3D Printed Solar Cells Could Provide 1.3 Billion People with electricity


Solar power has been gaining more and more popularity worldwide since the efficiency of solar panels has significantly increased during the recent years, along with the dramatic decrease in the costs. However, its popularity is not only due its affordability to a wider audience but also to the growing awareness about the benefits of clean sources of energy. Yet, the costs of transportation and production often make it extremely difficult to implement solar technology in developing countries. Printed solar cells could offer a solution to this problem.

Thanks to the advances in printed solar cell technology during the past few years, its energy efficiency has increased from 3% to 20%.

Its success is due to its cost-effectiveness and simplicity. A 10×10 cm solar cell film is enough to generate as much as 10-50 watts per square meter,” said Scott Watkins from the Korean company Kyung-In Synthetic.

These paper-thin flexible cells could make it possible to minimize transportation costs and deliver the technology to the most remote locations of the world. In fact, the technology only requires industrial-size 3D printers and perovskite – a mineral consisting of lead, iodine and an organic component. In the future, printed solar cells could provide electric power to 1.3 billion people in developing countries.

A major advantage of printed solar cells in comparison with the conventional silicon-based solar panels is that the latter require much sunlight to be efficient and need to be produced in wafers while 3D printed solar cells offer a more organic way to generate power, using perovskites, and only require industrial printers to be manufactured.

At the same time, it has been shown that the lightweight printed solar cells are vulnerable to moisture, which could cause lead contamination, so the company is currently working on the protective coatings that could provide durability and integrity of the cells without significantly increasing their thickness and weight.

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Even though the current method of production allows to make printed solar cells at a minimum cost, there still are some difficulties that hinder the large-scale production of the technology, which requires large capital investments.

Entrepreneurs we’ve engaged cannot afford to invest in the printing machines needed to produce cheap solar strips,” saysBernie Jones, project co-leader of the Smart Villages Initiative, an organization that aims to deliver off-grid solutions to rural areas in developing countries.

Despite all these challenges, printed solar cell technology has the potential to help bring solar power even to the most remote corners of the globe and improve the living conditions of millions of people in the developing world.

 

Burning remaining fossil fuel could cause 60-meter sea level rise


Burning remaining fossil fuel could cause 60-meter sea level riseThis chart shows how Antarctic ice would be affected by different emissions scenarios. (GtC stands for gigatons of carbon.) 

New work from an international team including Carnegie’s Ken Caldeira demonstrates that the planet’s remaining fossil fuel resources would be sufficient to melt nearly all of Antarctica if burned, leading to a 50- or 60-meter (160 to 200 foot) rise in sea level. Because so many major cities are at or near sea level, this would put many highly populated areas where more than a billion people live under water, including New York City and Washington, DC. It is published in Science Advances.

“Our findings show that if we do not want to melt Antarctica, we can’t keep taking fossil fuel carbon out of the ground and just dumping it into the atmosphere as CO2 like we’ve been doing,” Caldeira said. “Most previous studies of Antarctic have focused on loss of the West Antarctic Ice Sheet. Our study demonstrates that burning coal, oil, and gas also risks loss of the much larger East Antarctic Ice Sheet.”

Caldeira initiated this project with lead author Ricarda Winkelmann while she was a Visiting Investigator at the Carnegie Institution for Science. Winkelmann and co-author Anders Levermann are at the Postdam Institute for Climate Impact Research; co-author Andy Ridgwell is at the University of California Riverside.

Although Antarctica has already begun to lose ice, a complex array of factors will determine the ‘s future, including greenhouse gas-caused atmospheric warming, additional oceanic warming perpetuated by the atmospheric warming, and the possible counteracting effects of additional snowfall.

“It is much easier to predict that an ice cube in a warming room is going to melt eventually than it is to say precisely how quickly it will vanish,” Winkelmann said, explaining all the contributing factors for which the team’s models had to account.

The team used modeling to study the ice sheet’s evolution over the next 10,000 years, because carbon persists in the atmosphere millennia after it is released. They found that the West Antarctic ice sheet becomes unstable if carbon emissions continue at current levels for 60 to 80 years, representing only 6 to 8 percent of the 10,000 billion tons of carbon that could be released if we use all accessible .

“The West Antarctic ice sheet may already have tipped into a state of unstoppable ice loss, whether as a result of human activity or not. But if we want to pass on cities like Tokyo, Hong Kong, Shanghai, Calcutta, Hamburg and New York as our future heritage, we need to avoid a tipping in East Antarctica,” Levermann said.

The team found that if global warming did not exceed the 2 degree Celsius target often cited by climate policymakers, Antarctic melting would cause sea levels to rise only a few meters and remain manageable. But greater warming could reshape the East and West ice sheets irreparably, with every additional tenth of a degree increasing the risk of total and irreversible Antarctic ice loss.

This is the first study to model the effects of unrestrained fossil-fuel burning on the entirety of the Antarctic ice sheet. The study does not predict greatly increased rates of ice loss for this century, but found that average rates of sea level rise over the next 1,000 years could be about 3 centimeters per year (more than 1 inch per year) leading to about 30 m (100 feet) of rise by the end of this millennium. Over several thousand years, total from all sources could reach up to 60 meters (200 feet).

“If we don’t stop dumping our waste CO2 into the sky, land that is now home to more than a billion people will one day be underwater,” Caldeira said.

Poor diet and high blood pressure now number one risk factors for early death: Twenty-five year study of global burden of disease data released.


A new global burden of disease study finds a huge amount of deaths worldwide are due to preventable risk-factors.

In 1990, child and maternal malnutrition and unsafe water, sanitation, and lack of hand washing were the leading risks for death, but these have now been replaced by dietary risks and high blood pressure.

A huge international study of global causes of death has revealed that since 1990, there has been a profound change in risk factors for death.

In 1990, child and maternal malnutrition and unsafe water, sanitation, and lack of hand washing were the leading risks for death, but these have now been replaced by dietary risks and high blood pressure.

The findings are from a new analysis of global cause-of-death data published in The Lancet today.

The study was conducted by an international consortium of researchers working on the Global Burden of Disease project and led by the Institute for Health Metrics and Evaluation (IHME) and led by the University of Washington and the University of Melbourne.

Researchers looked at 79 risk factors for death in 188 countries between 1990 and 2013.

The risk factors examined in the study contributed to almost 31 million deaths worldwide in 2013, up from 25 million deaths in 1990.

Top risk factors worldwide include:

  • In much of the Middle East and Latin America, high body mass index is the number-one risk associated with health loss.
  • In South and Southeast Asia, household air pollution is a leading risk, and India also grapples with high risks of unsafe water and childhood under-nutrition.
  • Alcohol is the number-two risk in Russia.
  • Smoking is the number-one risk in many high-income countries, including the United Kingdom.
  • The most marked differences are found in sub-Saharan Africa, which, unlike other regions, is dominated by a combination of childhood malnutrition, unsafe water and lack of sanitation, unsafe sex, and alcohol use.
  • Wasting (low weight) accounts for one in five deaths of children under five-years-old, highlighting the importance of child malnutrition as a risk factor.
  • Unsafe sex took a huge toll on global health, contributing to 82 per cent of HIV/AIDS deaths and 94 per cent of HIV/AIDS deaths among 15- to 19-year-olds in 2013. This has a greater impact on South Africa than any other country, 38 per cent of South African deaths were attributed to unsafe sex. The global burden of unsafe sex grew from 1990 and peaked in 2005.

The study included several risk factors — wasting (low weight for a person’s height), stunting (low height for a person’s age), unsafe sex, HIV, no hand-washing with soap, intimate partner violence — in its analysis for the first time.

“There’s great potential to improve health by avoiding certain risks like smoking and poor diet as well as tackling environmental risks like air pollution,” IHME Director Dr Christopher Murray said.

“The challenge for policymakers will be to use what we know to guide prevention efforts and health policies.”

The Australian context

The top risks associated with the deaths of both men and women in Australia are high blood pressure, smoking, high body mass index, and high fasting plasma glucose.

Drug use is among the fastest growing risk factors for poor health in Australia, up 53 per cent between 1990 and 2013. Drug use is responsible for the biggest increase in poor health for men. The biggest increase in poor health for women comes from diabetes-related illness (high fasting blood glucose), increasing by 68 per cent since 1990.

However, it is not all bad news. Deaths from high cholesterol have decreased by 25 per cent, and deaths from diets low in fruit and vegetables have decreased by 10 per cent.

In Australia, increases in deaths due to high body mass index and diabetes-related illnesses have been increased 35 per cent and 47 per cent respectively. Australians are also grappling with poor kidney function and low physical activity, both of which are not among the top-10 global risk factors.

The leading risk factors associated with poor health in Australia in 2013 were high body mass index, smoking, and high blood pressure. While these were also in the top-five risk factors in 1990, smoking has decreased slightly, by 4 per cent.

Senior author on the study, University of Melbourne Professor Alan Lopez, said many of these risk factors for Australian deaths are preventable with lifestyle changes.

“While our study shows that public policy in Australia has been effective in reducing the health impacts of high cholesterol and insufficient fruit and vegetables in our diet, progress against some large, avoidable risks has been less impressive,” Prof Lopez said.

“Smoking, high blood pressure and obesity are still prevalent among adult Australians and remain a large cause of disease burden. We can, and ought, to be more conscientious in reducing these exposures among all Australians, not only those considered at high risk.”

Lucky you! Here’s why some smokers don’t get cancer


By the age of 10, the children who had been intermittently or continuously exposed to smoke were likely to have waists that were up to three-fifth of an inch wider than their peers.

You may have heard the famous dialogue from Kangana Ranaut’s movie Queen where her character says “Mera haal na Gupta uncle ke jaise ho gaya hai. Gupta uncle ko na cancer ho gaya hai. Unho ne kabhi sharab nai pi, cigarette nai pi, phir bhi cancer ho gaya. Isse acha toh pi lete (My situation is like one Gupta uncle in my neighbourhood. Gupta uncle got cancer. He never drank alcohol, never smoked cigarette and still he got cancer. It would have been better if he did all these things).”

However, sometimes the exact opposite happens to many people and those who smoke or drink heavily, never get cancer. Well, it is sheer luck, we say!

Researchers have identified a set of genetic markers that help even smokers live longer and protect them from deadly diseases such as cancer.

“We identified a set of genetic markers that together seem to promote longevity,” said corresponding author of the study Morgan Levine from University of California-Los Angeles.

The study identified a network of single nucleotide polymorphisms, or SNPs (a DNA sequence variation occurring commonly within a population) that allow certain individuals to better withstand environmental damage (like smoking) and mitigate damage.

gThere is evidence that these genes may facilitate lifespan extension by increasing cellular maintenance and repair,” Levine noted.

gTherefore, even though some individuals are exposed to high levels of biological stressors, like those found in cigarette smoke, their bodies may be better set up to cope with and repair the damage,”  Levine pointed out.

Smoking has been shown to have drastic consequences for lifespan and disease progression, and it has been suggested that cigarette exposure may impact the risk of death and disease via its acceleration of the ageing process.

The new findings suggest that longevity, rather than being entirely determined by environmental factors, may be under the regulation of complex genetic networks which influence stress resistance and genomic stability.

Genomic instability also happens to be one of the hallmarks of cancer pathogenesis, and so the same genes that may promote survival among smokers may also be important for cancer prevention.

This is consistent with the findings of the study, which showed that the genes identified were associated with a nearly 11 percent lower cancer prevalence.

African dams linked to over one million malaria cases annually: New study urges future dam projects to consider better disease control measures.


For the first time, research correlates the location of large dams with the incidence of malaria and quantifies the impacts across sub-Saharan Africa. The study looked at over 1,200 dams and found that the population at risk for malaria around dams is at least four times greater than previously estimated.

Mosquito sucking blood (stock image). The new research has major implications for new dam projects and how health impacts should be assessed prior to construction.

Over one million people in sub-Saharan Africa will contract malaria this year because they live near a large dam, according to a new study which, for the first time, has correlated the location of large dams with the incidence of malaria and quantified impacts across the region. The study finds that construction of an expected 78 major new dams in sub-Saharan Africa over the next few years will lead to an additional 56,000 malaria cases annually.

The research, published in this month’s Malaria Journal, has major implications for new dam projects and how health impacts should be assessed prior to construction. Encouraged by the increased volume of international aid for water resource development, sub-Saharan Africa has, in recent years, experienced a new era of large dam construction.

“Dams are at the center of much development planning in Africa. While dams clearly bring many benefits–contributing to economic growth, poverty alleviation and food security–adverse malaria impacts need to be addressed or they will undermine the sustainability of Africa’s drive for development,” said biologist Solomon Kibret of the University of New England in Australia, the paper’s lead author.

Undertaken as part of the CGIAR Research Program on Water, Land and Ecosystems, the study looked at 1,268 dams in sub-Saharan Africa. Of these, just under two-thirds, or 723, are in malarious areas. The researchers compared detailed maps of malaria incidence with the dam sites. The number of annual malaria cases associated with the dams was estimated by comparing the difference in the number of cases for communities less than five kilometers from the dam reservoir with those for communities further away. The researchers found that a total of 15 million people live within five kilometers of dam reservoirs and are at risk, and at least 1.1 million malaria cases annually are linked to the presence of the dams.

“Our study showed that the population at risk of malaria around dams is at least four times greater than previously estimated,” said Kibret, noting that the authors were conservative in all their analyses.

The risk is particularly high in areas of sub-Saharan Africa with “unstable” malaria transmission, where malaria is seasonal. The study indicated that the impact of dams on malaria in unstable areas could either lead to intensified malaria transmission or change the nature of transmission from seasonal to perennial.

Previous research has identified increased malarial incidence near major sub-Saharan dams such as the Akosombo Dam in Ghana, the Koka Dam in Ethiopia and the Kamburu Dam in Kenya. But until now, no attempt has been made to assess the cumulative effect of large dam building on malaria.

Malaria is transmitted by the Anopheles mosquito, which needs slow-moving or stagnant water in which to breed. Dam reservoirs, particularly shallow puddles that often form along shorelines, provide a perfect environment for the insects to multiply. Thus dam construction can intensify transmission and shift patterns of malaria infection. Many other water bodies, including small dams, ponds and natural lakes and wetlands, provide breeding habitat for mosquitoes. In total, there are an estimated 174 million cases of malaria in sub-Saharan Africa per year.

Many African countries are planning new dams to help drive economic growth and increase water security. Improved water storage for growing populations, irrigation and hydropower generation are indeed badly needed for a fast developing continent. But the researchers warn that building new dams has potential costs as well as benefits.

“Dams are an important option for governments anxious to develop,” said Matthew McCartney of the International Water Management Institute (IWMI) and a co-author of the paper. “But it is unethical that people living close to them pay the price of that development through increased suffering and, possibly in extreme cases, loss of life due to disease.”

The study notes that despite growing evidence of the impact of dams on malaria, there is scant evidence of their negative impacts being fully offset.

The authors make recommendations about how the increased malaria risk can be managed. Dam reservoirs could be more effectively designed and managed to reduce mosquito breeding. For instance, one option is to adopt operating schedules that, at critical times, dry out shoreline areas where mosquitoes tend to breed. Dam developers should also consider increasing investment in integrated malaria intervention programs that include measures such as bed net distribution. Other environmental controls, such as introducing fish that eat mosquito larva in dam reservoirs, could also help reduce malaria cases in some instances.

“The bottom line is that adverse malaria impacts of dams routinely receive recognition in Environmental Impact Assessments, and areas around dams are frequently earmarked for intensive control efforts. The findings of our work hammer home the reality that this recognition and effort–well-intentioned though it may be–is simply not sufficient,” said co-author Jonathan Lautze, a researcher at the International Water Management Institute’s office in Pretoria, South Africa. “Given the need for water resources development in Africa, malaria control around dams requires interdisciplinary cooperation, particularly between water and health communities. Malaria must be addressed while planning, designing and operating African dams.”

Vaccines Killing Children Worldwide


http://www.infowars.com/vaccines-killing-children-worldwide/

The Physics of Everything: Understanding Superstring Theory


Image via ISUB/WikiMedia Commons

A theory with 26 dimensions, objects with imaginary mass that could ruin the very physics of our universe, and the notion that particles and forces are only excitations of vibrational modes—string theory, and all that it entails, is mind-boggling. However, how can it possibly work? After all, we only experience four dimensions (three of space and one of time), so 26 dimensions is 22 too many.

That’s where “superstring theory” comes in.

The Foundation of String-Theory:

String theory states that all matter in the universe is composed of tiny 1-dimensional strings, not point particles (which are 0-dimensional in nature). According to string theory, “strings” are tiny bits of pure energy that are the smallest constituents of matter and force interaction in our universe. General quantum strings are approximated to be 10^-33 cm in length (that’s pretty amazingly small).

In the eyes of a string theorist, all universal constituents (fermions, quarks and leptons, hadrons, bosons, and force carriers [such as photons]) are defined by the vibrational mode (and usually orientation) of its string.

Standard Model

Traditional string-theories include two kinds of strings, open and closed. Those that are open generally have endpoints, which vary in length. Closed strings, on the other hand, have no endpoints and are generally circular in nature (unless, of course, they are in a vibrational state). Ironically enough, some string-theories contain open strings, but all string-theories require closed strings.

Different levels of magnification of matter, ending with the string level. Image credit via MissMJ, Wikimedia Commons

Steven S. Gubser, a physics professor at Princeton University, and author of The Little Book of String Theory, sums up the theory rather nicely, asserting that, “String-theory aims to be a unifying picture, where each [particle] is a different vibrational mode of a string”.

A string’s “vibrational mode” is only a fancy way of identifying the manner in which it oscillates. Here is a theoretical example: if a string vibrates (or wiggles) in one manner (a), it could exhibit characteristics of an “up” quark. If a second string is introduced with the same properties, we now have two (a-vibrational) strings, or basically two “up” quarks. However, when a third string that vibrates in a rather different manner (b), acts as a “down” quark, the resulting interaction simplifies as (a+a+b)* or two up quarks and one down quark. The result of two up quarks and one down quark produces a proton.

 *(While the plus sign “+” is a literal mathematical interaction, it can be seen as the interactions between the new “quarks”, and effectively acts as a string/particle itself! String theorists call these gluons (g), which are responsible for the strong nuclear force and cannot exist independently (free) from such quantum systems).

Looking at it backwards: a proton is a composite particle (or hadron) built from two up quarks and one down quark, each quark being a manifestation of the string it represents.

In string theory, quarks themselves contain fragments of energy that exist on a one-dimensional plane—length. If an object only has length, it must be infinitely thin (with no depth), it must therefore be envisioned as a line segment. Scientists chose “strings” over “line segments” because strings are flexible, and can be contorted in almost infinite ways, thus producing a nearly infinite spectrum of vibrational modes or “tones”.

Branes & Superstring Theory:

String theory, while prestigious in many facets, especially in quantum mechanics and cosmology, does indeed carry flaws that can turn the universe inside out. It offers a sound hypothesis of interactions on the quantum plane, from what quarks are made of to the long sought-after graviton (which mediates gravitational interaction, a massless particle with an integer spin of +/-2).

However, problems arise when the complex mathematics of string theory indicates a need for twenty-six spatial dimensions to function. While twenty-six dimensions are far too many, they can be twisted or even folded into tiny tight compact regions in space-time, thus possibly reducing the dimensions to four. However, a twenty-six dimensional space-time in string theory has major flaws; two of which are that:

1) “Bosonic” string-theory (the original string-theory) does not permit fermions (protons, neutrons etc), only force carriers (bosons, hence the name “bosonic”), which contradicts the universe’s observable function.

2) Twenty-six dimensional space-time MUST include the “Tachyon.” (While Star Trek fans might jump for joy, tachyons are anything but beloved to string-theory. They have properties of negative mass (which basically means imaginary mass, and are prone to an instability that scientists have dubbed as “tachyonic” in nature). Constituents of the universe with imaginary mass makes certain aspects and measurements of the universe imaginary themselves.

That’s where superstring-theory comes in.

Cutting down the dimensions from twenty-six to ten, superstring-theory has eliminated the tachyon problem, and it still offers the graviton. (as a notable aside, although there are five kinds of superstring theory, during the second superstring revolution they’ve come to be known as alternative means of describing the same theory or “M-theory.”)

The “super” in superstring-theory simply means “supersymmetric”, implying that particles in the standard model have supersymmetrical partners, or “superpartners”. Examples of superpartners include the s-higgs (or shiggs) for the higgs boson, s-electrons for electrons (selectrons), and s-quarks (you got it…. squarks) for quarks and so on.

One of the many complex aspects of superstring theory is branes. These are like strings, but they can have any number of dimensions of a spacial extent. Most of these objects are noted to be covered in unique event horizons and can vary in dimensions (and structure): from point particles, to torus and/or tubular in shape, to  multi-dimensional structures that would take very complicated mathematics to be able to envision.

The study of these structures is known as “brane cosmology.” And just like with the electron, the positron, and many more particles predicted to exist decades before actually being found, superstring theory offers a very prosperous insight on branes, strings, and models for quantum gravity.

That said, the superpartners remain undetected. And although there is a lot of promising research being done at the Large Hadron Collider (LHC), the superpartners of observed standard model particles are expected to be far more massive, thus requiring more energy than the LHC can provide; meaning superpartners, if they do exist, are currently beyond our technological grasp.

In the end, superstring-theory will have serious trouble thriving without these supersymmetric particles (and yes, they’re called sparticles).

Pressure to be available 24/7 on social media causes teen anxiety, depression


Overall and night-time specific social media use along with emotional investment were related to poorer sleep quality, lower self-esteem as well as higher anxiety and depression levels, new research concludes.

Dr Cleland Woods explained: “Adolescence can be a period of increased vulnerability for the onset of depression and anxiety, and poor sleep quality may contribute to this. It is important that we understand how social media use relates to these. Evidence is increasingly supporting a link between social media use and wellbeing, particularly during adolescence, but the causes of this are unclear.”

The need to be constantly available and respond 24/7 on social media accounts can cause depression, anxiety and reduce sleep quality for teenagers says a study being presented September 11, 2015, at a British Psychological Society conference in Manchester.

The researchers, Dr Heather Cleland Woods and Holly Scott of the University of Glasgow, provided questionnaires for 467 teenagers regarding their overall and night-time specific social media use. A further set of tests measured sleep quality, self-esteem, anxiety, depression and emotional investment in social media which relates to the pressure felt to be available 24/7 and the anxiety around, for example, not responding immediately to texts or posts

Dr Cleland Woods explained: “Adolescence can be a period of increased vulnerability for the onset of depression and anxiety, and poor sleep quality may contribute to this. It is important that we understand how social media use relates to these. Evidence is increasingly supporting a link between social media use and wellbeing, particularly during adolescence, but the causes of this are unclear.”

Analysis showed that overall and night-time specific social media use along with emotional investment were related to poorer sleep quality, lower self-esteem as well as higher anxiety and depression levels.

Lead researcher Dr Cleland Woods said “While overall social media use impacts on sleep quality, those who log on at night appear to be particularly affected. This may be mostly true of individuals who are highly emotionally invested. This means we have to think about how our kids use social media, in relation to time for switching off.”

The study is presented at the BPS Developmental and Social Psychology Section annual conference taking place from the 9 to 11 September at The Palace Hotel in Manchester.

Eating fish daily can curb depression too.


Eating a lot of fish may help curb the risk of depression in both men and women, reveals a pooled analysis of the available evidence.

After pooling all the European data together, a significant association emerged between those eating the most fish and a 17 percent reduction in depression risk compared with those eating the least.

When the researchers looked specifically at gender, they found a slightly stronger association between high fish consumption and lowered depression risk in men (20 percent).

Among women, the associated reduction in depression risk was 16 percent.

“Higher fish consumption may be beneficial in the primary prevention of depression. Future studies are needed to further investigate whether this association varies according to the type of fish,” the authors noted in a paper which appeared online in the Journal of Epidemiology & Community Health.

Several previous studies have looked at the possible role of dietary factors in modifying depression risk, but the findings have been inconsistent and inconclusive.

The researchers pooled the data from relevant studies published between 2001 and 2014 to assess the strength of the evidence on the link between fish consumption and depression risk.

After trawling research databases, they found 101 suitable articles, of which 16 were eligible for inclusion in the analysis. These 16 articles included 26 studies, involving 150,278 participants.

“The high-quality protein, vitamins, and minerals found in fish may help stave off depression while eating a lot of fish may be an indicator of a healthy and more nutritious diet,” the researchers suggested.

Depression affects an estimated 350 million people worldwide, and is projected to become the second leading cause of ill health by 2020.

Controversial Chinese surgeon signs on to human head transplant project


Because transplanting different heads on over 1,000 mice is not enough, apparently.

Remember back in February when Italian surgeon and neuroscientist Sergio Canavero announced plans to perform the first ever human head transplant procedure in December 2017, much to the chagrin of sane and reasonable scientists everywhere?

Well, the slow and twisted march towards an experiment that almost no one wants to see happen has just taken yet another step forward with the announcement this week that Ren Xiaoping, a surgeon from the Harbin Medical University in China, would be partnering with Canavero to perform the controversial procedure.

The project already has a volunteer guinea pig lined up: Valery Spiridonov, a 30-year-old Russian man with muscular atrophy who announced back in April that he’s willing to have his head removed and connected to another person’s body. “My decision is final and I do not plan to change my mind,” he told The Daily Mail at the time of the announcement.

Now at a recent “Frontier Science” seminar in northeast China, Canavero says he’s managed to recruit a head surgeon to help him not only perform the controversial procedure, but to figure out exactly how they’re actually going to do it.  “Dr Ren is the only person in the world able to lead this project,” Canavero told the press. “With its outstanding organisational ability and group operational ability, China might be the best choice to carry out head transplants.”

Anyone who’s already delved into the sordid world of head transplantation will know the name Ren Xiaoping well – since 2013 the man has conducted 1,000 head transplants on mice and has announced plans to perform the same operation on primates later this year.

Which is ambitious enough on its own, because as The Wall Street Journal reports,while he’s been able to give all these mice new heads, with which they can successfully breath, drink, and see, the 10-hour operation has yet to result in any hybrid mouse living longer than a few minutes.

You think he’d try to figure out how to give these poor mice a little bit more time in their new bodies before rushing off to perform this horrible experiment on a monkey, but Xiaoping says he’s been perfecting the procedure, particularly when it comes to feeding oxygenated blood from the brains to their new bodies. But even then, he told The Wall Street Journal that he hopes the primates will live, “at least for a little while”.

It’s been almost five decades since the first ‘successful’ head transplant. In 1970, the head of a monkey was placed onto the body of another at the Case Western Reserve University School of Medicine in the US, and this hybrid was able to live via assisted breathing for nine days.

Helen Thomson described the procedure Canvero intends to use at New Scientist back in February:

“The recipient’s head is … moved onto the donor body and the two ends of the spinal cord – which resemble two densely packed bundles of spaghetti – are fused together. To achieve this, Canavero intends to flush the area with a chemical called polyethylene glycol, and follow up with several hours of injections of the same stuff. Just like hot water makes dry spaghetti stick together, polyethylene glycol encourages the fat in cell membranes to mesh.”

We will remain skeptical to the end, and as Hunt Batjer, president elect of the American Association for Neurological Surgeons, told The Independent, it’s not something Spiridonov should have to go through with, even if he’s convinced himself it’s his best option. “I would not wish this on anyone,” said Batjer. “I would not allow anyone to do it to me as there are a lot of things worse than death.”

Watch the video. URL:https://youtu.be/tmG83iOEvH4