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Trying to Quit Smoking? These Expert-Backed Tips Can Help

By David Hill, MD, Chair, Board of Directors, American Lung Association HealthDay ReporterTHURSDAY, July 10, 2025 (HealthDay News) — According to...

THURSDAY, July 10, 2025 (HealthDay News) — According to the U.S. Centers for Disease Control and Prevention (CDC), in 2022, the majority of the 28.8 million U.S. adults who smoked cigarettes wanted to quit; approximately half had tried to quit, but fewer than 10% were successful.Many folks say quitting smoking was the hardest thing they have ever done. This includes people who have climbed mountains, corporate ladders, tackled childbirth and raised families.Successfully overcoming tobacco addiction is a process, and it takes time. It can’t be done at once. Individuals taught themselves how to smoke, vape or chew tobacco products and practiced for so long that the behavior became as automatic as breathing, eating or sleeping.Quitting, then, is a process of overcoming addiction and learned behaviors. Individuals must learn to manage nicotine addiction, unlearn their automatic behavior of tobacco use, and replace it with healthy new alternatives.Because tobacco dependence is a chronic relapsing condition, Freedom From Smoking® identifies quitting tobacco use and maintaining abstinence as a process in which a person may cycle through multiple periods of relapse and remission before experiencing long-term lifestyle and behavior change.The CDC suggests that it takes eight to 11 attempts before quitting permanently.It’s essential to understand three challenges associated with quitting and create a plan to address each with proven-effective strategies:1. Psychological Link of Nicotine Addiction Over time, using tobacco products becomes an automatic behavior that needs to be unlearned.  After quitting, emotions can overwhelm a person.  Grief can also play an important role in the quitting process.  Create support systems through counseling classes, and among family, friends and co-workers. Mark a calendar for every day you are tobacco-free and reward yourself for days you avoid use. Use positive self-talk when cravings arise, such as “the urge will pass whether I smoke or not” or “smoking is not an option for me.”2. Sociocultural Link of Nicotine AddictionCertain activities and environmental cues can trigger the urge to smoke. As people mature, social factors or cues play a role in continuing use.  People who use tobacco may be reluctant to give up those connections or routines.  Identify your triggers and use replacements such as cinnamon sticks, doodling on a notepad or finding another activity to keep your hands busy. Create change and break routine by using the 3 A’s — AVOID (the situation), ALTER (the situation) or ALTERNATIVE (substitute something else). Keep a quit kit/survival kit with you at all times with items you can use to replace tobacco product use when the urge comes.3. Biological (Physical) Link of Nicotine AddictionAddiction occurs when a substance — like nicotine, alcohol or cocaine — enters the brain and activates the brain’s receptors for that substance, producing pleasure.  When a person quits, the brain’s nicotine receptors activate, creating cravings and withdrawal symptoms.  Over time, the receptors become inactive, and the withdrawal symptoms and urges to use fade away. Use cessation medications approved by the U.S. Food and Drug Administration (prescription or over-the-counter) in the proper doses for the full time period recommended by a clinician. Do not stop treatment early. Exercise alternative ways to release dopamine such as physical activity or listening to music.  Use stress management techniques, including deep breathing and relaxation exercises, daily if possible.Nearly 2 in 3 adults who have ever smoked cigarettes have successfully quit, according to the CDC You can, too! To learn more about strategies for countering the challenges associated with the three-link chain of nicotine addiction, visit Quit Smoking & Vaping | American Lung Association.Dr. David Hill is a member of the Lung Association's National Board of Directors and is the immediate past chair of the Northeast Regional Board of the American Lung Association. He serves on the Leadership Board of the American Lung Association in Connecticut and is a former chair of that board. He is a practicing pulmonary and critical care physician with Waterbury Pulmonary Associates and serves as their director of clinical research. He is an assistant clinical professor of medicine at the Yale University School of Medicine, an assistant clinical professor at the Frank Netter School of Medicine at Quinnipiac University, and a clinical instructor at the University of Connecticut School of Medicine.Copyright © 2025 HealthDay. All rights reserved.

Labour housing plans could destroy 215,000 hectares of nature in England, analysis shows

Critics say change in biodiversity protections would harm environmental recovery and make scheme ineffectivePlans to weaken environmental regulations for small housebuilders would allow developers in England to build on an area the size of the Yorkshire Dales in the next 10 years without replacing the nature they destroy, according to analysis.Labour wants to remove the requirement for small housebuilders – those whose sites are under a hectare (2.5 acres) – to replace the nature they destroy under existing rules known as biodiversity net gain. Continue reading...

Plans to weaken environmental regulations for small housebuilders would allow developers to build on an area the size of the Yorkshire Dales in the next 10 years without replacing the nature they destroy, according to analysis.Labour wants to remove the requirement for small housebuilders in England – defined as those whose sites are under a hectare (2.5 acres) – to replace the nature they destroy under rules known as biodiversity net gain.Ministers are consulting on plans to tear up the rules for small developers to boost growth. But analysis of the impacts of Labour’s proposal by environmental economists from the consultancy Eftec, suggests 97% of planning approvals – 76,800 out of 79,300 every year – would be exempt from the requirement to replace the nature that is destroyed if the rules are changed.This would mean an area of more than 215,000 hectares, the size of the Yorkshire Dales, could be built on over the next decade with no requirement for developers to compensate for any of the nature they destroy.The biodiversity net gain rules were brought in to help tackle devastating nature loss. The UK is one of the most nature-depleted countries in the world, and the government is signed up to a pledge to boost nature recovery by committing to protect 30% of land and sea for nature by 2030.Biodiversity net gain, which requires developers to ensure a 10% increase in biodiversity, came into effect for major developments in February 2024 and for small sites in April 2024. But government plans to scrap the rules for small developers – who dominate planning in England – would render the scheme utterly ineffective, the report says.“Biodiversity net gain is a hugely important principle: industries that harm nature should contribute to its recovery,” said Richard Benwell, of Wildlife and Countryside Link, which commissioned the research with the Lifescape Project. “The proposal to drastically widen the number of exempt small sites from the system would be a return to the bad old days of damaging development and torpedo confidence in private investment in nature recovery.”Biodiversity net gain was supposed to apply to most planning applications but the research found 69,500 out of 80,400 (86%) approved planning applications between March 2024 and February 2025 claimed exemptions, in what the researchers believe could be widespread abuses by developers.Under current rules biodiversity net gain is not required for sites less than 25 sq metres, or those that do not affect protected habitats. But developers are able to “self declare” to claim these exemptions.Economists found a rise in claims for these “de minimis” exemptions, after the rules came into force last year. “The scale of misuse across different sizes of planning applications suggests the de minimis exemption may be being intentionally misinterpreted,” the report said.Joan Edwards, the director of policy and public affairs at the Wildlife Trusts, said the government wanted investment from the private sector to help it meet its binding nature recovery targets by 2030. But changing the system after just 13 months could destroy the biodiversity market.“Scrapping biodiversity net gain for small sites would be a spectacular own goal,” she said. “Nothing undermines private-sector confidence more than a government that chops and changes the rules on a whim.”The economists suggest Labour should instead tweak its changes to improve the efficiency of the system. It suggests excluding only sites of up to 0.1 hectares that align with the government’s proposed new definition of “very small sites”. This would also remove the current loophole that allows some very large sites to sidestep BNG entirely by claiming de minimis exemption.Thousands of individuals and organisations have responded to the government consultation on the changes, which ends on 24 July.Robert Oates, the chief executive and founder of ecological consultancy Arbtech, said: “The government’s proposal to weaken biodiversity net gain for small sites threatens both its goals: supporting nature recovery and accelerating housebuilding.“Small site biodiversity net gain has only been in place for 13 months, yet developers and businesses have spent years preparing for it. U-turns like this create damaging instability. Developers need certainty, not another policy rewrite.”A government spokesperson said: “This government is fully committed to biodiversity net gain and this consultation explores easier, quicker and cheaper routes to deliver gains for both developers and nature. We are also consulting on how biodiversity net gain should be applied to nationally significant infrastructure projects to provide a clear framework that ensures major new developments deliver for nature and contribute to our legally binding targets.”

Lead Exposure Can Harm Kids' Memory, Study Says

By Dennis Thompson HealthDay ReporterTHURSDAY, July 10, 2025 (HealthDay News) — Even low levels of lead exposure can harm kids' working memory,...

By Dennis Thompson HealthDay ReporterTHURSDAY, July 10, 2025 (HealthDay News) — Even low levels of lead exposure can harm kids' working memory, potentially affecting their education and development, according to a new study.Exposure to lead in the womb or during early childhood appears to increase kids' risk of memory decay, accelerating the rate at which they forget information, researchers reported July 9 in the journal Science Advances.“There may be no more important a trait than the ability to form memories. Memories define who we are and how we learn,” said senior researcher Dr. Robert Wright, chair of environmental medicine at the Icahn School of Medicine at Mount Sinai in New York City.“This paper breaks new ground by showing how environmental chemicals can interfere with the rate of memory formation,” Wright said in a news release.For the study, researchers took blood lead measurements from the mothers of 576 children in Mexico during the second and third trimester of pregnancy. Later, the team took samples directly from the kids themselves, at ages 4 to 6.Between 6 and 8 years of age, the kids took a test called the delayed matching-to-sample task, or DMST, to measure their rate of forgetting.In the test, kids had to remember a simple shape for up to 32 seconds after it had been briefly shown to them, and then choose it from three offered options.The test lasted for 15 minutes, with correct responses rewarding the child with tokens that could be exchanged for a toy at the end of the experiment.“Children with higher levels of blood lead forgot the test stimulus faster than those with low blood lead levels,” Wright said.Researchers noted that the Mexican children in the study had higher median blood lead levels than those typically found in U.S. kids 6 to 10 years old – 1.7 Ug/dL versus 0.5 Ug/dL. (Median means half were higher, half were lower.)Children in Mexico are exposed to lead through commonly used lead-glazed ceramics used to cook, store and serve food, researchers said.However, the Mexican kids’ blood lead levels were still lower than the 3.5 Ug/dL level used by the U.S. Centers for Disease Control and Prevention to identify kids in the United States with more lead exposure than others, researchers added.“In the U.S., the reduction of environmental exposures to lead, such as lead-based paint in homes, lead pipes, and lead in foods such as spices, is still of continued importance as even low levels of lead can have detrimental effects on children’s cognitive function and development,” researchers wrote in their paper.This study also shows that the DMST test can be used to help test the effect of other environmental hazards on kids’ memory, researchers said.“Children are exposed to many environmental chemicals, and this model provides a validated method to further assess the effect of additional environmental exposures, such as heavy metals, air pollution, or endocrine disruptors, on children’s working memory,” co-lead researcher Katherine Svensson, a postdoctoral fellow in environmental medicine at the Icahn School of Medicine at Mount Sinai, said in a news release.SOURCES: Mount Sinai, news release, July 9, 2025; Science Advances, July 9, 2025Copyright © 2025 HealthDay. All rights reserved.

South West Water allowed to invest £24m rather than pay £19m fine

Campaigners say Ofwat ‘subservient to industry and its rampaging pursuit of profit’ after illegal sewage dischargesSouth West Water has agreed to pay a £24m penalty for illegal sewage discharges into the environment from its treatment works.The regulator for the water and wastewater sector in England and Wales, Ofwat, says the company, which has 1.8 million customers in Cornwall, Devon, the Isles of Scilly and parts of Dorset and Somerset, is being penalised for dumping sewage in breach of its legal permit conditions. Continue reading...

South West Water has agreed to pay a £24m penalty for illegal sewage discharges into the environment from its treatment works.The regulator for the water and wastewater sector in England and Wales, Ofwat, says the company, which has 1.8 million customers in Cornwall, Devon, the Isles of Scilly and parts of Dorset and Somerset, is being sanctioned for dumping sewage in breach of its legal permit conditions.But there was anger over revelations on Thursday that the regulator had not imposed a direct fine on the company.South West Water put forward the suggestion that it would invest £20m to reduce sewage discharges at key storm overflows, spend £2m to tackle sewer misuse and misconnections, and another £2m to support local environment groups. This was accepted by Ofwat rather than imposing a fine of £19m.But Rob Abrams, the campaigns manager at Surfers Against Sewage, said allowing water companies to choose their own penalty was farcical.He said the situation “illustrates a water industry model that’s broken beyond repair, with government and regulators subservient to industry and its rampaging pursuit of profit, at any cost”.Ofwat said it had chosen this route rather than imposing a fine because it was satisfied that the company would carry out the work required to bring its infrastructure back into legal operation.“We have … concluded that it would be appropriate to accept the undertakings in lieu of the financial penalty we would otherwise impose in this case (£19m, 6.5% of its relevant turnover),” Ofwat said.The regulator carried out a two-year investigation into the company that found it had failed to upgrade its treatment works to prevent sewage discharges into the environment, failed to properly deal with the content of its sewers and failed to put in the resources to monitor its treatment works properly.The penalty is the latest in an ongoing investigation by Ofwat into several water companies into widespread illegal sewage dumping across the network from thousands of treatment plants.Penalties totalling more than £160m have already been imposed against Yorkshire Water, Thames Water and Northumbrian Water for widespread illegal sewage dumping from their treatment works.Lynn Parker, the senior director for enforcement at Ofwat, said the regulator had secured the £24m package and a commitment to put things right from the company.skip past newsletter promotionSign up to Business TodayGet set for the working day – we'll point you to all the business news and analysis you need every morningPrivacy Notice: Newsletters may contain info about charities, online ads, and content funded by outside parties. For more information see our Privacy Policy. We use Google reCaptcha to protect our website and the Google Privacy Policy and Terms of Service apply.after newsletter promotionBut Abrams said it amounted to a cynical PR exercise and an abdication of responsibility by Ofwat.“There is no transparency about how the money will be spent or whether it’s even enough,” he said.“Of the £4m pledged for environmental initiatives and local groups, we’ve been given no clarity on who will benefit or why.”The public and other stakeholders can make representations about the size of the penalty before it is finalised.

States, enviro groups fight Trump plan to keep dirty power plants going

In late spring, the Department of Energy ordered two aging and costly fossil-fueled power plants that were on the verge of shutting down to stay open. The agency claimed that the moves were necessary to prevent the power grid from collapsing — and that it has the power to force the plants to stay open even if the…

In late spring, the Department of Energy ordered two aging and costly fossil-fueled power plants that were on the verge of shutting down to stay open. The agency claimed that the moves were necessary to prevent the power grid from collapsing — and that it has the power to force the plants to stay open even if the utilities, state regulators, and grid operators managing them say that no such emergency exists. But state regulators, regional grid operators, environmental groups, and consumer groups are pushing back on the notion that the grids in question even need these interventions — and are challenging the legality of the DOE’s stay-open orders. The DOE claimed that the threat of large-scale grid blackouts forced its hand. But state utility regulators, environmental groups, consumer advocates, and energy experts say that careful analysis from the plant’s owners, state regulators, regional grid operators, and grid reliability experts had determined both plants could be safely closed. These groups argue that clean energy, not fossil fuels, are the true solution to the country’s grid challenges — even if the ​“big, beautiful” bill signed by Trump last week will make those resources more expensive to build. Some of the environmental organizations challenging DOE’s orders have pledged to take their case to federal court if necessary. “We need to get more electrons on the grid. We need those to be clean, reliable, and affordable,” said Robert Routh, Pennsylvania climate and energy policy director for the Natural Resources Defense Council, one of the groups demanding that DOE reconsider its orders. Keeping J.H. Campbell and Eddystone open ​“results in the exact opposite. It’s costly, harmful, unnecessary, and unlawful.” Taking on the DOE’s grid emergency claims The groups challenging the DOE’s J.H. Campbell and Eddystone stay-open orders point out that the agency is using a power originally designed to protect the grid against unanticipated emergencies, including during wartime, but without proving that such an emergency is underway. “This authority that the Department of Energy is acting under — Section 202(c) of the Federal Power Act — is a very tailored emergency authority,” said Caroline Reiser, NRDC senior attorney for climate and energy. ​“Congress intentionally wrote it only to be usable in specific, narrow, short-term emergencies. This is not that.” For decades, the DOE has used its Section 202(c) power sparingly, and only in response to requests from utilities or grid operators to waive federal air pollution regulations or other requirements in moments when the grid faces imminent threats like widespread power outages, Reiser said. But DOE’s orders for Eddystone and J.H. Campbell were not spurred by requests from state regulators or regional grid operators. In fact, the orders caught those parties by surprise. They also came mere days before the plants were set to close down and after years of effort to ensure their closure wouldn’t threaten grid reliability. J.H. Campbell was scheduled to close in May under a plan that has been in the works since 2021 as part of a broader agreement between utility Consumers Energy and state regulators, and which was approved by the Midcontinent Independent System Operator (MISO), the entity that manages grid reliability across Michigan and 14 other states. “The plant is really old, unreliable, extremely polluting, and extremely expensive,” Reiser said. ​“Nobody is saying that this plant is needed or is going to be beneficial for any reliability purposes.” To justify its stay-open order, DOE cited reports from the North American Electric Reliability Corp. (NERC), a nonprofit regulatory authority that includes utilities and grid operators in the U.S. and Canada. NERC found MISO is at higher risk of summertime reliability problems than other U.S. grid regions, but environmental groups argue in their rehearing request that DOE has ​“misrepresented the reports on which it relies,” and that Consumers Energy, Michigan regulators, and MISO have collectively shown closing the plant won’t endanger grid reliability. Eddystone, which had operated only infrequently over the past few years, also went through a rigorous process with mid-Atlantic grid operator PJM Interconnection to ensure its closure wouldn’t harm grid reliability. The DOE’s reason for keeping that plant open is based on a report from PJM that states the grid operator might need to ask utility customers to use less power if it faces extreme conditions this summer — an even scantier justification than what the agency cited in its J.H. Campbell order, Reiser said. As long as the DOE continues to take the position that it can issue emergency stay-open orders to any power plant it decides to, these established methods for managing plant closures and fairly allocating costs will be thrown into disarray, she said. “We have a system of competitive energy markets in the United States that is successful in keeping the lights on and maintaining reliability the vast, vast majority of the time,” Reiser said. ​“The Department of Energy stepping in and using a command-and-control system interferes with those markets.”

Nanoplastics Make Up Most of the Ocean’s Plastic Pollution

Nanoplastics—particles smaller than a human hair—can pass through cell walls and enter the food web. New research suggest 27 million metric tons of nanoplastics are spread across just the top layer of the North Atlantic

Most Plastic in the Ocean Is Invisible—And DeadlyNanoplastics—particles smaller than a human hair—can pass through cell walls and enter the food web. New research suggest 27 million metric tons of nanoplastics are spread across just the top layer of the North AtlanticBy Katharine Sanderson & Nature magazine Sergi Escribano/Getty ImagesMarine plastic litter tends to grab headlines, with images of suffocating seabirds or bottles washing up along coastlines. Increasingly, researchers have been finding tiny microplastic fragments across all environments, from the most densely populated cities to pristine mountaintops, as well as in human tissue including the brain and placenta. A study published today reveals yet another hidden source of this deadly waste: nanometre-scale particles are literally everywhere, says co-author Dušan Materić, an environmental analytical chemist at the Helmholtz Centre for Environmental Research in Leipzig, Germany.Materić and his colleagues sampled water at three depths representative of different environments in the North Atlantic Ocean. Throughout the water column, they found three types of nanoplastic: polyethylene terephthalate (PET), polystyrene (PS) and polyvinylchloride (PVC). These were present at average concentrations of 18 milligrams per metre cubed, which translates to 27 million tonnes of nanoplastics spread across just the top layer of the temperate to subtropical North Atlantic. “Nanoplastics make up the dominant fraction of marine plastic pollution,” Materić says. In the entire world’s oceans, it is estimated that there are around 3 million tonnes of floating plastic pollution — excluding nanoplastics.What are plastic nanoparticles and how different are they from microplastics?On supporting science journalismIf you're enjoying this article, consider supporting our award-winning journalism by subscribing. By purchasing a subscription you are helping to ensure the future of impactful stories about the discoveries and ideas shaping our world today.The tiniest of pieces of plastic, nanoplastics are defined by the researchers as having a diameter of less than one micrometre (one one-thousandth of a metre). Microplastics are between one micrometre and 5 millimetres across. At the smaller scale of nanoplastics, materials behave differently. Materić and his colleagues found that the particles were distributed throughout the water column, rather than settling to the bottom. The movement of the nanoplastic particles was dominated not by gravity, but by the random movement called Brownian motion, and by collisions with water molecules.How did the team find the nanoplastics?The scientists took water samples during a November 2020 cruise on research vessel Pelagia, which is owned by the Royal Netherlands Institute of Sea Research in Texel. They sampled at 12 locations: 5 in the system of circular currents called the North Atlantic subtropical gyre; 4 in the open ocean; and 3 from coastal areas on the European continental shelf. At each location, they gathered samples at depths of 10 metres and 1,000 metres below the surface, and then 30 metres off the ocean bottom.The nanoplastics were detected using a technology called thermal-desorption proton-transfer-reaction mass spectrometry. “We faced multiple challenges,” says Materić, including the need to remove contaminants other than nanoplastics. Each 10-millilitre sample was run through a filter with micrometre pores to clear out microplastics. Samples were then slowly heated, releasing any organic matter and allowing the remaining plastics to be identified.Not all was as expected. “We faced a big mystery,” says Materić. One major class of plastics, polyethylene (PE), was missing from the data, even though fragments almost certainly enter the ocean. The fragments probably transform into something else, or might fall to the sea bed, says Materić. “This suggests that PE nanoplastic cycling in the ocean environment follows some unusual pathway — either rapid chemical alteration or mineralization, or fast sinking.”Should we be surprised that nanoplastics are an overlooked source of plastics pollution? Should we be worried?“This does not come as a surprise to me, as I have been aware of the extent and magnitude of the problem for some time,” says Tony Walker, an environmental scientist at Dalhousie University in Halifax, Canada. “Nanoplastics, unlike microplastics, are able to pass through cell walls, meaning that they are already incorporated into the ocean phytoplankton which serve as the base of the marine food web and are able to be transferred through the marine food web,” he explains.The ubiquitousness of nanoplastics means they should be taken seriously, says Materić. “Given their toxicological potential, they may represent the most problematic plastic size fraction for ocean life,” he says. Walker agrees: “This should be a wake-up call to all of us,” he says. “The extent to which nanoplastics can infiltrate every ecosystem and living cell on the planet is even far worse than what we already know about microplastics and larger plastic pollution.”What can be done to mitigate the pollution?The next and likely final round of negotiations for a legally binding United Nations treaty on plastics pollution will kick off in August in Geneva, Switzerland. On the table is a limit on future plastic manufacture, but this is being resisted by some countries, including those that rely on oil and gas exports to power their economies.“One of the best strategies to mitigate future nanoplastics pollution or release into the environment is to cap plastic production,” says Walker. “Turn off the tap.”This article is reproduced with permission and was first published on July 9, 2025.

How changes in California culture have influenced the evolution of wild animals in Los Angeles

A new study argues that religion, politics and war affect how animals and plants in cities evolve, and the confluence of these forces seem to be actively affecting urban wildlife in L.A.

For decades, biologists have studied how cities affect wildlife by altering food supplies, fragmenting habitats and polluting the environment. But a new global study argues that these physical factors are only part of the story. Societal factors, the researchers claim, especially those tied to religion, politics and war, also leave lasting marks on the evolutionary paths of the animals and plants that share our cities.Published in Nature Cities, the comprehensive review synthesizes evidence from cities worldwide, revealing how human conflict and cultural practices affect wildlife genetics, behavior and survival in urban environments.The paper challenges the tendency to treat the social world as separate from ecological processes. Instead, the study argues, we should consider the ways the aftershocks of religious traditions, political systems and armed conflicts can influence the genetic structure of urban wildlife populations. (Gabriella Angotti-Jones / Los Angeles Times) “Social sciences have been very far removed from life sciences for a very long time, and they haven’t been integrated,” said Elizabeth Carlen, a biologist at Washington University in St. Louis and co-lead author of the study. “We started just kind of playing around with what social and cultural processes haven’t been talked about,” eventually focusing on religion, politics and war because of their persistent yet underexamined impacts on evolutionary biology, particularly in cities, where cultural values and built environments are densely concentrated.Carlen’s own work in St. Louis examines how racial segregation and urban design, often influenced by policing strategies, affect ecological conditions and wild animals’ access to green spaces.“Crime prevention through environmental design,” she said, is one example of how these factors influence urban wildlife. “Law enforcement can request that there not be bushes … or short trees, because then they don’t have a sight line across the park.” Although that design choice may serve surveillance goals, it also limits the ability of small animals to navigate those spaces.These patterns, she emphasized, aren’t unique to St. Louis. “I’m positive that it’s happening in Los Angeles. Parks in Beverly Hills are going to look very different than parks in Compton. And part of that is based on what policing looks like in those different places.” This may very well be the case, as there is a significantly lower level of urban tree species richness in areas like Compton than in areas like Beverly Hills, according to UCLA’s Biodiversity Atlas. A coyote wanders onto the fairway, with the sprinklers turned on, as a golfer makes his way back to his cart after hitting a shot on the 16th hole of the Harding golf course at Griffith Park. (Mel Melcon / Los Angeles Times) The study also examines war and its disruptions, which can have unpredictable effects on animal populations. Human evacuation from war zones can open urban habitats to wildlife, while the destruction of green spaces or contamination of soil and water can fragment ecosystems and reduce genetic diversity.In Kharkiv, Ukraine, for example, human displacement during the Russian invasion led to the return of wild boars and deer to urban parks, according to the study. In contrast, sparrows, which depend on human food waste, nearly vanished from high-rise areas.All of this, the researchers argue, underscores the need to rethink how cities are designed and managed by recognizing how religion, politics and war shape not just human communities but also the evolutionary trajectories of urban wildlife. By integrating ecological and social considerations into urban development, planners and scientists can help create cities that are more livable for people while also supporting the long-term genetic diversity and adaptability of the other species that inhabit them.This intersection of culture and biology may be playing out in cities across the globe, including Los Angeles.A study released earlier this year tracking coyotes across L.A. County found that the animals were more likely to avoid wealthier neighborhoods, not because of a lack of access or food scarcity, but possibly due to more aggressive human behavior toward them and higher rates of “removal” — including trapping and releasing elsewhere, and in some rare cases, killing them. In lower-income areas, where trapping is less common, coyotes tended to roam more freely, even though these neighborhoods often had more pollution and fewer resources that would typically support wild canines. Researchers say these patterns reflect how broader urban inequities are written directly into the movements of and risks faced by wildlife in the city.Black bears, parrots and even peacocks tell a similar story in Los Angeles. Wilson Sherman, a PhD student at UCLA who is studying human-black bear interactions, highlights how local politics and fragmented municipal governance shape not only how animals are managed but also where they appear. (Carolyn Cole / Los Angeles Times) “Sierra Madre has an ordinance requiring everyone to have bear-resistant trash cans,” Sherman noted. “Neighboring Arcadia doesn’t.” This kind of patchwork governance, Sherman said, can influence where wild animals ultimately spend their time, creating a mosaic of risk and opportunity for species whose ranges extend across multiple jurisdictions.Cultural values also play a role. Thriving populations of non-native birds, such as Amazon parrots and peacocks, illustrate how aesthetic preferences and everyday choices can significantly influence the city’s ecological makeup in lasting ways.Sherman also pointed to subtler, often overlooked influences, such as policing and surveillance infrastructure. Ideally, the California Department of Fish and Wildlife would be the first agency to respond in a “wildlife situation,” as Sherman put it. But, he said, what often ends up happening is that people default to calling the police, especially when the circumstances involve animals that some urban-dwelling humans may find threatening, like bears.Police departments typically do not possess the same expertise and ability as CDFW to manage and then relocate bears. If a bear poses a threat to human life, police policy is to kill the bear. However, protocols for responding to wildlife conflicts that are not life-threatening can vary from one community to another. And how police use non-lethal methods of deterrence — such as rubber bullets and loud noises — can shape bear behavior.Meanwhile, the growing prevalence of security cameras and motion-triggered alerts has provided residents with new forms of visibility into urban biodiversity. “That might mean that people are suddenly aware that a coyote is using their yard,” Sherman said. In turn, that could trigger a homeowner to purposefully rework the landscape of their property so as to discourage coyotes from using it. Surveillance systems, he said, are quietly reshaping both public perception and policy around who belongs in the city, and who doesn’t. A mountain lion sits in a tree after being tranquilized along San Vicente Boulevard in Brentwood on Oct. 27, 2022. (Wally Skalij / Los Angeles Times) Korinna Domingo, founder and director of the Cougar Conservancy, emphasized how cougar behavior in Los Angeles is similarly shaped by decades of urban development, fragmented landscapes and the social and political choices that structure them. “Policies like freeway construction, zoning and even how communities have been historically policed or funded can affect where and how cougars move throughout L.A.,” she said. For example, these forces have prompted cougars to adapt by becoming more nocturnal, using culverts or taking riskier crossings across fragmented landscapes.Urban planning and evolutionary consequences are deeply intertwined, Domingo says. For example, mountain lion populations in the Santa Monica and Santa Ana mountains have shown signs of reduced genetic diversity due to inbreeding, an issue created not by natural processes, but by political and planning decisions — such as freeway construction and zoning decisions— that restricted their movement decades ago.Today, the Wallis Annenberg Wildlife Crossing, is an attempt to rectify that. The massive infrastructure project is happening only, Domingo said, “because of community, scientific and political will all being aligned.”However, infrastructure alone isn’t enough. “You can have habitat connectivity all you want,” she said, but you also have to think about social tolerance. Urban planning that allows for animal movement also increases the likelihood of contact with people, pets and livestock — which means humans need to learn how to interact with wild animals in a healthier way.In L.A., coexistence strategies can look very different depending on the resources, ordinances and attitudes of each community. Although wealthier residents may have the means to build predator-proof enclosures, others lack the financial or institutional support to do the same. And some with the means simply choose not to, instead demanding lethal removal., “Wildlife management is not just about biology,” Domingo said. “It’s about values, power, and really, who’s at the table.”Wildlife management in the United States has long been informed by dominant cultural and religious worldviews, particularly those grounded in notions of human exceptionalism and control over nature. Carlen, Sherman and Domingo all brought up how these values shaped early policies that framed predators as threats to be removed rather than species to be understood or respected. In California, this worldview contributed not only to the widespread killing of wolves, bears and cougars but also to the displacement of American Indian communities whose land-based practices and beliefs conflicted with these approaches. A male peacock makes its way past Ian Choi, 21 months old, standing in front of his home on Altura Road in Arcadia. (Mel Melcon / Los Angeles Times) Wildlife management in California, specifically, has long been shaped by these same forces of violence, originating in bounty campaigns not just against predators like cougars and wolves but also against American Indian peoples. These intertwined legacies of removal, extermination and land seizure continue to influence how certain animals and communities are perceived and treated today.For Alan Salazar, a tribal elder with the Fernandeño Tataviam Band of Mission Indians, those legacies run deep. “What happened to native peoples happened to our large predators in California,” he said. “Happened to our plant relatives.” Reflecting on the genocide of Indigenous Californians and the coordinated extermination of grizzly bears, wolves and mountain lions, Salazar sees a clear parallel.“There were three parts to our world — the humans, the animals and the plants,” he explained. “We were all connected. We respected all of them.” Salazar explains that his people’s relationship with the land, animals and plants is itself a form of religion, one grounded in ceremony, reciprocity and deep respect. Salazar said his ancestors lived in harmony with mountain lions for over 10,000 years, not by eliminating them but by learning from them. Other predators — cougars, bears, coyotes and wolves — were also considered teachers, honored through ceremony and studied for their power and intelligence. “Maybe we had a better plan on how to live with mountain lions, wolves and bears,” he said. “Maybe you should look at tribal knowledge.”He views the Wallis Annenberg Wildlife Crossing — for which he is a Native American consultant — as a cultural opportunity. “It’s not just for mountain lions,” he said. “It’s for all animals. And that’s why I wanted to be involved.” He believes the project has already helped raise awareness and shift perceptions about coexistence and planning, and hopes that it will help native plants, animals and peoples.As L.A. continues to grapple with the future of wildlife in its neighborhoods, canyons and corridors, Salazar and others argue that it is an opportunity to rethink the cultural frameworks, governance systems and historical injustices that have long shaped human-animal relations in the city. Whether through policy reform, neighborhood education or sacred ceremony, residents need reminders that evolutionary futures are being shaped not only in forests and preserves but right here, across freeways, backyards and local council meetings. The Wallis Annenberg Wildlife Crossing under construction over the 101 Freeway near Liberty Canyon Road in Agoura Hills on July 12, 2024. (Myung J. Chun / Los Angeles Times) The research makes clear that wildlife is not simply adapting to urban environments in isolation; it is adapting to a range of factors, including policing, architecture and neighborhood design. Carlen believes this opens a crucial frontier for interdisciplinary research, especially in cities like Los Angeles, where uneven geographies, biodiversity and political decisions intersect daily. “I think there’s a lot of injustice in cities that are happening to both humans and wildlife,” she said. “And I think the potential is out there for justice to be brought to both of those things.”

Drought is draining water supplies and driving up food costs where you’d least expect

From Mexico City to the Mekong Delta, increasingly severe droughts caused by climate change are laying waste to ecosystems and economies everywhere.

Taking shovels and buckets to a dried-up sandy belt of the Vhombozi River in Zimbabwe last August, groups of Mudzi district villagers gathered to dig with the hope of somehow finding water. The southern African region had entered into a state of severe drought, which had shriveled the Vhombozi, a primary water supply for more than 100,000 people. Before long, a maze of makeshift holes revealed shallow puddles along the otherwise arid riverbed. The frantic digging had worked — there was water. There was just one big problem: It wasn’t blue. It was a muddy brown color, and villagers worried that consuming it would make them ill. But as there were scarcely other options, many took their chances with drinking it and bathing with it.  Almost a year later, the persistent drought has led to a deluge of devastation on the region’s food system. Corn yields dropped 70 percent across the country, causing consumer prices to double. Thousands of cattle were lost to thirst and starvation. A local UNICEF emergency food distribution lost all of the food crops it harvested, which forced the NGO to reduce charitable food provisions from three meals a week to one. Child malnutrition levels in Mudzi doubled, driving up the demand for health care, and causing a quarter of health care clinics to run out of water reserves. Between January and March, about 6 million people in Zimbabwe faced food insecurity. According to a new report by the U.S. National Drought Mitigation Center, or NDMC, and the U.N. Convention to Combat Desertification, or UNCCD, the combined effects of global warming, drought, and El Niño have triggered similar crises all over the world, from Mexico City to the Mekong Delta. Using impact reports alongside government data, scientific and technical research, and media coverage of major drought events, the authors examined case-by-case how droughts compound poverty, hunger, energy insecurity, and ecosystem collapse in climate hot spots around the world. They measured impacts in 2023 and 2024, when the planet saw some of the most widespread and damaging drought events in recorded history. What they found is a lesson and a warning sign: Increasingly severe droughts caused by climate change are laying waste to ecosystems and economies everywhere.  “This report is a blistering reminder that climate change and punishing drought are already devastating lives, livelihoods, and food access,” said Million Belay of the International Panel of Experts on Sustainable Food Systems, and general coordinator of the Alliance for Food Sovereignty in Africa, who wasn’t involved in the research. “We need to get serious about resilience and real adaptation.” A local farmer carries vegetables near a partially dry canal of a Chinampa, or floating garden, in San Gregorio Atlapulco, on the outskirts of Mexico City, Mexico, on May 23, 2024. Daniel Cardenas / Anadolu via Getty Images Mexico City A focal point in the analysis is Mexico, where prolonged drought conditions provoked a water crisis that has had repercussions for food affordability and access.  The situation began to intensify in 2023, when the country entered into a period of historically low rainfall. By June, the bulk of Mexico’s reservoirs dropped below 50 percent capacity. The rainy winter of 2023 brought some relief, but not enough.  By the next summer, 90 percent of the country was experiencing some level of drought, and Mexico City’s water supply system reached a record low of 39 percent capacity. Abnormally low rainfall and high temperatures, made worse by inefficient water infrastructure and overextraction of the city’s aquifer, would persist into early 2025. These struggles to obtain water have been further exacerbated by distribution needs as mandated by a water-sharing treaty Mexico has long shared with the United States.  A severe lack of water has been found to be closely linked with food insecurity, as water scarcity impacts food access through reductions in agricultural production that can fuel food shortages and higher grocery prices. Roughly 42 percent of Mexico’s population was food-insecure in 2021, according to national statistics, with consumer food inflation rates steadily climbing since then. Price hikes were eventually reflected in grocery stores, causing the costs of produce like cilantro to soar by 400 percent, alongside other climbing price tags for goods like onions, broccoli, and avocados.  “Ripple effects can turn regional droughts into global economic shocks,” said NDMC’s Cody Knutson, who co-authored the report. “No country is immune when critical water-dependent systems start to collapse.”  Locals carry banana produce over the dry Solimoes riverbed in the Pesqueiro community in Northern Brazil, on September 30, 2024. Michael Dantas / AFP via Getty Images Amazon Basin During those same years, the Amazon River Basin became another drought and hunger hot spot. According to the new report, climate change caused waterways to drop to historically low levels in September of 2023. Drinking water became contaminated by mass die-offs of marine life, and local communities weren’t able to eat the fish they rely on.  Supply chain transportation was also greatly affected, as the low water levels made it impossible for boats to travel in and out of certain regions. Brazil’s AirForce would be deployed to distribute food and water to several states where river supply routes were impassable.  Residents in some towns dug wells on their own properties to replace river water they would normally depend on for drinking, cooking, and cleaning, according to the U.N.-backed report. Others were stuck waiting on government aid. Disruptions to drinking water and food supplies due to low river levels continued through late 2024 as the drought persisted. By September, waterways that had previously been navigable were bone-dry.  A 2025 report released by the nonprofit ACAPS found that many communities in the Amazon region were already believed to be suffering malnutrition, making them more vulnerable to the emerging health and food insecurity effects of the drought.  Climate change plays “a critical role in food security,” said FAO economist Jung-eun Sohn, who is unaffiliated with the UNCCD report. He noted that warming not only can impact both availability of and access to food, but that natural hazards are “one of three main risks of food insecurity,” along with conflict and economic risks, in hunger hot spots.  A woman stands in a dried-out banana plantation in Ben Tre Province, Vietnam, in 2016. At the time, Vietnam’s Mekong Delta was experiencing its worst drought in 90 years. Christian Berg / Getty Images Mekong Delta  Though a central contributor to the interconnected water-and-food crisis, climate change isn’t the only factor in many hunger hot spots — failing infrastructure and inefficiencies in water delivery systems have also been flagged as critical contributors to widespread water shortages. The compounding effect of El Niño, or a naturally-occurring weather phenomena that drives above-average global heat and more intense natural disasters in parts of the planet, is another culprit.  “It’s now abundantly clear that industrial, chemical-intensive agriculture, with its high water demands and uniform crops, is deeply vulnerable to drought and intensifying the crisis,” said Belay, the IPES expert.  One study found that saltwater intrusion, much like what persistently plagues the Mekong River Delta in Vietnam, also causes a significant reduction in food production. The watershed flows through six Asian countries, and over 20 million people depend on the rice grown in the region, which is Vietnam’s most productive agricultural area. It is also the region of Vietnam that is most vulnerable to hunger, with up to half of its rural households struggling to afford enough food.  A woman looks over her spoiled watermelon field in Ben Tre Province, Vietnam, in 2016. At the time, Vietnam’s Mekong Delta was experiencing its worst drought in 90 years. Christian Berg / Getty Images So when an early heat wave struck the Mekong Delta in 2024, and an abnormally long dry spell followed suit, causing canals to dry up, excessive salinity, heat, and water scarcity killed farmers’ catch in droves, reducing what communities were able to supply and sell, which led to shortages that prompted the local government to intervene and help producers quickly sell their wares. As the drought persisted, communities undertook other desperate measures to mitigate losses; renovating ditches, constructing temporary reservoirs, digging wells, and storing fresh water. Even so, according to the report, up to 110,000 hectares of agricultural resources, including fruit crops, rice fields, and aquaculture, have been impacted in the last year by the drought and excess salinity. The situation contributed to rice shortages, prompting a widespread inflationary effect on market prices. “These instances highlight how interconnected our global economies and food supplies are,” Paula Guastello, NDMC drought impacts researcher and lead author of the report, told Grist. “Drought has widespread implications, especially when it occurs on such a large, intense scale as during the past few years. In today’s global society, it is impossible to ignore the effects of drought occurring in far-off lands.”  All told, the authors argue that without major reductions in greenhouse gas emissions, rising temperatures will lead to more frequent and severe droughts by continuing to inflate heat, evaporation, and volatile precipitation patterns. All the while, urbanization, land use changes, and population growth are expected to continue to strain water resources and influence which assets and areas are most vulnerable to drought impacts. The world’s resilience to those impacts, the report denotes, ultimately depends on the fortification of ecosystems, the adoption of changes to water management, and the pursuit of equitable resource access.  “Proactive drought management is a matter of climate justice, equitable development, and good governance,” said UNCCD Deputy Executive Secretary Andrea Meza in a statement about the report. Stronger early warning systems and real-time drought impact monitoring, for example, those that assess conditions known to fuel food and water insecurity, are some of the ways countries can better fortify their systems in preparedness for the next big drought event. Others include watershed restoration, the broad revival of traditional cultivation practices, and the implementation of alternative water supply technologies to help make infrastructure more climate-resilient. Adaptation methods, however, must also account for the most vulnerable populations, the authors say, and require global cooperation, particularly along critical food trade routes.  “Drought is not just a weather event,” said report co-author and NDMC assistant director Kelly Helm Smith. “It can be a social, economic, and environmental emergency. The question is not whether this will happen again, but whether we will be better prepared next time.” This story was originally published by Grist with the headline Drought is draining water supplies and driving up food costs where you’d least expect on Jul 9, 2025.

Something Strange Is Happening to Tomatoes Growing on the Galápagos Islands

Scientists say wild tomato plants on the archipelago's western islands are experiencing "reverse evolution" and reverting back to ancestral traits

Something Strange Is Happening to Tomatoes Growing on the Galápagos Islands Scientists say wild tomato plants on the archipelago’s western islands are experiencing “reverse evolution” and reverting back to ancestral traits Sarah Kuta - Daily Correspondent July 9, 2025 4:29 p.m. Scientists are investigating the production of ancestral alkaloids by tomatoes in the Galápagos Islands. Adam Jozwiak / University of California, Riverside Some tomatoes growing on the Galápagos Islands appear to be going back in time by producing the same toxins their ancestors did millions of years ago. Scientists describe this development—a controversial process known as “reverse evolution”—in a June 18 paper published in the journal Nature Communications. Tomatoes are nightshades, a group of plants that also includes eggplants, potatoes and peppers. Nightshades, also known as Solanaceae, produce bitter compounds called alkaloids, which help fend off hungry bugs, animals and fungi. When plants produce alkaloids in high concentrations, they can sicken the humans who eat them. To better understand alkaloid synthesis, researchers traveled to the Galápagos Islands, the volcanic chain roughly 600 miles off the coast of mainland Ecuador made famous by British naturalist Charles Darwin. They gathered and studied more than 30 wild tomato plants growing in different places on various islands. The Galápagos tomatoes are the descendents of plants from South America that were probably carried to the archipelago by birds. The team’s analyses revealed that the tomatoes growing on the eastern islands were behaving as expected, by producing alkaloids that are similar to those found in modern, cultivated varieties. But those growing on the western islands, they found, were creating alkaloids that were more closely related to those produced by eggplants millions of years ago. Tomatoes growing on the western islands (shown here) are producing ancestral alkaloids.  Adam Jozwiak / University of California, Riverside Researchers suspect the environment may be responsible for the plants’ unexpected return to ancestral alkaloids. The western islands are much younger than the eastern islands, so the soil is less developed and the landscape is more barren. To survive in these harsh conditions, perhaps it was advantageous for the tomato plants to revert back to older alkaloids, the researchers posit. “The plants may be responding to an environment that more closely resembles what their ancestors faced,” says lead author Adam Jozwiak, a biochemist at the University of California, Riverside, to BBC Wildlife’s Beki Hooper. However, for now, this is just a theory. Scientists say they need to conduct more research to understand why tomato plants on the western islands have adapted this way. Scientists were able to uncover the underlying molecular mechanisms at play: Four amino acids in a single enzyme appear to be responsible for the reversion back to the ancestral alkaloids, they found. They also used evolutionary modeling to confirm the direction of the adaptation—that is, that the tomatoes on the western islands had indeed returned to an earlier, ancestral state. Among evolutionary biologists, “reverse evolution” is somewhat contentious. The commonly held belief is that evolution marches forward, not backward. It’s also difficult to prove an organism has reverted back to an older trait through the same genetic pathways. But, with the new study, researchers say they’ve done exactly that. “Some people don’t believe in this,” says Jozwiak in a statement. “But the genetic and chemical evidence points to a return to an ancestral state. The mechanism is there. It happened.” So, if “reverse evolution” happened in wild tomatoes, could something similar happen in humans? In theory, yes, but it would take a long time, Jozwiak says. “If environmental conditions shifted dramatically over long timescales, it’s possible that traits from our distant past could re-emerge, but whether that ever happens is highly uncertain,” Jozwiak tells Newsweek’s Daniella Gray. “It’s speculative and would take millions of years, if at all.” Get the latest stories in your inbox every weekday.

Thirsty future: Australia’s green hydrogen targets could require vastly more water than the government hopes

To make green hydrogen, take water and split it into hydrogen and oxygen. It sounds simple – but the government’s water-use figures may be a drastic underestimate.

totajla/ShutterstockGreen hydrogen is touted by some as the future – a way for Australia to slowly replace its reliance on fossil fuel exports. The energy-dense gas has the potential to reduce emissions in sectors challenging to decarbonise, such as steelmaking and fertiliser manufacturing. The Albanese government wants it to be a massive new export industry and has laid out a pathway through its National Hydrogen Strategy. Unfortunately, there’s a real gap between rhetoric and reality. Despite ambitious plans, no green hydrogen project has yet succeeded in Australia. The technology’s most prominent local backer, billionaire miner Twiggy Forrest, has dialled down his ambition. Globally, just 7% of announced green hydrogen projects are up and running. Economic viability is one problem. But there’s a much larger issue flying under the radar: water. Hitting the 2050 target of 15 million to 30 million tonnes of hydrogen a year would use 7–15% of the amount Australia’s households, farms, mines and black coal power plants use annually. That’s simply not sustainable. Splitting water Green hydrogen uses renewable energy to power electrolyser machines, which split water molecules into hydrogen and oxygen. On the surface, this is an appealing use of clean energy, especially during solar peak periods. But what the government hasn’t properly accounted for is the water cost for green hydrogen. The strategy states water use is likely to be “considerable but not prohibitive”. This is questionable. For every kilogram of hydrogen produced through electrolysis, nine litres of water are directly consumed. That’s not all. The water needed to make hydrogen has to be extremely pure. Salt water has to be desalinated, and even fresh water needs purification. Equipment also needs cooling, which consumes even more water. All these processes incur substantial indirect water losses, such as the water used for industrial processes and cooling. The volumes used are highly uncertain. They can be up to 20 times greater than the direct water use. A key input value for the government’s hydrogen strategy modelling is taken from a 2015 report by the Argonne National Energy Laboratory in the United States, which assumes each kilogram of green hydrogen produced requires just over 30 litres of water. The Australian hydrogen strategy suggests 30 litres per kilogram of hydrogen would cover “all system losses including purification processes and cooling water required”. But it’s not clear if this figure covers other uses of water in making hydrogen, such as water treatment. Green hydrogen could help industrial sectors transition from fossil fuels. The problem is the water use. Audio und werbung/Shutterstock How much water would this use? According to the government’s modelling, making 15 million tonnes would require 740 billion litres of water. That would be about 7% of the 10,450 billion litres used by all of Australia’s households, farms, mines and black coal power plants. The government’s National Hydrogen Strategy shows the water use by major industries. Their total water use is 10,450 gigalitres annually. Department of Climate Change, Energy, the Environment and Water That’s substantial. One and a half Sydney Harbours worth, every year. But it might be a major underestimate. After all, estimates on indirect water use differ widely. The government’s figures are at the very bottom of the range. For instance, the latest research gives water consumption figures of about 66 litres per kilogram – more than twice as large. Other sources give values between 90 and 300 litres per kilogram of hydrogen – three to ten times higher. Uncertainty in modelling is normal. But the wide research suggesting much higher water use should give rise to real concern. If we take a middle-of-the-range figure of 95 litres per kilogram, this would mean that making 15 million tonnes of green hydrogen would use up 22% of the 10,450 billion litres used by households, farms, mines and black coal power plants annually by 2050. If hydrogen was even thirstier at 310 litres per kilogram, that would translate to 72% of that figure. These estimates are enormous. Even under the most optimistic scenario, the draw on Australia’s scarce freshwater resources would simply be too much. Where would this water come from? Farmers? Groundwater? Environmental flows from rivers? As the Queensland Farmers Federation pointed out in its response to the hydrogen strategy, the figures on water use “beg the question if they are in fact sustainable”. The Water Services Association of Australia has called for much greater attention to the water demands of green hydrogen, which it says are “often seriously underestimated”. What about saltwater? Australia has no shortage of oceans. The problem here becomes energy and wastewater. Desalination is still very energy intensive. Converting saltwater to fresh also produces large volumes of super-salty brine, which must then be managed as waste. Which way forward? Does this mean green hydrogen is a non-starter? Not necessarily. Improved electrolyser technology might offer ways to slash water use, while circular economy approaches such as resource recovery from brine could also reduce losses. But these concerns about water must be front and centre in future discussions about the shape and size of the industry in Australia. Madoc Sheehan does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.

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