Monday, August 10, 2020

Don't rush into a hydrogen economy until we know all the risks to our climateby Graeme Pearman, Michael Prather, The Conversation

Credit: Alexander Kirch/Shutterstock

There is global interest in the potential for a hydrogen economy, in part driven by a concern over climate change and the need to move away from fossil fuels.


This month, for example, Australia's national science agency, CSIRO, released a report showing the use of clean hydrogen as a fuel could slash aviation emissions, including a complete transition from conventional jet fuel around 2050.

A hydrogen economy could tap Australia's abundant solar and wind energy resources, and provides a way to store and transport energy.

But, to date, there has been little attention on the technology's potential environmental challenges.

Using hydrogen as a fuel might make global warming worse by affecting chemical reactions in the atmosphere. We must know more about this risk before we dive headlong into the hydrogen transition.

Australia's hydrogen dawn

Hydrogen is the most abundant element in the universe. On Earth, it's found mostly in water, from which it can be extracted. When renewable energy is used to power this process, hydrogen can be produced, in principle, with no emissions.

Australia's National Hydrogen Strategy, released last November, identified hydrogen export as a major economic opportunity.

Countries such as Germany, Japan and South Korea have large energy demands and commitments to emissions reduction. But they have limited opportunities to develop their own renewable resources. This creates a major opportunity for Australia to ship hydrogen to the world.

Hydrogen projects in Australia are gearing up. For example, the Queensland government recently announced A$4.2 million for a trial project to inject hydrogen into the gas network of Gladstone.

A similar project is also proposed for South Australia, supported by a A$4.9 million state government grant. In New South Wales, a proposal is afoot to blend hydrogen into the existing gas network.


But little consideration has been given to the possible environmental consequences of hydrogen as an energy source.


Reactions in the atmosphere

In the atmosphere, ozone and water vapor react with sunlight to produce what are known as hydroxyl radicals.

These powerful oxidants react with and help remove other chemicals released into the atmosphere via natural and human processes, such as burning fossil fuels. One of these chemicals is methane, a potent greenhouse gas.

But hydrogen also reacts with hydroxyl radicals and, in doing so, reduces their concentration. Any hydrogen leaked into the atmosphere—such as during production, transport or at the point of use—could cause this reaction.

This would reduce the number of hydroxyl radicals available for their important cleansing function.

Hydrogen on the rise

Hydrogen concentrations in the atmosphere are monitored around the world. Collectively, the data show an increase over time. This includes in Ireland and at Cape Grim in Tasmania's northwest, where hydrogen concentrations have increased by about 4% in the past 25 years.

With our current understanding of the hydrogen cycle, it's not possible to say why this has occurred. Indeed, this is the challenge: improving understanding so we can anticipate any effects of hydrogen leakage and decide what acceptable leakage rates might be.

Based on what we do know, hydrogen may increase global warming by 20-30% that of methane if leaked into the atmosphere.

Our understanding so far suggests that if a hydrogen economy replaced the fossil fuel-based energy system and had a leakage rate of 1%, its climate impact would be 0.6% of the fossil fuel system.

But we need to better understand the hydrogen cycle, such as how land surfaces absorb hydrogen. In the meantime, we must try to minimize leakage of hydrogen in production, storage and use.
Credit: The Conversation

Lessons from methane

A commitment to a hydrogen economy must avoid pitfalls that accompanied the expansion of the natural gas economy.

Research published this year found emissions from our increased use of fossil methane is about 25% to 40% greater than previously estimated.

Other research shows methane emissions grew almost 10% from 2000-2006 to the most recent year of the study, 2017.

Coming to grips with methane leakage is difficult because of the many ways it occurs, including:

during coal mining

during exploration and exploitation of shale gas

via faulty plumbing during industrial, commercial and domestic gas distribution.

By contrast, hydrogen emissions will likely mainly occur during distribution and end use via faulty pipe fittings, given the absence of mining in the hydrogen economy.

Looking ahead

It's possible the emission of hydrogen from reticulation and distribution systems will be low. But specifying how low this should be, and what engineering approaches are appropriate, should be part of the development process.

A hydrogen-based energy future may likely provide an attractive option in the quest for a zero-carbon economy. But all aspects of the hydrogen option should be considered in an holistic and evidence-based assessment.

This would ensure any transition to a hydrogen economy brings climate benefits far beyond fossil-fuel-based energy systems.


Explore furtherEU's energy plan backs hydrogen, but NGOs sense 'hype'
Provided by The Conversation

This article is republished from The Conversation under a Creative Commons license. Read the original article.
Analysis of renewable energy points toward more affordable carbon-free electricity
by California Institute of Technology
Credit: CC0 Public Domain

As more states in the U.S. push for increased reliance on variable renewable energy in the form of wind or solar power, long-term energy storage may play an important role in assuring reliability and reducing electricity costs, according to a new paper published by Caltech researchers.

Graduate student Jackie Dowling, who works in the lab of Nathan Lewis (BS '77), the George L. Argyros Professor and professor of chemistry, has collaborated with Ken Caldeira at the Carnegie Institution for Science and others to examine energy-storage options and multiple decades of data about wind and solar availability. Dowling and her collaborators determined that currently available battery technology is prohibitively expensive for long-term energy storage services for the power grid and that alternative technologies that can store a few weeks' to a month's worth of energy for entire seasons or even multiple years may be the key to building affordable, reliable renewable electricity systems.

Energy storage is needed with renewable energy because wind and solar energy are not as reliably available as fossil fuels. For example, wind power is often at its lowest during the summer in the United States, which is when the electrical grid is strained the most by the demand for air conditioning in homes and businesses.

"This research is motivated by the fact that laws in several states have mandated 100 percent carbon-free electricity systems by midcentury," says Dowling, lead author of a paper about the work. "Within these mandates, a lot of states include requirements for wind and solar power. Both wind and solar are variable from day to day, or even year to year, yet high reliability is mandatory for a viable electricity system. Energy storage can fill in for the gaps between supply and demand."

Dowling looked at short-duration storage systems, such as lithium-ion batteries, and long-duration storage methods, such as hydrogen storage, compressed-air storage, and pumped-storage hydroelectricity.


To see how to optimize the use of those storage technologies at the lowest energy cost, Dowling built a mathematical simulation of each and incorporated historical electricity-demand data and four decades of hourly resolved historical weather data across the contiguous U.S. The Macro Energy Model, as she calls it, reveals that adding long-duration storage to a wind-solar-battery system lowers energy costs. In contrast, using batteries alone for storage makes renewable energy more expensive.

Dowling says that the extra expense associated with batteries occurs because they cannot cost-effectively store enough energy for an entire season during which electricity is generated in lower amounts. That means an electrical grid would require many costlier solar panels or wind turbines to compensate and would result in wasteful idling of electricity-generation equipment for much of the year.

Currently available battery technology is not even close to being cost effective for seasonal storage, Dowling says.

"The huge dip in wind power in the summer in the U.S. is problematic, and batteries are not suitable for filling that gap. So, if you only have batteries, you have to overbuild wind or solar capacity," she says. "Long-duration storage helps avoid the need to overbuild power generation infrastructure and provides electricity when people need it rather than only when nature provides it. At current technology costs, storage in underground caverns of green hydrogen generated by water electrolysis would provide a cost-effective approach for long-duration grid storage."

Other researchers have built renewable energy models, but the team's data-driven approach is the first to incorporate four decades of historical wind and solar variability data, thus factoring in variability from year to year and periodic episodes of rare weather events that affect power generation, such as wind and solar droughts.

"The more years of data we use in our models, the more we find a compelling need for long-term storage to get the reliability that we expect from an electricity system," she says.

Dowling suggests her findings may be helpful to policy makers in states with 100 percent carbon-free electricity laws and high wind/solar mandates and to other U.S. states considering the adoption of similar laws. In the future, she plans to extend her research to take an in-depth look at the roles that specific types of energy storage, such as hydrogen or redox flow batteries, can play in renewable energy systems. For instance, some types of batteries might effectively serve as medium-duration energy storage, she says.

The paper, titled "Role of long-duration energy storage in variable renewable electricity systems," appears in the September issue of Joule.


Explore further  Answer to energy storage problem could be hydrogen

More information: Jacqueline A. Dowling et al, Role of Long-Duration Energy Storage in Variable Renewable Electricity Systems, Joule (2020). DOI: 10.1016/j.joule.2020.07.007
Journal information: Joule


Provided by California Institute of Technology

Hacker posts confidential Intel specs online


by Peter Grad , Tech Xplore
Credit: Pixabay/CC0 Public Domain

Intel suffered a massive breach Thursday as 20 GB of internal documents were published online.


The confidential documents contain data on the internal designs of chipsets dating back to 2016.

The data were sent by an anonymous source to a Swiss software engineer, Till Kottmann, who specializes in uploading hacked documents. He does so, he has said, to encourage companies to exercise more caution concerning security and "to better find and assess potential issues." But he admits he is also motivated to release unauthorized documents obtained from hackers "to free information" for all to see.

The data were also posted to an online file-sharing web site.

The data dump contains sensitive files obtained from the Intel Resource and Design Center, which provides information for customers and corporate partners. The documents may be accessed only after users sign non-disclosure agreements.

It is not clear whether the anonymous source hacked their system or accessed it internally.

"We are investigating this situation," Intel said in a statement Thursday. "We believe an individual with access downloaded and shared this data."

For Intel, already going through a rough period as its market value plummeted by more than $40 billion following recent reports of yet another setback in production schedule for its 7nm chips and an internal reorganization that saw the ouster of its chief engineering officer, the breach may be just the tip of the iceberg.

According to Kottmann, this week's release is only the first part of a series of data dumps coming in the near future.

Topics of the confidential documents include such titles as "Binaries for Canera drivers Intel made for SPaceX," "Schematics, Docs, Tools and Firmware for the unreleased Tiger Lake platform," "Simics Simulation for Rocket Lake S and potentially other platforms" and "Bootguard SDK."

The leak also contains technical specs and PDF presentations on Intel's upcoming Tiger Chip, slated for distribution starting next month.

Some observers were amused that among passwords Intel used on internal documents retrieved in data breach are the surprisingly weak "Intel123" and "I accept."

An Intel spokeswoman said it does not appear that and customer or personal information has been compromised. However, segments of BIOS code revealed in the dump cold potentially be used by hackers to reverse engineer a hack that could affect current or future Intel products.

Based on his communications with the hacker, Kottmann predicted the current leak is just one "in a series of large Intel leaks."

"Future parts of this leak," Kottmann tweeted, "will have even juicer and more classified stuff."

Also troubling was the anonymous hacker's assertion, made in a chat with Kottmann, that he could impersonate Intel employees.

"Due to a misconfiguration," the hacker said, "I could masquerade as any of [Intel's] employees or make my own user"name.

This latest breach recalls a 2017 episode in which confidential source code for Microsoft Windows 10, intended for "qualified customers, enterprises, governments, and partners for debugging and reference purposes," was leaked online.


Explore furtherIntel Tiger Lake to have built-in malware defense

More information: twitter.com/deletescape/status/1291405688204402689

© 2020 Science X Network

Cleaning up money laundering

by David Bradley, Inderscience
Credit: Pixabay/CC0 Public Domain

Money laundering is big business but wholly illegal big business. It has an enormously negative impact on local, national, and international economies as well as providing the financial means to fund other criminal activities such as people trafficking and drugs. By definition, money laundering is activity carried out to obscure the source of money that has been obtained illegally.


Writing in the International Journal of Business Intelligence and Data Mining, researchers from the Sultanate of Oman and Saudi Arabia describe a new dynamic approach to identifying suspicious financial transactions that might be part of the chain in a money-laundering scheme.

Abdul Khalique Shaikh of the Department of Information Systems at Sultan Qaboos University in Oman and Amril Nazir of the Department of Computer Science at Taif University, in Al-Hawiya, Saudi Arabia, explain that among the many millions, if not billions, of financial transactions carried out every day, a worrying proportion will be associated with money laundering. Identifying such illegal transactions is difficult especially as the criminals carrying out such transactions are well aware of the tools used by banks and financiers to spot suspicious money movements and as such can usually obfuscate the activity very efficiently.

The team has devised a way to profile individual users and to flag up activity that is genuinely suspicious without the false positives that might otherwise interfere with genuine banking and other financial transactions members of the public might carry out entirely legitimately.

"The approach works based on the dynamic behavior of customer transactions that measures the customer's own transaction history, profile features and identifies suspicious transactions," the team writes. They have tested the approach against realistic data and validated the result with confirmed suspicious customers. The dynamic approach has an accuracy of well over 90 percent, which exceeds that seen with statistical models based on pre-defined rules, the team concludes.


Explore furtherStudy reveals impact of powerful CEOs and money laundering on bank performance

More information: Abdul Khalique Shaikh et al. A novel dynamic approach to identifying suspicious customers in money transactions, International Journal of Business Intelligence and Data Mining (2020). DOI: 10.1504/IJBIDM.2020.108762

Provided by Inderscience
Kodak shares slump as US loan is suspended

Shares of Eastman Kodak plunged after a US agency suspended activity on a $765 million loan to support the company's shift into pharmaceuticals

Shares of Kodak plunged Monday after a US agency suspended a loan intended to support the former photo giant's launch of a new pharmaceutical venture.


The US International Development Finance Corporation's (DFC) said Friday it will halt further action following controversy that has surrounded its July 28 announcement of a $765 million loan to Kodak.

The loan is part of a program to boost US pharmaceutical capacity in the wake of the coronavirus pandemic.

Shares of Eastman Kodak dove 28.3 percent to $10.67 in afternoon trading.

The Wall Street Journal has reported that the Securities and Exchange Commission is investigating Kodak's disclosures about the loans and is expected to probe the company's awarding of stock option grants to executives on July 27.

Trading volumes in Kodak surged the day before the DFC announcement and shares rocketed up as much as 500 percent on July 28 after the loan's announcement.

"On July 28, we signed a letter of interest with Eastman Kodak," DFC said on Twitter on Friday. "Recent allegations of wrongdoing raise serious concerns.

"We will not proceed any further unless these allegations are cleared."

Kodak on Friday appointed a special committee to oversee an internal review "of recent activity by the Company and related parties" connected to the DFC announcement.

The DFC loan to Kodak would be the first to be made after President Donald Trump in May signed an executive order aimed at encouraging domestic production of materials needed to fight COVID-19.

Senior House Democrats have also questioned the loan.

A group of lawmakers including Maxine Waters, chairwoman of the financial services committee, and Eliot Engel, chairman of the foreign affairs committee, sent a letter last week to the DFC noting that Kodak's prior attempt at pharmaceutical manufacturing was "unsuccessful."


Explore further  Kodak lands loan to bolster US-produced drug supply

The brains of nonpartisans are different from those who register to vote with a party


by University of Exeter

Credit: Pixabay/CC0 Public Domain

The brains of people with no political allegiance are different from those who strongly support one party, major new research shows.


The largest functional neuroimaging study of its kind to date shows nonpartisan voters process risk-related information differently than partisans.

The findings show nonpartisan voters are a distinct group, not just people reluctant to divulge their political preferences.

Experts found functional brain processing differences between partisans and nonpartisans in parts of the brain which help people to socialize and engage with others—the right medial temporal pole, orbitofrontal/medial prefrontal cortex, and right ventrolateral prefrontal cortex. As people completed a simple risk-related decision-making task there were differences in the blood flow to these regions of the brain between the two groups.

Dr. Darren Schreiber, from the University of Exeter, who led the study, said "There is skepticism about the existence of nonpartisan voters, that they are just people who don't want to state their preferences. But we have shown their brain activity is different, even aside from politics. We think this has important implications for political campaigning—nonpartisans need to be considered a third voter group.

"In the U.S. 40 percent of people are thought to be nonpartisan voters. Previous research shows negative campaigning deters them from voting. This exploratory study suggests US politicians need to treat swing voters differently, and positive campaigning may be important in winning their support. While heated rhetoric may appeal to a party's base, it can drive nonpartisans away from politics all together."

The study, published in the Journal of Elections, Public Opinion, and Parties, was conducted by Dr. Schreiber, Gregory A. Fonzo from the University of Texas, Alan N. Simmons and Taru Flagan from the University of California San Diego, Christopher T. Dawes from New York University, and Martin P. Paulus from the Laureate Institute for Brain Research. The team of political scientists, neuroscientists, and psychiatrists scanned the brains of 110 participants in the U.S. with magnetic resonance imaging (MRI) while they completed the task. Some were registered with one of the two main parties and others were not. The differences in brain activity came when people had to choose whether to make a safe or risky decision, suggesting nonpartisan voters engage differently with nonpolitical tasks.

The experts now hope to carry out more research to discover what the differences in brain activity shows about the personalities and social traits of nonpartisan voters.

During the brain scanning the participants, who lived in San Diego County, had to decide between options which would have provided a guaranteed payoff or those that provided a chance for either losses or gains.

After the experiment the researchers matched participants with publicly available voting records to see if they were registered as Republicans or Democrats, or with no party preference. In total 73 were partisan—56 Democrats and 17 Republicans—and 37 were nonpartisan.

The right medial temporal pole, orbitofrontal/medial prefrontal cortex, and right ventrolateral prefrontal cortex have been shown to be important for human social connections in hundreds of brain imaging studies. They help people to connect to their social groups, understand the thoughts of others, and regulate the reactions we have to others.


Explore furtherStudy: Political parties sideline minority voters, leave other orgs to pick up the slack
More information: Darren Schreiber et al. Neural nonpartisans, Journal of Elections, Public Opinion and Parties (2020). DOI: 10.1080/17457289.2020.1801695
Provided by University of Exeter

Identification of stomach flu culprit

Credit: CC0 Public Domain

Norovirus is a major cause of acute gastroenteritis, with at least 49 different norovirus genotypes. GII.4 genotype is responsible for the majority of norovirus epidemic outbreaks. The genotypes associated with medically-attended sporadic acute gastroenteritis are less clear.


Zaid Haddadin, MD, Einas Batarseh, MD, and colleagues compared the clinical characteristics and distribution of norovirus genotypes in children who sought medical care for acute gastroenteritis in three clinical settings (outpatient, emergency department, inpatient) over three years.

In 2,885 children, norovirus was detected in 22% of stool samples. Nearly 90% of the norovirus-positive samples were GII-positive, and GII.4 viruses were detected in 51% of the genotyped GII-positive samples. Seasonal variations were noted among different genotypes, and children with GII.4 infections were younger and had more severe symptoms requiring more medical care compared to children with non-GII.4 infections.

The findings, reported in Clinical Infectious Diseases, highlight the importance of continuous norovirus surveillance and could guide strain selection for candidate norovirus vaccines.


Explore furtherAsymptomatic infection helps norovirus to spread in Indonesia
More information: Zaid Haddadin et al. Characteristics of GII.4 Norovirus versus other Genotypes in Sporadic Pediatric Infections in Davidson County, Tennessee, USA, Clinical Infectious Diseases (2020). DOI: 10.1093/cid/ciaa1001
Journal information: Clinical Infectious Diseases


Provided by Vanderbilt University
1 in 5 medics reported for sexual misconduct have multiple complaints against them

WHITE MALE PRIVILEGE ESCAPES THE MALE GAZE


by Medical Journal of Australia
Credit: Unsplash/CC0 Public Domain

A landmark study of sexual misconduct notifications to health regulators against health professionals shows that around one in five notified practitioners were the subject of more than one complaint.

The study, published online today by the Medical Journal of Australia, found that regulators received 1,507 sexual misconduct notifications for 1167 of 724,649 registered health practitioners (0.2%) during 2011-2016, including 208 practitioners (18%) who were the subjects of more than one report; 381 notifications (25%) alleged sexual relationships, 1,126 (75%) alleged sexual harassment or assault.

Lead author of the study, Associate Professor Marie Bismark, professor of Public Health Law at the Melbourne School of Population and Global Health, said in an exclusive podcast that the multiple complaints against some individual practitioners begged the question of whether sexual misconduct could be remediated or whether those practitioners needed to be removed from the profession.

"We do need to assess which interventions are effective, which group of practitioners can be remediated and which groups of practitioners are likely to continue engaging in this conduct," Associate Professor Bismark said.

"That's an incredibly important question. You sometimes hear about regulators imposing conditions like requiring a practitioner to attend an ethics course. I'm not sure of any good evidence that forcing somebody to attend an ethics course against their will has ever really changed their practice."

Bismark and colleagues analyzed data from the Australian Health Practitioner Regulation Agency and NSW Health Professional Councils Authority on notifications of sexual misconduct during 2011–2016.

They found that:
notifications regarding sexual relationships were more frequent for psychiatrists (15.2 notifications per 10,000 practitioner-years), psychologists (5.0 per 10,000 practitioner-years), and general practitioners (6.4 per 10,000 practitioner-years);
the rate was higher for regional/rural than metropolitan practitioners;
notifications of sexual harassment or assault more frequently named male than female practitioners—male practitioners were 37 times more likely to sexually harass or sexually assault a patient than a female colleague;
a larger proportion of notifications of sexual misconduct than of other forms of misconduct led to regulatory sanctions (242 of 709 closed cases [34%] v 5,727 of 23,855 [24%]).

Bismark and colleagues highlighted three areas that need further investigation.

"First, we need strategies for reducing barriers to notifying regulators of sexual misconduct," they wrote. "The Medical Board of Australia has recently established a national committee for responding to sexual misconduct notifications and has trained investigators with specialist expertise. Second, the connection between sexual misconduct and sexual harassment of colleagues should be investigated, with the twin goals of training practitioners to practice ethically and professionally and providing trustworthy processes for reporting and investigating unacceptable behavior in the health professions. Finally, we need robust information about the effectiveness of regulatory interventions for preventing recurrent sexual misconduct. Patients, health care practitioners, and the public deserve focused efforts to prevent sexual misconduct in health care, fair and thorough investigation of allegations of sexual misconduct, and prompt and consistent action by regulators when allegations are confirmed."


Explore further
Universities are failing to deal with serial sexual predators on their staffs, according to new report

More information: Marie M Bismark et al. Sexual misconduct by health professionals in Australia, 2011–2016: a retrospective analysis of notifications to health regulators, Medical Journal of Australia (2020). DOI: 10.5694/mja2.50706

Journal information: Medical Journal of Australia

Provided by Medical Journal of Australia

Poor mental health in lockdown most common among young women

by Erin Johnson, University College London
Credit: mikoto.raw from Pexels CC BY 2.0

Young women are the most likely to have experienced high levels of depression, anxiety, and loneliness in lockdown, compared to older adults, according to new research from the UCL Center for Longitudinal Studies (CLS).

The study, published today as a briefing paper, also found that young women (aged 30) have shown the biggest increase in mental health problems since they were previously assessed some years before compared to middle-aged (aged 50) and older adults (aged 62).

The research team at the UCL Institute of Education carried out a survey in May 2020 of over 18,000 people born in 1958 (aged 62), 1970 (aged 50), 1989-90 (aged 30), and 2000-02 (aged 19), to explore the impact of the COVID-19 pandemic on the mental health and wellbeing of four generations of people. The survey was completed by participants of nationally representative longitudinal cohort studies, which have been following their lives since childhood.

The researchers found that poor mental health in lockdown was most common among the 19-year-olds surveyed, followed by the 30-year-old millennials. Across all four age groups, women were more likely than men to experience mental health problems. Among 19-year-olds, just over one third of women and just under one quarter of men had symptoms of depression during lockdown in May, and 45% of women and 42% of men had felt lonely during this time.

These problems were also widespread among millennials, with 20% of women and 14% of men showing signs of depression and just over one third of women and one quarter of men experiencing loneliness. By comparison, 7% of 62-year-old men and 10% of 62-year-old women had symptoms of depression.

The team were also able to analyze the new lockdown survey data alongside survey information collected from participants several years before COVID-19, for all but the 19 year olds in the survey, in order to identify changes in the prevalence of mental ill-health among them. They found a significant increase in levels of poor mental health during lockdown among women aged 30 compared to when this group was last surveyed, at age 25.

Study co-author, Professor Emla Fitzsimons (UCL Institute of Education), said: "This change in mental health between age 25 and 30 will reflect change that may naturally occur at this stage of life, as well as change attributable to the pandemic, however this finding chimes with other studies which have also shown that young women have experienced the largest increase in mental health problems due to COVID-19."

Among the older generations surveyed, there was little change in the prevalence of mental ill-health, compared to assessments taken in the same group several years before. However in a sub-set of 900 Baby Boomers (aged 62), for whom data immediately prior to the pandemic was available, there was a small decrease in reported levels of poor mental health during the pandemic compared to immediately before, although life satisfaction did appear to have dipped. The researchers found that the average life satisfaction score of these 62-year-olds dropped from 7.8 to 7.4 (out of 10) on the ONS scale between January to March 2020.

One limitation of the study design is that it includes adults at a set of specific ages, rather than at all ages. However the findings about high levels of difficulties especially among young women at the ages of 19 and 30 are likely to apply to young women in their twenties too.

Co-author of the briefing, Dr. Praveetha Patalay (UCL Institute of Education), said: "Our findings clearly highlight high levels of difficulties being experienced by young people aged 19 and 30, especially young women. More needs to be done to support these age groups and limit the impact of the pandemic on their future health and wellbeing."


Explore further

More information: Mental health during lockdown: evidence from four generations: Initial findings from the COVID-19 Survey in Five National Longitudinal Studies.
Gulf War illness, chronic fatigue syndrome distinct illnesses, study suggests

by Georgetown University Medical Center
Credit: Unsplash/CC0 Public Domain

A brain imaging study of veterans with Gulf War illness (GWI) and patients with chronic fatigue syndrome (CFS) (sometimes called myalgic encephalomyelitis), has shown that the two illnesses produce distinctly different, abnormal patterns of brain activity after moderate exercise. The result of the Georgetown University Medical Center study suggests that GWI and CFS are distinct illnesses, an outcome that could affect the treatment of veterans with Gulf War illness.


The findings were published today in the journal Brain Communications.While it is estimated that CFS affects 0.2-2% of the U.S. population, GWI is a multi-symptom illness that affects about 25% to 30% of the approximately 700,000 military personnel who participated in the 1990-1991 Persian Gulf War.

The two illnesses share many symptoms, including cognitive and memory problems (often described as "brain fog"), pain, and fatigue following mild to moderate exercise. Some medical institutions, including the U.S. Department of Veterans Affairs (the VA), list CFS as a symptom of GWI (called chronic multisymptom illness associated with service in the Gulf War by the VA).

"Our results strongly suggest that GWI and CFS represent two distinct disorders of the brain and therefore CFS is not a symptom of GWI," says Stuart Washington, Ph.D., a post-doctoral fellow and first author on the study. "Combining of two different disorders could lead to improper treatment of both." Washington works in the laboratory of James Baraniuk, MD, professor of medicine at Georgetown.

In the study, functional magnetic resonance imaging (fMRI) revealed that the brains of veterans with GWI and those of patients with CFS behaved differently when performing the same memory task after moderate exercise. Veterans with GWI showed a decrease in brain activity in the periaqueductal gray, a pain processing region within the brainstem, and in the cerebellum, a part of the brain responsible for fine motor control, cognition, pain, and emotion.

On the other hand, patients with CFS showed increased activity in the periaqueductal gray and in parts of the cerebral cortex related to maintaining vigilance and attention. In healthy subjects, these areas of the brain had no changes at all.

A previous study published by this same research group also suggested that the two illnesses are distinct. It showed that exercise causes different changes to the molecular makeup of cerebrospinal fluid in veterans with GWI and patients with CFS.

"Now that CFS and GWI have been shown to affect different regions of the brain, these regions can be more closely examined using neuroimaging and other techniques to further our understanding of the similarities and differences between the two illnesses," says Baraniuk. "Once this new information is adopted broadly, diagnoses and treatments for both disorders should improve."

Explore further Veterans study suggest two sub-types of Gulf War illness

More information: Stuart D Washington et al. Exercise alters brain activation in Gulf War Illness and Myalgic Encephalomyelitis/Chronic Fatigue Syndrome, Brain Communications (2020). DOI: 10.1093/braincomms/fcaa070