City lunch plan under fire

Kindergarten food programme draws criticism less than one week after its commencement in Copenhagen

Meals provided to Copenhagen’s kindergarten and nursery school kids in accordance with the city’s new food plan are already being criticised by teachers and parents less than a week after the programme started.

In line with the food plan’s implementation on 1 January, Berlingske Research polled 12 schools for the young children to see how the new meals were being received. The survey found that half had ‘a serious problem’ with the plan.

The food plan has been implemented to ensure all children eat healthy food for lunch.

But according to the survey, many children refuse to eat the meals. Several teachers have described the food as ‘too adult’ and the portions as too small.

A typical meal served through the plan this week consisted of smørrebrød, the Danish open-faced sandwich, made with either liver paté or with salami, topped with cucumber, tomato and a hard-boiled egg. In many cases the sandwich was also topped with thick dressing.
The Copenhagen Parental Organisation (KFO), which supported the implementation of the food plan, wants the problem solved immediately.

‘We fully expect the city to quickly intervene and eliminate whatever initial problems there are with the plan,’ KFO board member Nina Reffstrup told Berlingske Tidende newspaper. ‘We can’t have the children starving.’

Food scientist Gitte Gross said children could not be forced to eat food that was foreign to them or which they didn’t like.

‘If children do not eat the portions they are served, they won’t get the necessary nutrients they need each day,’ she said. ‘And that’s especially important for the smaller children.’

Some schools have their own kitchens and cooks, while others have the food brought in from contracted companies. One of those companies is Foodsource A/S, which isn’t surprised by the initial problems.

Copenhagen Post for more

Being Feminine: A Matter of Socialisation or Biology?

by Dr. Sarojini Sahoo

In one of my recently published interviews in Muse India, I stated that I differed from Simon de Beauvoir in her ‘Other’ theory where she says “one is not born but rather, becomes a woman.” I further stated that I think a woman is born as a woman.

There are inherent physical, behavioral, emotional, and psychological differences between men and women and we affirm and celebrate these differences as wonderful and complementary. These differences do not evidence the superiority of one sex over the other but rather, serve to show that each sex is complemented and made stronger by the presence of the other. As a different unit, similar to man, the female mass has their right for equity as well.

Such a statement by me surprised some of my scholar friends in that how could I state this when it is known to me that according to social anthropology, gender is more a societal than a biological phenomenon. This article aims to clarify my stand.

I started my blogging at this blog with “Bicycle and Me,” where I wrote of my experiences of childhood. As my father had an obsession for a male child, he wanted to see me as a boy and therefore, I was dressed as a boy; my hair was cut like a boy’s; and I used to play boyish games with boys instead of girlish games with girls. In my second blogging, I mentioned my Portuguese friend’s query, where he asked whether this had any impact in my sexuality in later life or not. It is clear that these cross-gender activities did not make any difference in my later life and I grew up normally as a woman.

When I studied more about gender theories, specially in Anthropology, I found that the anthropologists tried to confirm that gender is not innate but is based upon social and cultural conditions; my mind did not accept the theory so easily. Margaret Mead, in her anthropological study in 1935, concluded that the differences in temperament between men and women were not a function of their biological differences, rather, they resulted from differences in socialisation and the cultural expectations held for each sex. (See: Sex and Temperament in Three Primitive Societies .by Margaret Mead; New York: Dell.). This is, I think, the earliest study that led to the conclusion that gender is more a social and cultural factor than a biological one. According to this study, it is the social environment of the child, such as parents and teachers, that shapes the gender identity of a child. A child learns what to wear (girls in frocks and boys in shirt-pants); how and what to play (dolls for girls and cars for boys); how to behave (passivity and dependence in girls and aggressiveness and independence in boys); and how to reciprocate (gender-wise thoughts, feelings, or behavior). And these learnings confirm an appropriate gender-wise appearance and behavior, which leads to gender identity.

The sex/gender distinction seen as a set and unchangeable dichotomy does not help social scientists. They might have feared that “the set of sex/gender distinction serve to ‘ground’ a society’s system of gender differences, [but] the ground seems in some ways to be less firm than what it is supporting.” (See: the essay “Transsexualism: Reflections on the Persistence of Gender and the Mutability of Sex in Body Guards” by Judith Shapiro in the book The Cultural Politics of Gender Ambiguity (eds) J. Epstein and K. Straub, 1991). Other social anthropologists like Moira Gatens , Henrietta Moore, Pat Caplan dismiss the idea of a biological domain separated from the social. Even Pat Caplan declared that “…sexuality, like gender, is socially constructed.”

From the discussion above, one can see that gender identities are grounded in ideas about sex and cultural mechanisms create men and women. But we also have to remember that the biological sex is related to chromosomal sex, genitalia, assigned birth sex, or initial gender role which are rooted deeply in science and somehow proved rather than hypothetically assumed. Humans have 23 pairs of chromosomes within each cell; twenty-two of these are alike in both males and females. But when we come to the twenty-third pair, the sexes are not the same. Every woman has in her cells two of what we call the ‘X’ chromosome. But a man has just one X and another Y chromosome. These sets of chromosomes are what make males and females different.

The sex hormones–primarily estrogen and testosterone–have a significant impact on the behavior of males and females. For example, why do boys typically like to play with cars and girls like to typically play with dolls? Social anthropologists think it is the impact of socialization while Biological science thinks it is the role of these sex hormones which differentiate the choice children make gender-wise. Biology says the sex-specific differences in the brain are located both in the primitive regions, and in the neocortex–the higher brain region that contains 70 percent of the neurons in the central nervous system.

The neocortex is divided into two hemispheres joined by a 200-million fiber network called the corpus callosum. The left hemisphere controls language analysis and expression and body movements while the right hemisphere is responsible for spatial relationships, facial expressions, emotional stimuli, and vocal intonations. Females use both their right and left hemisphere to process language in certain circumstances while males just use one hemisphere. Females also reach puberty two years earlier than boys, as per biological science, and this changes the way they process social and sexual information.

There are still some characteristics and feelings that I think social anthropologists rule out for the sake of their theory. What about the voice pitch? Males have harsh voices and females have soft voices. This is a biological characteristic and it is related to gender. The crisis of infertility may create a serious trauma to a female, which a male cannot feel. This is a feeling innate with specific feminine gender and it is more a psychological and biological than a social problem. The menopausal psycho syndromes are totally biological and not categorised with this social gender theory. Social anthropologists emphasise that we are all trying to pass as a gender which is decided by cultural systems, not our biological sex. But what happens in the cases of transsexuals who do not pass it? The operation does not make their bodies fully male or fully female. The genitals will not function as genuine genitals and their chromosomes cannot be changed. Voice pitch and other physical characteristics might reveal their transsexualism.

Actually, the high level of testosterone in males drives them toward some specific masculine characteristics, while the lack of high levels of estrogen in women creates a natural, biological push in the direction of feminine characteristics. Each gender has different strengths and weaknesses; this does not mean that one sex is superior or inferior to another. Being feminine is a woman’s birthright! It is always hard for me to understand why any woman would want to give up this cherished possession. I feel proud and adore my feminine dress, grooming, carriage, posture, voice, and language.

I want to use an integrated analysis of oppression which means that both men and women are subjected to oppression and stereotypes and that these oppressive experiences have a profound affect on beliefs and perceptions. I am against the patriarchy role model of society but it does not mean that I want to replace a matriarchal form of society in place of the existing patriarchal one. What I want is to develop equal mutual relationships of caring and support between all genders and I want to focus on strengthening women in areas such as assertiveness, communication, relationships, and self esteem.

Above all, I feel myself more a writer than a feminist. As a writer, I feel more sensible and sincere to my feelings and as a feminist, I am more inclined towards my femininity.I just don’t understand how people can be feminists and not realise that to be feminist, you must also be racist, ableist, homophobic, etc. If you are feeling oppressed by a masculine world, then you should not be prejudiced and bigoted towards other oppressed groups either, whether they are a result of patriarchy or not.
I hope my stand has been further clarified. If it hasn’t, I’m sure you’ll let me know!

Dr Sarojini Sahoo’s website

OUT OF THE COLONIAL CLOSET, BUT STILL THINKING ‘INSIDE THE BOX’: REGULATING ‘PERVERSION’ AND THE ROLE OF TOLERANCE IN DERADICALISING THE RIGHTS CLAIMS OF SEXUAL SUBALTERNS

by Ratna Kapur

This paper primarily intends to throw light on the postcolonial reading of the legal engagements of sexual subgroups that depicts the complex layering of sexual subjectivities in a postcolonial context, which are not captured in a straightforward ‘lesbian’ or ‘gay’ reading. The use of the term ‘sexual subaltern’ in this paper is mainly intended to capture this complexity. Through the discussions on the engagement of the sexual subaltern with law, the author draws on subaltern scholarship to provide a more complex articulation of the position of the sexual subaltern as well as the relationship between law and the subject. The first part of the paper, briefly
discusses the explosion of homoerotic imagery, literature and sex talk in the context of sexual subalterns in postcolonial India, to illustrate that the voice of the sexual subaltern is being gradually accommodated within the postcolonial discourse, and that the public space has become more amenable to sexual subaltern claims and practices. However, any declarations of victory, especially after the historic Naz Foundation judgment, may be somewhat premature. The second half of the paper analyses tolerance is constituted in postcolonial India, and excavates the historical and politically discursive character of tolerance. The author explores how suggestions for expansion of the majoritarian religious moorings of tolerance, or for adopting a more political conception of tolerance, are still unable to displace dominant understandings of culture or disrupt normative sexuality. Instead, sexual subalterns are still treated as a ‘perversion’ to be tolerated within the framework of liberal democracy, and where tolerance is deployed to deal with the excess that formal equality has failed to accommodate.

NUJS Law Review for more
(Submitted by Harsh Kapoor)

Peru’s Supreme Court Upholds Fujimori’s 25-Year Sentence for Murders and Kidnappings

by April Howard

On January 3, 2010, Peru’s Supreme Court upheld Former Peruvian President Alberto Fujimori’s April 2007 conviction and 25-year sentence for aggravated homicide, aggravated kidnapping, severe injuries and forced disappearance of persons.

Fujimori was president of Peru from 1990 until 2000 during a period of civil unrest, and waged a “dirty war” against a Maoist guerrilla group called the Shining Path, and any and all Peruvians suspected of sympathizing with them.

The recent ruling addressed several crimes, including the killings of suspected Shining Path guerillas which took place in Barrios Altos (1991), where 15 people were shot to death and 4 others were seriously injured by a clandestine military death squad, and in La Cantuta, where nine students and a university professor were tortured and murdered, and their bodies destroyed and disappeared in sand dunes outside Lima (1992). Also in 1992, secret police kidnapped journalist Gustavo Gorriti and businessman Samuel Dyer and held both in the basement of the Army Intelligence unit during a so-called auto-coup. Though a paramilitary death squad called the Colina group carried out the killings and kidnappings, Fujimori was convicted for knowing of and authorizing the action through his spy chief Vladimiro Montesinos.

When Fujimori’s administration collapsed under corruption charges in 2000, he escaped to Japan, the country of his parents. He was able to avoid extradition for most of the decade due to the Japanese government’s recognition of his citizenship. It was not until he took a trip to Chile in 2005 that he was put under house arrest detained and extradited to Peru in 2006.

In April of 2007, after a trial lasting 15 months, the Special Penal Court, led by Supreme Judge César San Martín, convicted Fujimori of the charge, which he denied, of being the “mediate author of the crimes of qualified homicide and grave injuries,” and sentenced him to 25 years in prison. His historic conviction marked “the first time a democratically elected Latin American leader was found guilty of human rights abuses in his own country.”

The 71 year-old Fujimori is already serving three other prison sentences at the same time: a six year sentence for abuse of power from 2007, seven and a half years for paying Montesinos $15m of state money, and for phone tapping and widespread bribery of members of the press, business sector and political opponents.

In November of 2009, Fujimori’s lawyer, Cesar Nakazaki requested the revocation of the human rights abuse sentence and the annulment of the conviction for the La Cantuta kidnappings. Even though a law enacted in 2006 states that a presidential pardon or amnesty cannot be granted to those convicted of kidnapping (Law 28760). Nakazaki argued that there was insufficient evidence find Fujimori guilty of ordering the abductions.

The sentence was (R.N. Nº 19-01-2009-A.V ) ratified by the First Penal Transitory Hall of the Peruvian Supreme Court of Justice, led by Judge of the Supreme Tribunal Duberli Rodriguez, as well as by judges Julio Biaggi, Elvia Barros, Roberto Barandiaran and Jose Neyra. The court unanimously upheld the murder conviction and the 25-year sentence. The kidnapping charges were ratified by a majority vote, in which Justice Julio Enrique Biaggi upheld the fines and damage, but dissented on the charges of aggravated kidnapping rather than simple kidnapping. The sentence also ratified the qualification of the massacres as crimes against humanity.

Fujimori’s prison term includes his time in Chile in custody and under house arrest from 2005 until 2006, making his sentence effectively until Feb.10, 2032. He is not permitted a pardon, but after serving 19 years (3/4 of his sentence), he would be allowed, at age 90, to shorten his sentence by one day for every 7 days of prison work he completes. He is currently being held in the north of Lima at the special operations unit of the National Police.

Upside Down World for more

Tsutomu Yamaguchi, Survivor of 2 Atomic Blasts, Dies at 93

by Mark Mcdonald

Tsutomu Yamaguchi, the only official survivor of both atomic blasts to hit Japan in World War II, died Monday in Nagasaki, Japan. He was 93.

The cause was stomach cancer, his family said.

Mr. Yamaguchi, as a 29-year-old engineer for Mitsubishi Heavy Industries, was in Hiroshima on a business trip when the United States dropped the first atomic bomb on the morning of Aug. 6, 1945. He was getting off a streetcar when the so-called Little Boy device detonated above the city.

Mr. Yamaguchi said he was less than two miles away from ground zero that day. His eardrums were ruptured, and his upper torso was burned by the blast, which destroyed most of the city’s buildings and killed 80,000 people.

Mr. Yamaguchi spent the night in a Hiroshima bomb shelter and returned to Nagasaki, his hometown, the following day, according to interviews he gave over the years. The second bomb, known as Fat Man, was dropped on Nagasaki on Aug. 9, killing 70,000 people.

Mr. Yamaguchi was in his Nagasaki office, telling his boss about the Hiroshima blast, when “suddenly the same white light filled the room,” he said in an interview last March with the British newspaper The Independent.

“I thought the mushroom cloud had followed me from Hiroshima,” he said.

Japan surrendered six days after the Nagasaki attack.

Mr. Yamaguchi recovered from his wounds, went to work for the American occupation forces, became a teacher and eventually returned to work at Mitsubishi.

There were believed to have been about 165 twice-bombed people, known as nijyuu hibakusha, although municipal officials in both cities have said that Mr. Yamaguchi was the only person to be officially acknowledged as such.

One of his daughters, Toshiko Yamasaki, who was born in 1948, said her mother had also been “soaked in black rain and was poisoned” by the fallout from the Nagasaki blast. Her mother died in 2008 from kidney and liver cancer. She was 88.

“We think she passed the poison on to us,” Ms. Yamasaki said, noting that her brother died of cancer at 59 and that her sister has been chronically ill throughout her life.

New York Time for more
(Submitted by reader)

URGENT: Viva Palestina faced with 2,000 riot police in the port of Al-Arish!

Our situation is now at a crisis point! Riot has broken out in the port of Al- Arish. This late afternoon we were negotiating with a senior official from Cairo who left negotiations some two hours ago and did not return. Our negotiations with the official was regarding taking our aid vehicles into Gaza.

He left two hours ago and did not come back. Egyptian authorities called over 2,000 riot police who then moved towards our camp at the port. We have now blocked the entrance to the port and we are now faced with riot police and water cannons and are determined to defend our vehicles and aid.

The Egyptian authorities have by their stubbornness and hostility towards the convoy, brought us to a crisis point.

We are now calling upon all friends of Palestine to mount protests in person where possible, but by any means available to Egyptian representatives, consulates and Embassy’s and demand that the convoy are allowed a safe passage into Gaza tomorrow!

Kevin Ovenden

Viva Palestina Convoy Leader

POSTSCRIPT (From friends in London)

In the short time since the last update the situation in El-Arish has escalated. Riot police armed with tear gas and water cannons physically attacked the convoy members. The information is currently sketchy, but there are reports of some injuries (no serious injuries reported) and possibly some arrests. The violence seems to have subsided for now.

I strongly urge you to contact the Egyptian Embassy in your country (info on google and the group wall). Family of UK convoy members should contact the Foreign and Commonwealth office.

UK contacts:
Egyptian Embassy 020 7499 3304
UK FCO 020 7008 1500
BBC 03700 100 222

For more information see:

Up-to-the-minute updates from the convoy:
http://twitter.com/garethn/viva-palestina

Latest Press TV report from within the convoy:

Latest news from many sources:
http://readingpsc.org.uk/convoy/

Socialist Resistance

(Submitted by Ingrid B. Mork)

Bollywood’s back in Pakistan and box office is loving it

A cineplex in Karachi is showing 3 Idiots. It’s running houseful and you have to book tickets days in advance. Bollywood followers in Pakistan don’t miss an Aamir Khan film, especially if it’s directed by Raj Kumar Hirani, better known as “the guy who made Munnabhai films.” They also love the man who played Munnabhai — Sanjay Dutt, fondly called “Nargis ka beta”.

Most people in Pakistan love Indian films. No one can deny how Bollywood has brought our cinema halls back to life. Not long ago, they were being shut down to be converted into plazas. But now, their interiors have been revamped, floors polished and doors opened as people have been flocking to watch Wake up Sid, Main Aur Mrs Khanna and Luck By Chance. Even the ‘gay’ comedy Dostana had the women in hijab in splits.

What a blessing it is to have Indian films in our cinemas. We are also grateful to the pirates for bringing Bollywood to our homes (copyrights and legitimacy are good but access trumps over everything else). For blockbusters such as Kabhi Khushi Kabhi Gham, the DVD sellers would delete a couple of scenes from the movie, so you watched the edited version and bought the disc again when the full version was released. People here could never miss out on the legendary Shah Rukh-Kajol chemistry, at any cost.

For a long time, Indian films were banned here right after the 1965 war, but Pakistan’s love affair with Bollywood continued, thanks to the VCR. We know all the songs that Rajesh Khanna sang with Sharmila Tagore and Mumtaz. We saw the rise of Amitabh Bachchan with Dewaar, Coolie and Kabhi Kabhi. We were so fond of all those family dramas Sridevi did with Jaya Prada and Jeetendra. And who can forget the magic created by Anil Kapoor and Madhuri Dixit.

Though they never went away, we are all all very happy that Indian films have finally come back to our cinemas. This became possible with the first Karafilm Festival in Pakistan’s financial capital when Jagmohan Mundra and Nandita Das came here with their critically-acclaimed movie Bawandar. That was a turning point. After decades, an Indian film was finally shown in a public space. In 2003, Mahesh Bhatt came with his film Zakhm. The stream of Bollywood films has been regular ever since.

Bollywood has also become a platform for Pakistani musicians – Rahat Fateh Ali Khan, Shafqat Amanat Ali Khan, Strings — who have all made a mark across the border. I am sure that Bollywood would not find such a committed audience anywhere.

(The writer is a reporter with The News)

Times of India
(Submitted by Pritam Rohila)

Burj Dubai: The new pinnacle of vanity

For all the ambition of its construction, Dubai’s new Khalifa Tower is a frightening, purposeless monument to the subprime era, says Stephen Bayley.

by Stephen Bailey

“Less is only more where more is no good.” I wonder how many guests squinting into the Gulf’s blue skies before the sublime, coruscating, vitreous surfaces of the blasphemously vertiginous Burj Dubai at yesterday’s opening ceremony knew Frank Lloyd Wright’s sardonic remark.

Wright was the Welsh-American architect – part bardic mystic, part technophile, complete megalomaniac – who proposed in 1956 the Illinois Sky City in Chicago. This was an outrageous, mile-high building: 528 floors, each with a height of 10 feet.

Wright’s business was to shock and awe all mankind while doing what he could to épater la bourgeoisie at the same time. In 1956, there was neither the technological, nor indeed the financial, possibility of Wright’s Sky City being built. It was a fantasy designed to impress. So, too, is Burj Dubai – or Burj Khalifa, the Khalifa Tower, as we must now call it, after it was renamed yesterday in honour of the president of the United Arab Emirates.

And Wright was its inspiration. Burj Khalifa is the work of the grand old Chicago architectural firm of Skidmore Owings and Merrill, world leaders in design of supertall buildings. SOM, as it is known, has drunk very deeply of Wright’s intoxicating brew of techno-mysticism and physical daring. But, touchingly and significantly, Fazlur Khan, SOM’s engineering genius whose experiments ultimately made Burj Khalifa possible, was born not in a big Western city but in Bhandarikandi, Shibchur Upazila near Dhaka.

Khan invented a new way of building tall. In the Middle Ages, masonry structures could not reach higher than the great European cathedrals: both the practicalities of hauling stone skywards with only wooden winding gear and wooden scaffolding, plus the structural requirement for unfeasibly thick walls to create stability, limited the masons’ reach for Heaven.

Then, in the late 19th century, steel-framed buildings were developed in Chicago: giving the load-bearing job to structural metal made masonry redundant. Walls were there only to keep out the weather and the conventional skyscraper was born.

So Fazlur Khan created the unconventional skyscraper. Reversing the logic of the steel frame, he decided that the building’s external envelope could – given enough trussing, framing and bracing – be the structure itself. This made buildings even lighter. The “bundled tube” meant buildings no longer need be boxlike in appearance: they could become sculpture.

Khan’s amazing insight – he was name-checked by Obama in his Cairo University speech last year – changed both the economics and the morphology of supertall buildings. And it made Burj Khalifa possible: proportionately, Burj employs perhaps half the steel that conservatively supports the Empire State Building.

Fazlur Khan died in 1982, just a few years after he had completed Chicago’s Sears Tower (then the world’s tallest building), but Burj Khalifa is the ultimate expression of his audacious, lightweight design philosophy. And it is at the extreme outer limits of our understanding of structures. Some say scarily so.

Telegraph for more
(Submitted by reader)

Behind Mass Die-Offs, Pesticides Lurk as Culprit

In the past dozen years, three new diseases have decimated populations of amphibians, honeybees, and — most recently — bats. Increasingly, scientists suspect that low-level exposure to pesticides could be contributing to this rash of epidemics.

by Sonia Shah

White-nose Syndrome, named for the tell-tale white fuzz it leaves on bats’ ears and noses, has killed more than a million bats in the northeastern United States.

Some scientists believe a new class of chemicals based on nicotine may be to blame for “colony collapse disorder” that destroyed nearly 35 percent of the U.S. honeybee population between 2006 and 2009.

Ever since Olga Owen Huckins shared the spectacle of a yard full of dead, DDT-poisoned birds with her friend Rachel Carson in 1958, scientists have been tracking the dramatic toll on wildlife of a planet awash in pesticides. Today, drips and puffs of pesticides surround us everywhere, contaminating 90 percent of the nation’s major rivers and streams, more than 80 percent of sampled fish, and one-third of the nation’s aquifers. According to the U.S. Fish and Wildlife Service, fish and birds that unsuspectingly expose themselves to this chemical soup die by the millions every year.

But as regulators grapple with the lethal dangers of pesticides, scientists are discovering that even seemingly benign, low-level exposures to pesticides can affect wild creatures in subtle, unexpected ways — and could even be contributing to a rash of new epidemics pushing species to the brink of extinction.

In the past dozen years, no fewer than three never-before-seen diseases have decimated populations of amphibians, bees, and — most recently — bats. A growing body of evidence indicates that pesticide exposure may be playing an important role in the decline of the first two species, and scientists are investigating whether such exposures may be involved in the deaths of more than 1 million bats in the northeastern United States over the past several years.

For decades, toxicologists have accrued a range of evidence showing that low-level pesticide exposure impairs immune function in wildlife, and have correlated this immune damage to outbreaks of disease. Consumption of pesticide-contaminated herring has been found to impair the immune function of captive seals, for example, and may have contributed to an outbreak of distemper that killed over 18,000 harbor seals along the northern European coast in 1988. Exposure to PCBs has been correlated with higher levels of roundworm infection in Arctic seagulls. The popular herbicide atrazine has been shown to make tadpoles more susceptible to parasitic worms.

The recent spate of widespread die-offs began in amphibians. Scientists discovered the culprit — an aquatic fungus called Batrachochytrium dendrobatidis, of a class of fungi called “chytrids” — in 1998. Its devastation, says amphibian expert Kevin Zippel, is “unlike anything we’ve seen since the extinction of the dinosaurs.” Over 1,800 species of amphibians currently face extinction.

It may be, as many experts believe, that the chytrid fungus is a novel pathogen, decimating species that have no armor against it, much as Europe’s smallpox and measles decimated Native Americans in the sixteenth and seventeenth centuries. But “there is a really good plausible story of chemicals affecting the immune system and making animals more susceptible,” as well, says San Francisco State University conservation biologist Carlos Davidson.

In California, for example, insecticides coated on the crops of the San Joaquin Valley are known to waft upwind to the Sierra Nevada mountains, where they settle in the air, snow, and surface waters, and inside the tissues of amphibians. And when Davidson compared historical reports of pesticide use, habitat loss, wind patterns, and amphibian population counts in California for the years 1971 to 1991, he found a strong correlation between upwind pesticide use — in particular cholinesterase-inhibiting chemicals such as the insecticide carbaryl — and declining amphibian populations.

Experimental evidence bolsters Davidson’s findings. In lab experiments, exposure to carbaryl dramatically reduced yellow-legged frogs’ production of fungus-fighting compounds called antimicrobial peptides, which may be crucial to amphibians’ ability to fend off chytrid fungus. Further testing has shown that amphibian species that produce the most effective mixes of antimicrobial peptides resist experimental chytrid infection, and tend to be those that survive most successfully in the wild.

Six years after scientists discovered the fungal assault on amphibians, a mysterious plague began decimating honeybees. Foraging honeybees first started vanishing from their hives, abandoning their broods and queens to certain death by starvation, in 2004. Alarmed beekeepers dubbed the devastating malady “colony collapse disorder.” Between 2006 and 2009, colony collapse disorder and other ills destroyed 35 percent of the U.S. honeybee population.

Some experts believe colony collapse disorder is the result of a “perfect storm” of honeybee-debilitating factors: poor nutrition, immune dysfunction from decades of industrial beekeeping practices, and the opportunism of multiple pathogens, acting in malevolent concert. But many beekeepers believe that a new class of chemicals based on nicotine, called neonicotinoids, may be to blame.

Neonicotinoids came into wide use in the early 2000s. Unlike older pesticides that evaporate or disperse shortly after application, neonicotinoids are systemic poisons. Applied to the soil or doused on seeds, neonicotinoid insecticides incorporate themselves into the plant’s tissues, turning the plant itself into a tiny poison factory emitting toxin from its roots, leaves, stems, pollen, and nectar.

In Germany, France, Italy, and Slovenia, beekeepers’ concerns about neonicotinoids’ effect on bee colonies have resulted in a series of bans on the chemicals. In the United States, regulators have approved their use, despite the fact that the Environmental Protection Agency’s standard method of protecting bees from insecticides — by requiring farmers to refrain from applying them during blooming times when bees are most exposed — does little to protect bees from systemic pesticides.

“The companies believe this stuff is safe,” says U.S. Department of Agriculture (USDA) entomologist Jeff Pettis. “It is used at lower levels, and is a boon for farmers,” since neonicotinoids don’t require repeated application, nor wide broadcasting into the environment, he explains. Plus, years of research have shown that only very low levels of the chemicals are exuded from the pollen and nectar of treated plants.

But University of Padua entomologist Vincenzo Girolami believes he may have discovered an unexpected mechanism by which neonicotinoids — despite their novel mode of application — do in fact kill bees. In the spring,

The bat die-off ‘is the most precipitous wildlife decline in the past century in North America.’

neonicotinoid-coated seeds are planted using seeding machines, which kick up clouds of insecticide into the air. “The cloud is 20 meters wide, sometimes 50 meters, and the machines go up and down and up and down,” he says. “Bees that cross the fields, making a trip every ten minutes, have a high probability of encountering this cloud. If they make a trip every five minutes, it is certain that they will encounter this cloud.”

And the result could be immediately devastating. In as-yet-unpublished research, Girolami has found concentrations of insecticide in clouds above seeding machines 1,000 times the dose lethal to bees. In the spring, when the seed machines are working, says Girolami, “I think that 90 percent or more of deaths of bees is due to direct pesticide poisoning.”

Girolami has also found lethal levels of neonicotinoids in other, unexpected — and usually untested — places, such as the drops of liquid that treated crops secrete along their leaf margins, which bees and other insects drink. (The scientific community has yet to weigh in on Girolami’s new, still-to-be-published research, but Pettis, who has heard of the work, calls it “a good and plausible explanation.”)

Two years after the honeybees started disappearing, so, too, did bats. The corpses of hibernating bats were first found blanketing caves in the northeastern United States in 2006. The disease that killed them, caused by a cold-loving fungus called Geomyces destructans — and dubbed White-nose Syndrome for the tell-tale white fuzz it leaves on bats’ ears and noses — has since destroyed at least one million bats. University of Florida wildlife ecologist John Hayes calls it “the most precipitous wildlife decline in the past century in North America.”

Like the mysterious Batrachochytrium dendrobatidis fungus infesting amphibians, Geomyces could be a novel pathogen, newly preying upon defenseless bat species. But scientists have also started to investigate whether pesticide exposure might be playing a role.

Bats are especially vulnerable to chemical pollution. They’re small — the little brown bat weighs just 8 grams — and can live for up to three decades. “That’s lots of time to accumulate pesticides and contaminants,” points out Boston University bat researcher and Ph.D. candidate Marianne Moore, who is studying whether environmental contaminants suppress bats’ immune function. “We know they are exposed to and accumulate organochlorines, mercury, arsenic, lead, dioxins,” she says, “but we don’t understand the effects.”

Which, in the end, is the central dilemma facing pesticide-reliant societies. Proving, with statistical certainty, that low-level pesticide exposure makes living things more vulnerable to disease is notoriously difficult. There are too many different pesticides, lurking in too many complex, poorly understood habitats to build definitively damning indictments. The evidence is subtle, suggestive. But with the rapid decimation of amphibians, bees, and bats, it is accumulating, fast.

Sonia Shah’s article was originally published in Environment 360
Her website is Sonia Shah

In India, poor cancer patients rough it

On streets outside a charitable hospital in Mumbai with state-of-the-art facilities, hundreds of poor and suffering Indians live in makeshift tents, waiting and hoping for a chance to see a doctor.

Meena Dahale holds her daughter, Deepali, 3, who was born with a blood clot in her eye that turned cancerous and had to be removed, the mother says. Streets near a Mumbai charitable hospital have been their home. (Mark Magnier / Los Angeles Times / December 4, 2009)

by Mark Magnier

Reporting from Mumbai, India – In this makeshift cancer ward, there’s little risk of enduring bedsores, fussy nurses or tasteless hospital food.

In fact, on some days, the cancer patients living on the sidewalk in front of Mumbai’s Tata Memorial Hospital have no food at all.

At any given time, there’s a floating population of several hundred patients awaiting treatment, with barely a rupee to their name. Many have lived for months, even years, in makeshift tents that hug the hospital walls and gates.

They recline, surrounded by their medicine bottles, religious icons and tattered luggage, waiting for a hard-won appointment at this, one of India’s few state-of-the-art charitable hospitals. Their bed is a few square feet of hard pavement, their sheets a plastic tarp, their erratic food supply left to the gods and the beneficence of charities in a city that’s home to more than half of India’s 52 billionaires.

Cancer is only one of numerous serious illnesses the poor grapple with, but it’s among the more dramatic. Government-run Tata Memorial, which specializes in the disease, is a magnet for poor people suffering from its ravaging effects.

Jerbai Wadia Road and adjoining streets, a tangle of belching taxis, street vendors and garbage-lined gutters, is the only home Deepali Dahale has known for most of her 3 years.

She was born with a blood clot in her eye, said her mother, Meena Dahale, 25, as the rambunctious toddler grabbed at her mother’s bangles and the legs of passing pedestrians.

The clot soon turned cancerous, forcing the family to borrow $500 from relatives when Deepali was 4 months old to pay for an operation to remove her eye at a local clinic near Akola, their village in Maharashtra state.

The procedure was unsuccessful and the cancer spread. Soon Dahale’s husband turned on her, she said, blaming the illness on her genes. A little later, he banished her and their daughter, forcing them to find their way, broke and disillusioned, to this street in Mumbai, the state capital. The couple’s two older sons, considered little treasures in patriarchal village society, remained with him.

“My husband can’t stand having her in his sight,” Dahale, who married at 12, said as tears slid down her cheek. “She’s his daughter too. Even if he hates me, he should care about her.”

The toddler will need a second operation, but doctors haven’t yet told Dahale how much it will cost, she said, adding that she’ll have to petition local charities for the money. She hasn’t seen her two sons in a couple of years, a source of anguish.

Most of her neighbors in the row of crude shelters tell similar stories of crushing debt, superstition and family alienation after their diagnosis.

Anita Kamble, 29, racked by painful stomach cancer, considers her husband a rare exception. Farmer Sudhir Kamble, 38, has stood by her through a major operation in 2007, 11 subsequent rounds of chemotherapy, numerous injections and countless tablets.

Forced to leave their three children with grandparents back in the village after her diagnosis three years ago, the couple have lived here on the street ever since. Most of the husband’s days are spent lobbying various charitable trusts to open their checkbooks for her. “I’m extremely lucky,” she said.

“He tells me, ‘Whatever happens, I’m with you.’ I’m terrified what will happen to our children if I die, though.”

Rising cancer rates — India is bracing for 27 million new cases annually by 2030, up from 12 million this year, partly a function of longer life expectancy — have coincided with growing healthcare privatization. It has become so lucrative to treat rich patients and foreign medical tourists that even tractor and trucking companies have rushed to open specialized hospitals.

“The American system is being copied here, unfortunately,” said Dr. V. Shantha, chairwoman of the Cancer Institute in Chennai. “Now it’s all about ‘how much am I going to make from this patient.’ ”

That’s left the poor scrambling for care at the few remaining public or charitable trust hospitals, including Tata Memorial, which handles 43,000 new cancer patients annually, most for a nominal fee.

Los Angeles Times for more
(Submitted by Asghar Vasanwala and reader)