakistan – Wikipedia

Internet censorship in Pakistan is government control of information sent and received using the Internet in Pakistan.

Pakistan made global headlines in 2010 for blocking Facebook and other Web sites in response to a contest popularized on the social networking site to draw images of the Prophet Mohammad. In general, Internet filtering in Pakistan remains both inconsistent and intermittent, with filtering primarily targeted at content deemed to be a threat to national security and at religious content considered blasphemous.

In mid-2012 Pakistanis had relatively free access to a wide range of content, including most sexual, political, social, and religious sites on the Internet. The OpenNet Initiative listed Internet filtering in Pakistan as substantial in the conflict/security area, and as selective in the political, social, and Internet tools areas in August 2012.[1] Additionally, Freedom House rated Pakistan's "Freedom on the Net Status" as "Not Free" in its Freedom on the Net 2013 report.[2] This is still true as of 2016.[3]

Internet filtering in Pakistan is regulated by the Pakistan Telecommunications Authority (PTA) and the Federal Investigation Agency (FIA) under the direction of the government, the Supreme Court of Pakistan, and the Ministry of Information Technology (MoIT). Although the majority of filtering in Pakistan is intermittentsuch as the occasional block on a major Web site like Blogspot or YouTubethe PTA continues to block sites containing content it considers to be blasphemous, anti-Islamic, or threatening to internal security. Online civil society activism that began in order to protect free expression in the country continues to expand as citizens utilize new media to disseminate information and organize.[1]

Pakistan has blocked access to websites critical of the government or the military.[1] Blocking of websites is often carried out under the rubric of restricting access to blasphemous content, pornography, or religious immorality.[4] At the end of 2011, the PTA had officially banned more than 1,000 porn websites in Pakistan.[4][5]

The Pakistan Internet Exchange (PIE), operated by the state-owned Pakistan Telecommunication Company Ltd (PTCL), was created to facilitate the exchange of Internet traffic between ISPs within and outside of Pakistan.[6] Because the majority of Pakistan's Internet traffic is routed through the PIE (98% of Pakistani ISPs used the PIE in 2004), it provides a means to monitor and possibly block incoming and outgoing Internet traffic as the government deems fit.[7]

Internet surveillance in Pakistan is primarily conducted by the PIE under the auspices of the PTA. The PIE monitors all incoming and outgoing Internet traffic from Pakistan, as well as e-mail and keywords, and stores data for a specified amount of time. Law enforcement agencies such as the FIA can be asked by the government to conduct surveillance and monitor content. Under the Prevention of Electronic Crimes Ordinance (PECO), ISPs are required to retain traffic data for a minimum of 90 days and may also be required to collect real-time data and record information while keeping their involvement with the government confidential. The ordinance does not specify what kinds of actions constitute grounds for data collection and surveillance.[1]

In April 2003, the PTCL announced that it would be stepping up monitoring of pornographic websites. "Anti-Islamic" and "blasphemous" sites were also monitored.[8] In early March 2004, the Federal Investigation Agency (FIA) ordered Internet service providers (ISPs) to monitor access to all pornographic content. The ISPs, however, lacked the technical know-how, and felt that the PTCL was in a better position to carry out FIA's order. A Malaysian firm was then hired to provide a filtering system, but failed to deliver a working system.

In March 2012, the Pakistan government took the unusual step of touting for firms that could help build it a nationwide content-filtering service.[9] The Pakistan Telecommunications Authority published a request for proposals for the deployment and operation of a national level URL Filtering and Blocking System which would operate on similar lines to China's Golden Shield, or "Great Firewall".[9] Academic and research institutions as well as private commercial entities had until 16 March to submit their proposals, according to the request's detailed 35-point system requirements list. Key among these is the following: "Each box should be able to handle a block list of up to 50 million URLs (concurrent unidirectional filtering capacity) with processing delay of not more than 1 milliseconds".[9]

The Jyllands-Posten Muhammad cartoons controversy began after 12 editorial cartoons, most of which depicted the Islamic prophet Muhammad, were published in the Danish newspaper Jyllands-Posten on 30 September 2005. This led to protests across the Muslim world, some of which escalated into violence with instances of firing on crowds of protestors, resulting in more than 100 reported deaths,[10] and included the bombing of the Danish embassy in Pakistan, setting fire to the Danish Embassies in Syria, Lebanon and Iran, storming of European buildings, and the burning of the Danish, Dutch, Norwegian, French, and German flags in Gaza City.[11][12] The posting of the cartoons online added to the controversy.

On 1 March 2006 the Supreme Court of Pakistan directed the government to keep tabs on Internet sites displaying the cartoons and called for an explanation from authorities as to why these sites had not been blocked earlier.[13] On 2 March 2006, pursuant to a petition filed under Article 184(3) of the Constitution of Pakistan, the Supreme Court sitting en banc ordered the Pakistan Telecommunications Authority (PTA) and other government departments to adopt measures for blocking websites showing blasphemous content. The Court also ordered Attorney General Makhdoom Ali Khan to explore laws which would enable blocking of objectionable websites. In announcing the decision, Chief Justice Iftikhar Muhammad Chaudhry, said, "We will not accept any excuse or technical objection on this issue because it relates to the sentiments of the entire Muslim world. All authorities concerned will have to appear in the Court on the next hearing with reports of concrete measures taken to implement our order".

Consequently, the government kept tabs on a number of websites hosting the cartoons deemed to be sacrilegious. This ban included all the weblogs hosted at the popular blogging service blogger.com, as some bloggers had put up copies of the cartoons particularly many non-Pakistani blogs.

A three-member bench headed by Chief Justice Chaudhry, summoned the country's Attorney General as well as senior communication ministry officials to give a report of "concrete measures for implementation of the court's order". At the hearing on 14 March 2006, the PTA informed the Supreme Court that all websites displaying the Muhammad cartoons had been blocked. The bench issued directions to the Attorney General of Pakistan, Makhdoom Ali Khan, to assist the court on how it could exercise jurisdiction to prevent the availability of blasphemous material on websites the world over.[14]

The blanket ban on the blogspot.com blogs was lifted on 2 May 2006.[15] Shortly thereafter the blanket ban was reimposed and extended to Typepad blogs. The blanket ban on the blogspot.com blogs was later lifted again.

Allegations of suppressing vote-rigging videos by the Musharraf administration were also leveled by Pakistani bloggers, newspapers, media, and Pakistani anti-Musharraf opposition parties. The ban was lifted on 26 February 2008.[16][17]

In 2006 the Pakistan Telecommunication Authority blocked five websites for "providing misleading informations".[18] Some allege that the websites' real crime was reporting on the Balochistan separatist conflict.[19]

YouTube was blocked in Pakistan following a decision taken by the Pakistan Telecommunication Authority on 22 February 2008 because of the number of "non-Islamic objectionable videos."[17][20] One report specifically named Fitna, a controversial Dutch film, as the basis for the block.[21] Pakistan, an Islamic republic, ordered its ISPs to block access to YouTube "for containing blasphemous web content/movies."[22] The action effectively blocked YouTube access worldwide for several hours on 24 February.[23] Defaming Muhammad under 295-C of the Blasphemy law in Pakistan requires a death sentence.[24] This followed increasing unrest in Pakistan by over the reprinting of the Jyllands-Posten Muhammad cartoons which depict satirical criticism of Islam.[22] Router misconfiguration by one Pakistani ISP on 24 February 2008 effectively blocked YouTube access worldwide for several hours.[23] On 26 February 2008, the ban was lifted after the website had removed the objectionable content from its servers at the request of the government.[16]

On 19 and 20 May 2010, Pakistan's Telecommunication Authority (PTA) imposed a ban on Wikipedia, YouTube, Flickr, and Facebook in response to a competition entitled Everybody Draw Mohammed Day on Facebook, in a bid to contain "blasphemous" material[25][26] The ban imposed on Facebook was the result of a ruling by the Lahore High Court, while the ban on the other websites was imposed arbitrarily by the PTA on the grounds of "objectionable content", a different response from earlier requests, such as pages created to promote peaceful demonstrations in Pakistani cities being removed because they were "inciting violence". The ban was lifted on 27 May 2010, after the website removed the objectionable content from its servers at the request of the government. However, individual videos deemed offensive to Muslims that are posted on YouTube will continue to be blocked.[27][28]

In September 2012, the PTA blocked the video-sharing website YouTube for not removing an anti-Islamic film made in the United States, Innocence of Muslims, which mocks Mohammed. The website would remain suspended, it was stated, until the film was removed.[29][30] In a related move, the PTA announced that it had blocked about 20,000 websites due to "objectionable" content.[31]

On 25 July 2013, the government announced that it is mulling over reopening YouTube during the second week of August. A special 12-member committee was working under the Minister of IT and Telecommunication, Anusha Rahman, to see if objectionable content can be removed. The Pakistan Telecommunications Authority, the telecom watchdog in the country, has already expressed its inability to filter out select content.[32]

On 21 April 2014, Pakistan's Senate Standing Committee on Human Rights requested the Federal Government remove the ban on YouTube.[33][34]

On 8 February 2015, the government announced that YouTube will remain blocked 'indefinitely' because no tool or solution had been found which can totally block offensive content.[35] As of June 2015 1,000 days on the ban was still in effect, and YouTube cannot be accessed from either desktop or mobile devices.[34]

The ban was lifted due to technical glitch on December 6, 2015 according to ISPs in Pakistan.[36] As September 2016, the ban has been lifted officially, as YouTube launched a local version for Pakistan.[37]

In June 2013, The Citizens Lab, an interdisciplinary research laboratory uncovered that Canadian internet-filtering product Netsweeper is functioning at the national level in Pakistan. The system has categorized billions of URLs and is adding 10 million new URLs every day. The lab also confirmed that ISPs in Pakistan are using methods of DNS tampering to block websites at the behest of Pakistan Telecommunication Authority.

According to the report published by the lab, Netsweeper technology is being implemented in Pakistan for purposes of political and social filtering, including websites of secessionist movements, sensitive religious topics, and independent media.[38]

In July 2013, Pakistani ISPs banned 6 of the top 10[39] public Torrent sites in Pakistan. These sites include Piratebay, Kickass torrents, Torrentz, Bitsnoop, Extra Torrent and Torrent Reactor.[40] They also banned the similar site Mininova.[41] However proxies for these torrent sites are still active and P2P connections are working normally.[42] This move lead to a massive public backlash, especially from the Twitter and Facebook communities of Pakistan. In the aftermath of such critique, the IT Minister of Pakistan, Anusha Rehman, deactivated her Twitter account.[43]

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Solar System :: NASA Space Place

Asteroid or Meteor: What's the difference?

Learn more about asteroids, meteors, meteoroids, meteorites, and comets!

What is an asteroid?

And what can we learn from these space rocks in our solar system?

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Make a mask and pretend to be your favorite planet in our solar system!

The Mars Rovers: Mars 2020

This future mission will try to find out if life ever existed on the Red Planet!

The Mars Rovers: Curiosity

Mars had water long ago. But did it also have other conditions needed for life?

The Mars Rovers: Spirit and Opportunity

What did these twin rovers teach us about the history of water on Mars?

The Mars Rovers: Sojourner

Learn more about the first rover to land on Mars!

The Mars Rovers

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Where there are signs of water, there might also be signs of life!

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Dwarf planet Pluto is still fun to study.

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The Oort Cloud!

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Jumping the Tallest Cliff in the Solar System

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It wasn't THAT hard to see...

What's It Like Inside Jupiter?

It's like the weight of 130,000 cars pressing on every square inch of your body!

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For the New Moon, you must eat all the creme filling!

No-Bake Moon Cookies

These are yummy and need no baking!

Quest for a Comet!

Pilot the Rosetta spacecraft!

Meteor shower!

What causes them?

Meteor shower!

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Make asteroids you can eat!

Make yummy potatoes look like asteroids.

Why does Saturn have rings?

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Make a CD Saturn

Turn an old CD into Saturn's rings.

Build a Moon Habitat!

Help the astronauts go back to the Moon.

A Planet Without a Sun?

Astronomers may have found a planet without a sun!

Space Volcanoes!

Explore the many volcanoes in our solar system using the Space Volcano Explorer.

Thirsty? Have a comet!

Could they have brought the water to our planet?

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Moore’s Law is dead, long live Moore’s Law – ExtremeTech

Moores Law turns 50 this coming week making this an opportune time to revisit Gordon Moores classic prediction, its elevation to near-divine pronouncement over the last 50 years, and the question of what, if anything, Moores Law can teach us about the future of computing. My colleague David Cardinal has already discussed thelaw itself,as well as the early evolution of the integrated circuit. To get a sense of where Moores Law might evolve in the future, we sat down with lithographer, instructor, and gentleman scientist, Dr. Christopher Mack. It might seem odd to talk about the future of Moores Law with a scientist who half-jokingly toasted its death just a year ago but one of the hallmarks of the Law is the way its been reinvented several times over the past fifty years.

IBMs System/360. Photo courtesy of Wikipedia

In arecent article, Dr. Mack argues that what we call Moores Law is actually at least three different laws. In the first era, dubbed Moores Law 1.0, the focus was on scaling up the number of components on a single chip. One simple example can be found in the evolution of the microprocessor itself. In the early 1980s, the vast majority of CPUs could only perform integer math on-die. If you wanted to perform floating point calculations (meaning calculations done using a decimal point), you had to buy a standalone floating point unit with its own pinout and motherboard socket (on compatible motherboards).

Some of you may also recall that in the early days of CPU cache, the cache in question was mounted to the motherboard (and sometimes upgradeable), not integrated into the CPU die. The term front-side bus (which ran from the northbridge controller to main memory and various peripherals) was originally contrasted with the back-side bus, which ran to the CPU cache from the CPU itself. The integration of these components on-die didnt always cut costs sometimes, the final product was actually more expensive but it vastly improved performance.

Digitals VAX 11/780. In many ways, the consummate CISC machine.

Moores Law 2.0 really came into its own in the mid-1990s. Moores Law always had a quieter partner, known as Dennard Scaling. Dennard Scaling stated that as transistors became smaller, their power density remained constant meaning that smaller transistors required less voltage and lower current. If Moores Law had stated we would be able to pack more transistors into the same area, Dennard Scaling ensured that those transistors would be cooler and draw less power. It was Dennard Scaling that broke in 2005, as Intel, AMD, and most other vendors turned away from emphasizing clock-based scaling, in favor of adding more CPU cores and improving single-threaded CPU performance.

From 2005 through 2014, Moores Law continued but the emphasis was on improving cost by driving down the expense of each additional transistor. Those transistors might not run more quickly than their predecessors, but they were often more power-efficient and less expensiveto build. As Dr. Mack points out, much of this improvement was driven by developments in lithography tools. As silicon wafer yields soared and manufacturing outputs surged, the total cost of manufacturing (per transistor) fell, while the total cost per square millimeter fell slowly or stayed about the same.

Moores Law scaling through the classic era.

Moores Law 3.0, then, is far more diverse and involves integrating functions and capabilities that havent historically been seen as part of CPU functions at all. Intels on-die voltage regulator, or the further integration of power circuitry to better improve CPU idle and load characteristics, could be thought of as one application of Moores Law 3.0 along with some of Nvidias deep learning functions, or its push to move camera processing technology over to the same core silicon that powers other areas of the core.

Dr. Mack points to ideas like nanorelays tiny, tiny moving switches that may not flip as quickly as digital logic, but dont leak power at all once flipped. Whether such technologies will be integrated into future chip designs is anyones guess, and the research being poured into them is more uncertain. Its entirely possible that a company might spend millions trying to better implement a design in digital logic, or adapt principles of semiconductors to other types of chip design, only to find the final product is just incrementally better than the previous part.

Theres an argument against this shift in usage that goes something like this: Moores Law, divorced from Gordon Moores actual words, isnt Moores Law at all. Changing the definition of Moores Law changes it from a trustworthy scientific statement into a mealy-mouthed marketing term. Such criticisms arent without merit. Like clock speed, core counts, transistor densities, and benchmark results, Moores Law, in any form, is subject to distortion. Im sympathetic to this argument when Ive called Moores Law dead in the past, Ive been referring to it.

One criticism of this perspective,however, is that the extra layers of fudge were added a long time ago. Gordon Moores original paper wasnt published in The New York Times for public consumption it was a technical document meant to predict the long-term trend of observed phenomena. Modern foundries remain focused on improving density and cutting the cost per transistor (as much as is possible). But the meaning of Moores Law quickly shifted from a simple statement about costs and density trend lines and was presented as an overarching trend that governed nearly every aspect of computing.

Even this overarching trend began to change in 2005, without any undue help from marketing departments. At first, both Intel and AMD focused on adding more cores, but this required additional support from software vendors and performance tools. More recently, both companies have focused on improving power efficiency and cutting idle power to better fit into mobile power envelopes. Intel and AMD have done amazing work pulling down idle power consumption at the platform level, but full load CPU power consumption has fallen much more slowly and maximum CPU temperatures have skyrocketed. We now tolerate full load temperatures of 80-95C, compared to max temperatures of 60-70C less than a decade ago. CPU manufacturers and foundries deserve credit for building chips that can tolerate these higher temperatures, but those changes were made because the Dennard Scaling that underlay what Dr. Mack calls Moores Law 2.0 had already failed.

Transistor scaling continued long after IPC and clock speed had essentially flatlined.

Even an engineering-minded person can appreciate that each shift in the definition of Moores Law accompanied a profound shift in the nature of cutting-edge compute capability. Moores Law 1.0 gave us the mainframe and the minicomputer. Moores Law 2.0s emphasis on per-transistor performance and cost scaling ushered in the era of the microcomputer in both its desktop and laptop incarnations. Moores Law 3.0, with its focus on platform-level costs and total system integration has given us the smartphone, the tablet, and the nascent wearables industry.

Twenty years ago, the pace of Moores Law stood for faster transistors and higher clock speeds. Now it serves as shorthand for better battery life, higher boost frequencies, quicker returns to idle (0W is, in some sense, the new 1GHz), sharper screens, thinner form factors, and, yes higher overall performance in some cases, albeit not as quickly as most of us would like. It endures as a concept because it stands for something much larger than the performance of a transistor or the electrical characteristics of a gate.

After 50 years, Moores Law has become cultural shorthand for innovation itself. When Intel, or Nvidia, or Samsung refer to Moores Law in this context, theyre referring to the continuous application of decades of knowledge and ingenuity across hundreds of products. Its a way of acknowledging the tremendous collaboration that continues to occur from the fab line to the living room, the result of painstaking research aimed to bring a platforms capabilities a little more in line with what users want. Is that marketing? You bet. But its not just marketing.

Moores Law is dead. Long live Moores Law.

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Moore's Law is dead, long live Moore's Law - ExtremeTech

Institute for Humane Studies – Home

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Eugenics – The Canadian Encyclopedia

The word "eugenics" is derived from the Greek word meaning "well born." It was first used in 1883 by Sir Francis Galton, who founded the eugenics movement in England in 1904. The movement focused on both positive and negative eugenics, though with greater emphasis on the latter.

The word "eugenics" is derived from the Greek word meaning "well born." It was first used in 1883 by Sir Francis Galton, who founded the eugenics movement in England in 1904. The movement focused on both positive and negative eugenics, though with greater emphasis on the latter. Positive eugenics included the encouragement of procreation by individuals and groups who were viewed as possessing desirable characteristics and genes, thereby improving and strengthening the overall gene pool of society. Negative eugenics involved discouraging and decreasing procreation by individuals and groups who were viewed as having inferior or undesirable characteristics and genes. The goal of negative eugenics was pursued by a number of different methods aimed at limiting the capacity and opportunity for procreation, including sexual sterilization, marriage prohibition, segregation and institutionalization.

At the heart of the eugenics movement lay certain social and scientific assumptions. One such assumption, based on the work of Mendel, was that certain characteristics and traits were thought to be hereditary. Another was that these characteristics and traits were believed to be socially undesirable. Hence it was thought to be in society's interests to reduce the spread of these undesirable traits by limiting the power of reproduction by those individuals and groups who possessed them. Among the characteristics which many proponents of eugenics viewed as almost exclusively hereditary were mental retardation, mental illness, pauperism, criminality, and various other social defects including prostitution, sexual perversion and other types of immoral behaviour. Supporters of eugenics also believed that these groups had a higher reproductive rate than other people. One of the most dominant and recurrent themes of eugenics philosophy in the late 19th and early 20th century was the emphasis on this link between mental retardation and criminality, and the consequent "menace" which mental deficiency posed to society. Many prominent Canadians of that era were advocates of eugenics philosophy and eugenic sterilization, including Dr. E.W. McBride, Professor Carrie Derick and Dr. Helen MacMurchy. Support for eugenic sterilization was also expressed in the 1920s by many prominent Alberta women, including Emily MURPHY, Louise MCKINNEY and Nellie MCCLUNG.

Eugenics philosophy was highly influential in the enactment of sexual sterilization laws in North America in the early part of the 20th century. This type of legislation was passed in many states in the United States, and in 2 Canadian provinces: Alberta (in 1928) and British Columbia (in 1933). The legislation in Alberta established a Eugenics Board with the power to authorize the sexual sterilization of certain individuals, including those who were "psychotic" or "mentally defective," in order to eliminate "the risk of multiplication of the evil by transmission of the disability to progeny" or the risk of "mental injury either to the individual or to his or her progeny." The Alberta legislation was repealed in 1972. During the 44 years in which the legislation was in effect, the Eugenics Board approved 4725 cases for sterilization, of which 2822 were actually carried out. The legislation in British Columbia, which was used much less often than in Alberta, was repealed in 1973. In 1996 an Alberta court awarded approximately $750 000 in damages to a woman who was wrongfully sterilized under the Alberta legislation.

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Eugenics - The Canadian Encyclopedia

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Welcome to Golden LivingCenter Golden Rule. We are located in Richmond, IN, which is home to an extraordinary collection of early 19th- to early 20th-century architecture. Our residents enjoy many activities, such as weekly bingo and monthly outings to a variety of locations, such as museums,...

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The Golden Rule | Our Daily Bread – odb.org

The concept of The Golden Ruletreat others as you would like to be treatedappears in many religions. So what makes Jesus version of the saying so exceptional?

Its uniqueness lies in a single word, therefore, that signals the generosity of our heavenly Father. Here is what Jesus said: If you then, being evil, know how to give good gifts to your children, how much more will your Father who is in heaven give good things to those who ask Him! Therefore, whatever you want men to do to you, do also to them (Matt. 7:11-12 italics added).

All of us fall short of what we know to be true: We do not love others the way God loves us. Jesus lived out that admirable ethic with perfect love by living and dying for all our sins.

We have a loving, giving Father who set aside His own self-interest to reveal the full measure of His love through His Son Jesus. Gods generosity is the dynamic by which we treat others as we would like to be treated. We love and give to others because He first loved us (1 John 4:19).

Our heavenly Father asks us to live up to His commands, but He also gives us His power and love to carry it out. We need only to ask Him for it.

Heavenly Father, I know that I lack Your patience and mercy and love. Please show Your perfect love through me in some small way today. In Your Son Jesus name I pray.

We have committed The Golden Rule to memory; now let us commit it to life. E. Markham

In the reading today, we see how our Lord emphasized the importance of persistence in prayer. The actual Greek grammar might be better translated as Seek and keep on seeking. Knock and keep on knocking. Ask and keep on asking. Sometimes sincere believers may believe that a sign of faith is to ask God once for a request and never repeat it. But the teachings of the New Testament do not support such a concept. In the parable of the judge and the widow who repeatedly asked him to hear her case, the idea of persistence is central (Luke 18:1-8). As is the case with Job, King David, and other biblical characters, faith is often expressed through repeated prayers and pleading.

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Liberal Party of Australia – Wikipedia

This article is about the modern Australian political party. For the Liberal party active in Australia from 1909 to 1916, see Commonwealth Liberal Party.

The Liberal Party of Australia (Lib or colloquially Libs) is a major political party in Australia. Founded in 1945 to replace the United Australia Party (UAP), the Liberal Party is one of the two major parties in Australian politics, along with the Australian Labor Party (ALP).

The Liberal Party is the largest and dominant party in the Coalition with the National Party of Australia, the Country Liberal Party of the Northern Territory and the Liberal National Party of Queensland. Except for a few short periods, the Liberal Party and its predecessors have operated in similar coalitions since the 1920s. Internationally, the Liberal Party is affiliated to the International Democrat Union.

The party's leader is Malcolm Turnbull and its deputy leader is Julie Bishop. The pair were elected to their positions at the September 2015 Liberal leadership ballot, Bishop was returned to the position of deputy leader and Turnbull as a replacement for Tony Abbott, whom he consequently succeeded as Prime Minister of Australia. Now the Turnbull Government, the party had been elected at the 2013 federal election as the Abbott Government which took office on 18 September 2013.[3] At state and territory level, the Liberal Party is in office in three states: Colin Barnett has been Premier of Western Australia since 2008, Will Hodgman Premier of Tasmania since 2014 and Gladys Berejiklian Premier of New South Wales since 2017. The party is in opposition in Victoria, Queensland, South Australia, the Australian Capital Territory, and the Northern Territory.

The party's ideology has been referred to as conservative,[4]liberal-conservative,[5] and conservative-liberal.[6] The Liberal Party tends to promote economic liberalism and social conservatism.[7] Two past leaders of the party, Sir Robert Menzies and John Howard, are Australia's two longest-serving Prime Ministers. The Liberal Party has spent more time in government than any other federal Australian political party.

The contemporary Liberal Party generally advocates economic liberalism (see New Right). Historically, the party has supported a higher degree of economic protectionism and interventionism than it has in recent decades. However, from its foundation the party has identified itself as anti-socialist. Strong opposition to socialism and communism in Australia and abroad was one of its founding principles. The party's founder and longest-serving leader Robert Menzies envisaged that Australia's middle class would form its main constituency.[8]

Towards the end of his term as Prime Minister of Australia, in a final address to the Liberal Party Federal Council in 1964, Menzies spoke of the "Liberal Creed" as follows:

As the etymology of our name 'Liberal' indicates, we have stood for freedom. We have realised that men and women are not just ciphers in a calculation, but are individual human beings whose individual welfare and development must be the main concern of government ... We have learned that the right answer is to set the individual free, to aim at equality of opportunity, to protect the individual against oppression, to create a society in which rights and duties are recognised and made effective.

Soon after the election of the Howard Government the new Prime Minister John Howard, who was to become the second-longest serving Liberal Prime Minister, spoke of his interpretation of the "Liberal Tradition" in a Robert Menzies Lecture in 1996:

Menzies knew the importance for Australian Liberalism to draw upon both the classical liberal as well as the conservative political traditions. ... He believed in a liberal political tradition that encompassed both Edmund Burke and John Stuart Mill a tradition which I have described in contemporary terms as the broad church of Australian Liberalism.

Throughout their history, the Liberals have been in electoral terms largely the party of the middle class (whom Menzies, in the era of the party's formation called "The forgotten people"), though such class-based voting patterns are no longer as clear as they once were. In the 1970s a left-wing middle class emerged that no longer voted Liberal.[citation needed] One effect of this was the success of a breakaway party, the Australian Democrats, founded in 1977 by former Liberal minister Don Chipp and members of minor liberal parties; other members of the left-leaning section of the middle-class became Labor supporters.[citation needed] On the other hand, the Liberals have done increasingly well in recent years among socially conservative working-class voters.[citation needed]However the Liberal Party's key support base remains the upper-middle classes; 16 of the 20 richest federal electorates are held by the Liberals, most of which are safe seats.[10] In country areas they either compete with or have a truce with the Nationals, depending on various factors.

Menzies was an ardent constitutional monarchist, who supported the Monarchy in Australia and links to the Commonwealth of Nations. Today the party is divided on the question of republicanism, with some (such as incumbent leader Malcolm Turnbull) being republicans, while others (such as his predecessor Tony Abbott) are monarchists. The Menzies Government formalised Australia's alliance with America in 1951, and the party has remained a strong supporter of the mutual defence treaty.

Domestically, Menzies presided over a fairly regulated economy in which utilities were publicly owned, and commercial activity was highly regulated through centralised wage-fixing and high tariff protection. Liberal leaders from Menzies to Malcolm Fraser generally maintained Australia's high tariff levels. At that time the Liberals' coalition partner, the Country Party, the older of the two in the coalition (now known as the "National Party"), had considerable influence over the government's economic policies. It was not until the late 1970s and through their period out of power federally in the 1980s that the party came to be influenced by what was known as the "New Right" a conservative liberal group who advocated market deregulation, privatisation of public utilities, reductions in the size of government programs and tax cuts.

Socially, while liberty and freedom of enterprise form the basis of its beliefs, elements of the party have wavered between what is termed "small-l liberalism" and social conservatism. Historically, Liberal Governments have been responsible for the carriage of a number of notable "socially liberal" reforms, including the opening of Australia to multiethnic immigration under Menzies and Harold Holt; Holt's 1967 Referendum on Aboriginal Rights;[11]Sir John Gorton's support for cinema and the arts;[12] selection of the first Aboriginal Senator, Neville Bonner, in 1971;[13] and Malcolm Fraser's Aboriginal Land Rights Act 1976. A West Australian Liberal, Ken Wyatt, became the first Indigenous Australian elected to the House of Representatives in 2010.[14]

The party has mainly two unorganised factions, the conservative right and the moderate left. Historically, moderates have at times formed their own parties, most notably the Australian Democrats who gave voice to what is termed small-l liberalism in Australia.

The Liberal Party is a member of the International Democrat Union, the only party with the name Liberal to hold membership.

The Liberal Party's organisation is dominated by the six state divisions, reflecting the party's original commitment to a federalised system of government (a commitment which was strongly maintained by all Liberal governments until 1983, but was to a large extent abandoned by the Howard Government, which showed strong centralising tendencies). Menzies deliberately created a weak national party machine and strong state divisions. Party policy is made almost entirely by the parliamentary parties, not by the party's rank-and-file members, although Liberal party members do have a degree of influence over party policy.[15]

The Liberal Party's basic organisational unit is the branch, which consists of party members in a particular locality. For each electorate there is a conferencenotionally above the brancheswhich coordinates campaigning in the electorate and regularly communicates with the member (or candidate) for the electorate. As there are three levels of government in Australia, each branch elects delegates to a local, state, and federal conference.[15]

All the branches in an Australian state are grouped into a Division. The ruling body for the Division is a State Council. There is also one Federal Council which represents the entire organisational Liberal Party in Australia. Branch executives are delegates to the Councils ex-officio and additional delegates are elected by branches, depending on their size.[15]

Preselection of electoral candidates is performed by a special electoral college convened for the purpose. Membership of the electoral college consists of head office delegates, branch officers, and elected delegates from branches.[15]

The Liberals' immediate predecessor was the United Australia Party (UAP). More broadly, the Liberal Party's ideological ancestry stretched back to the anti-Labor groupings in the first Commonwealth parliaments. The Commonwealth Liberal Party was a fusion of the Free Trade Party and the Protectionist Party in 1909 by the second prime minister, Alfred Deakin, in response to Labor's growing electoral prominence. The Commonwealth Liberal Party merged with several Labor dissidents (including Billy Hughes) to form the Nationalist Party of Australia in 1917. That party, in turn, merged with Labor dissidents to form the UAP in 1931.

The UAP had been formed as a new conservative alliance in 1931, with Labor defector Joseph Lyons as its leader. The stance of Lyons and other Labor rebels against the more radical proposals of the Labor movement to deal the Great Depression had attracted the support of prominent Australian conservatives.[16] With Australia still suffering the effects of the Great Depression, the newly formed party won a landslide victory at the 1931 Election, and the Lyons Government went on to win three consecutive elections. It largely avoided Keynesian pump-priming and pursued a more conservative fiscal policy of debt reduction and balanced budgets as a means of stewarding Australia out of the Depression. Lyons' death in 1939 saw Robert Menzies assume the Prime Ministership on the eve of war. Menzies served as Prime Minister from 1939 to 1941 but resigned as leader of the minority World War II government amidst an unworkable parliamentary majority. The UAP, led by Billy Hughes, disintegrated after suffering a heavy defeat in the 1943 election.

Menzies called a conference of conservative parties and other groups opposed to the ruling Australian Labor Party, which met in Canberra on 13 October 1944 and again in Albury, New South Wales in December 1944.[17][18] From 1942 onward Menzies had maintained his public profile with his series of "The Forgotten People" radio talkssimilar to Franklin D. Roosevelt's "fireside chats" of the 1930sin which he spoke of the middle class as the "backbone of Australia" but as nevertheless having been "taken for granted" by political parties.[19][20]

Outlining his vision for a new political movement in 1944, Menzies said:

...[W]hat we must look for, and it is a matter of desperate importance to our society, is a true revival of liberal thought which will work for social justice and security, for national power and national progress, and for the full development of the individual citizen, though not through the dull and deadening process of socialism.

The formation of the party was formally announced at Sydney Town Hall on 31 August 1945.[18] It took the name "Liberal" in honour of the old Commonwealth Liberal Party. The new party was dominated by the remains of the old UAP; with few exceptions, the UAP party room became the Liberal party room. The Australian Women's National League, a powerful conservative women's organisation, also merged with the new party. A conservative youth group Menzies had set up, the Young Nationalists, was also merged into the new party. It became the nucleus of the Liberal Party's youth division, the Young Liberals. By September 1945 there were more than 90,000 members, many of whom had not previously been members of any political party.[18]

After an initial loss to Labor at the 1946 election, Menzies led the Liberals to victory at the 1949 election, and the party stayed in office for a record 23 yearsstill the longest unbroken run in government at the federal level. Australia experienced prolonged economic growth during the post-war boom period of the Menzies Government (19491966) and Menzies fulfilled his promises at the 1949 election to end rationing of butter, tea and petrol and provided a five-shilling endowment for first-born children, as well as for others.[22] While himself an unashamed anglophile, Menzies' government concluded a number of major defence and trade treaties that set Australia on its post-war trajectory out of Britain's orbit; opened Australia to multi-ethnic immigration; and instigated important legal reforms regarding Aboriginal Australians.

Menzies ran strongly against Labor's plans to nationalise the Australian banking system and, following victory in the 1949 election, secured a double dissolution election for April 1951, after the Labor-controlled Senate refused to pass his banking legislation. The Liberal-Country Coalition was returned with control of the Senate. The Government was returned again in the 1954 election; the formation of the anti-Communist Democratic Labor Party (DLP) and the consequent split in the Australian Labor Party early in 1955 helped the Liberals to another victory in December 1955. John McEwen replaced Arthur Fadden as leader of the Country Party in March 1958 and the Menzies-McEwen Coalition was returned again at elections in November 1958 their third victory against Labor's H. V. Evatt. The Coalition was narrowly returned against Labor's Arthur Calwell in the December 1961 election, in the midst of a credit squeeze. Menzies stood for office for the last time in the November 1963 election, again defeating Calwell, with the Coalition winning back its losses in the House of Representatives. Menzies went on to resign from parliament on 26 January 1966.[23]

Menzies came to power the year the Communist Party of Australia had led a coal strike to improve pit miners' working conditions. That same year Joseph Stalin's Soviet Union exploded its first atomic bomb, and Mao Zedong led the Communist Party of China to power in China; a year later came the invasion of South Korea by Communist North Korea. Anti-communism was a key political issue of the 1950s and 1960s.[24] Menzies was firmly anti-Communist; he committed troops to the Korean War and attempted to ban the Communist Party of Australia in an unsuccessful referendum during the course of that war. The Labor Party split over concerns about the influence of the Communist Party over the Trade Union movement, leading to the foundation of the breakaway Democratic Labor Party whose preferences supported the Liberal and Country parties.[25]

In 1951, during the early stages of the Cold War, Menzies spoke of the possibility of a looming third world war. The Menzies Government entered Australia's first formal military alliance outside of the British Commonwealth with the signing of the ANZUS Treaty between Australia, New Zealand and the United States in San Francisco in 1951. External Affairs Minister Percy Spender had put forward the proposal to work along similar lines to the NATO Alliance. The Treaty declared that any attack on one of the three parties in the Pacific area would be viewed as a threat to each, and that the common danger would be met in accordance with each nation's constitutional processes. In 1954 the Menzies Government signed the South East Asia Collective Defence Treaty (SEATO) as a South East Asian counterpart to NATO. That same year, Soviet diplomat Vladimir Petrov and his wife defected from the Soviet embassy in Canberra, revealing evidence of Russian spying activities; Menzies called a Royal Commission to investigate.[26]

In 1956 a committee headed by Sir Keith Murray was established to inquire into the financial plight of Australia's universities, and Menzies pumped funds into the sector under conditions which preserved the autonomy of universities.

Menzies continued the expanded immigration program established under Chifley, and took important steps towards dismantling the White Australia Policy. In the early 1950s, external affairs minister Percy Spender helped to establish the Colombo Plan for providing economic aid to underdeveloped nations in Australia's region. Under that scheme many future Asian leaders studied in Australia.[27] In 1958 the government replaced the Immigration Act's arbitrarily applied European language dictation test with an entry permit system, that reflected economic and skills criteria.[28][29] In 1962, Menzies' Commonwealth Electoral Act provided that all Indigenous Australians should have the right to enrol and vote at federal elections (prior to this, indigenous people in Queensland, Western Australia and some in the Northern Territory had been excluded from voting unless they were ex-servicemen).[30] In 1949 the Liberals appointed Dame Enid Lyons as the first woman to serve in an Australian Cabinet. Menzies remained a staunch supporter of links to the monarchy and British Commonwealth but formalised an alliance with the United States and concluded the Agreement on Commerce between Australia and Japan which was signed in July 1957 and launched post-war trade with Japan, beginning a growth of Australian exports of coal, iron ore and mineral resources that would steadily climb until Japan became Australia's largest trading partner.

Menzies retired in 1966 as Australia's longest-serving Prime Minister.

Harold Holt replaced the retiring Robert Menzies in 1966 and the Holt Government went on to win 82 seats to Labor's 41 in the 1966 election.[31] Holt remained Prime Minister until 19 December 1967, when he was declared presumed dead two days after disappearing in rough surf in which he had gone for a swim.

Holt increased Australian commitment to the growing War in Vietnam, which met with some public opposition. His government oversaw conversion to decimal currency. Holt faced Britain's withdrawal from Asia by visiting and hosting many Asian leaders and by expanding ties to the United States, hosting the first visit to Australia by an American president, his friend Lyndon B. Johnson. Holt's government introduced the Migration Act 1966, which effectively dismantled the White Australia Policy and increased access to non-European migrants, including refugees fleeing the Vietnam War. Holt also called the 1967 Referendum which removed the discriminatory clause in the Australian Constitution which excluded Aboriginal Australians from being counted in the census the referendum was one of the few to be overwhelmingly endorsed by the Australian electorate (over 90% voted 'yes'). By the end of 1967, the Liberals' initially popular support for the war in Vietnam was causing increasing public protest.[32]

The Liberals chose John Gorton to replace Holt. Gorton, a former World War II Royal Australian Air Force pilot, with a battle scarred face, said he was "Australian to the bootheels" and had a personal style which often affronted some conservatives.

The Gorton Government increased funding for the arts, setting up the Australian Council for the Arts, the Australian Film Development Corporation and the National Film and Television Training School. The Gorton Government passed legislation establishing equal pay for men and women and increased pensions, allowances and education scholarships, as well as providing free health care to 250,000 of the nation's poor (but not universal health care). Gorton's government kept Australia in the Vietnam War but stopped replacing troops at the end of 1970.[33]

Gorton maintained good relations with the United States and Britain, but pursued closer ties with Asia. The Gorton government experienced a decline in voter support at the 1969 election. State Liberal leaders saw his policies as too Centralist, while other Liberals didn't like his personal behaviour. In 1971, Defence Minister Malcolm Fraser, resigned and said Gorton was "not fit to hold the great office of Prime Minister". In a vote on the leadership the Liberal Party split 50/50, and although this was insufficient to remove him as the leader, Gorton decided this was also insufficient support for him, and he resigned.[33]

Former treasurer, William McMahon, replaced Gorton as Prime Minister. Gorton remained a front bencher but relations with Fraser remained strained. The McMahon Government ended when Gough Whitlam led the Australian Labor Party out of its 23-year period in Opposition at the 1972 election.

The economy was weakening. McMahon maintained Australia's diminishing commitment to Vietnam and criticised Opposition leader, Gough Whitlam, for visiting Communist China in 1972only to have the US President Richard Nixon announce a planned visit soon after.[34]

During McMahon's period in office, Neville Bonner joined the Senate and became the first Indigenous Australian in the Australian Parliament.[35] Bonner was chosen by the Liberal Party to fill a Senate vacancy in 1971 and celebrated his maiden parliamentary speech with a boomerang throwing display on the lawns of Parliament. Bonner went on to win election at the 1972 election and served as a Liberal Senator for 12 years. He worked on Indigenous and social welfare issues and proved an independent minded Senator, often crossing the floor on Parliamentary votes.[36]

Following Whitlam's victory, John Gorton played a further role in reform by introducing a Parliamentary motion from Opposition supporting the legalisation of same-gender sexual relations. Billy Snedden led the party against Whitlam in the 1974 federal election, which saw a return of the Labor government. When Malcolm Fraser won the Liberal Party leadership from Snedden in 1975, Gorton walked out of the Party Room.[37]

Following the 197475 Loans Affair, the Malcolm Fraser led Liberal-Country Party Coalition argued that the Whitlam Government was incompetent and delayed passage of the Government's money bills in the Senate, until the government would promise a new election. Whitlam refused, Fraser insisted leading to the divisive 1975 Australian constitutional crisis. The deadlock came to an end when the Whitlam government was dismissed by the Governor-General, Sir John Kerr on 11 November 1975 and Fraser was installed as caretaker Prime Minister, pending an election. Fraser won in a landslide at the resulting 1975 election.

Fraser maintained some of the social reforms of the Whitlam era, while seeking increased fiscal restraint. His government included the first Aboriginal federal parliamentarian, Neville Bonner, and in 1976, Parliament passed the Aboriginal Land Rights Act 1976, which, while limited to the Northern Territory, affirmed "inalienable" freehold title to some traditional lands. Fraser established the multicultural broadcaster SBS, accepted Vietnamese refugees, opposed minority white rule in Apartheid South Africa and Rhodesia and opposed Soviet expansionism. A significant program of economic reform however was not pursued. By 1983, the Australian economy was suffering with the early 1980s recession and amidst the effects of a severe drought. Fraser had promoted "states' rights" and his government refused to use Commonwealth powers to stop the construction of the Franklin Dam in Tasmania in 1982.[38] Liberal minister, Don Chipp split off from the party to form a new social liberal party, the Australian Democrats in 1977. Fraser won further substantial majorities at the 1977 and 1980 elections, before losing to the Bob Hawke led Australian Labor Party in the 1983 election.[39]

A period of division for the Liberals followed, with former Treasurer John Howard competing with former Foreign Minister Andrew Peacock for supremacy. The Australian economy was facing the early 1990s recession. Unemployment reached 11.4% in 1992. Under Dr John Hewson, in November 1991, the opposition launched the 650-page Fightback! policy document a radical collection of "dry", economic liberal measures including the introduction of a Goods and Services Tax (GST), various changes to Medicare including the abolition of bulk billing for non-concession holders, the introduction of a nine-month limit on unemployment benefits, various changes to industrial relations including the abolition of awards, a $13 billion personal income tax cut directed at middle and upper income earners, $10 billion in government spending cuts, the abolition of state payroll taxes and the privatisation of a large number of government owned enterprises representing the start of a very different future direction to the keynesian economic conservatism practiced by previous Liberal/National Coalition governments. The 15 percent GST was the centerpiece of the policy document. Through 1992, Labor Prime Minister Paul Keating mounted a campaign against the Fightback package, and particularly against the GST, which he described as an attack on the working class in that it shifted the tax burden from direct taxation of the wealthy to indirect taxation as a broad-based consumption tax. Pressure group activity and public opinion was relentless, which led Hewson to exempt food from the proposed GST leading to questions surrounding the complexity of what food was and wasn't to be exempt from the GST. Hewson's difficulty in explaining this to the electorate was exemplified in the infamous birthday cake interview, considered by some as a turning point in the election campaign. Keating won a record fifth consecutive Labor term at the 1993 election. A number of the proposals were later adopted in to law in some form, to a small extent during the Keating Labor government, and to a larger extent during the Howard Liberal government (most famously the GST), while unemployment benefits and bulk billing were re-targeted for a time by the Abbott Liberal government.

At the state level, the Liberals have been dominant for long periods in all states except Queensland, where they have always held fewer seats than the National Party (not to be confused with the old Nationalist Party). The Liberals were in power in Victoria from 1955 to 1982. Jeff Kennett led the party back to office in that state in 1992, and remained Premier until 1999.

In South Australia, initially a Liberal and Country Party affiliated party, the Liberal and Country League (LCL), mostly led by Premier of South Australia Tom Playford, was in power from the 1933 election to the 1965 election, though with assistance from an electoral malapportionment, or gerrymander, known as the Playmander. The LCL's Steele Hall governed for one term from the 1968 election to the 1970 election and during this time began the process of dismantling the Playmander. David Tonkin, as leader of the South Australian Division of the Liberal Party of Australia, became Premier at the 1979 election for one term, losing office at the 1982 election. The Liberals returned to power at the 1993 election, led by Premiers Dean Brown, John Olsen and Rob Kerin through two terms, until their defeat at the 2002 election. They have since remained in opposition under a record five Opposition Leaders.

The dual aligned Country Liberal Party ruled the Northern Territory from 1978 to 2001.

The party has held office in Western Australia intermittently since 1947. Liberal Richard Court was Premier of the state for most of the 1990s.

In New South Wales, the Liberal Party has not been in office as much as its Labor rival, and just three leaders have led the party from opposition to government in that state: Sir Robert Askin, who was premier from 1965 to 1975, Nick Greiner, who came to office in 1988 and resigned in 1992, and Barry O'Farrell who would lead the party out of 16 years in opposition in 2011.

The Liberal Party does not officially contest most local government elections, although many members do run for office in local government as independents. An exception is the Brisbane City Council, where both Sallyanne Atkinson and Campbell Newman have been elected Lord Mayor of Brisbane.[40]

Labor's Paul Keating lost the 1996 Election to the Liberals' John Howard. The Liberals had been in Opposition for 13 years.[41] With John Howard as Prime Minister, Peter Costello as Treasurer and Alexander Downer as Foreign Minister, the Howard Government remained in power until their electoral defeat to Kevin Rudd in 2007.

Howard generally framed the Liberals as being conservative on social policy, debt reduction and matters like maintaining Commonwealth links and the American Alliance but his premiership saw booming trade with Asia and expanding multiethnic immigration. His government concluded the Australia-United States Free Trade Agreement with the Bush Administration in 2004.[35]

Howard differed from his Labor predecessor Paul Keating in that he supported traditional Australian institutions like the Monarchy in Australia, the commemoration of ANZAC Day and the design of the Australian flag, but like Keating he pursued privatisation of public utilities and the introduction of a broad based consumption tax (although Keating had dropped support for a GST by the time of his 1993 election victory). Howard's premiership coincided with Al Qaeda's 11 September attacks on the United States. The Howard Government invoked the ANZUS treaty in response to the attacks and supported America's campaigns in Afghanistan and Iraq.

In the 2004 Federal elections the party strengthened its majority in the Lower House and, with its coalition partners, became the first federal government in twenty years to gain an absolute majority in the Senate. This control of both houses permitted their passing of legislation without the need to negotiate with independents or minor parties, exemplified by industrial relations legislation known as WorkChoices, a wide ranging effort to increase deregulation of industrial laws in Australia.

In 2005, Howard reflected on his government's cultural and foreign policy outlook in oft repeated terms:[42]

When I became Prime Minister nine years ago, I believed that this nation was defining its place in the world too narrowly. My Government has rebalanced Australia's foreign policy to better reflect the unique intersection of history, geography, culture and economic opportunity that our country represents. Time has only strengthened my conviction that we do not face a choice between our history and our geography.

John Howard

The 2007 federal election saw the defeat of the Howard federal government, and the Liberal Party was in opposition throughout Australia at the state and federal level; the highest Liberal office-holder at the time was Brisbane Lord Mayor Campbell Newman. This ended after the Western Australian state election, 2008, when Colin Barnett became Premier of that state.

Following the 2007 federal election, Dr Brendan Nelson was elected leader by the Parliamentary Liberal Party. On 16 September 2008, in a second contest following a spill motion, Nelson lost the leadership to Malcolm Turnbull.[43] On 1 December 2009, a subsequent leadership election saw Turnbull lose the leadership to Tony Abbott by 42 votes to 41 on the second ballot.[44] Abbott led the party to the 2010 federal election, which saw an increase in the Liberal Party vote and resulted in the first hung parliament since the 1940 election.[45]

Through 2010, the party improved its vote in the Tasmanian and South Australian state elections and achieved state government in Victoria. In March 2011, the New South Wales Liberal-National Coalition led by Barry O'Farrell won government with the largest election victory in post-war Australian history at the State Election.[46] In Queensland, the Liberal and National parties merged in 2008 to form the new Liberal National Party of Queensland (registered as the Queensland Division of the Liberal Party of Australia). In March 2012, the new party achieved Government in an historic landslide, led by former Brisbane Lord Mayor, Campbell Newman.[47]

The following is a complete list of Liberal Party leaders:

Key: Liberal Labor Country/National PM: Prime Minister LO: Leader of the Opposition : Died in office

1 Queensland is represented by the Liberal National Party of Queensland. This party is the result of a merger of the Queensland Division of the Liberal Party and the Queensland National Party to contest elections as a single party.

2 The Northern Territory is represented by the Country Liberal Party, which is endorsed as the Territory division of the Liberal Party.

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Ascension (TV Mini-Series 2014 ) – IMDb

Edit Storyline

A young woman's murder causes the subjects of a century-long mission to populate a new world to question the true nature of the project as they approach the point of no return.

To approximate the gravity of Earth, the engines would need to provide a constant acceleration of 9.81m/s2. At this acceleration, the ship would reach 97% of the speed of light in just 2 years and the journey to Proxima Centauri (Ascension's quoted destination) would take roughly 5.2 years. In the show, the ship has apparently been en route for over 50 years, almost 10 times as long as the journey should take.

Such a speed would not be possible for a ship of this type in any case, as it would need a huge shield against interstellar material and an impossibly large fuel load.

All of this is simple math and physics and could be questioned by any reasonably well-educated person in the 1960s; it's inconceivable that none of the crew or other people on board would not have questioned this inconsistency. See more

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Mommyjacking The Childfree Life – STFU Parents

If I had to pick one subject thats emblematic of STFU, Parents, it would probably be mommyjacking. Nothing makes a person want to shatter a windshield more than a good mommyjacking round-up, especially when the examples surround people who are childfree. Weve examined this phenomenon before with posts like Have a Kid! and Wait Til You Have Kids,yet parents continue to bully, patronize, and generally annoy the living shit out of their friends by making weird parenting-related comments at the dumbest and/or worst of times.

This much is clear not just in my inbox, but on newsstands, too. Take a look at the TIME magazine cover storyThe Childfree Life,which inspired a lot of conversation online as well asmy new Mommyish columnand this post. The media will never stop comparing childfree/childless people and parents something I canpersonallyattest to even though the subject is suuuper boring, and its still as irritating as ever (if not more so) when parents condescend to their friends just for not having kids. Whats the point? Cant we all just get along?? Lets check out some more examples of parents mommyjacking their selfish, clueless, and unimpressive non-parent friends:

1. Congratulations, You Dont KnowShit

Its taken a few years, but Zoeys comment might trumpthis mommyjackingin its display of earnest assholishness, which is a real feat. Congratulations on being the yin to Karas yang, Zoey. The world stays balanced because of people like you.

2. Nursejacking

Adriennes cryptic-sounding status update isnt so cryptic to her Facebook friends, who know shes been working toward becoming a nurse for some time now. That said, becoming a nurse cant really compare to becoming a mom, PLUS nurses get paid! What kind of BS is that? Pay nurses for knowing how to treat a stab wound to the trachea, but dont pay moms for doing almost the exact same thing? Thats called discrimination.

3. The Dog/Baby Void

Oh,dog people.When will they ever learn that you can never fill a baby void with dogs. German Shepherds, English Bulldogs, pitbull-Jack Russell-terrier muttsthe list goes on and on. You can try to fit as many as 100 beautiful rescue pups into that baby-shaped void, but NOTHING will fill it like a human baby. Its like trying to fit a St. Bernardinto a Baby Bjorn. Not gonna happen.

4. Sun-kiss That Tan Goodbye

Aww, you got engaged andyourso tan! Really adorable considering you have no ideawhat will happen once kids enter the picture..LOL hope you had fun with THAT. Ask yourself one question: Have you ever met a mother whose tan is even? LOL thats what I thought!! Sucker. Just wait. 🙂

5. Enjoy those days

Im considering staging an Apostrophe Intervention because my eyes are so tired of reading plural words with apostrophes. For the love of god, if youre going to mommyjack, do it with some class. Or, heres a thought: Dont do it at all, because it leads to comment threads like this one.First, Red pops in with the old, Holy shit, NOON???, which I can actually understand from a (non-parent) parents perspective. From there, however, it goes from patronizing doll days to Ugh. Ditto on the kids. which is *kind of*another way of saying, Bitch, please.

Ultimately, sleep is a parent vs. non-parent battle that will never be won. As much as it sucks that parents parents never get to sleep in, its also sucky to begrudge a friend who doesnt have kids for doing so. Dont hate the sleeper, hate the nap. Or the wailing child whos keeping you up. You know what I mean.

Dont forget to check out my new column'How Not To Mommyjack Your Childfriend Friendsover on Mommyish!

(submitted by Anonymous)

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Mommyjacking The Childfree Life - STFU Parents

EvolutionM.net – Mitsubishi Lancer Evolution | Reviews, News …

Perspective. When you take any testimony into account, its the single most important variable to consider. My vantage point of the RS is a bit unique coming from an Evo background, where the benchmark for a turbo-AWD car is performance first. Handling, acceleration, braking, and upgrade potential are all important to me. The furthest turbo-AWD [] More

A friend of mine recently picked up a 2016 GT350R, and we met at our local Cars & Coffee to weigh his car. As it turns out, we were able to find all versions of the S550 present and get weights on them, sans the V6. The GT350R is gorgeous inside and out. I took [] More

Recently Ive picked up some corner scales. My intention is to start to weigh, photograph, and write mini features on local cars. Im just getting ramped up, and its been pretty cold locally, so there isnt much data yet. Ill be posting results in this thread:**Corner weight database, click me** Im also using the [] More

Today marks the closing of a book, and that makes me feel a little sad. Im driving to Hallmark Mitsubishi in Nashville to review a Final Edition Evolution X, which will likely be the last new Evo Ill ever get to drive. Ive arranged this with my friend Evan, who is the sales manager here. [] More

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FOURTH AMENDMENT | American Civil Liberties Union

In Arizona v. Evans, 63 U.S.L.W. 4179 (March 1, 1995)(7-2), the Court held that the exclusionary rule does not apply to evidence seized by the police on the basis of a mistaken computer entry generated by court employees (rather than the police them- selves). In a combination of concurring and dissenting opinions, however, five members of the Court expressed great concern about the proliferation of computerized criminal justice records and their potential impact on personal privacy. Accordingly, the decision stops far short of creating a general good faith excep- tion to the exclusionary rule for any Fourth Amendment violation based on a computer mistake. The ACLU submitted an amicus brief supporting the defendant's claim that the evidence was properly excluded in this case regardless of which agency bore responsibi- lity for the underlying computer error. Summary of Argument in ACLU amicus brief

In Wilson v. Arkansas, 63 U.S.L.W. 4456 (May 22, 1995)(9-0), the Court ruled that the "reasonableness" requirement of the Fourth Amendment generally requires the police to "knock and announce" their presence when executing a search warrant. The Court acknowledged that this presumption may be overcome in exigent circumstances. However, the Court did not give law enforcement officials a carte blanche to ignore the "knock and announce" rule in all cases. The ACLU submitted an amicus brief arguing in favor of the "knock and announce" rule. Summary of Argument in ACLU amicus brief

In Vernonia School District 47J v. Acton, 63 U.S.L.W. 4653 (June 26, 1995)(6-3), the Court upheld a program of random, suspicionless drug testing for middle or high school athletes. The majority opinion, written by Justice Scalia, acknowledged that drug testing constitutes a search for Fourth Amendment purposes. The Court nevertheless concluded that students have diminished Fourth Amendment rights that are outweighed by the state's interest in addressing the problem of drugs in schools. In a strongly worded dissent, Justice O'Connor criticized the majority for "dispens[ing] with the requirement of individualized suspicion . . ." Id. at 4659. The ACLU represented the student plaintiff in this case. Summary of Argument in ACLU amicus brief

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FOURTH AMENDMENT | American Civil Liberties Union

Medical School Advice | The Princeton Review

Here is the only list you need to educate yourself on combined degree programs for med students. From the MD/PhD to the MD/MBA, we know it all.

Considering an MD? Read our overview of the training youll receive at an allopathic med school so you know what to expect in medical school.

What are Step 1, Step 2, and Step 3? Learn about the USMLE board exam for medical school students.

Learn how to balance your time wisely as a pre-med, complete your pre-med requirements, and position yourself for a fantastic medical school application.

Learn when and how to study for the MCAT with our MCAT study guide. Well help you make the right MCAT study schedule for your medical school goals.

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On the MCAT timing is everything. Learn how to read through science and CARS passages faster and more efficiently.

Learn everything you need to know about retaking the MCAT, and expert tips for deciding if you really need a redo.

What are good MCAT scores? Well, it depends on the rest of your medical school application. Learn how MCAT scoring affects your chances for admission.

A clear MCAT time management strategy helps you stay calm and work smarter. Learn how to pace yourself on the MCAT and get the score you need.

The Princeton Review debunks the 4 most common MCAT myths, so you can conquer the MCAT and boost your score.

Check out our list of the best pre-med majors, and learn how your major can help you on the MCAT.

Are you MCAT ready? Take our MCAT quiz and test your knowledge of exam format, sections, and question types you can expect on the MCAT.

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Medical School Advice | The Princeton Review

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(e) Science News | Latest science news articles

Seasteading | Book by Joe Quirk, Patri Friedman | Official …

A bold vision of the near future: cities built on floating platforms in the ocean, where people will forge their own governments and by living sustainably will solve many of our critical environmental problems.

Our planet is suffering from serious environmental problems: coastal flooding due to severe storms caused in part by atmospheric pollution, diminishing natural resources such as clean water, and so on. But while these problems plague Planet Earth, two-thirds of our globe is Planet Ocean. The seas can be home to pioneers, seasteaders, who are willing to homestead the Blue Frontier. Oil platforms and cruise ships already inhabit the waters; now its time to take the next step to full-fledged ocean civilizations. In their fascinating examination of a practical solution to our earthly problems, Joe Quirk and Patri Friedman profile some of the visionaries who are implementing basic concepts of seasteading: farming the oceans for new sources of nutrition; using the seas as a new sustainable energy source; establishing more equitable economies; reinventing architecture to accommodate the demands of living on the ocean.

These pioneers include Ricardo Radulovich, an agricultural water scientist who has built prototypes for giant seaweed farms to create new food sources; Neil Sims, a biologist who has invented new sustainable free-floating fish farms; Lissa Morgenthaler-Jones, a biotechnology entrepreneur investing heavily in algae fuel to replace fossil fuels; Patrick Takahashi, a biochemical engineer who wants to create floating cities that draw on the oceans as an energy source, and many others. Their research efforts have been supported by organizations like the World Bank, the Bill and Melinda Gates Foundation, and Lockheed Martin.

An entrepreneurs dream, these floating cities will become laboratories for innovation and creativity. Seasteading may be visionary, but it already has begun proving the adage that yesterdays science fiction is tomorrows science fact. Welcome to seavilization.

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Seasteading | Book by Joe Quirk, Patri Friedman | Official ...

About the School: Medical School UT Southwestern, Dallas, TX

UT Southwestern Medical School is one of four medical schools in the University of Texas System and one of the nations top medical schools. UT Southwestern admits approximately 230 students each year, and admission is highly competitive. Were looking for the best and the brightest, the most intellectually curious, and the most caring and compassionate future physicians.

Since our founding in 1943, weve graduated more than 11,000 physicians. This year alone, the Medical School will train about 1,000 medical students and 1,500 clinical residents.

Our graduates have distinguished themselves at top medical facilities around the world, advancing the cause of medicine, furthering their careers, and adding luster to a UT Southwestern degree. In fact, one Medical School graduate won a Nobel Prize.

The Medical School is located in the 387-acre Southwestern Medical District, just minutes from downtown Dallas. The medical district is home to two UTSouthwestern University Hospitals, William P. Clements Jr. University Hospitaland Zale Lipshy University Hospital; as well as Parkland Memorial Hospital one of the nations top public hospitals and Children's Medical Center, a national leader in pediatric care. All are used to train Medical School students.

Along with educating the physicians of tomorrow to care for future generations of patients, UT Southwestern is a leading research facility (more than $400 million in annual funding). We are home to some of the countrys foremost medical minds. UT Southwestern's faculty includes more members of the prestigiousNational Academy of Sciencesthan all other academic medical centers in Texas combined.

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About the School: Medical School UT Southwestern, Dallas, TX