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Anthropologist, professor at the Federal University of São Paulo

Rainforests in Far East Shaped by Humans for the Last 11,000 Years (Science Daily)

Jan. 24, 2014 — New research from Queen’s University Belfast shows that the tropical forests of South East Asia have been shaped by humans for the last 11,000 years.

New research from Queen’s University Belfast shows that the tropical forests of South East Asia have been shaped by humans for the last 11,000 years. (Credit: © Juhku / Fotolia)

The rain forests of Borneo, Sumatra, Java, Thailand and Vietnam were previously thought to have been largely unaffected by humans, but the latest research from Queen’s Palaeoecologist Dr Chris Hunt suggests otherwise.

A major analysis of vegetation histories across the three islands and the SE Asian mainland has revealed a pattern of repeated disturbance of vegetation since the end of the last ice age approximately 11,000 years ago.

The research, which was funded by the Arts and Humanities Research Council and the British Academy, is being published in the Journal of Archaeological Science. It is the culmination of almost 15 years of field work by Dr Hunt, involving the collection of pollen samples across the region, and a major review of existing palaeoecology research, which was completed in partnership with Dr Ryan Rabett from Cambridge University.

Evidence of human activity in rainforests is extremely difficult to find and traditional archaeological methods of locating and excavating sites are extremely difficult in the dense forests. Pollen samples, however, are now unlocking some of the region’s historical secrets.

Dr Hunt, who is Director of Research on Environmental Change at Queen’s School of Geography, Archaeology and Palaeoecology, said: “It has long been believed that the rainforests of the Far East were virgin wildernesses, where human impact has been minimal. Our findings, however, indicate a history of disturbances to vegetation. While it could be tempting to blame these disturbances on climate change, that is not the case as they do not coincide with any known periods of climate change. Rather, these vegetation changes have been brought about by the actions of people.

“There is evidence that humans in the Kelabit Highlands of Borneo burned fires to clear the land for planting food-bearing plants. Pollen samples from around 6,500 years ago contain abundant charcoal, indicating the occurrence of fire. However, while naturally occurring or accidental fires would usually be followed by specific weeds and trees that flourish in charred ground, we found evidence that this particular fire was followed by the growth of fruit trees. This indicates that the people who inhabited the land intentionally cleared it of forest vegetation and planted sources of food in its place.

“One of the major indicators of human action in the rainforest is the sheer prevalence of fast-growing ‘weed’ trees such as Macaranga, Celtis and Trema. Modern ecological studies show that they quickly follow burning and disturbance of forests in the region.

“Nearer to the Borneo coastline, the New Guinea Sago Palm first appeared over 10,000 years ago. This would have involved a voyage of more than 2,200km from its native New Guinea, and its arrival on the island is consistent with other known maritime voyages in the region at that time — evidence that people imported the Sago seeds and planted them.”

The findings have huge importance for ecological studies or rainforests as the historical role of people in managing the forest vegetation has rarely been considered. It could also have an impact on rainforest peoples fighting the advance of logging companies.

Dr Hunt continued: “Laws in several countries in South East Asia do not recognise the rights of indigenous forest dwellers on the grounds that they are nomads who leave no permanent mark on the landscape. Given that we can now demonstrate their active management of the forests for more than 11,000 years, these people have a new argument in their case against eviction.”

Journal Reference:

  1. C.O. Hunt, R.J. Rabett. Holocene landscape intervention and plant food production strategies in island and mainland Southeast AsiaJournal of Archaeological Science, 2013; DOI: 10.1016/j.jas.2013.12.011

O Brasil ‘bipolar’ vem a Davos (Folha de S.Paulo)

23/01/2014  03h26

Clóvis Rossi

DAVOS – Marcelo Neri, o economista que chefia a Secretaria de Assuntos Estratégicos, lamenta que o Brasil viva o que chama de “situação bipolar”: uma boa parte do empresariado está pessimista com os rumos da economia, ao passo que o que Elio Gaspari chamaria de “andar de baixo” está satisfeito com a inclusão ocorrida nos últimos anos.

O ideal, para Neri, seria que “pessimistas fossem menos pessimistas, e otimistas menos otimistas”.

A segunda parte da equação é inalcançável, brinca o ministro, na medida em que “o brasileiro foi heptacampeão mundial de otimismo” (ficou em primeiro lugar na pesquisa Gallup sobre a satisfação com a própria vida, entre 2006 e 2012).

Em 2013, no entanto, as coisas mudaram ligeiramente: houve uma queda na satisfação, para o 18º lugar no mundo, coincidindo com as manifestações de junho. Mas, já em outubro, de 0 a 10, o brasileiro dava 7 para a sua satisfação com a vida, o terceiro lugar no planeta.

O ministro tem uma explicação para a “bipolaridade”: economistas e executivos costumam olhar muito para o PIB, que, de fato, está crescendo mediocremente, como disse ontem a mexicana Alícia Bárcenas, secretária-executiva da Cepal, a Comissão Econômica para a América Latina e o Caribe.

Já o comum dos mortais olha para a sua própria vida e vê que ela melhorou nos últimos anos, inclusive no ano passado: enquanto o PIB per capita, até novembro, crescia apenas 1,8%, a renda mediana subia 5,2%.

Como, então, explicar os protestos de junho? Para Neri, “a casa melhorou, mas o seu entorno [leia-se: serviços públicos] não. As pessoas querem uma outra agenda, após o crescimento com redução da desigualdade”.

Neste ponto, uma observação pessoal que já fiz várias vezes ao hoje ministro e da qual ele não discorda: caiu a desigualdade entre salários, mas não entre o rendimento do capital e do trabalho, até porque é muito difícil medir o primeiro desses rendimentos.

E os rolezinhos? Neri admitiu, em mesa-redonda ontem em Davos: “Não acho que saibamos o que está acontecendo”.

Mas, em conversa com jornalistas, arriscou palpites: primeiro, a sociedade está muito mais interligada, do que decorre o uso das redes sociais como ponto de referência para os rolezinhos, e “a população jovem nunca foi e nunca mais será tão grande como agora”.

É desse Brasil “bipolar” que Dilma embarcou ontem para se apresentar amanhã a uma parte do público, inclusive estrangeiro, que está majoritariamente entre inquieta e pessimista sobre o Brasil.

Palpite meu: se ela focar sua fala na sessão plenária e na conversa reservada com executivos no “feel good factor”, esse sentir-se bem do andar de baixo, não vai desfazer o mal-estar. O que o povo de Davos quer são certezas sobre a situação fiscal brasileira, ou seja, sobre as sobras para pagar a dívida.

Não por acaso, esse tema apareceu no primeiro lugar entre os riscos globais medidos por uma grupo de peritos para o Fórum Econômico Mundial, ao lado do crescimento da desigualdade.

Bolivianos em São Paulo comemoram a Festa de Alasitas (Yahoo Notícias)

EFE – 24.jan.2014

São Paulo, 24 jan (EFE).- A comunidade boliviana em São Paulo, a que mais cresceu nos últimos anos na cidade, celebrou nesta sexta-feira, em meio a um forte calor e com as tradicionais oferendas, a Festa de Alasitas, em homenagem a Ekeko, o deus da abundância.

A celebração, que há 14 anos acontece em São Paulo, foi realizada pela segunda vez na Praça Cívica do Memorial da América Latina, projetado por Oscar Niemeyer.

Segundo os organizadores, 25 mil pessoas participaram da festa, que antes acontecia na Praça da Kantuta, no bairro de Pari, um parque frequentado pela comunidade boliviana, geralmente, aos domingos.

Conforme contou à Agência Efe o comerciante boliviano Élder Cruz, o número de participantes poderia ser ainda maior se a data caísse durante o fim de semana, já que “muitas pessoas queriam vir, trazer a família, mas não podem deixar o trabalho”.

O Centro de Apoio ao Migrante (Cami) e a Associação Cultural e Gastronômica Boliviana Padre Bento (ACGBPB) organizaram uma programação artística com danças folclóricas, apresentações musicais, festival gastronômico e feira de artesanato.

O tradicional culto ao deus índio Ekeko não podia falta. Conforme a crença é ele o responsável pela realização dos sonhos de quem faz as oferendas ao meio-dia do dia 24 de janeiro de cada ano.

Sob o sol intenso, centenas de pessoas formaram longas filas nas barracas em que os curandeiros “vatiri” abençoavam as oferendas, formadas por réplicas em miniaturas dos desejos, como automóveis, casinhas, cópias de dinheiro e moedas, passaportes e diplomas.

“É uma tradição muito arraigada em toda a Bolívia, principalmente em La Paz, e continua com todos os que chegam a um país estrangeiro, e passamos isto a nossos filhos, muitos deles já brasileiros”, contou à Agência Efe Freddy Carrillo, da ACGBPB e um dos responsáveis pela programação artística.

A mistura de sincretismo, religiosidade, mística, música, gastronomia e arte também chamou atenção dos moradores da região e de outros estrangeiros.

Para a pedagoga Ilsa Campânia, que aprecia manifestações culturais, eventos assim aproximam mais o país da realidade dos imigrantes.

“É conviver um pouco e conhecer o vizinho, porque os bolivianos não são estranhos. Já são parte da vida e de uma realidade como a de São Paulo”, disse ela. EFE

Jovens infratores distinguem o certo do errado (Fapesp)

Edição 215 – Janeiro de 2014

© DANIEL BUENO

Jovens infratores internados em centros socioeducativos às vezes exibem indiferença ao sofrimento alheio e desprezo às regras sociais, mas eles sabem – ou aparentam saber – diferenciar o certo do errado. Um grupo de psiquiatras e psicólogos de São Paulo chegou a essa conclusão depois de submeter 30 internos da Fundação Casa (antiga Febem), com idade entre 18 e 21 anos, a testes psicológicos que avaliam o grau de psicopatia e a capacidade de julgamento moral, ao longo de quase um ano (Frontiers in Psychiatry, novembro). “Esses jovens tinham maturidade moral e sabiam distinguir o certo do errado”, diz Daniel Martins de Barros, psiquiatra da Universidade de São Paulo. “Mas não podemos confirmar se esse conhecimento é original ou se eles apenas o reproduziam porque tinham ouvido alguém dizer.” Os adolescentes passaram também por um teste que mede a atividade elétrica da pele e avalia a resposta emocional ao ver imagens agradáveis (um pai com um bebê no colo), neutras (um livro sobre uma mesa) ou desagradáveis (pessoas mutiladas). Houve uma correlação entre o grau de frieza medido no teste psicológico e a reação emocional avaliada pelo teste fisiológico. Quanto mais a frieza e a indiferença dos participantes se aproximavam das de alguém com um quadro clássico de psicopatia, menos eles sentiam o impacto das imagens inquietantes, de conteúdo afetivo negativo.

Climate Change Research Is Globally Skewed (Science Daily)

Jan. 22, 2014 — The supply of climate change knowledge is biased towards richer countries — those that pollute the most and are least vulnerable to climate change — and skewed away from the poorer, fragile and more vulnerable regions of the world. That creates a global imbalance between the countries in need of knowledge and those that build it. This could have implications for the quality of the political decisions countries and regions make to prevent and adapt to climate change, warn the researchers behind the study from the University of Copenhagen.

Climate change research, shown here by number of publications, primarily concerns countries that are less vulnerable to climate change and have a higher emission of CO2. The countries are also politically stable, less corrupt, and have a higher investment in education and research. (Credit: Image courtesy of University of Copenhagen)

“80 % of all the climate articles we examined were published by researchers from developed countries, although these countries only account for 18 % of the world’s population. That is of concern because the need for climate research is vital in developing countries. It could have political and societal consequences if there are regional shortages of climate scientists and research to support and provide contextually relevant advice for policy makers in developing countries,” says Professor Niels Strange from the Center for Macroecology, Evolution and Climate, University of Copenhagen, which is supported by the Danish National Research Foundation.

Climate change research, shown here by number of publications, primarily concerns countries that are less vulnerable to climate change and have a higher emission of CO2. The countries are also politically stable, less corrupt, and have a higher investment in education and research.

Together with PhD student Maya Pasgaard from the Department of Food and Resource Economics at the University of Copenhagen, Niels Strange analysed over 15,000 scientific papers on climate research from 197 countries. The analysis clearly shows that the research is biased towards countries that are wealthier, better educated, more stable and less corrupt, emit the most carbon, and are less vulnerable to climate change.

As an example, the study shows that almost 30 % of the total number of publications concerns the United States of America, Canada and China, while India is the only highly vulnerable country in the top 10 list. However, Greenland and small island states like the Seychelles and the Maldives that are generally considered vulnerable, also find their way into the top 10 list if it is calculated per capita.

The content of climate studies is also skewed

The study shows that not only the authorship, but also the choice of topic in climate research, is geographically skewed:

Articles from Europe and North America are more often biased towards issues of climate change mitigation, such as emission reductions, compared with articles from the southern hemisphere. In contrast, climate research from Africa and South and Latin America deals more with issues of climate change adaptation and impacts such as droughts and diseases compared to Europe.

“The tendency is a geographical bias where climate knowledge is produced mainly in the northern hemisphere, while the most vulnerable countries are found in the southern hemisphere. The challenge for the scientific community is to improve cooperation and knowledge sharing across geographical and cultural barriers, but also between practitioners and academics. Ultimately, it will require financial support and political will, if we as a society are to address this imbalance in the fight against climate change,” says Maya Pasgaard. The study was recently published online in the journal Global Environmental Change.

Journal Reference:

  1. M. Pasgaard, N. Strange. A quantitative analysis of the causes of the global climate change research distributionGlobal Environmental Change, 2013; 23 (6): 1684 DOI: 10.1016/j.gloenvcha.2013.08.013

An insider’s story of the global attack on climate science (The Conversation)

23 January 2014, 6.40am AEST

Stormy weather hits New Zealand’s capital, Wellington. Flickr.com/wiifm69 (Sean Hamlin)

A recent headline – Failed doubters trust leaves taxpayers six-figure loss – marked the end of a four-year epic saga of secretly-funded climate denial, harassment of scientists and tying-up of valuable government resources in New Zealand.It’s likely to be a familiar story to my scientist colleagues in Australia, the UK, USA and elsewhere around the world.But if you’re not a scientist, and are genuinely trying to work out who to believe when it comes to climate change, then it’s a story you need to hear too. Because while the New Zealand fight over climate data appears finally to be over, it’s part of a much larger, ongoing war against evidence-based science.

From number crunching to controversy

In 1981 as part of my PhD work, I produced a seven-station New Zealand temperature series, known as 7SS, to monitor historic temperature trends and variations from Auckland to as far south as Dunedin in southern New Zealand.A decade later, in 1991-92 while at the NZ Meteorological Service, I revised the 7SS using a new homogenisation approach to make New Zealand’s temperature records more accurate, such as adjusting for when temperature gauges were moved to new sites.

The Kelburn Cable Car trundles up into the hills of Wellington. Shutterstock/amorfati.art

For example, in 1928 Wellington’s temperature gauge was relocated from an inner suburb near sea level up into the hills at Kelburn, where – due to its higher, cooler location – it recorded much cooler temperatures for the city than before.With statistical analysis, we could work out how much Wellington’s temperature has really gone up or down since the city’s temperature records began back in 1862, and how much of that change was simply due to the gauge being moved uphill. (You can read more about re-examining NZ temperatures here.) So far, so uncontroversial.But then in 2008, while working for a NZ government-owned research organisation, theNational Institute of Water and Atmospheric Research (NIWA), we updated the 7SS. And we found that at those seven stations across the country, from Auckland down to Dunedin, between 1909 and 2008 there was a warming trend of 0.91°C.Soon after that, things started to get heated.The New Zealand Climate Science Coalition, linked to a global climate change denial group, the International Climate Science Coalition, began to question the adjustments I had made to the 7SS.And rather than ever contacting me to ask for an explanation of the science, as I’ve tried to briefly cover above, the Coalition appeared determined to find a conspiracy.

“Shonky” claims

The attack on the science was led by then MP for the free market ACT New Zealand party, Rodney Hide, who claimed in the NZ Parliament in February 2010 that:

NIWA’s raw data for their official temperature graph shows no warming. But NIWA shifted the bulk of the temperature record pre-1950 downwards and the bulk of the data post-1950 upwards to produce a sharply rising trend… NIWA’s entire argument for warming was a result of adjustments to data which can’t be justified or checked. It’s shonky.

Mr Hide’s attack continued for 18 months, with more than 80 parliamentary questions being put to NIWA between February 2010 and July 2011, all of which required NIWA input for the answers.The science minister asked NIWA to re-examine the temperature records, which required several months of science time. In December 2010, the results were in. After the methodology was reviewed and endorsed by the Australian Bureau of Meteorology, it was found that at the seven stations from Auckland to Dunedin, between 1909 and 2008 there was a warming trend of 0.91°C.That is, the same result as before.But in the meantime, before NIWA even had had time to produce that report, a new line of attack had been launched.

Off to court

In July 2010, a statement of claim against NIWA was filed in the High Court of New Zealand, under the guise of a new charitable trust: the New Zealand Climate Science Education Trust (NZCSET). Its trustees were all members of the NZ Climate Science Coalition.The NZCSET challenged the decision of NIWA to publish the adjusted 7SS, claiming that the “unscientific” methods used created an unrealistic indication of climate warming.The Trust ignored the evidence in the Meteorological Service report I first authored, which stated a particular adjustment methodology had been used. The Trust incorrectly claimed this methodology should have been used but wasn’t.In July 2011 the Trust produced a document that attempted to reproduce the Meteorological Service adjustments, but failed to, instead making lots of errors.On September 7 2012, High Court Justice Geoffrey Venning delivered a 49-page ruling, finding that the NZCSET had not succeeded in any of its challenges against NIWA.

The NZ weather wars in the news. The New Zealand Herald

The judge was particularly critical about retired journalist and NZCSET Trustee Terry Dunleavy’s lack of scientific expertise.Justice Venning described some of the Trust’s evidence as tediously lengthy and said “it is particularly unsuited to a satisfactory resolution of a difference of opinion on scientific matters”.

Taxpayers left to foot the bill

After an appeal that was withdrawn at the last minute, late last year the NZCSET was ordered to pay NIWA NZ$89,000 in costs from the original case, plus further costs from the appeal.But just this month, we have learned that the people behind the NZCSET have sent it into liquidation as they cannot afford the fees, leaving the New Zealand taxpayer at a substantial, six-figure loss.Commenting on the lost time and money involved with the case, NIWA’s chief executive John Morgan has said that:

On the surface it looks like the trust was purely for the purpose of taking action, which is not what one would consider the normal use of a charitable trust.

This has been an insidious saga. The Trust aggressively attacked the scientists, instead of engaging with them to understand the technical issues; they ignored evidence that didn’t suit their case; and they regularly misrepresented NIWA statements by taking them out of context.Yet their attack has now been repeatedly rejected in Parliament, by scientists, and by the courts.The end result of the antics by a few individuals and this Trust is probably going to be a six-figure bill for New Zealanders to pay.My former colleagues have had valuable weeks tied up with wasted time in defending these manufactured allegations. That’s time that could have profitably been used investigating further what is happening with our climate.But there is a bigger picture here too.

Merchants of doubt

Doubt-mongering is an old strategy. It is a strategy that has been pursued before to combat the ideas that cigarette smoking is harmful to your health, and it has been assiduously followed by climate deniers for the past 20 years.One of the best known international proponents of such strategies is US think tank, the Heartland Institute.

The first in a planned series of anti-global warming billboards in the US, comparing “climate alarmists” with terrorists and mass murderers. The campaign was canned after a backlash. The Heartland Institute

Just to be clear: there is no evidence that the Heartland Institute helped fund the NZ court challenge. In 2012, one of the Trustees who brought the action against NIWA said Heartland had not donated anything to the case.

However, Heartland is known to have been active in NZ in the past, providing funding to theNZ Climate Science Coalition and a related International Coalition, as well as financially backing prominent climate “sceptic” campaigns in Australia.

An extract from a 1999 letter from the Heartland Institute to tobacco company Philip Morris.University of California, San Francisco, Legacy Tobacco Documents Library

The Heartland Institute also has a long record ofworking with tobacco companies, as the letter on the right illustrates. (You can read that letter and other industry documents in full here. Meanwhile, Heartland’s reply to critics of its tobacco and fossil fuel campaigns is here.)

Earlier this month, the news broke that major tobacco companies will finally admit they “deliberately deceived the American public”, in “corrective statements”that would run on prime-time TV, in newspapers and even on cigarette packs.

It’s taken a 15-year court battle with the US government to reach this point, and it shows that evidence can trump doubt-mongering in the long run.

A similar day may come for those who actively work to cast doubt on climate science.

Industry Awakens to Threat of Climate Change (New York Times)

A Coke bottling plant in Winona, Minn. The company has been affected by global droughts. Andrew Link/Winona Daily News, via Associated Press

By CORAL DAVENPORT

JAN. 23, 2014

WASHINGTON — Coca-Cola has always been more focused on its economic bottom line than on global warming, but when the company lost a lucrative operating license in India because of a serious water shortage there in 2004, things began to change.

Today, after a decade of increasing damage to Coke’s balance sheet as global droughts dried up the water needed to produce its soda, the company has embraced the idea of climate change as an economically disruptive force.

“Increased droughts, more unpredictable variability, 100-year floods every two years,” said Jeffrey Seabright, Coke’s vice president for environment and water resources, listing the problems that he said were also disrupting the company’s supply of sugar cane and sugar beets, as well as citrus for its fruit juices. “When we look at our most essential ingredients, we see those events as threats.”

Coke reflects a growing view among American business leaders and mainstream economists who see global warming as a force that contributes to lower gross domestic products, higher food and commodity costs, broken supply chains and increased financial risk. Their position is at striking odds with the longstanding argument, advanced by the coal industry and others, that policies to curb carbon emissions are more economically harmful than the impact of climate change.

“The bottom line is that the policies will increase the cost of carbon and electricity,” said Roger Bezdek, an economist who produced a report for the coal lobby that was released this week. “Even the most conservative estimates peg the social benefit of carbon-based fuels as 50 times greater than its supposed social cost.”

Some tycoons are no longer listening.

At the Swiss resort of Davos, corporate leaders and politicians gathered for the annual four-day World Economic Forum will devote all of Friday to panels and talks on the threat of climate change. The emphasis will be less about saving polar bears and more about promoting economic self-interest.

In Philadelphia this month, the American Economic Association inaugurated its new president, William D. Nordhaus, a Yale economist and one of the world’s foremost experts on the economics of climate change.

“There is clearly a growing recognition of this in the broader academic economic community,” said Mr. Nordhaus, who has spent decades researching the economic impacts of both climate change and of policies intended to mitigate climate change.

In Washington, the World Bank president, Jim Yong Kim, has put climate change at the center of the bank’s mission, citing global warming as the chief contributor to rising global poverty rates and falling G.D.P.’s in developing nations. In Europe, the Organization for Economic Cooperation and Development, the Paris-based club of 34 industrialized nations, has begun to warn of the steep costs of increased carbon pollution.

Nike, which has more than 700 factories in 49 countries, many in Southeast Asia, is also speaking out because of extreme weather that is disrupting its supply chain. In 2008, floods temporarily shut down four Nike factories in Thailand, and the company remains concerned about rising droughts in regions that produce cotton, which the company uses in its athletic clothes.

“That puts less cotton on the market, the price goes up, and you have market volatility,” said Hannah Jones, the company’s vice president for sustainability and innovation. Nike has already reported the impact of climate change on water supplies on its financial risk disclosure forms to the Securities and Exchange Commission.

Both Nike and Coke are responding internally: Coke uses water-conservation technologies and Nike is using more synthetic material that is less dependent on weather conditions. At Davos and in global capitals, the companies are also lobbying governments to enact environmentally friendly policies.

But the ideas are a tough sell in countries like China and India, where cheap coal-powered energy is lifting the economies and helping to raise millions of people out of poverty. Even in Europe, officials have begun to balk at the cost of environmental policies: On Wednesday, the European Union scaled back its climate change and renewable energy commitments, as high energy costs, declining industrial competitiveness and a recognition that the economy is unlikely to rebound soon caused European policy makers to question the short-term economic trade-offs of climate policy.

In the United States, the rich can afford to weigh in. The California hedge-fund billionaire Thomas F. Steyer, who has used millions from his own fortune to support political candidates who favor climate policy, is working with Michael R. Bloomberg, the former New York mayor, and Henry M. Paulson Jr., a former Treasury secretary in the George W. Bush administration, to commission an economic study on the financial risks associated with climate change. The study, titled “Risky Business,” aims to assess the potential impacts of climate change by region and by sector across the American economy.

“This study is about one thing, the economics,” Mr. Paulson said in an interview, adding that “business leaders are not adequately focused on the economic impact of climate change.”

Also consulting on the “Risky Business” report is Robert E. Rubin, a former Treasury secretary in the Clinton administration. “There are a lot of really significant, monumental issues facing the global economy, but this supersedes all else,” Mr. Rubin said in an interview. “To make meaningful headway in the economics community and the business community, you’ve got to make it concrete.”

Last fall, the governments of seven countries — Colombia, Ethiopia, Indonesia, South Korea, Norway, Sweden and Britain — created the Global Commission on the Economy and Climate and jointly began another study on how governments and businesses can address climate risks to better achieve economic growth. That study and the one commissioned by Mr. Steyer and others are being published this fall, just before a major United Nations meeting on climate change.

Although many Republicans oppose the idea of a price or tax on carbon pollution, some conservative economists endorse the idea. Among them are Arthur B. Laffer, senior economic adviser to President Ronald Reagan; the Harvard economist N. Gregory Mankiw, who was economic adviser to Mitt Romney’s presidential campaign; and Douglas Holtz-Eakin, the head of the American Action Forum, a conservative think tank, and an economic adviser to the 2008 presidential campaign of Senator John McCain, the Arizona Republican.

“There’s no question that if we get substantial changes in atmospheric temperatures, as all the evidence suggests, that it’s going to contribute to sea-level rise,” Mr. Holtz-Eakin said. “There will be agriculture and economic effects — it’s inescapable.” He added, “I’d be shocked if people supported anything other than a carbon tax — that’s how economists think about it.”

Povo argentino ganha batalha contra a Monsanto, mas resta a guerra (IPS)

23/1/2014 – 10h06

por Fabiana Frayssinet, da IPS

Monsanto 2 629x472 Povo argentino ganha batalha contra a Monsanto, mas resta a guerra

A fábrica da Monsanto em Malvinas Argentinas, desde o acampamento montado pelos moradores para bloquear o acesso à obra. Foto: Fabiana Frayssinet/IPS

Córdoba, Argentina, 23/1/2014 – Moradores de uma aguerrida localidade da Argentina ganharam o primeiro round contra a gigante da biotecnologia Monsanto, mas não baixam a guarda, conscientes de que falta muito para ganhar a guerra. Em Malvinas Argentinas, que fica na província de Córdoba, já dura quatro meses o bloqueio ao terreno onde a transnacional norte-americana pretende instalar a maior unidade de tratamento de sementes de milho do mundo.

E assim, os moradores continuam acampados diante da edificação que já se levanta neste povoado, antes aprazível, e impedindo o acesso à área da construção, mesmo depois de um tribunal provincial ter ordenado este mês a paralisação das obras. A campanha contra a unidade, convocada pela Assembleia Malvinas Luta pela Vida e por outras organizações sociais, começou em 18 de setembro neste povoado que fica a 17 quilômetros da capital de Córdoba.

Após situações de tensão, com tentativas de dispersão dos manifestantes pela polícia provincial e provocações por enviados do sindicato da construção, a provincial Sala Segunda da Câmara de Trabalho deu razão aos moradores, no dia 8. “A sentença mostra que os argumentos dos moradores são justos, porque reclamam direitos fundamentais reconhecidos e estabelecidos pela Constituição Nacional e pela legislação do Estado Federal”, disse à IPS o advogado Federico Macciocchi, que defende a causa dos opositores à obra.

A sentença determinou a inconstitucionalidade da autorização municipal para a construção nesta localidade de aproximadamente 15 mil habitantes, a maioria de classe trabalhadora. Além disso, ordenou a paralisação das obras, impondo à Municipalidade de Malvinas Argentinas que se abstenha de autorizar a construção, até serem cumpridas duas exigências legais: realização de uma avaliação de impacto ambiental e convocação de uma audiência pública.

“É um grande avanço, um grande passo na luta, que se conseguiu graças ao trabalho em conjunto das reclamações institucionais, somado à reclamação social nas ruas”, afirmou à IPS um dos integrantes da Assembleia, Matías Marizza. “A luta serviu para garantir que a lei seja respeitada”, acrescentou. A Assembleia e outras organizações decidiram continuar com o acampamento que impede o acesso à obra, até conseguir o abandono definitivo do projeto por parte da empresa.

A Monsanto respondeu a um pedido de comentário da IPS com um comunicado no qual qualifica a ação dos moradores de fruto de “extremistas”, que impedem os empreiteiros e empregados de “exercerem o direito de trabalhar”. A sentença respondeu a uma ação de amparo interposta por moradores da localidade e pelo cordobês Clube de Direito, presidido por Macciocchi. A sala trabalhista ordenou que sejam realizados tanto o estudo de impacto ambiental quanto a audiência pública, lembrou o advogado.

O que se expressar na audiência “será muito relevante”, ressaltou Macciocchi, embora a Lei Geral de Meio Ambiente preveja que as opiniões e objeções dos participantes “não serão vinculantes”. Mas estabelece que as autoridades convocantes, se tiverem uma opinião contrária aos resultados alcançados na consulta, “deverão fundamentá-la e torná-la pública”, explicou.

Agora, o objetivo da Assembleia é que também seja feita uma consulta à cidadania mediante voto secreto. Essa consulta complementaria a lei ambiental e “garantiria o exercício pleno do direito da cidadania de decidir sobre seu modelo de desenvolvimento local, o tipo de atividades sociais e econômicas que deseja para sua vida cotidiana e sobre os riscos socioambientais que está disposta a assumir”, detalhou à IPS outro morador, Víctor Mazzalay.

“É o povo quem deve contar com essa informação e decidir se aceita ou não aceita esses custos e riscos”, opinou Mazzalay, que também é pesquisador social do Conselho Nacional de Pesquisas Científicas e da Universidade de Córdoba. “Um estudo de impacto ambiental deve incluir consulta popular, para que seja a população a dar a licença social necessária para o desenvolvimento de qualquer atividade social, econômica e produtiva que possa afetar seu meio ambiente e sua saúde”, acrescentou.

Em seu comunicado a Monsanto diz que a companhia não concorda com a sentença, mas, por “respeitar as decisões do Poder Judicial, acatará como sempre suas medidas”. Além disso, esclareceu que “já apresentou o Estudo de Impacto Ambiental, documento que está em fase de avaliação pela Secretaria de Ambiente da Província”.

Para Macciocchi, a sentença é definitiva e “põe fim ao conflito judicial. A sentença foi dada em virtude de um recurso de apelação, razão pela qual já não restam recursos ordinários para interpor”, enfatizou. À Monsanto restaria a possibilidade de um recurso de cassação junto ao Tribunal Superior de Justiça (TSJ).

A empresa já informou que vai apelar, “pois considera legítimo seu direito de construir a unidade após cumprir todos os requisitos legais e ter obtido as autorizações para isso conforme as normas vigentes, o que foi confirmado pela sentença do Juizado de Primeira Instância no dia 7 de outubro de 2013”.

Macciocchi considera, entretanto, que “esse recurso não vai paralisar o que foi determinado pela Sala Segunda da Câmara do Trabalho”. E acrescentou que, “além disso, se pensarmos no tempo que o TSJ demora para resolver um recurso de cassação, quando estiver resolvido a Municipalidade de Malvinas e a Secretaria de Ambiente já terão cumprido as leis que foram violadas com essa obra”, afirmou.

Segundo o advogado, o alto tribunal demora até dois anos e meio nos casos de cassação apresentados por pessoas sentenciadas e até cinco ou sete quando a matéria é trabalhista e não civil. “Seria um verdadeiro escândalo institucional o TSJ resolver esta causa pulando a ordem das que há anos ‘dormem’ em suas salas”, ressaltou.

A decisão do dia 8 impede a instalação definitiva da unidade, que a Monsanto quer ver em operação este ano. “Mas, na medida em que os cidadãos se expressam contra a obra, e que a avaliação de impacto ambiental seja desfavorável para a empresa, neste caso a Monsanto não poderá se instalar em Malvinas”, destacou Macciocchi. Mazzalay recordou que a razão “principal” para a oposição à instalação da unidade da Monsanto se deve à “reivindicação do direito do povo decidir sobre o tipo de atividade produtiva e sobre os riscos ambientais aos quais se submeter”.

A empresa divulgou que pretende instalar mais de 200 silos de milho, e que serão usados produtos agroquímicos para a preparação das sementes. A Monsanto, um dos maiores fabricantes de herbicidas e de sementes geneticamente modificadas do mundo, opera na Argentina desde 1956, quando instalou uma fábrica de plásticos.

“Um argumento frequente sugere que existe uma dúvida razoável sobre a suposta inocuidade dessa atividade sobre a saúde humana”, disse o pesquisador. A seu ver, “são múltiplos e diversos os estudos científicos demonstrando os efeitos negativos que tanto o movimento de sementes como a manipulação e exposição a diversos produtos agroquímicos têm sobre a saúde”.

Mazzalay crescentou que, “nesse sentido, sobre questões ambientais nas quais está em risco à saúde, a dúvida razoável deve fazer prevalecer um princípio precatório, isto é, não aceitar o desenvolvimento de uma atividade até que se demonstre de maneira definitiva sua inocuidade”. Envolverde/IPS

Barragem para hidrovia Tietê-Paraná destruirá ‘minipantanal’ de Piracicaba (Ambiente Brasil)

30 / 12 / 2013

A construção de uma barragem na Hidrovia Tietê-Paraná, em Santa Maria da Serra (SP), vai colocar de baixo d’água uma região rural de Piracicaba (SP) chamada Tanquan e considerada um “minipantanal” do interior paulista devido à existência de animais e vegetação semelhantes àquele do Mato Grosso. Com a inundação da área, famílias ribeirinhas que sobrevivem da pesca terão de deixar o local já em 2014, conforme prevê o governo do estado. A obra, propriamente dita, deve começar em 2015 e durar três anos.

A obra deve aumentar o nível do Rio Piracicaba em até 5,5 metros para torná-lo navegável em 45 quilômetros e transformá-lo em um “braço” da Tietê-Paraná, ligando Piracicaba à hidrovia pela represa de Barra Bonita. A polêmica sobre a barragem existe há anos, mas as audiências públicas sobre o assunto iniciadas em dezembro e que seguem até janeiro de 2014, reacenderam o debate, que envolve questões ambientais, sociais e legais de desenvolvimento econômico. O caso é acompanhado em inquérito civil pelo Ministério Público Estadual.

Para se ter uma ideia das consequências da obra, entre tuiuiús, jacarés-de-papo-amarelo, dourados e onças-pardas, a fauna que sofrerá os impactos inclui 218 espécies de aves, 54 de peixes (nove adaptáveis à mudança e cinco que podem desaparecer do território paulista), além de espécies de mamíferos, segundo Estudo de Impacto Ambiental (EIA) da barragem. A construção deve suprimir também metade da mata original da área, conforme análise divulgada pelo Comitê das Bacias Hidrográficas dos Rios Piracicaba, Capivari e Jundiaí (PCJ).

“Só vão ficar animais generalistas, que conseguem se adaptar a diferentes condições e tipos de alimentação. Várias espécies, no entanto, vão deixar de existir na área e outro bioma assim só se formaria em 60 ou 70 anos”, afirmou o geógrafo Anderson Guarda. Ele disse que o aumento do nível do rio vai “uniformizar” o ambiente e dar fim às variadas formas de vida na região.

Projeto oficial – O governo estadual admite que, se a obra for realizada, ocorrerá o sumiço das espécies e o fim do “pantanal de Tanquan”. Como medida compensatória, o projeto prevê a preservação de um trecho do Rio Piracicaba conhecido como “Curva da Samambaia”. A intenção do estado é a de construir um canal para que cerca de dez quilômetros do curso d’água se tornem propícios para acolher os animais do minipantanal ao longo do tempo.

José Roberto Santos, representante do consórcio contratado para fazer o projeto da obra, falou sobre os impactos ambientais em audiência pública em Piracicaba e tratou como “aposta” a Curva da Samambaia. “A área é vista como uma possibilidade para recuperar ao menos parte da vida animal que existe no Tanquan. Não se pode dizer com certeza se isso vai acontecer, mas é uma aposta”, disse.

O diretor do Departamento Hidroviário (DH) da Secretaria de Logística e Transportes do Estado de São Paulo, Casemiro Tércio Carvalho, defende a ampliação da hidrovia em nome do desenvolvimento nacional. “Piracicaba não pode se fechar em copas e se recusar a cumprir o dever de contribuir para o desenvolvimento do país. Com a barragem teremos condições de reduzir o número de caminhões nas estradas e transportar cargas do Centro-Oeste até Piracicaba pela água e depois de trem até o Porto de Santos”, afirmou Carvalho. Ele disse que as compensações ambientais serão equivalentes aos danos causados pela obra.

Desenvolvimento x natureza – Luiz Antonio Fayet, especialista e consultor de logística, diz que além de custos operacionais que podem ser mais vantajosos, as hidrovias representam redução do tráfego terrestre para transporte de cargas e menos poluição ambiental gerada com o uso de caminhões nas rodovias. Sobre a Tietê-Paraná, Fayet afirma que a maior parte das cargas transportadas é de materiais de construção civil, mas deve ganhar importância também o transporte de combustíveis.

“A relevância das hidrovias é nítida. Agora, se existe um questionamento sobre o impacto de uma obra, a pergunta que tem de ser respondida é a seguinte: é melhor arcar com o custo social de indenizar todas as partes atingidas e fazer a compensação ambiental adequada ou manter as estradas entulhadas de caminhões para levar as mesmas cargas?”, questionou Fayet.

“É necessário, porém, que o debate seja sério de todos os lados. As indenizações e compensações têm de ser corretas, mas não dá para ficar com brincadeiras contrárias às melhorias de infraestrutura porque, dessa forma, não se desenvolve mais nada no Brasil”, disse o consultor, que completou: “Cito como exemplo mais crítico disso a duplicação da BR-116, no trecho que liga o Sudeste ao Sul do país. Milhares de pessoas morreram nessa estrada graças a uma oposição criminosa fundada em questões ambientais equacionáveis”.

Referência em direito ambiental no Brasil e autor de livros e idealizador de artigos sobre o assunto para a Constituição Federal, o professor Paulo Affonso Leme Machado alerta que não se pode realizar obras de grande impacto ambiental sem a certeza de que haverá compensações equivalentes aos danos.

Após acompanhar uma das audiências públicas sobre a barragem, Machado afirmou que não há clareza ainda sobre as medidas para compensar “os estragos”. “Fala-se muito em aposta e dúvida, mas a legislação ambiental diz que diante da incerteza quanto às compensações para o impacto ambiental, a obra não deve ser feita. Foi levantada a suposta ocorrência de enchentes em Piracicaba depois da obra e isso não foi devidamente estudado. Com risco desse tipo de inundação, entendo que a barragem não deveria ser construída”, disse.

Investigações do Gaema – Todo processo e as ações do governo para os preparativos da obra são alvos de um inquérito civil instaurado pelo Grupo de Atuação Especial em Defesa do Meio Ambiente (Gaema), do Ministério Público Estadual. O promotor Ivan Carneiro Castanheiro aponta como preocupações justamente as dúvidas em relação às medidas compensatórias ao desaparecimento de Tanquan, além do que chamou de “fatiamento” do estudo e do relatório de impactos ambientais.

Segundo a Promotoria, os documentos não abrangem ainda as consequências da construção de um porto no bairro de Artemis, também em Piracicaba, e da ferrovia que deverá escoar a maior parte das cargas que chegarem ao município.

“Nós não somos contrários ou favoráveis à obra. A função do Gaema é investigar se é realmente viável uma ampliação de 45 quilômetros de hidrovia diante de tantos impactos ou se o ideal seria a construção da ferrovia. As ações compensatórias e mitigatórias também precisam ser avaliadas a fundo”, considerou o promotor.

Pescadores lamentam – O estado ainda deve realizar reuniões para debater temas específicos como as desapropriações de terras privadas próximas à futura represa e até mesmo a forma como se dará a remoção de um grupo de 13 famílias que vive da pesca na região que ficará submersa. O projeto prevê que a população ribeirinha terá de ser realocada para uma área próxima ao minipantanal.

O governo afirma que o “novo Tanquan” receberá melhorias estruturais como água e esgoto encanados, casas de alvenaria e regulamentação fundiária, o que não existe atualmente. O período sem a pesca, segundo o estado, será de seis meses e as reuniões com os ribeirinhos servirão para esclarecer questões referentes, por exemplo, aos valores que eles receberão durante o semestre em que a atividade estiver proibida.

Já o pescador Ronaldo Evangelista, de 35 anos, afirmou que a inundação vai destruir o lugar que ele chamou de lar durante a vida toda, além de acabar com o único meio de vida que conheceu. A pesca é o sustento da família Evangelista há quatro gerações, desde o avô de Roberto até os seus sobrinhos. “Eu não me vejo fazendo outra coisa. Cresci no Tanquan. Meu filho tem seis anos e, assim que entra em férias escolares, enlouquece para andar comigo de barco.” (Fonte: G1)

Crônica Mendes, o rap e a política (Spresso SP)

Postado em jan 23 2014 – 9:57am por Redação.

Na entrevista, o rapper afirma que odeia Alckmin, vê erros no rolezinho e critica os “extremistas do rap”, que condenam idas à Globo e shows em “casa de boy”

Por Igor Carvalho

crônica-mendes-edit

“Temos que alçar voos para fora da periferia” (foto: Divulgação)

Crônica Mendes está inaugurando uma nova fase na carreira. Recentemente, lançou “Até onde o coração pode chegar”, seu primeiro disco solo, produzido por ele mesmo e que reafirma a fama de “politizado” do rapper.

Em suas músicas, são comuns as referências à periferia de São Paulo e ao governador do Estado. “Eu odeio o Alckmin. Eu não gosto desse cara. Ele não é do povo e não tem nada a oferecer. Infelizmente ele está lá, faz uma política de elites, contra o povo. E tem outra, ele é a continuidade da política do PSDB de massacre da juventude negra e pobre nas periferias”, afirma Crônica Mendes.

Sem sair da seara da contestação e do incômodo social, o rapper  produziu “Domingo de Chuva”, uma comovente faixa em que narra uma das histórias que ouviu no Jardim Pantanal, quando a região alagou. “Aquele lugar parecia Bagdá, gente. O Estado aproveitou a tragédia que ele criou e mandou as máquinas que terminaram de derrubar casas, e ver o sofrimento daquelas famílias era muito ruim.”

Crônica ainda criticou aqueles que ele chama de “extremistas do rap”, pessoas do movimento que criticam rappers que aceitam convites, por exemplo, para participar de programas da Rede Globo, como Edi Rock, no Esquenta, e o Slim Rimografia, no Big Brother Brasil. “Ir lá não corrompe meu caráter. O culpado somos nós, cara, porque nós sempre fizemos essa campanha de não ir à televisão, então hoje a gente apanha quando diz ‘sim’.”

SPressoSP – Como tem sido a experiência da carreira solo? Tomar decisões sozinho é melhor?
Crônica Mendes – Quando  “A Família” parou, eu aproveitei e coloquei em prática um sonho antigo que é a gravação do meu disco solo, com as minhas próprias ideias e liderando 100% a elaboração e produção do disco. Além disso, tem sido importante para mim pegar a estrada com novas pessoas, com novos ritmos. Eu precisava fazer isso, desde que eu comecei na música, e isso foi com 12 anos de idade, eu amo estar no palco, mas quando estava no grupo eu tinha que respeitar o limite de cada um, o processo criativo de cada, mas agora eu posso viver todo o processo. Bom, e o risco e a responsabilidade são maiores.

SPressoSP – O nome do teu disco é “Até onde o coração pode chegar”. De onde o Crônica partiu e até onde o coração pode chegar?
Crônica Mendes – Eu sou periferia. Continuo acreditando na periferia, no rap que é feito na periferia e nas pessoas de lá, que me fortaleceram e me permitiram chegar aonde cheguei hoje. Mas olha, não podemos ficar cantando nós para nós mesmos o tempo todo, temos que alçar voos para fora da periferia, só que esse processo deve ser feito como extensão e não como abandono. Eu não consigo cantar rap nacional sem falar da quebrada, da rotina da favela. Se um dia eu não estiver na favela, continuarei a cantar a favela, meu caráter é formado na periferia.

SPressoSP – Você cita o Sérgio Vaz, que participa do disco, e a Cooperifa no disco. Onde eles estão inseridos na tua obra?
Crônica Mendes – Ah, o Sérgio Vaz me mostrou a importância de ler nossa gente. Antes do Sérgio Vaz, a literatura que eu consumia era de fora das periferias. O Sérgio foi o primeiro escritor que eu conheci e a Cooperifa tem uma relação muito forte com o rap nacional. Houve uma época em que se falava muito que o rap nacional estava morrendo, e vieram os saraus para dar esse oxigênio ao rap nacional, para que ele se mantivesse atuante nas periferias. No sarau, as pessoas deixam de lado a batida, mas elas vão ali recitar o seu rap, se concentram no conteúdo das letras. As pessoas começaram a estudar mais para escrever e isso ajudou demais na sequência do rap. Então é isso, o fortalecimento da literatura periférica cooperou muito, não só para mim, mas para o rap nacional.

SPressoSP – Qual tua opinião sobre os “rolezinhos”?
Crônica Mendes – Formar uma opinião, agora, de imediato pode ser ridículo. É um movimento novo e é impressionante como tem gente falando sobre ele, como se todo mundo conhecesse. A galera se junta para fazer um rolezinho no shopping e os seguranças expulsam. Bom, são pretos e de periferia, são também, mas são pretos de periferia que estão causando algum transtorno lá dentro. É complicado já sair dizendo que é racismo e ditadura. Temos que ir um pouco mais fundo nessa discussão e parar de achar que tudo que é reação contra negro e pobre na periferia é preconceito e racismo, a gente erra também, e tem gente nossa errando por aí.

SPressoSP – Antes criminalizado, o rap hoje está na novela, na moda, entre as músicas mais tocadas do país, com artistas prestigiados. Surgiu, então, uma nova geração que deixa a contestação e a politização de lado. Você é crítico em relação a essa nova geração?
Crônica Mendes – Eu não dito regras dentro do rap e não gosto que alguém dite regras no rap. Eu acredito que exista uma cartilha do rap, mas que não está fechada. A cada dia, de acordo com as situações, surgem coisas novas e que precisam ser respeitadas. A gente precisa aceitar o querer das pessoas, eu acho que a gente não pode querer que todos os rappers sejam Crônica Mendes, temos que entender a pluralidade do rap, a periferia é plural. O que não podemos aceitar é que pessoas desrespeitem e esqueçam o que foi a história do rap nacional, da luta de quem fez rap nos anos 80 e 90. Por que o rap está tocando na novela? Porque dá audiência, é isso. A grande mídia quer audiência, por isso está nos colocando lá. Muita gente apanhou da polícia, continua apanhando, morreu, para que se pudesse fazer rap em São Paulo, cara. Não precisamos bater em tudo e em todos, nós cantamos a periferia e a periferia tem entretenimento, precisamos cantar a alegria de ser periferia, temos que cantar o trabalhador, o professor. Se hoje está mais suave, é porque muita gente batalhou antes.

SPpressoSP – Eu listei alguns rappers que foram alvo de críticas dentro do próprio movimento. O Edi Rock quando foi no “Esquenta” [programa da Rede Globo], o Mano Brown fez show em um clube de elite em São Paulo, o Emicida tocou na festa da Fifa e tem música na novela e agora o Slim Rimografia está participando do Big Brother Brasil (BBB) 14. Esse ambiente tão crítico do rap, criado e alimentado por vocês também, assusta na hora de tomar uma decisão sobre aceitar, ou não, determinado convite?
Crônica Mendes – Isso é muito complicado. É como você falou, muitos desses extremistas do rap foram criados por nós mesmos. Nós alimentamos por muito tempo que no rap não tinha espaço para sorrir, mas naquela época tinha que ser assim mesmo. Hoje, a periferia evoluiu, temos mais motivos para sorrir. Infelizmente, uma grande parte do público não consegue aceitar nosso sorriso. Olha, eu não tenho medo, acho que o público deve se preocupar se eu for nesses lugares e nunca mais voltar. Eu posso ir no “Altas Horas”, mas estou em um evento beneficente na quebrada, eu estou no jogo de várzea. Ir lá não corrompe meu caráter. O culpado somos nós, cara, porque nós sempre fizemos essa campanha de não ir à televisão, então hoje a gente apanha quando diz ‘sim’. Eu não tenho medo, e acho que os parceiros que foram estão certo. Pô, a gente vai em uma casa de boy e ganha uma grana e investe metade em uma parada da comunidade, em um centro cultural, mas a gente não divulga, esses extremistas do rap não sabem dessa parte. Como você vai falar mal dos Racionais MCs? Como? Se hoje alguém canta rap nesse país é graças aos caras do Racionais MCs, eu sou grato demais a eles.

SPressoSP – Na música “Tinindo”, você reforça o caráter político que permeia tua obra. Você coloca, nessa canção, um áudio do Geraldo Alckmin dizendo “quem não reagiu, está vivo”. Por quê?
Crônica Mendes – Eu odeio o Alckmin. Eu não gosto desse cara. Ele não é do povo e não tem nada a oferecer. Infelizmente ele está lá, faz uma política de elites, contra o povo. E tem outra, ele é a continuidade da política do PSDB de massacre da juventude negra e pobre nas periferias. Eu não tenho como gostar desse cara e nem aceitar ele, o PSDB inteiro, aliás. A vida nas periferias melhorou muito, mas isso não é culpa do PSDB, é graças ao Lula, o governo do PT governa para o povo, quando o PT está no poder, podemos dizer que o Estado está do nosso lado.

SPressoSP – “Quando a cidade dorme”, é uma música em que você tenta fazer uma radiografia do caminho que um homem faz da periferia para o centro. Enquanto ouvia esse som, me veio à cabeça as chacinas que ocorrem na madrugada, na periferia…
Crônica Mendes – Essa música nasceu quando eu morava na Barra Funda e fazia o caminho para o centro, vindo da periferia. Essas chacinas são a forma que o governo encontrou de dizer que lugar de periférico é na periferia, de nos empurrar mais para dentro da periferia, com medo. Eles não nos querem buscando conhecimento e lutando na rua. A polícia é isso, vai lá, dá um rasante, extermina uns e mostra que temos que ficar na periferia. Isso sim é censura, isso sim é racismo, isso sim é ditadura. Isso é um extermínio, não estamos falando de perseguição policial, averiguação ou uma investigação, é o policial chegando e atirando, sem perguntar.

SPressoSP – Você faz uma crítica à influência norte-americana no rap nacional. Ainda é muito pesada essa influência?
Crônica Mendes – Os EUA são quem mandam nisso. Nós somos, se não me engano, o quinto maior produtor de rap no mundo. Então sofremos mesmo essa influência, mas o que não pode acontecer é que as ideias deles nos contaminem, porque é outra realidade.

SPressoSP – “Domingo de chuva” é uma música sofrida. Você viveu o que descreve ali?
Crônica Mendes – Quantas Marias não derramam lágrimas quando cai uma chuva em São Paulo? Eu tive a ideia de escrever essa música depois que visitei o Jardim Pantanal, na época daquela enchente criminosa. Bom, eu fui convidado pelo coletivo Peso para levar um pouco de entretenimento para aquele povo que estava sofrendo muito. Aquele lugar parecia Bagdá, gente. O Estado aproveitou a tragédia que ele criou e mandou as máquinas que terminaram de derrubar casas, e ver o sofrimento daquelas famílias era muito ruim. Lá eu conheci uma família em especial que me contou a história do fim de semana que alagou, que tinha começado muito bonito e terminou alagado. Eu tive que socializar essa história.

SPressoSP – Você faz um rap bem urbano, mas é baiano do interior e criado no interior de São Paulo. Onde aparecem elementos dessas regiões em tua música, eles existem?
Crônica Mendes – Eu sou do interior mesmo, na Bahia eu só nasci. Cara, minhas influências vêm do brega. Eu adoro, tanto que têm frases no meu disco que são inspiradas no brega, meu primeiro rap foi inspirado em uma música do Amado Batista, que chama “Favela”. Eu ouço muito brega e a minha grande referência no rap é o Racionais, que veio bem depois, além do GOG, que foi fundamental para a minha formação intelectual, junto com a Nina Fideles [companheira de Crônica Mendes].

A New Physics Theory of Life (Quanta Magazine)

Jeremy England

Jeremy England, a 31-year-old physicist at MIT, thinks he has found the underlying physics driving the origin and evolution of life. (Katherine Taylor for Quanta Magazine).

By: Natalie Wolchover

January 22, 2014

Why does life exist?

Popular hypotheses credit a primordial soup, a bolt of lightning and a colossal stroke of luck. But if a provocative new theory is correct, luck may have little to do with it. Instead, according to the physicist proposing the idea, the origin and subsequent evolution of life follow from the fundamental laws of nature and “should be as unsurprising as rocks rolling downhill.”

From the standpoint of physics, there is one essential difference between living things and inanimate clumps of carbon atoms: The former tend to be much better at capturing energy from their environment and dissipating that energy as heat. Jeremy England, a 31-year-old assistant professor at the Massachusetts Institute of Technology, has derived a mathematical formula that he believes explains this capacity. The formula, based on established physics, indicates that when a group of atoms is driven by an external source of energy (like the sun or chemical fuel) and surrounded by a heat bath (like the ocean or atmosphere), it will often gradually restructure itself in order to dissipate increasingly more energy. This could mean that under certain conditions, matter inexorably acquires the key physical attribute associated with life.

Plagiomnium affine

“You start with a random clump of atoms, and if you shine light on it for long enough, it should not be so surprising that you get a plant,” England said.

England’s theory is meant to underlie, rather than replace, Darwin’s theory of evolution by natural selection, which provides a powerful description of life at the level of genes and populations. “I am certainly not saying that Darwinian ideas are wrong,” he explained. “On the contrary, I am just saying that from the perspective of the physics, you might call Darwinian evolution a special case of a more general phenomenon.”

His idea, detailed in a recent paper and further elaborated in a talk he is delivering at universities around the world, has sparked controversy among his colleagues, who see it as either tenuous or a potential breakthrough, or both.

England has taken “a very brave and very important step,” said Alexander Grosberg, a professor of physics at New York University who has followed England’s work since its early stages. The “big hope” is that he has identified the underlying physical principle driving the origin and evolution of life, Grosberg said.

“Jeremy is just about the brightest young scientist I ever came across,” said Attila Szabo, a biophysicist in the Laboratory of Chemical Physics at the National Institutes of Health who corresponded with England about his theory after meeting him at a conference. “I was struck by the originality of the ideas.”

Others, such as Eugene Shakhnovich, a professor of chemistry, chemical biology and biophysics at Harvard University, are not convinced. “Jeremy’s ideas are interesting and potentially promising, but at this point are extremely speculative, especially as applied to life phenomena,” Shakhnovich said.

England’s theoretical results are generally considered valid. It is his interpretation — that his formula represents the driving force behind a class of phenomena in nature that includes life — that remains unproven. But already, there are ideas about how to test that interpretation in the lab.

“He’s trying something radically different,” said Mara Prentiss, a professor of physics at Harvard who is contemplating such an experiment after learning about England’s work. “As an organizing lens, I think he has a fabulous idea. Right or wrong, it’s going to be very much worth the investigation.”

A computer simulation by Jeremy England and colleagues shows a system of particles confined inside a viscous fluid in which the turquoise particles are driven by an oscillating force. Over time (from top to bottom), the force triggers the formation of more bonds among the particles.

At the heart of England’s idea is the second law of thermodynamics, also known as the law of increasing entropy or the “arrow of time.” Hot things cool down, gas diffuses through air, eggs scramble but never spontaneously unscramble; in short, energy tends to disperse or spread out as time progresses. Entropy is a measure of this tendency, quantifying how dispersed the energy is among the particles in a system, and how diffuse those particles are throughout space. It increases as a simple matter of probability: There are more ways for energy to be spread out than for it to be concentrated. Thus, as particles in a system move around and interact, they will, through sheer chance, tend to adopt configurations in which the energy is spread out. Eventually, the system arrives at a state of maximum entropy called “thermodynamic equilibrium,” in which energy is uniformly distributed. A cup of coffee and the room it sits in become the same temperature, for example. As long as the cup and the room are left alone, this process is irreversible. The coffee never spontaneously heats up again because the odds are overwhelmingly stacked against so much of the room’s energy randomly concentrating in its atoms.

Although entropy must increase over time in an isolated or “closed” system, an “open” system can keep its entropy low — that is, divide energy unevenly among its atoms — by greatly increasing the entropy of its surroundings. In his influential 1944 monograph “What Is Life?” the eminent quantum physicist Erwin Schrödinger argued that this is what living things must do. A plant, for example, absorbs extremely energetic sunlight, uses it to build sugars, and ejects infrared light, a much less concentrated form of energy. The overall entropy of the universe increases during photosynthesis as the sunlight dissipates, even as the plant prevents itself from decaying by maintaining an orderly internal structure.

Life does not violate the second law of thermodynamics, but until recently, physicists were unable to use thermodynamics to explain why it should arise in the first place. In Schrödinger’s day, they could solve the equations of thermodynamics only for closed systems in equilibrium. In the 1960s, the Belgian physicist Ilya Prigogine made progress on predicting the behavior of open systems weakly driven by external energy sources (for which he won the 1977 Nobel Prize in chemistry). But the behavior of systems that are far from equilibrium, which are connected to the outside environment and strongly driven by external sources of energy, could not be predicted.

This situation changed in the late 1990s, due primarily to the work of Chris Jarzynski, now at the University of Maryland, and Gavin Crooks, now at Lawrence Berkeley National Laboratory. Jarzynski and Crooks showed that the entropy produced by a thermodynamic process, such as the cooling of a cup of coffee, corresponds to a simple ratio: the probability that the atoms will undergo that process divided by their probability of undergoing the reverse process (that is, spontaneously interacting in such a way that the coffee warms up). As entropy production increases, so does this ratio: A system’s behavior becomes more and more “irreversible.” The simple yet rigorous formula could in principle be applied to any thermodynamic process, no matter how fast or far from equilibrium. “Our understanding of far-from-equilibrium statistical mechanics greatly improved,” Grosberg said. England, who is trained in both biochemistry and physics, started his own lab at MIT two years ago and decided to apply the new knowledge of statistical physics to biology.

Using Jarzynski and Crooks’ formulation, he derived a generalization of the second law of thermodynamics that holds for systems of particles with certain characteristics: The systems are strongly driven by an external energy source such as an electromagnetic wave, and they can dump heat into a surrounding bath. This class of systems includes all living things. England then determined how such systems tend to evolve over time as they increase their irreversibility. “We can show very simply from the formula that the more likely evolutionary outcomes are going to be the ones that absorbed and dissipated more energy from the environment’s external drives on the way to getting there,” he said. The finding makes intuitive sense: Particles tend to dissipate more energy when they resonate with a driving force, or move in the direction it is pushing them, and they are more likely to move in that direction than any other at any given moment.

“This means clumps of atoms surrounded by a bath at some temperature, like the atmosphere or the ocean, should tend over time to arrange themselves to resonate better and better with the sources of mechanical, electromagnetic or chemical work in their environments,” England explained.

Self Replicating Microstructures

Self-replication (or reproduction, in biological terms), the process that drives the evolution of life on Earth, is one such mechanism by which a system might dissipate an increasing amount of energy over time. As England put it, “A great way of dissipating more is to make more copies of yourself.” In a September paper in the Journal of Chemical Physics, he reported the theoretical minimum amount of dissipation that can occur during the self-replication of RNA molecules and bacterial cells, and showed that it is very close to the actual amounts these systems dissipate when replicating. He also showed that RNA, the nucleic acid that many scientists believe served as the precursor to DNA-based life, is a particularly cheap building material. Once RNA arose, he argues, its “Darwinian takeover” was perhaps not surprising.

The chemistry of the primordial soup, random mutations, geography, catastrophic events and countless other factors have contributed to the fine details of Earth’s diverse flora and fauna. But according to England’s theory, the underlying principle driving the whole process is dissipation-driven adaptation of matter.

This principle would apply to inanimate matter as well. “It is very tempting to speculate about what phenomena in nature we can now fit under this big tent of dissipation-driven adaptive organization,” England said. “Many examples could just be right under our nose, but because we haven’t been looking for them we haven’t noticed them.”

Scientists have already observed self-replication in nonliving systems. According to new research led by Philip Marcus of the University of California, Berkeley, and reported in Physical Review Letters in August, vortices in turbulent fluids spontaneously replicate themselves by drawing energy from shear in the surrounding fluid. And in a paper appearing online this week in Proceedings of the National Academy of Sciences, Michael Brenner, a professor of applied mathematics and physics at Harvard, and his collaborators present theoretical models and simulations of microstructures that self-replicate. These clusters of specially coated microspheres dissipate energy by roping nearby spheres into forming identical clusters. “This connects very much to what Jeremy is saying,” Brenner said.

Besides self-replication, greater structural organization is another means by which strongly driven systems ramp up their ability to dissipate energy. A plant, for example, is much better at capturing and routing solar energy through itself than an unstructured heap of carbon atoms. Thus, England argues that under certain conditions, matter will spontaneously self-organize. This tendency could account for the internal order of living things and of many inanimate structures as well. “Snowflakes, sand dunes and turbulent vortices all have in common that they are strikingly patterned structures that emerge in many-particle systems driven by some dissipative process,” he said. Condensation, wind and viscous drag are the relevant processes in these particular cases.

“He is making me think that the distinction between living and nonliving matter is not sharp,” said Carl Franck, a biological physicist at Cornell University, in an email. “I’m particularly impressed by this notion when one considers systems as small as chemical circuits involving a few biomolecules.”

Snowflake

England’s bold idea will likely face close scrutiny in the coming years. He is currently running computer simulations to test his theory that systems of particles adapt their structures to become better at dissipating energy. The next step will be to run experiments on living systems.

Prentiss, who runs an experimental biophysics lab at Harvard, says England’s theory could be tested by comparing cells with different mutations and looking for a correlation between the amount of energy the cells dissipate and their replication rates. “One has to be careful because any mutation might do many things,” she said. “But if one kept doing many of these experiments on different systems and if [dissipation and replication success] are indeed correlated, that would suggest this is the correct organizing principle.”

Brenner said he hopes to connect England’s theory to his own microsphere constructions and determine whether the theory correctly predicts which self-replication and self-assembly processes can occur — “a fundamental question in science,” he said.

Having an overarching principle of life and evolution would give researchers a broader perspective on the emergence of structure and function in living things, many of the researchers said. “Natural selection doesn’t explain certain characteristics,” said Ard Louis, a biophysicist at Oxford University, in an email. These characteristics include a heritable change to gene expression called methylation, increases in complexity in the absence of natural selection, and certain molecular changes Louis has recently studied.

If England’s approach stands up to more testing, it could further liberate biologists from seeking a Darwinian explanation for every adaptation and allow them to think more generally in terms of dissipation-driven organization. They might find, for example, that “the reason that an organism shows characteristic X rather than Y may not be because X is more fit than Y, but because physical constraints make it easier for X to evolve than for Y to evolve,” Louis said.

“People often get stuck in thinking about individual problems,” Prentiss said.  Whether or not England’s ideas turn out to be exactly right, she said, “thinking more broadly is where many scientific breakthroughs are made.”

Emily Singer contributed reporting.

Correction: This article was revised on January 22, 2014, to reflect that Ilya Prigogine won the Nobel Prize in chemistry, not physics.

Technology One Step Ahead of War Laws (Science Daily)

Jan. 6, 2014 — Today’s emerging military technologies — including unmanned aerial vehicles, directed-energy weapons, lethal autonomous robots, and cyber weapons like Stuxnet — raise the prospect of upheavals in military practices so fundamental that they challenge long-established laws of war. Weapons that make their own decisions about targeting and killing humans, for example, have ethical and legal implications obvious and frightening enough to have entered popular culture (for example, in the Terminator films).

The current international laws of war were developed over many centuries and long before the current era of fast-paced technological change. Military ethics and technology expert Braden Allenby says the proper response to the growing mismatch between long-established international law and emerging military technology “is neither the wholesale rejection of the laws of war nor the comfortable assumption that only minor tweaks to them are necessary.” Rather, he argues, the rules of engagement should be reconsidered through deliberate and focused international discussion that includes a wide range of cultural and institutional perspectives.

Allenby’s article anchors a special issue on the threat of emerging military technologies in the latest Bulletin of the Atomic Scientists (BOS), published by SAGE.

History is replete with paradigm shifts in warfare technology, from the introduction of gunpowder, which arguably gave rise to nation states, to the air-land-battle technologies used during the Desert Storm offensive in Kuwait and Iraq in 1991, which caused 20,000 to 30,000 Iraqi casualties and left only 200 US coalition troops dead. But today’s accelerating advances across the technological frontier and dramatic increases in the numbers of social institutions at play around the world are blurring boundaries between military and civil entities and state and non-state actors. And because the United States has an acknowledged primacy in terms of conventional forces, the nations and groups that compete with it increasingly think in terms of asymmetric warfare, raising issues that lie beyond established norms of military conduct and may require new legal thinking and institutions to address.

“The impact of emerging technologies on the laws of war might be viewed as a case study and an important learning opportunity for humankind as it struggles to adapt to the complexity that it has already wrought, but has yet to learn to manage,” Allenby writes.

Other articles in the Bulletin’s January/February special issue on emerging military technologies include “The enhanced warfighter” by Ken Ford, which looks at the ethics and practicalities of performance enhancement for military personnel, and Michael C. Horowitz’s overview of the near-term future of US war-fighting technology, “Coming next in military tech.” The issue also offers two views of the use of advanced robotics: “Stopping killer robots,” Mark Gubrud’s argument in favor of an international ban on lethal autonomous weapons, and “Robot to the rescue,” Gill Pratt’s account of a US Defense Department initiative aiming to develop robots that will improve response to disasters, like the Fukushima nuclear catastrophe, that involve highly toxic environments.

Journal Reference:

  1. Braden R. Allenby. Are new technologies undermining the laws of war? Bulletin of the Atomic Scientists, January/February 2014

Soap Bubbles for Predicting Cyclone Intensity? (Science Daily)

Jan. 8, 2014 — Could soap bubbles be used to predict the strength of hurricanes and typhoons? However unexpected it may sound, this question prompted physicists at the Laboratoire Ondes et Matière d’Aquitaine (CNRS/université de Bordeaux) to perform a highly novel experiment: they used soap bubbles to model atmospheric flow. A detailed study of the rotation rates of the bubble vortices enabled the scientists to obtain a relationship that accurately describes the evolution of their intensity, and propose a simple model to predict that of tropical cyclones.

Vortices in a soap bubble. (Credit: © Hamid Kellay)

The work, carried out in collaboration with researchers from the Institut de Mathématiques de Bordeaux (CNRS/université de Bordeaux/Institut Polytechnique de Bordeaux) and a team from Université de la Réunion, has just been published in the journal NatureScientific Reports.

Predicting wind intensity or strength in tropical cyclones, typhoons and hurricanes is a key objective in meteorology: the lives of hundreds of thousands of people may depend on it. However, despite recent progress, such forecasts remain difficult since they involve many factors related to the complexity of these giant vortices and their interaction with the environment. A new research avenue has now been opened up by physicists at the Laboratoire Ondes et Matière d’Aquitaine (CNRS/Université Bordeaux 1), who have performed a highly novel experiment using, of all things, soap bubbles.

The researchers carried out simulations of flow on soap bubbles, reproducing the curvature of the atmosphere and approximating as closely as possible a simple model of atmospheric flow. The experiment allowed them to obtain vortices that resemble tropical cyclones and whose rotation rate and intensity exhibit astonishing dynamics-weak initially or just after the birth of the vortex, and increasing significantly over time. Following this intensification phase, the vortex attains its maximum intensity before entering a phase of decline.

A detailed study of the rotation rate of the vortices enabled the researchers to obtain a simple relationship that accurately describes the evolution of their intensity. For instance, the relationship can be used to determine the maximum intensity of the vortex and the time it takes to reach it, on the basis of its initial evolution. This prediction can begin around fifty hours after the formation of the vortex, a period corresponding to approximately one quarter of its lifetime and during which wind speeds intensify. The team then set out to verify that these results could be applied to real tropical cyclones. By applying the same analysis to approximately 150 tropical cyclones in the Pacific and Atlantic oceans, they showed that the relationship held true for such low-pressure systems. This study therefore provides a simple model that could help meteorologists to better predict the strength of tropical cyclones in the future.

Journal Reference:

  1. T. Meuel, Y. L. Xiong, P. Fischer, C. H. Bruneau, M. Bessafi, H. Kellay. Intensity of vortices: from soap bubbles to hurricanesScientific Reports, 2013; 3 DOI:10.1038/srep03455

Chimps Can Use Gestures to Communicate in Hunt for Food (Science Daily)

Jan. 17, 2014 — Remember the children’s game “warmer/colder,” where one person uses those words to guide the other person to a hidden toy or treat? Well, it turns out that chimpanzees can play, too.

Chimpanzee. Remember the children’s game “warmer/colder,” where one person uses those words to guide the other person to a hidden toy or treat? Well, it turns out that chimpanzees can play, too. (Credit: © maradt / Fotolia)

Researchers at Georgia State University’s Language Research Center examined how two language-trained chimpanzees communicated with a human experimenter to find food. Their results are the most compelling evidence to date that primates can use gestures to coordinate actions in pursuit of a specific goal.

The team devised a task that demanded coordination among the chimps and a human to find a piece of food that had been hidden in a large outdoor area. The human experimenter did not know where the food was hidden, and the chimpanzees used gestures such as pointing to guide the experimenter to the food.

Dr. Charles Menzel, a senior research scientist at the Language Research Center, said the design of the experiment with the “chimpanzee-as-director” created new ways to study the primate.

“It allows the chimpanzees to communicate information in the manner of their choosing, but also requires them to initiate and to persist in communication,” Menzel said. “The chimpanzees used gestures to recruit the assistance of an otherwise uninformed person and to direct the person to hidden objects 10 or more meters away. Because of the openness of this paradigm, the findings illustrate the high level of intentionality chimpanzees are capable of, including their use of directional gestures. This study adds to our understanding of how well chimpanzees can remember and communicate about their environment.”

The paper, “Chimpanzees Modify Intentional Gestures to Co-ordinate a Search for Hidden Food,” has been published inNature Communications. Academics at the University of Chester and University of Stirling collaborated on the research project.

Dr. Anna Roberts of the University of Chester said the findings are important.

“The use of gestures to coordinate joint activities such as finding food may have been an important building block in the evolution of language,” she said.

Dr. Sarah-Jane Vick of the University of Stirling added, “Previous findings in both wild and captive chimpanzees have indicated flexibility in their gestural production, but the more complex coordination task used here demonstrates the considerable cognitive abilities that underpin chimpanzee communication.”

Dr. Sam Roberts, also from the University of Chester, pointed out the analogy to childhood games.

“This flexible use of pointing, taking into account both the location of the food and the actions of the experimenter, has not been observed in chimpanzees before,” Roberts said.

The project was supported by The Leakey Foundation, the Wenner-Gren Foundation, National Institutes of Health, the Economic and Social Research Council, the British Academy, the Carnegie Trust for the Universities of Scotland and the University of Stirling.

Journal Reference:

  1. Anna Ilona Roberts, Sarah-Jane Vick, Sam George Bradley Roberts, Charles R. Menzel. Chimpanzees modify intentional gestures to coordinate a search for hidden foodNature Communications, 2014; 5 DOI:10.1038/ncomms4088

Smog in Beijing Is So Awful You Have to Catch the Sunrise on a Big Screen (Time)

In the airpocalypse, fake sunrises are a thing

By , Jan. 17, 2014

462905499
ChinaFotoPress / Getty Images. This LED screen displays the rising sun in Beijing’s Tiananmen Square, which is shrouded in heavy smog on Jan. 16, 2014.

Updated on Jan. 17, 2014 at 5:32 a.m EST.

Air pollution in the Chinese capital reached new, choking heights on Thursday. Those who still felt the urge to catch a glimpse of sunlight were able to gather around the city’s gigantic LED screens, where this glorious sunrise was broadcast as part of a patriotic video loop.

This post has been revised to reflect that the sunrise was not broadcast specifically for that day.

Read more: Beijing’s Televised Sunrise | TIME.com http://world.time.com/2014/01/17/beijing-smog-combatted-with-televised-sunrises/#ixzz2qgS80R00

 

On the ontological turn in anthropology

Ontology as the Major Theme of AAA 2013 (Savage Minds)

by  on November 27, 2013

Most attendees of the annual meetings in Chicago are, as one wag put it, exhAAAusted from all our conference going, and the dust is only now settling. As we look back on the conference, however, it is worth asking what actually happened there. Different people will have different answers to this question, but for me and the people in my scholarly network, the big answer is: ontology.

The term was not everywhere at the AAAs, but it was used consistently, ambitiously, audaciously, and almost totally unironically to offer anthropology something that it (supposedly) hasn’t had in a long time: A massive infusion of theory that will alter our paradigm, create a shift in the field that everyone will feel and which will orient future work, and that will allow us, once again, to ask big questions. To be honest, as someone who had been following ‘ontological anthropology’ for the past couple of years, I was sort of expecting it to not get much traction in the US. But the successful branding of the term and the cultural capital attached to it may prove me wrong yet.

In fact, there were just two major events with the world ontology in the title: the “Politics of Ontology” roundtable and the blowout “The Ontological Turn in French Philosophical Anthropology”. But these events were full of ‘stars’ and attracted plenty of attention.

Will this amount to anything? What is ontology anyway? Were there other themes that were more dominant in the conference? I don’t have any answers to these questions yet, but I hope to soon and will let you figure it out when I do. If you get there before me, then fire away in the comments section and we’ll see what people think.

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A reader’s guide to the “ontological turn” – Part 1 (Somatosphere)

By 

January 15, 2014

This article is part of the series: 

Editor’s note: In the wake of the discussion about the ‘ontological turn’ at this year’s American Anthropological Association conference, we asked several scholars, “which texts or resources would you recommend to a student or colleague interested in the uses of ‘ontology’ as an analytical category in recent work in anthropology and science and technology studies?”  This was the reading list we received from Judith FarquharMax Palevsky Professor of Anthropology at the University of Chicago.  Answers from a number of other scholars will appear as separate posts in the series.

In providing a reading list, I had lots of good “ontological” resources at hand, having just taught a seminar called “Ontological Politics.”  This list is pared down from the syllabus; and the syllabus itself was just a subset of the many useful philosophical, historical, and ethnographic readings that I had been devouring during the previous year, when I was on leave.

I really like all these pieces, though I don’t actually “follow” all of them.  This is a good thing, because the field — if it can be called that — tends to go in circles, with all the usual suspects citing all the usual suspects.  In the end, as we worked our way through the course, I found the ethnographic work more exciting than most of the more theoretically inclined writing.  At the other end of the spectrum, I feel quite transformed by having read Heidegger’s “The Thing” — but I’m not sure why!

Philosophical and methodological works in anthropology and beyond:

Philippe Descola, 2013, The Ecology of Others, Chicago: Prickly Paradigm Press.

William Connolly, 2005, Pluralism. Durham: Duke University Press. (Ch. 3, “Pluralism and the Universe” [on William James], pp. 68-92.)

Eduardo Viveiros de Castro, 2004, “Perspectival Anthropology and the Method of Controlled Equivocation,” Tipiti 2 (1): 3-22.

Eduardo Viveiros de Castro, 2012, “Immanence and Fear: Stranger events and subjects in Amazonia,” HAU: Journal of Ethnographic Theory 2 (1): 27-43.

Marisol de la Cadena, 2010, “Indigenous Cosmopolitics in the Andes: Conceptual reflections beyond ‘politics’,” Cultural Anthropology 25 (2): 334-370.

Bruno Latour, 2004, “Why Has Critique Run Out of Steam? From matters of fact to matters of concern.” Critical Inquiry 30 (2): 225-248.

A dialogue from Common Knowledge 2004 (3): Ulrich Beck: “The Truth of Others: A Cosmopolitan Approach” (pp. 430-449) and Bruno Latour: “Whose Cosmos, Which Cosmopolitics? Comments on the Peace Terms of Ulrich Beck” (pp. 450-462).

Graham Harman, 2009, Prince of Networks: Bruno Latour and Metaphysics.  Melbourne: Re.Press.  (OA)

Isabelle Stengers, 2005, “The Cosmopolitical Proposal,” in Bruno Latour & Peter Weibel, eds., Making Things Public: Atmospheres of Democracy.  Cambridge MA: MIT Press, pp. 994-1003.

Martin Heidegger, 1971, “The Thing,” in Poetry, Language, Thought (Tr. Albert Hofstadter).  New York: Harper & Row, pp. 163-180

Graham Harman, 2010, “Technology, Objects and Things in Heidegger,”Cambridge Journal of Economics 34: 17-25.

Jane Bennett and William Connolly, 2012, “The Crumpled Handkerchief,” in Bernd Herzogenrath, ed., Time and History in Deleuze and Serres. London & New York: Continuum, pp. 153-171.

Tim Ingold, 2004, “A Circumpolar Night’s Dream,” in John Clammer et al., eds., Figured Worlds: Ontological Obstacles in Intercultural Relations.  Toronto: University of Toronto Press, pp. 25-57.

Annemarie Mol, 1999, “Ontological Politics: A Word and Some Questions,” in John Law, and J. Hassard, ed., Actor Network Theory and After.  Oxford: Blackwell, pp. 74-89.

Terrific ethnographic studies very concerned with ontologies:

Mario Blaser, 2010, Storytelling Globalization from the Chaco and Beyond.  Durham NC: Duke University Press.

Eduardo Kohn, 2013, How Forests Think: Toward an anthropology beyond the human. Berkeley: University of California Press.

Helen Verran, 2011, “On Assemblage: Indigenous Knowledge and Digital Media (2003-2006) and HMS Investigator (1800-1805).” In Tony Bennet & Chris Healey, eds.,  Assembling Culture.  London & New York: Routledge, pp. 163-176.

Morten Pedersen, 2011, Not Quite Shamans: Spirit worlds and Political Lives in Northern Mongolia. Ithaca: Cornell University Press.

John Law & Marianne Lien, 2013, “Slippery: Field Notes in Empirical Ontology,” Social Studies of Science 43 (3): 363-378.

Stacey A. Langwick, 2011, Bodies, Politics, and African Healing: The Matter of Maladies in Tanzania.  Bloomington: Indiana University Press.

Judith Farquhar is Max Palevsky Professor of Anthropology and Social Sciences at the University of Chicago. Her research concerns traditional medicine, popular culture, and everyday life in contemporary China. She is the author of Knowing Practice: The Clinical Encounter of Chinese Medicine (Westview 1996),Appetites: Food and Sex in Post-Socialist China (Duke 2002), and Ten Thousand Things: Nurturing Life in Contemporary Beijing (Zone 2012) (with Qicheng Zhang), and editor (with Margaret Lock) of Beyond the Body Proper: Reading the Anthropology of Material Life (Duke 2007).

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A reader’s guide to the “ontological turn” – Part 2 (Somatosphere)

By 

January 17, 2014

This article is part of the series: 

Editor’s note: In the wake of the discussion about the ‘ontological turn’ at this year’s American Anthropological Association conference, we asked several scholars, “which texts or resources would you recommend to a student or colleague interested in the uses of ‘ontology’ as an analytical category in recent work in anthropology and science and technology studies?”  This was the answer we received from Javier Lezaun, James Martin Lecturer in Science and Technology Governance at the University of Oxford. 

Those of us who have been brought up in the science and technology studies (STS) tradition look at claims of an ‘ontological turn’ with a strange sense of familiarity: it’s déjà vu all over again! For we can read the whole history of STS (cheekily and retroactively, of course) as a ‘turn to ontology’, albeit one that was rarely thematized as such.

A key text in forming STS and giving it a proto-ontological orientation (if such a term can be invented) is Ian Hacking’s Representing and Intervening (1983). On its surface the book is an introduction to central themes and keywords in the philosophy of science. In effect, it launches a programme of research that actively blurs the lines between depictions of the world and interventions into its composition. And it does so by bringing to the fore the constitutive role of experimental practices – a key leitmotiv of what would eventually become STS.

Hacking, of course, went on to develop a highly original form of pragmatic realism, particularly in relation to the emergence of psychiatric categories and new forms of personhood. His 2004 book, Historical Ontology, captures well the main thrust of his arguments, and lays out a useful contrast with the ‘meta-epistemology’ of much of the best contemporary writing in the history of science.

But we are getting ahead of ourselves and disrespecting our good old friend Chronology. The truth is that references to ontology are scarce in the foundational texts of STS (the term is not even indexed in Representing and Intervening, for instance). This is hardly surprising: alluding to the ontological implies a neat distinction between being and representing, precisely the dichotomy that STS scholars were trying to overcome – or, more accurately, ignore – at the time. The strategy was to enrich our notion of representation, not to turn away from it in favour of higher plane of being.

It is in the particular subfield of studies of particle physics that the discussion about ontology within STS developed, simply because matters of reality – and the reality of matter – featured much more prominently in the object of study. Andrew Pickering’s Constructing Quarks: A Sociological History of Particle Physics (1984) was one of the few texts that tackled ontological matters head on, and it shared with Hacking’s an emphasis on the role of experimental machineries in producing agreed-upon worlds. In his following book, The Mangle of Practice: Time, Agency, and Science (1995), Pickering would develop this insight into a full-fledged theory of temporal emergence based on the dialectic of resistance and accommodation.

An interesting continuation and counterpoint in this tradition is Karen Barad’s book, Meeting the Universe Halfway: Quantum Physics and the Entanglement of Matter and Meaning (2007). Barad’s thesis, particularly her theory of agential realism, is avowedly and explicitly ontological, but this does not imply a return to traditional metaphysical problem-definitions. In fact, Barad speaks of ‘onto-epistemology’, or even of ‘onto-ethico-epistemology’, to describe her approach. The result is an aggregation of planes of analysis, rather than a turn from one to the other.

Arguments about the nature of quarks, bubble chambers and quantum physics might seem very distant from the sort of anthropo-somatic questions that preoccupy readers of this blog, but it is worth noting that this rarefied discussion has been the terrain where key elements of the current STS interest in ontology – the idioms of performativity and materialism in particular – were first tested.

The work that best represents this current interest in matters of ontology within STS is that of Annemarie Mol and John Law. Their papers on topologies (e.g., ‘Regions, Networks and Fluids: Anaemia and Social Topology’ in 1994; ‘Situating technoscience:  an inquiry into spatialities’, 2001) broke new ground in making explicit the argument about the multiplicity of the world(s), and served to develop a first typology of alternative modes of reality. Mol’s ethnography of atherosclerosis, The Body Multiple: Ontology in Medical Practice (2003), is of course the (provisional?) culmination of this brand of ‘empirical philosophy’, and a text that offers a template for STS-inflected anthropology (and vice versa).

One distinct contribution of this body of work – and this is a point made by Malcolm Ashmore in his review of The Body Multiple – is to extend STS modes of inquiry beyond the study of new or controversial entities, and draw the same kind of analytical intensity to realities – like that (or those) of atherosclerosis – whose univocal reality we tend to take for granted. For better and worse, STS grew out of an effort to understand how new facts and artifacts enter our world, and the field remains attached to all that is (or appears to be) new – even if the end-result of the analysis is often to challenge those claims to novelty. The current ‘ontological turn’ in STS would then represent an effort to excavate mundane layers of reality, to draw attention to the performed or enacted nature of that that appears old, settled or uncontroversial. I suspect this manoeuvre carries less value in Anthropology, where the everyday and the taken-for-granted is often the very locus of inquiry.

The other value of the ‘ontological turn’ is, in my view, to recast the question of politics – as both an object of study and a mode of engagement with the world. This recasting can take at least two different forms. There are those who argue that attending to the ontological, i.e., to the reality of plural worlds and the unavoidable condition of multinaturalism, intensifies (and clarifies) the normative implications of our analyses (see for instance the genealogical argument put forward very forcefully by Dimitris Papadopoulos in his article ‘Alter-ontologies: towards a constituent politics in technoscience’). A slightly different course of action is to think of ontology as a way of addressing the intertwining of the technological and the political. Excellent recent examples of this approach are Noortje Marres’s Material Participation: Technology, the Environment, and everyday Publics (2012) and Andrew Barry’s Material Politics: Disputes Along the Pipeline (2013).

In sum, and to stake out my own position, I think STS is best seen as a fairly tight bundle of analytical sensibilities – sensibilities that are manifested in an evolving archipelago of case studies. It is not a theory of the world (let alone a theory of being), and it quickly becomes trite and somewhat ritualistic when it is transformed into a laundry list of statements about what the world is or should be like. In this sense, an ‘ontological turn’ would run counter to the STS tradition, as I see it, if it implies asserting a particular ontology of the world, regardless of whether the claim is that that ontology is plural, multiple, fluid, relational, etc. This sort of categorical, pre-empirical position smothers the critical instincts that energize the field and have driven its evolution over the last three decades. Steve Woolgar and I have formulated this view in a recent piece for Social Studies of Science (‘The wrong bin bag:  a turn to ontology in science and technology studies?’), and a similar argument been made often and persuasively by Michael Lynch (e.g., “Ontography: investigating the production of things, deflating ontology”).

Javier Lezaun is James Martin Lecturer in Science and Technology Governance and Deputy Director at the Institute for Science, Innovation and Society in the School of Anthropology and Museum Ethnography at the University of Oxford. His research focuses on the politics of scientific research and its governance. He directs the research programme BioProperty, funded by the European Research Council, which investigates the role of property rights and new forms of ownership in biomedical research. Javier is also currently participating in research projects on the governance of climate geoengineering, and new forms of consumer mobilization in food markets.

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Ontological Turns Inside-Out (Struggle Forever)

By Jeremy Trombley. Posted on Thursday, January 16, 2014, at 4:35 pm.

It seems Ontology has finally gone mainstream in anthropology. Only a few years ago, it was something heard on the edges of the disciplinary discourse. Now you can’t throw a stick without running into a blog post, article, conference paper, or what-have-you that uses ontology as a central theme. Over at Somatosphere, Judith Farquhar has assembled a nice reading list for an introductory understanding of the “ontological turn” in anthropology. Then, over at Anthropological Research on the Contemporary (ARC), Lyle has a solid critiqueof this turn in anthropology – suggesting that it fails to change the form of inquiry to match its subject. It’s a running joke that anthropology has taken so many turns in the last  few decades that we’ve often ended up right where we started. I think there’s a truth to that, and I appreciate Lyle for calling out the underlying conservativism that can be found in this (or any) turn.

As a frequent (though not influential) supporter of the ontological turn in anthropology, I feel as though I should put in my thoughts on all of this. I can’t speak to the events at the AAA – I wasn’t there and I haven’t followed up on any of it as I’ve been obsessively working on an NSF proposal for the last two months (which I just submitted yesterday!!) – so I’m going to talk about some impressions that I get from this turn and then some of my thoughts on where things ought to go from my perspective. My first impression is much like Lyle’s. In the name of ontology, there seems to be a retreat to classical ethnography and broad, sweeping comparative analysis. The terms have changed – reflecting on “ontologies” rather than “cultures” – but the means, methods, and results are much the same. In this sense, it’s not really overcoming the Nature/Culture dualism so much as bringing everything into the cultural domain. I agree with Lyle when he says:

…the question is not about categorizing and typologizing multiple ontologies but rather of charting the historical emergence of new ontologies.”

He continues:

The stakes are not only ontological, but also ethical: how to live in this changed world? How to live together amidst these changed beings and groupings? How to make anthropological knowledge about these changed beings and lives? The point is not that ontology is not a useful question for anthropologists, and indeed forms a productive critique of the comparative form of cultural anthropology. Rather, the point is that an ontological critique must be coupled with a transformation of the procedures and form of anthropological inquiry. The question is where one goes after making this ontological “turn”: towards the contemporary, or towards the 19th century.”

I think that there is an element of this in the “ontological turn” most notably with John Law‘s and Annamarie Mol’s work – attempting to understand how the creation of new beings or systems of relation affect those beings and relations that already exist. This is expressed by the two (though Mol deserves credit for coming up with the term) in their conception of “ontological politics” (a concept that, to me, mirrors Latour and Stengers’s “cosmopolitics”). The way I see it, there can be no concrete ontology, not because we cannot know (this is the difference between this and earlier critiques) or access ontological reality, but because ontological reality is itself fundamentally weird and always in the process of being produced. Ontology is never settled, and that’s why we have to be cognizant of other ontologies, and attentive to the relationships between them. Furthermore, we have to be attentive to our own ontological commitments and effects. It’s not merely a question of understanding others’ ontologies, but of understanding our own as anthropologists. This is why I would ask that we take the “ontological turn” not left, right, or wrong, butinside-out. Turn it back on ourselves and our own practices rather than focusing once again on others. What kind of world are we creating through our practices as anthropologists? What kind of world do we want to create? And how can our methods and practices make that world come into being? These are the important questions an ontological perspective begins to address.

I still support an ontological anthropology, but one that is strange, weird, magical, and inside-out.

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A Reader’s Guide to the Ontological Turn – Addendum (Struggle Forever)

By Jeremy Trombley. Posted on Friday, January 17, 2014, at 11:57 am.

Somatosphere’s recently shared two posts (part 1 and part  2) of reader’s guides to the ontological turn, which are extremely useful and full of interesting books/articles/etc. that I hadn’t encountered before. However, there are some noteworthy exceptions, and so I feel compelled to add my own list of influential works in my ontological education. I don’t have tons of time at the moment, so I’ll just write it up as a list and hopefully you can click through and decide which are important to you. Here goes:

Blogs

Academic blogging has been a central feature of the ontological turn over the last several years, so I think it’s unfortunate that these have been left out of the recent reading lists. Much of my own education has taken place through reading and engaging with these blogs – I owe the greatest debt to all of these writers. Here are some of my favorites:

Larval Subjects by Levi Bryant

Synthetic_Zero by Michael, Arran, and DMF

Archive Fire by Michael

Attempts at Living by Arran James

Knowledge Ecology by Adam Robbert

Immanence by Adrian Ivakhiv

Circling Squares by Phillip

Formal Publications (books/articles/etc.)

These could also be considered author recommendations since I won’t list all books and articles by each individual.

Mind and Nature: A Necessary Unity by Gregory Bateson

The Cybernetic Brain by Andrew Pickering

After Method by John Law (also check out his website for tons of great essays and articles!)

The Democracy of Objects by Levi Bryant

A Thousand Years of Non-Linear History by Manuel De Landa

Ecologies of the Moving Image by Adrian Ivakhiv

Territories of Difference by Arturo Escobar

Reassembling the Social by Bruno Latour

Cosmopolitics by Isabelle Stengers

When Species Meet by Donna Haraway

Vibrant Matter by Jane Bennett

Capitalism and Christianity, American Style by William Connolly

The Ecological Thought by Tim Morton

O-Zone: A Journal of Object-Oriented Studies

That’s it for now. If I’ve forgotten anyone/anything please fill in by commenting! I will add to the comments too if anything else comes to mind.

Researchers Target Sea Level Rise to Save Years of Archaeological Evidence (Science Daily)

Jan. 16, 2014 — Prehistoric shell mounds found on some of Florida’s most pristine beaches are at risk of washing away as the sea level rises, wiping away thousands of years of archaeological evidence.

“The largest risk for these ancient treasure troves of information is sea level rise,” said Shawn Smith, a senior research associate with the Center for Ocean-Atmospheric Prediction Studies at Florida State University.

But a joint project between Smith and the National Park Service is drawing attention to the problem to hopefully minimize the impact on the state’s cultural sites.

Smith and Margo Schwadron, an archaeologist with the National Park Service, have embarked on a project to examine past and future changes in climate and how we can adapt to those changes to save areas of shoreline and thus preserve cultural and archeological evidence.

“We’re kind of the pioneers in looking at the cultural focus of this issue,” Smith said, noting that most weather and ocean experts are concerned about city infrastructure for coastal areas.

To complete the project, the National Park Service awarded Smith a $30,000 grant. With that money, Smith and former Florida State University undergraduate Marcus Johnson spent hours compiling modern, colonial and paleo weather data.

The focus of their initial research is the Canaveral National Seashore and Everglades National Park, which both have prehistoric shell mounds, about 50 feet to 70 feet high. Researchers believe these shell mounds served as foundations for structures and settlements and later served as navigational landmarks during European exploration of the region.

Modern temperature and storm system information was easily available to researchers. But, to go hundreds and then thousands of years back took a slightly different approach.

Log books from old Spanish forts as well as ships that crossed the Atlantic had to be examined to find the missing information.

The result was a comprehensive data set for the region, so detailed that modern era weather conditions are now available by the hour.

Smith and Schwadron are trying to secure more funding to continue their work, but for now, they are making their data set available to the general public and other researchers in hopes of raising awareness about the unexpected effects of sea level rise.

The National Park Service has also published a brochure on climate change and the impact that sea level rise could have on the shell mounds found at Cape Canaveral.

Spirituality, Religion May Protect Against Major Depression by Thickening Brain Cortex (Science Daily)

Jan. 16, 2014 — A thickening of the brain cortex associated with regular meditation or other spiritual or religious practice could be the reason those activities guard against depression — particularly in people who are predisposed to the disease, according to new research led by Lisa Miller, professor and director of Clinical Psychology and director of the Spirituality Mind Body Institute at Teachers College, Columbia University.

The study, published online by JAMA Psychiatry, involved 103 adults at either high or low risk of depression, based on family history. The subjects were asked how highly they valued religion or spirituality. Brain MRIs showed thicker cortices in subjects who placed a high importance on religion or spirituality than those who did not. The relatively thicker cortex was found in precisely the same regions of the brain that had otherwise shown thinning in people at high risk for depression.

Although more research is necessary, the results suggest that spirituality or religion may protect against major depression by thickening the brain cortex and counteracting the cortical thinning that would normally occur with major depression. The study, published on Dec. 25, 2013, is the first published investigation on the neuro-correlates of the protective effect of spirituality and religion against depression.

“The new study links this extremely large protective benefit of spirituality or religion to previous studies which identified large expanses of cortical thinning in specific regions of the brain in adult offspring of families at high risk for major depression,” Miller said.

Previous studies by Miller and the team published in theAmerican Journal of Psychiatry (2012) showed a 90 percent decrease in major depression in adults who said they highly valued spirituality or religiosity and whose parents suffered from the disease. While regular attendance at church was not necessary, a strong personal importance placed on spirituality or religion was most protective against major depression in people who were at high familial risk.

Journal Reference:

  1. Lisa Miller, Ravi Bansal, Priya Wickramaratne, Xuejun Hao, Craig E. Tenke, Myrna M. Weissman, Bradley S. Peterson.Neuroanatomical Correlates of Religiosity and SpiritualityJAMA Psychiatry, 2013; : 1 DOI:10.1001/jamapsychiatry.2013.3067

Scientists Discover New Pathway for Artificial Photosynthesis (Science Daily)

Jan. 14, 2014 — Humans have for ages taken cues from nature to build their own devices, but duplicating the steps in the complicated electronic dance of photosynthesis remains one of the biggest challenges and opportunities for chemists.

Humans have for ages taken cues from nature to build their own devices, but duplicating the steps in the complicated electronic dance of photosynthesis remains one of the biggest challenges and opportunities for chemists. (Credit: Image courtesy of DOE/Argonne National Laboratory)

Currently, the most efficient methods we have for making fuel — principally, hydrogen — from sunlight and water involve rare and expensive metal catalysts, such as platinum. In a new study, researchers at the U.S. Department of Energy’s Argonne National Laboratory have found a new, more efficient way to link a less expensive synthetic cobalt-containing catalyst to an organic light-sensitive molecule, called a chromophore.

Although cobalt is significantly less efficient than platinum when it comes to light-induced hydrogen generation, the drastic price difference between the two metals makes cobalt the obvious choice as the foundation for a synthetic catalyst, said Argonne chemist Karen Mulfort.

“Cobalt doesn’t have to be as efficient as platinum because it is just so much cheaper,” she said.

The Argonne study wasn’t the first to look at cobalt as a potential catalytic material; however, the paper did identify a new mechanism by which to link the chromophore with the catalyst. Previous experiments with cobalt attempted to connect the chromophore directly with the cobalt atom within the larger compound, but this eventually caused the hydrogen generation process to break down.

Instead, the Argonne researchers connected the chromophore to part of a larger organic ring that surrounded the cobalt atom, which allowed the reaction to continue significantly longer.

“If we were to directly link the chromophore and the cobalt atom, many of the stimulated electrons quickly fall out of the excited state back into the ground state before the energy transfer can occur,” Mulfort said. “By coupling the two materials in the way we’ve described, we can have much more confidence that the electrons are going to behave the way we want them to.”

One additional advantage of working with a cobalt-based catalyst, in addition to its relatively low price and abundance, is the fact that scientists understand the atomic-level mechanisms at play.

“There’s a lot of different ways in which we already know we can modify cobalt-based catalysts, which is important because we need to make our devices more robust,” Mulfort said.

Future studies in this arena could involve nickel- and iron-based catalysts — metals which are even more naturally abundant than cobalt, although they are not quite as effective natural catalysts. “We want to extrapolate from what we’ve gained by looking at this kind of linkage in respect to other catalysts,” Mulfort said.

Mulfort and her Argonne colleagues used the high-intensity X-rays provided by the laboratory’s Advanced Photon Source as well as precise spectroscopic techniques available at Argonne’s Center for Nanoscale Materials.

A paper based on the study appeared in the journal Physical Chemistry Chemical Physics. The research was supported by DOE’s Office of Science.

Journal Reference:

  1. Anusree Mukherjee, Oleksandr Kokhan, Jier Huang, Jens Niklas, Lin X. Chen, David M. Tiede, Karen L. Mulfort.Detection of a charge-separated catalyst precursor state in a linked photosensitizer-catalyst assemblyPhysical Chemistry Chemical Physics, 2013; 15 (48): 21070 DOI:10.1039/C3CP54420F

Brain Regions ‘Tune’ Activity to Enable Attention (Science Daily)

Jan. 16, 2014 — The brain appears to synchronize the activity of different brain regions to make it possible for a person to pay attention or concentrate on a task, scientists at Washington University School of Medicine in St. Louis have learned.

 Scientists at the Neuroimaging Laboratory at Washington University School of Medicine in St. Louis have learned that brain regions sync their activity levels to enable attention. Pictured (from left) are first author Amy Daitch, co-senior author Maurizio Corbetta, postdoctoral researcher Alicia Callejas and McDonnell Scholar Lenny Ramsey. (Credit: Robert J. Boston)

Researchers think the process, roughly akin to tuning multiple walkie-talkies to the same frequency, may help establish clear channels for communication between brain areas that detect sensory stimuli.

“We think the brain not only puts regions that facilitate attention on alert but also makes sure those regions have open lines for calling each other,” said first author Amy Daitch, a graduate student researcher.

The results are available in the Proceedings of the National Academy of Sciences.

People who suffer from brain injuries or strokes often have problems paying attention and concentrating.

“Attention deficits in brain injury have been thought of as a loss of the resources needed to concentrate on a task,” said senior author Maurizio Corbetta, MD, the Norman J. Stupp Professor of Neurology. “However, this study shows that temporal alignment of responses in different brain areas is also a very important mechanism that contributes to attention and could be impaired by brain injury.”

Attention lets people ignore irrelevant sensory stimuli, like a driver disregarding a ringing cell phone, and pay attention to important stimuli, like a deer stepping onto the road in front of the car.

To analyze brain changes linked to attention, the scientists used grids of electrodes temporarily implanted onto the brains of patients with epilepsy. Co-senior author Eric Leuthardt, MD, associate professor of neurosurgery and bioengineering, uses the grids to map for surgical removal of brain tissues that contribute to uncontrollable seizures.

With patient permission, the grids also can allow Leuthardt’s lab to study human brain activity at a level of detail unavailable via any other method. Normally, Corbetta and his colleagues investigate attention using various forms of magnetic resonance imaging (MRI), which can detect changes in brain activity that occur every 2 to 3 seconds. But with the grids in place, Corbetta and Leuthardt can study the changes that occur in milliseconds.

Before grid implantation, the scientists scanned the brains of seven epilepsy patients, using MRI to map regions known to contribute to attention. With the grids in place, the researchers monitored brain cells as the patients watched for visual targets, directing their attention to different locations on a computer screen without moving their eyes. When patients saw the targets, they pressed a button to let the scientists know they had seen them.

“We analyzed brain oscillations that reflect fluctuations in excitability of a local brain region; in other words, how difficult or easy it is for a neuron to respond to an input,” Daitch said. “If areas of the brain involved in detecting a stimulus are at maximum excitability, you would be much more likely to notice the stimulus.”

Excitability regularly rises and falls in the cells that make up a given brain region. But these oscillations normally are not aligned between different brain regions.

The researchers’ results showed that as patients directed their attention, the brain regions most important for paying attention to visual stimuli adjusted their excitability cycles, causing them to start hitting the peaks of their cycles at the same time. In regions not involved in attention, the excitability cycles did not change.

“If the cycles of two brain regions are out of alignment, the chances that a signal from one region will get through to another region are reduced,” Corbetta said.

Daitch, Corbetta and Leuthardt are investigating whether knowing not just the location, but also the tempo of the task, allows participants to bring the excitability of their brain regions into alignment more rapidly.

Journal Reference:

  1. A. L. Daitch, M. Sharma, J. L. Roland, S. V. Astafiev, D. T. Bundy, C. M. Gaona, A. Z. Snyder, G. L. Shulman, E. C. Leuthardt, M. Corbetta. Frequency-specific mechanism links human brain networks for spatial attention.Proceedings of the National Academy of Sciences, 2013; 110 (48): 19585 DOI: 10.1073/pnas.1307947110

Discovery of Quantum Vibrations in ‘Microtubules’ Inside Brain Neurons Supports Controversial Theory of Consciousness (Science Daily)

Jan. 16, 2014 — A review and update of a controversial 20-year-old theory of consciousness published in Physics of Life Reviews claims that consciousness derives from deeper level, finer scale activities inside brain neurons. The recent discovery of quantum vibrations in “microtubules” inside brain neurons corroborates this theory, according to review authors Stuart Hameroff and Sir Roger Penrose. They suggest that EEG rhythms (brain waves) also derive from deeper level microtubule vibrations, and that from a practical standpoint, treating brain microtubule vibrations could benefit a host of mental, neurological, and cognitive conditions.

A review and update of a controversial 20-year-old theory of consciousness published in Physics of Life Reviews claims that consciousness derives from deeper level, finer scale activities inside brain neurons. (Credit: © James Steidl / Fotolia)

The theory, called “orchestrated objective reduction” (‘Orch OR’), was first put forward in the mid-1990s by eminent mathematical physicist Sir Roger Penrose, FRS, Mathematical Institute and Wadham College, University of Oxford, and prominent anesthesiologist Stuart Hameroff, MD, Anesthesiology, Psychology and Center for Consciousness Studies, The University of Arizona, Tucson. They suggested that quantum vibrational computations in microtubules were “orchestrated” (“Orch”) by synaptic inputs and memory stored in microtubules, and terminated by Penrose “objective reduction” (‘OR’), hence “Orch OR.” Microtubules are major components of the cell structural skeleton.

Orch OR was harshly criticized from its inception, as the brain was considered too “warm, wet, and noisy” for seemingly delicate quantum processes.. However, evidence has now shown warm quantum coherence in plant photosynthesis, bird brain navigation, our sense of smell, and brain microtubules. The recent discovery of warm temperature quantum vibrations in microtubules inside brain neurons by the research group led by Anirban Bandyopadhyay, PhD, at the National Institute of Material Sciences in Tsukuba, Japan (and now at MIT), corroborates the pair’s theory and suggests that EEG rhythms also derive from deeper level microtubule vibrations. In addition, work from the laboratory of Roderick G. Eckenhoff, MD, at the University of Pennsylvania, suggests that anesthesia, which selectively erases consciousness while sparing non-conscious brain activities, acts via microtubules in brain neurons.

“The origin of consciousness reflects our place in the universe, the nature of our existence. Did consciousness evolve from complex computations among brain neurons, as most scientists assert? Or has consciousness, in some sense, been here all along, as spiritual approaches maintain?” ask Hameroff and Penrose in the current review. “This opens a potential Pandora’s Box, but our theory accommodates both these views, suggesting consciousness derives from quantum vibrations in microtubules, protein polymers inside brain neurons, which both govern neuronal and synaptic function, and connect brain processes to self-organizing processes in the fine scale, ‘proto-conscious’ quantum structure of reality.”

After 20 years of skeptical criticism, “the evidence now clearly supports Orch OR,” continue Hameroff and Penrose. “Our new paper updates the evidence, clarifies Orch OR quantum bits, or “qubits,” as helical pathways in microtubule lattices, rebuts critics, and reviews 20 testable predictions of Orch OR published in 1998 — of these, six are confirmed and none refuted.”

An important new facet of the theory is introduced. Microtubule quantum vibrations (e.g. in megahertz) appear to interfere and produce much slower EEG “beat frequencies.” Despite a century of clinical use, the underlying origins of EEG rhythms have remained a mystery. Clinical trials of brief brain stimulation aimed at microtubule resonances with megahertz mechanical vibrations using transcranial ultrasound have shown reported improvements in mood, and may prove useful against Alzheimer’s disease and brain injury in the future.

Lead author Stuart Hameroff concludes, “Orch OR is the most rigorous, comprehensive and successfully-tested theory of consciousness ever put forth. From a practical standpoint, treating brain microtubule vibrations could benefit a host of mental, neurological, and cognitive conditions.”

The review is accompanied by eight commentaries from outside authorities, including an Australian group of Orch OR arch-skeptics. To all, Hameroff and Penrose respond robustly.

Penrose, Hameroff and Bandyopadhyay will explore their theories during a session on “Microtubules and the Big Consciousness Debate” at the Brainstorm Sessions, a public three-day event at the Brakke Grond in Amsterdam, the Netherlands, January 16-18, 2014. They will engage skeptics in a debate on the nature of consciousness, and Bandyopadhyay and his team will couple microtubule vibrations from active neurons to play Indian musical instruments. “Consciousness depends on anharmonic vibrations of microtubules inside neurons, similar to certain kinds of Indian music, but unlike Western music which is harmonic,” Hameroff explains.

Journal References:

  1. Stuart Hameroff and Roger Penrose. Consciousness in the universe: A review of the ‘Orch OR’ theoryPhysics of Life Reviews, 2013 DOI: 10.1016/j.plrev.2013.08.002
  2. Stuart Hameroff, MD, and Roger Penrose. Reply to criticism of the ‘Orch OR qubit’–‘Orchestrated objective reduction’ is scientifically justifiedPhysics of Life Reviews, 2013 DOI: 10.1016/j.plrev.2013.11.00
  3. Stuart Hameroff, Roger Penrose. Consciousness in the universePhysics of Life Reviews, 2013; DOI:10.1016/j.plrev.2013.08.002

The Way to a Chimpanzee’s Heart Is Through Its Stomach (Science Daily)

Jan. 16, 2014 — The ability to form long-term cooperative relationships between unrelated individuals is one of the main reasons for human’s extraordinary biological success, yet little is known about its evolution and mechanisms. The hormone oxytocin, however, plays a role in it.

After hunting, chimpanzees share the meat of a red colobus monkey amongst them. (Credit: © Roman M. Wittig / Taï Chimpanzee Project)

Researchers of the Max Planck Institute for Evolutionary Anthropology in Leipzig, Germany, measured the urinary oxytocin levels in wild chimpanzees after food sharing and found them to be elevated in both donor and receiver compared to social feeding events without sharing. Furthermore, oxytocin levels were higher after food sharing than after grooming, another cooperative behavior, suggesting that food sharing might play a more important role in promoting social bonding. By using the same neurobiological mechanisms, which evolved within the context of building and strengthening the mother-offspring bond during lactation, food sharing might even act as a trigger for cooperative relationships in related and unrelated adult chimpanzees.

Humans and a few other social mammals form cooperative relationships between unrelated adults that can last for several months or years. According to recent studies the hormone oxytocin, which facilitates bonding between mother and offspring, likely plays a role in promoting these relationships. In chimpanzees, for instance, increased urinary oxytocin levels are linked to grooming between bonding partners, whether or not they are genetically related to each other.

To examine the ways in which oxytocin is associated with food sharing, Roman Wittig and colleagues of the Max Planck Institute for Evolutionary Anthropology in Leipzig have collected and analyzed 79 urine samples from 26 wild chimpanzees from Budongo Forest in Uganda within one hour after the chimpanzees either shared food or socially fed without sharing. The result: A chimpanzee’s urine contained significantly higher levels of oxytocin after sharing food with another group member than just after feeding socially regardless whether the animal was the donor or the receiver of the food. “Increased urinary oxytocin levels were independent of whether subjects gave or received food, shared with kin or non-kin, shared with an established bond partner or not, or shared meat or other food types,” says Roman Wittig.

In addition, the researchers found that the oxytocin levels associated with food sharing were higher than those associated with grooming, indicating that the rarer food sharing has a stronger bonding effect than the more frequently occurring grooming. “Food sharing may be a key behavior for social bonding in chimpanzees,” says Wittig. “As it benefits receivers and donors equally, it might even act as a trigger and predictor of cooperative relationships.”

The researchers further suggest that food sharing likely activates neurobiological mechanisms that originally evolved to support mother-infant bonding during lactation. “Initially, this mechanism may have evolved to maintain bonds between mother and child beyond the age of weaning,” says Wittig. “It may then have been hitch-hiked and is now also promoting bond formation and maintenance in non-kin cooperative relationships.”

The Latin roots of the word companion (‘com = with’ and ‘panis = bread’) may indicate a similar mechanism to build companionship in humans. Whether human urinary oxytocin levels also increase after sharing a meal with others will be a subject for future studies.

Journal Reference:

  1. R. M. Wittig, C. Crockford, T. Deschner, K. E. Langergraber, T. E. Ziegler, K. Zuberbuhler. Food sharing is linked to urinary oxytocin levels and bonding in related and unrelated wild chimpanzeesProceedings of the Royal Society B: Biological Sciences, 2014; 281 (1778): 20133096 DOI: 10.1098/rspb.2013.3096

Megafloods: What They Leave Behind (Science Daily)

Jan. 16, 2014 — South-central Idaho and the surface of Mars have an interesting geological feature in common: amphitheater-headed canyons. These U-shaped canyons with tall vertical headwalls are found near the Snake River in Idaho as well as on the surface of Mars, according to photographs taken by satellites. Various explanations for how these canyons formed have been offered — some for Mars, some for Idaho, some for both — but in a paper published the week of December 16 in the online issue ofProceedings of the National Academy of Sciences,Caltech professor of geology Michael P. Lamb, Benjamin Mackey, formerly a postdoctoral fellow at Caltech, and W. M. Keck Foundation Professor of Geochemistry Kenneth A. Farley offer a plausible account that all these canyons were created by enormous floods.

Stubby Canyon, Malad Gorge State Park, Idaho. (Credit: Michael Lamb)

Canyons in Malad Gorge State Park, Idaho, are carved into a relatively flat plain composed of a type of volcanic rock known as basalt. The basalt originated from a hotspot, located in what is now Yellowstone Park, which has been active for the last few million years. Two canyons in Malad Gorge, Woody’s Cove and Stubby Canyon, are characterized by tall vertical headwalls, roughly 150 feet high, that curve around to form an amphitheater. Other amphitheater-headed canyons can be found nearby, outside the Gorge — Box Canyon, Blue Lakes Canyon, and Devil’s Corral — and also elsewhere on Earth, such as in Iceland.

To figure out how they formed, Lamb and Mackey conducted field surveys and collected rock samples from Woody’s Cove, Stubby Canyon, and a third canyon in Malad Gorge, known as Pointed Canyon. As its name indicates, Pointed Canyon ends not in an amphitheater but in a point, as it progressively narrows in the upstream direction toward the plateau at an average 7 percent grade. Through Pointed Canyon flows the Wood River, a tributary of the larger Snake River, which in turn empties into the Columbia River on its way to the Pacific Ocean.

Geologists have a good understanding of how the rocks in Woody’s Cove and Stubby Canyon achieved their characteristic appearance. The lava flows that hardened into basalt were initially laid down in layers, some more than six feet thick. As the lava cooled, it contracted and cracked, just as mud does when it dries. This produced vertical cracks across the entire layer of lava-turned-basalt. As each additional sheet of lava covered the same land, it too cooled and cracked vertically, leaving a wall that, when exposed, looks like stacks of tall blocks, slightly offset from one another with each additional layer. This type of structure is called columnar basalt.

While the formation of columnar basalt is well understood, it is not clear how, at Woody’s Cove and Stubby Canyon, the vertical walls became exposed or how they took on their curved shapes. The conventional explanation is that the canyons were formed via a process called “groundwater sapping,” in which springs at the bottom of the canyon gradually carve tunnels at the base of the rock wall until this undercutting destabilizes the structure so much that blocks or columns of basalt fall off from above, creating the amphitheater below.

This explanation has not been corroborated by the Caltech team’s observations, for two reasons. First, there is no evidence of undercutting, even though there are existing springs at the base of Woody’s Cove and Stubby Canyon. Second, undercutting should leave large boulders in place at the foot of the canyon, at least until they are dissolved or carried away by groundwater. “These blocks are too big to move by spring flow, and there’s not enough time for the groundwater to have dissolved them away,” Lamb explains, “which means that large floods are needed to move them out. To make a canyon, you have to erode the canyon headwall, and you also have to evacuate the material that collapses in.”

That leaves waterfall erosion during a large flood event as the only remaining candidate for the canyon formation that occurred in Malad Gorge, the Caltech team concludes.

No water flows over the top of Woody’s Cove and Stubby Canyon today. But even a single incident of overland water flow occurring during an unusually large flood event could pluck away and topple boulders from the columnar basalt, taking advantage of the vertical fracturing already present in the volcanic rock. A flood of this magnitude could also carry boulders downstream, leaving behind the amphitheater canyons we see today without massive boulder piles at their bottoms and with no existing watercourses.

Additional evidence that at some point in the past water flowed over the plateaus near Woody’s Cove and Stubby Canyon are the presence of scour marks on surface rocks on the plateau above the canyons. These scour marks are evidence of the type of abrasion that occurs when a water discharge containing sediment moves overland.

Taken together, the evidence from Malad Gorge, Lamb says, suggests that “amphitheater shapes might be diagnostic of very large-scale floods, which would imply much larger water discharges and much shorter flow durations than predicted by the previous groundwater theory.” Lamb points out that although groundwater sapping “is often assumed to explain the origin of amphitheater-headed canyons, there is no place on Earth where it has been demonstrated to work in columnar basalt.”

Closing the case on the canyons at Malad Gorge required one further bit of information: the ages of the rock samples. This was accomplished at Caltech’s Noble Gas Lab, run by Kenneth A. Farley, W. M. Keck Foundation Professor of Geochemistry and chair of the Division of Geological and Planetary Sciences.

The key to dating surface rocks on Earth is cosmic rays — very high-energy particles from space that regularly strike Earth. “Cosmic rays interact with the atmosphere and eventually with rocks at the surface, producing alternate versions of noble gas elements, or isotopes, called cosmogenic nuclides,” Lamb explains. “If we know the cosmic-ray flux, and we measure the accumulation of nuclides in a certain mineral, then we can calculate the time that rock has been sitting at Earth’s surface.”

At the Noble Gas Lab, Farley and Mackey determined that rock samples from the heads of Woody’s Cove and Stubby Canyon had been exposed for the same length of time, approximately 46,000 years. If Lamb and his colleagues are correct, this is when the flood event occurred that plucked the boulders off the canyon walls, leaving the amphitheaters behind.

Further evidence supporting the team’s theory can be found in Pointed Canyon. Rock samples collected along the walls of the first kilometer of the canyon show progressively more exposure in the downstream direction, suggesting that the canyon is still being carved by Wood River. Using the dates of exposure revealed in the rock samples, Lamb reconstructed the probable location of Pointed Canyon at the time of the formation of Woody’s Cove and Stubby Canyon. At that location, where the rock has been exposed approximately 46,000 years, the surrounding canyon walls form the characteristic U-shape of an amphitheater-headed canyon and then abruptly narrow into the point that forms the remainder of Pointed Canyon. “The same megaflood event that created Woody’s Cove and Stubby Canyon seems to have created Pointed Canyon,” Lamb concludes. “The only difference is that the other canyons had no continuing river action, while Pointed Canyon was cut relatively slowly over the last 46,000 years by the Wood River, which is not powerful enough to topple and pluck basalt blocks from the surrounding plateau, resulting in a narrow channel rather than tall vertical headwalls.”

Solving the puzzle of how amphitheater-headed canyons are created has implications reaching far beyond south-central Idaho because similar features — though some much larger — are also present on the surface of Mars. “A very popular interpretation for the amphitheater-headed canyons on Mars is that groundwater seeps out of cracks at the base of the canyon headwalls and that no water ever went over the top,” Lamb says. Judging from the evidence in Idaho, however, it seems more likely that on Mars, as on Earth, amphitheater-headed canyons were created by enormous flood events, suggesting that Mars was once a very watery planet.

Journal Reference:

  1. M. P. Lamb, B. H. Mackey, K. A. Farley. Amphitheater-headed canyons formed by megaflooding at Malad Gorge, IdahoProceedings of the National Academy of Sciences, 2013; 111 (1): 57 DOI: 10.1073/pnas.1312251111