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  • High Heels Petition … And, a Future Petition That Might Include Requiring Men to Wear High Heels for Nine Hours

    Louboutin heels

     

    Text of Introduction


    A. Weaver: I move that a bill intituled the Workers Compensation Amendment Act, 2017, of which notice has been given in my name, be introduced and read a first time now.

    Motion approved.

    A. Weaver: I’m pleased to be introducing a bill intituled the Workers Compensation Amendment Act. This act amends the Workers Compensation Act to prevent employers from setting varying footwear and other requirements based on gender, gender expression or gender identity. As a result, for example, this act would prevent employers from requiring select employees to wear high-heeled shoes.

    The Tyee‘s recent series on sexism in B.C.’s restaurant industry shone a spotlight on the harassment and sexist dress code policies faced by servers across British Columbia. Many employers require that female staff wear high heels. This footwear can be extremely uncomfortable and unsafe.

    This week, the U.K. Parliament is debating a petition that would ban employers from requiring high heels at work. As Samantha Power, former U.S. ambassador to the UN wrote, highlighting the absurdity of this law: “The next petition should be one requiring men to wear high heels for a nine-hour shift before they insist women do.” We are very far from an inclusive, gender-equal province, and today, International Women’s Day, seems an appropriate time to take this overdue step.

    I move that the bill be placed on the orders of the day for second reading at the next sitting of the House after today.

    Bill M237, Workers Compensation Amendment Act, 2017, introduced, read a first time and ordered to be placed on orders of the day for second reading at the next sitting of the House after today.

    Editor’s Note: Mr. Weaver’s partial biography: Dr. Andrew Weaver currently serves as a Member of the Legislative Assembly for Oak Bay-Gordon Head, Canada.

    Prior to his election, Dr. Weaver served as Canada Research Chair in climate modelling and analysis in the School of Earth and Ocean Sciences at the University of Victoria. He has been a Lead Author on the 2nd, 3rd, 4th and 5th Intergovernmental Panel on Climate Change’s scientific assessments. He has authored or coauthored over 200 peer-reviewed, scientific papers and was the Chief Editor of the Journal of Climate from 2005-2009. Dr. Weaver is a Fellow of the Royal Society of Canada, Canadian Meteorological and Oceanographic Society, the American Meteorological Society, the American Geophysical Union and the American Association for the Advancement of Science.

  • Are the Courts Finally Ready to Deem the Religious or Racial Exclusion of Immigrants Unconstitutional?

    Ellis Island

    Ellis Island, 2013, by Ingfbruno

    By Milenko Martinovich 

    President Donald J. Trump signed a revised executive order Monday, March 6, 2017 banning immigrants from six Muslim-majority countries, setting the stage for another battle pitting executive power against judicial authority.

    Stanford scholars predict that President Trump’s new immigration order will still meet with legal questions in the courts.

    His first executive order on immigration in January was thwarted by a three-judge panel of the US Ninth Circuit Court of Appeals, which unanimously ruled that the initial order offered “no evidence that any alien from any of the countries named in the Order has perpetrated a terrorist attack in the United States.”

    Stanford Report asked four Stanford scholars about the president’s actions: Professor Michael W. McConnell, director of the Constitutional Law Center; Terry M. Moe, professor of political science; Shirin Sinnar, associate professor of law; and Allen S. Weiner, director of the Stanford Program in International and Comparative Law.

    What are the most significant revisions to this executive order?

    Moe: The main purpose of the new order was to modify the original order in ways that would make it acceptable to the courts – notably by exempting holders of green cards and valid visas and by removing the original priority given to “religious minorities.” [During the presidential campaign, Trump emphasized protecting Christians overseas.] There was also what might be called a policy purpose, at least in one respect: Iraq was dropped from the list of targeted countries this time because it is a U.S. ally, its leaders were outraged at having been included, Iraqis who had helped us in the war effort (e.g., interpreters) were being prevented entry to our country, and important figures in the US government (e.g., Secretary of State Rex Tillerson) didn’t want Iraq on the targeted list.

    The previous ban was struck down in part over the question of whether it advances national security. Does this version address that issue?

    McConnell:  The temporary restraining order in the Washington case was allowed to stay in effect because the order extended to visa and green card holders, in violation of procedural due process. That has been corrected. Whether the order advances national security is a question entrusted to the executive by law.

    Moe: There is no evidence that this ban would make the nation safer. The US already has extensive vetting procedures. And as the New America Foundation recently reported, all 13 terrorists who engaged in fatal attacks on U.S. soil since 9/11 were either citizens of the United States or permanent residents. None, moreover, were connected to the seven countries targeted in Trump’s original order.

    Sinnar: Courts were justifiably skeptical of the idea that legitimate national security considerations, as opposed to religious biases or political motives, drove the first version of the travel ban. The new version of the executive order makes more of an attempt to justify the country-based exclusions on national security grounds, first stating that these countries “present heightened threats” because “each of these countries is a state sponsor of terrorism, has been significantly compromised by terrorist organizations, or contains active conflict zones.” It summarizes conditions in these countries, based on a 2016 State Department report, and then attempts to show that some people who have entered the United States have threatened security.

    Judges may still question whether this factual record justifies presumptively barring all nationals of these countries (even with the exceptions for permanent residence holders and current visa holders in the order). The executive order does not identify new evidence that would support replacing a system of individual screening with one imposing presumptive group-based exclusions.

    The concern that the travel ban affirmatively harms national security continues to apply to the new version. A number of prominent ex-national security officials argued to the Ninth Circuit Court of Appeals last month that discriminatory orders appearing to target Muslims harm US interests by alienating partners, diminishing international trust in the United States and feeding extremist narratives that the United States is at war with Islam. While the new version of the ban has some exceptions and waiver provisions that will partly mitigate its human impact, it remains to be seen whether international public opinion views this ban as any different in message from the first one.

    Weiner: The new executive order incorporates “descriptions” of the security risks purportedly posed by nationals of the six countries covered by the EO. The evidentiary value of the descriptions is surely to be debated, but by narrowing the EO’s scope of coverage to those who do not already have a visa, the administration will face a lower bar in demonstrating the existence of a sufficient national security threat. The courts may be reluctant to second-guess the decision of the executive branch about who may be admitted to the United States — as opposed to whether to permit entry of people to whom the United States had already issued visas or refugee travel documents, as was the case with the first executive order.

    Will those challenging the revised order have to adjust their legal arguments?

    Weiner: Yes. The standing and due process rights of persons who do not already have a visa or refugee admission document are different from those of the persons who brought the challenges to the first executive order.  At the same time, those challenging the revised executive order will still be able to focus on the anti-Islamic discriminatory motivations underlying the executive order.

    Will the revised order ultimately withstand legal scrutiny?

    Sinnar: A key legal question will be whether the challengers can prove that the order was intended to discriminate against Muslims. On the facts, there is good evidence of discriminatory intent. Courts aren’t limited to considering whether the terms of a policy are explicitly discriminatory. They can also look to the historical background of a policy, the sequence of events preceding its adoption, and the statements of drafters. It’s not difficult to draw the connections between the recurrent anti-Muslim rhetoric of candidate Trump, his campaign promise to ban Muslim immigration, the first executive order (which Trump adviser Rudy Guiliani described as an attempt to deliver a legally viable version of the promised ban), and the new executive order prompted by the courts’ intervention.

    If there is a point at which the bias charge can no longer be pinned on a revised executive order, we are not there yet. The executive process that produced the ban continues to reflect hostility to Muslims. For example, the executive order still includes provisions that play on anti-Muslim prejudices, such as the requirement that government officials publicize “honor killings” by foreign nationals in the United States — a form of gender-based violence that candidate Trump falsely connected exclusively to Muslims.

    If the courts are persuaded on the facts, they will still face questions over the scope of executive power over immigration. A doctrine established by the Supreme Court over a century ago sharply reduces judicial scrutiny over decisions to restrict the entry of foreign nationals. Over the course of the last century, the court has moved away from such views and recognized some constitutional limits on immigration power, in addition to developing the right to equal protection of the law in other contexts. But it hasn’t explicitly overturned the old cases. So courts may now have to decide whether they are finally ready to deem the religious or racial exclusion of immigrants unconstitutional.

  • Stumbling on Secrets

    old trunks

    By Joan L. Cannon

    As a child, I never could resist an opportunity to investigate in places I thought had been intended to be unavailable to me.

    One of the most memorable times occurred while I was in college. I can’t remember why, but during summer vacation, I was in the basement of our house and spotted a trunk of the sort that isn’t a steamer trunk type but was larger than the then ubiquitous foot locker.

    Read More

  • Janet Yellen: Adjustment of the Federal Funds Rate May Be Appropriate Later This Month?

    Chair Janet L. Yellen At The Executives’ Club of Chicago, Chicago, Illinois, March 3, 2017

    From Adding Accommodation to Scaling It BackJanet Yellen Portrrait

    I am pleased to join you today to discuss the US economy and the Federal Reserve’s monetary policy. I strongly believe that my colleagues and I should explain, as clearly as we can, both the reasons for our decisions and the fundamental principles that underlie our strategy.

    Today I will review the conduct of monetary policy during the nearly 10 years since the onset of the financial crisis. Although the Federal Reserve’s policy strategy for systematically pursuing its congressionally mandated goals of maximum employment and price stability has not changed during this period, the Federal Open Market Committee (FOMC) has made significant tactical adjustments along the way. I will spend most of my time today discussing the rationale for the adjustments the Committee has made since 2014, a year that I see as a turning point, when the FOMC began to transition from providing increasing amounts of accommodation to gradually scaling it back.

    The process of scaling back accommodation has so far proceeded at a slower pace than most FOMC participants anticipated in 2014. Both unexpected economic developments and deeper reevaluations of structural trends affecting the U.S. and global economies prompted us to reassess our views on the outlook and associated risks and, consequently, the appropriate stance of monetary policy, both in the near term and the longer run. Looking ahead, we continue to expect the evolution of the economy to warrant further gradual increases in the target range for the federal funds rate. However, given how close we are to meeting our statutory goals, and in the absence of new developments that might materially worsen the economic outlook, the process of scaling back accommodation likely will not be as slow as it was in 2015 and 2016.

    I should note that I will discuss the process of scaling back accommodation mostly from the perspective of our interest rate decisions, which my FOMC colleagues and I see as our primary tool for actively adjusting the stance of monetary policy when our actions are not constrained by the zero lower bound on short-term interest rates.

    Assessing the Degree of Monetary Policy Accommodation

    In our monetary policy deliberations, the FOMC always faces two fundamental questions: First, how do we assess the current stance of monetary policy? Second, what are the strategic and tactical considerations that underpin our decisions about the appropriate stance of monetary policy going forward? These questions are difficult because the interactions between monetary policy and the economy are complex. Policy affects the economy through many different channels, and, in turn, many factors influence the appropriate course of policy.

    Gauging the current stance of monetary policy requires arriving at a judgment of what would constitute a neutral policy stance at a given time. A useful concept in this regard is the neutral “real” federal funds rate, defined as the level of the federal funds rate that, when adjusted for inflation, is neither expansionary nor contractionary when the economy is operating near its potential. In effect, a “neutral” policy stance is one where monetary policy neither has its foot on the brake nor is pressing down on the accelerator. Although the concept of the neutral real federal funds rate is exceptionally useful in assessing policy, it is difficult in practical terms to know with precision where that rate stands. As a result, and as I described in a recent speech, my colleagues and I consider a wide range of information when assessing that rate. As I will discuss, our assessments of the neutral rate have significantly shifted down over the past few years.

  • Women’s #1 Retirement Priority: Fully Funding Social Security by Implementing Reforms So It Can Continue to Pay Future Generations of Retirees

    Woman working on cowling

    Part of the cowling for one of the motors for a B-25 bomber is assembled in the engine department of North American [Aviation, Inc.]’s Inglewood, Calif., plant.  Palmer, Alfred T., photographer; Published: 1942 Oct.; Library of Congress

    Findings from the *Transamerica Center for Retirement Studies (TCRS) national survey of working women highlight that few have a high level of confidence about their future retirement. Only one in ten are “very confident” that they will be able to retire comfortably. At the same time, more than half are “guessing” at the amount they will need to save in order to feel secure in retirement. Household retirement savings is $34,000 (estimated median) and more than two-thirds indicate that they have no alternative plan if forced into retirement sooner than expected.TCRS has released a new research report, Seventeen Facts About Women’s Retirement Outlook, which sheds light on vulnerabilities unique to women in their efforts to prepare for a secure retirement. The report is based on findings from TCRS’ 17th Annual Transamerica Retirement Survey of Workers and is being released in conjunction with *National Women’s History Month which corresponds with International Women’s Day on March 8.

    The focus of International Women’s Day is to highlight issues related to women’s social, political and economic advancement. “Today’s women are better educated and enjoy career opportunities that our grandmothers’ generation could only dream about. Nevertheless, women continue to encounter challenges including lower pay, time out of the workforce for parenting or caregiving, and longer life expectancies that all contribute to unique challenges in adequately saving for retirement,” says Catherine Collinson, president of TCRS.

    Findings from the TCRS national survey of working women highlight that few have a high level of confidence about their future retirement. Only one in ten are “very confident” that they will be able to retire comfortably. At the same time, more than half are “guessing” at the amount they will need to save in order to feel secure in retirement. Household retirement savings is $34,000 (estimated median) and more than two-thirds indicate that they have no alternative plan if forced into retirement sooner than expected.

    Four out of five are concerned that Social Security will not be available to them when they are ready to retire. “The facts are startling and clear. Women must begin taking greater control and gain an understanding of their true retirement outlook,” said Collinson. “By confronting challenges head-on, women can acquire essential knowledge about how to achieve financial security and create plans that can help mitigate risks and steer them on a course for financial security and a more positive outlook for their retirement ambitions.”

  • Elaine Soloway’s Rookie Widow Series: Walking Distance; Matchmaker, Matchmaker; Untethered

    Walking Distanceskyline image

    In 1981, I was living with my first husband and our two daughters in a townhouse on N. LaSalle St. in Chicago. Our zip code was 60610. My mother Min liked our location; so with my encouragement, she submitted an application to move her and her second husband into a senior citizen building that was walking distance from my home. 

    In December of that same year, as relatives and friends sat somberly in our living room with its vaulted ceiling that rose two floors up, I told of Mom’s plans to those who had gathered for her Shiva. “She was so excited that she’d be living close to the kids and me,” I said, “but it wasn’t to be.” The mourners nodded their heads and wiped away tears.
     
    Through all of my essays about possibly moving to Los Angeles to be walking distance to my daughter Jill and her family, I hadn’t thought about this long-ago scene. But now, when I recall my mother’s untimely death from a heart attack at 67, the line that reverberates is this:  I never got a chance to tell her how I felt; to mend things with her.
     
    If you’ve read my first memoir, The Division Street Princess, you’re aware I spent most of my childhood, and a good deal of adulthood, hoping to persuade Mom to love me for the person I truly was. And more importantly, to overcome my feeling that she was disappointed I wasn’t taller, slimmer, and prettier.
     
    When my aunts — her sisters — read my book, they were shocked to learn my dim assessment of the relationship. “Your mother loved you. She was so proud of you. How could you believe otherwise?”
     
    But, our truth often veers from what others perceive. And while her sisters likely heard Mom kvelling about me, I instead stored these childhood directives:  Stand up straight. Comb your hair. You don’t need that cake and other orders that seem innocuous now. How could those words wound me so? Why have I carried them, like backpacks filled with rocks instead of school supplies, all these years?
     
    Although Mother never made it to the apartment down the block from me, I may get to move across the country to a rental walking distance to Jill. And, if my other daughter, Faith, is fortunate enough to win another months-long writing assignment in L.A., my firstborn and I could possibly be roommates or neighbors.
     
    — Consider how divergent my aunts’ opinions were from mine.
     
    And perhaps my mother had her own wounds, inflicted by angelic me, that she kept hidden. What a pity it was that we — who believed we had all the time in the world — missed out on having conversations that surely would’ve resulted in hugs and vows.
     
    Along with this late-in-life desire, to be a blame-free mother to my daughters, the other tasks to be addressed in a relocation would be: To be a better grandmother and mother-in-law, and friend to Jill’s machetunim (my son-in-law’s parents), and to first cousins living in Beverly Hills. Then there’s the crowd of former Chicagoans and current Los Angelinos whom I hope to reconnect with.
     
    This goal is partially based on a belief that I may have come up short with this far-away group. I could blame it on distance, but it also could be that I lack a certain keep-in-touch gene.
     
    But, it’s not too late to improve my mother/grandmother/in-law/cousin/friend relationships. Proximity will help. Desire on my part will certainly up my chances. And, a willingness by those on the other side will guarantee it.
     
    So, dearest mother Min, I deeply regret we never had that chance to live in homes walking distance from one another and to smooth over wrinkles that foolishly left me wanting. Now, I’ve been offered an opening with my own kin. I hope to take it.

  • Updated: This Rule Just Negated by President Trump Through Executive Order: The Stream Protection Rule That Protected Drinking Water for 100 Million in the US

     

    Murray Energy bucks coal mining trend with record giving in 2016

    https://www.opensecrets.org/news/2017/02/murray-energy-record-giving-2016/

     

    By Ashley BalcerzakFebruary 28, 2017

    President Donald Trump wasted little time attending to one of his constituencies: Less than a month after taking office, and surrounded by applauding coal miners and a few friendly members of Congress, he put the knife in an Obama-era regulation barring coal mine waste from being dumped in waterways. And Trump is said to have more…

    https://www.nytimes.com/2017/02/27/us/politics/trump-clean-water-epa.html

    16 hours ago WASHINGTON — President Trump is expected to sign an executive order on Tuesday aimed at rolling back one of former President Barack Obama’s major environmental regulations, a clean water rule known as Waters of the United States. … The clean water rule, completed by the Obama …

    Interior Department Finalizes Stream Protection Rule to Safeguard Communities from Coal Mining Impacts

    OFFICE OF THE SECRETARY

    Updates 33-year old regulations, provides protections for communities and environment while setting expectations for responsible mining

    A stream runs through a mountain range.
    12/19/2016
     

    Date: December 19, 2016
    Contacts: Interior_Press@ios.doi.gov
    Chris Holmes (OSMRE) 202-208-7941

    WASHINGTON — After an extensive and transparent public process that spanned multiple years, the U.S. Department of the Interior today released final regulations to prevent or minimize impacts to surface water and groundwater from coal mining. The final rule updates 33-year old regulations and establishes clear requirements for responsible surface coal mining that will protect 6,000 miles of streams and 52,000 acres of forests over the next two decades, preserving community health and economic opportunities while meeting the nation’s energy needs.

    “The responsible rule released today represents a modern and balanced approach to meeting the nation’s energy needs,” said U.S. Secretary of the Interior Sally Jewell.  “Regulations need to keep pace with modern mining practices, so we worked closely with many stakeholders to craft a plan that protects water quality, supports economic opportunities, safeguards our environment and makes coalfield communities more resilient for a diversified economic future.”
     
    Developed by the Office of Surface Mining Reclamation and Enforcement (OSMRE), the Stream Protection Rule includes reasonable and straightforward reforms to revise three-decades-old regulations for coal mining in order to avoid or minimize impacts on surface water, groundwater, fish, wildlife, and other natural resources.  The rule incorporates current science, technology, and modern mining practices to safeguard communities from the long-term effects of pollution and environmental degradation that endanger public health and undermine future economic opportunities for affected communities.

    “This rule takes into account the extensive and substantive comments we received from state regulators, mining companies and local communities across the country,” said Assistant Secretary for Land and Minerals Management Janice Schneider. “We traveled the country, visited many mines, and met with many of the people who work and live in coal country to make sure we wrote the best rule possible – one that is both economically achievable and protective.” 

    Guided by the best-available science and utilizing modern technologies, the final rule would require companies to avoid mining practices that permanently pollute streams, destroy drinking water sources, increase flood risk, and threaten forests.  It would also require companies to restore streams and return mined areas to the uses they were capable of supporting prior to mining activities, and replant these areas with native trees and vegetation, unless that would conflict with the implemented land use.  

    To help companies meet these objectives, the rule requires the testing and monitoring of the condition of streams that might be affected by mining – before, during and after their operations – to provide baseline data that ensures operators can detect and correct problems that could arise, and restore mined areas to their previous condition. 

    Through clear, measurable standards, the rule promotes operational accountability to achieve the environmental restoration required when mining operations were permitted. Economic impacts were thoroughly analyzed and the final rule is projected to have a negligible impact on the coal industry overall.

    Since announcing its intention to write a rule to clarify mining in and around streams in 2009, OSMRE received more than 150,000 written comments and statements from 15 open houses and public meetings, and extensive outreach efforts with stakeholders nationwide. 

    “This updated, scientifically modern rule will make life better for a countless number of Americans who live near places where coal is being mined,” said OSMRE Director Joseph Pizarchik. “We are closing loopholes and improving our rules to more completely implement the law passed by Congress.” 

    The final Stream Protection Rule, which will take effect 30 days after publication in the Federal Register, is available on the OSMRE website.

  • GAO & Sexual Assault: Better Resource Management Needed to Improve Prevention and Response in the Army National Guard and Army Reserve

    What GAO* Foundsexual assault safe line

    The Army National Guard (Guard) and Army Reserve (Reserve) have implemented sexual assault prevention and response programs, but face challenges in areas such as staffing, budget management, and investigation timeliness that may hinder program implementation.

      • Staffing: The Guard and the Reserve have staffed their sexual assault prevention and response programs, but their use of full-time and collateral-duty personnel has produced sizeable workload disparities. For example, the Guard allots two full-time staff to each state and territory, which provides Rhode Island — a state with about 2,000 soldiers — the same number of staff as Texas, which has about 18,600 soldiers. Similar imbalances exist in the Reserve, with one full-time staff at one command responsible for about 9,000 soldiers located in 16 different states, while the one full-time staff member at another command is responsible for 300 soldiers in 4 states. Officials said that collateral-duty personnel are used to mitigate workload disparities, but these positions are not always filled in the Guard, and the Reserve does not know the number filled. Without evaluating their staffing structures, the Army does not know the extent of such issues and their effect.

     

      • Budget Management: The Guard has developed budget guidance on the use of funds but has not effectively communicated it to program staff, and the Reserve has not developed or distributed this guidance to its staff. Thus, Guard and Reserve program staff do not have information needed to develop their budget allocations and help ensure the efficient use of program funds.

     

    • Investigation Timeliness: Data on Guard cases investigated by its Office of Complex Administrative Investigations (OCI) in fiscal year 2015 show that 57 percent, or 45 of 79 cases, took 6 to 9 months to complete; 39 percent, or 31 of 79 cases, took 3 to 6 months; and the remaining 4 percent (3 of 79 cases) took longer than 9 months. According to OCI officials, investigations take longer to complete because OCI does not have enough personnel to handle its growing caseload, which more than doubled from 2014 to 2015. The Army and the Guard have not reassessed OCI’s resources since the increase in investigation requests to help ensure it has the staff needed to complete investigations within 3 weeks, as required by OCI guidance.

    Eligibility for follow-up or long-term health-care services paid for or provided by the Department of Defense (DOD) varies based on a Guard or Reserve victim’s duty status at the time of an assault. Victims in the Guard and Reserve must go through a process, known as a line of duty determination, to determine their eligibility for care. The Guard has established an expedited process for making a determination within 72 hours of the process being initiated. However, the Reserve’s process is lengthy, and in prior work GAO found that 80 percent of these determinations were overdue. Reserve officials said they plan to include an expedited process in the new Army regulation that is being drafted; however, Reserve officials did not provide details about the planned process or documentation about how it would be implemented. Without an expedited process to provide more timely decisions, sexual assault victims in the Reserve may continue to pay for their care up front, or else face delayed access to care.

    Why GAO Did This Study

    Sexual assault in the Army is often discussed in terms of its incidence among active-duty forces. Sexual assault is a crime that similarly confronts the more than 550,000 members who collectively serve in the Guard and Reserve, who together reported 604 sexual assault incidents in fiscal year 2015; however, sexual assault is generally an underreported crime. Congress included a provision in statute for GAO to review sexual assault prevention and response in the Army’s reserve components.

    This report addresses the extent to which (1) the Guard and Reserve face any challenges implementing programs to prevent and respond to sexual assault; and (2) medical and mental health-care services are available to victims in the Guard and Reserve. GAO reviewed DOD and Army policies; administered two web-based surveys; conducted site visits to four installations; and interviewed officials.

    What GAO Recommends

    GAO is making six recommendations, including that DOD evaluate program staffing structure, communicate and develop budget guidance, assess the Guard’s investigation timeliness and resources, and develop an expedited process for determining Reserve eligibility for healthcare services. DOD concurred with three recommendations partially concurred with two, and did not concur with assessing Guard investigation timeliness, stating that the Army has limited authority over OCI. GAO continues to believe that actions are needed to fully address the two recommendations, and redirected the OCI recommendation to the Guard, as recommended by DOD.

    For more information, contact Brenda S. Farrell at (202) 512-3604 or farrellb@gao.gov.

    *The US Government Accountability Office (GAO) is an independent, nonpartisan agency that works for Congress. Often called the “congressional watchdog,” GAO investigates how the federal government spends taxpayer dollars. The head of GAO, the Comptroller General of the United States, is appointed to a 15-year term by the President from a slate of candidates Congress proposes. Gene L. Dodaro became the eighth Comptroller General of the United States and head of the US Government Accountability Office (GAO) on December 22, 2010, when he was confirmed by the United States Senate. He was nominated by President Obama in September of 2010 from a list of candidates selected by a bipartisan, bicameral congressional commission. He had been serving as Acting Comptroller General since March of 2008.

  • Professor Emerita Mildred Dresselhaus, a Pioneer in the Electronic Properties of Materials

    Mildred Dresselhouse

    ‘Queen of carbon science’ and recipient of Presidential Medal of Freedom and National Medal of Science led US scientific community, promoted women in STEM. Watch Video

    Mildred S. Dresselhaus, a celebrated and beloved MIT professor whose research helped unlock the mysteries of carbon, the most fundamental of organic elements — earning her the nickname ‘queen of carbon science’ — died at age 86. Dresselhaus, a solid-state physicist who was Institute Professor Emerita of Physics and Electrical Engineering and Computer Science, was also nationally known for her work to develop wider opportunities for women in science and engineering.

    “… we lost a giant — an exceptionally creative scientist and engineer who was also a delightful human being,” MIT President L. Rafael Reif wrote in an email today sharing the news of Dresselhaus’s death with the MIT community. “Among her many ‘firsts,’ in 1968, Millie became the first woman at MIT to attain the rank of full, tenured professor. She was the first solo recipient of a Kavli Prize and the first woman to win the National Medal of Science in Engineering.”

    “Millie was also, to my great good fortune, the first to reveal to me the wonderful spirit of MIT,” Reif added. “In fact, her down-to-earth demeanor was a major reason I decided to join this community. … Like dozens of young faculty and hundreds of MIT students over the years, I was lucky to count Millie as my mentor.”

    A winner of both the Presidential Medal of Freedom (from President Barack Obama, in 2014) and the National Medal of Science (from President George H.W. Bush, in 1990), Dresselhaus was a member of the MIT faculty for 50 years. Beyond campus, she held a variety of posts that placed her at the pinnacle of the nation’s scientific enterprise.

    Dresselhaus’s research made fundamental discoveries in the electronic structure of semi-metals. She studied various aspects of graphite and authored a comprehensive book on fullerenes, also known as “buckyballs.” She was particularly well known for her work on nanomaterials and other nanostructural systems based on layered materials, like graphene, and more recently beyond graphene, like transition metal dichalcogenides and phosphorene. Her work on using quantum structures to improve thermoelectric energy conversion reignited this research field.

    Institute Professor Emerita Mildred Dresselhaus recounted her career for an MIT oral history project in 2007. Video: MIT Video Productions

    As notable as her research accomplishments was Dresselhaus’s longstanding commitment to promoting gender equity in science and engineering, and her dedication to mentorship and teaching.

  • Monet: The Early Years, “Profoundly Daring and Surprising”

    Luncheon on the Grass

     Monet’s composition featured his future wife Camille Doncieux and friends Gustave Courbet, Frédéric Bazille and others having a picnic in the forest;  Claude Monet, “Luncheon on the Grass, Central Panel,” 1865–66. Oil on canvas, 248 x 217 cm (97 5/8 x 85 3/8 in.). Musée d’Orsay, Paris.

    The Fine Arts Museums of San Francisco are presenting Monet: The Early Years at the Legion of Honor. This will be the first major US exhibition devoted to the initial phase of Claude Monet’s (French, 1840–1926) career. Through more than fifty paintings, the exhibition demonstrates the radical invention that marked the artist’s development during the formative years of 1858 to 1872. In this period the young painter developed his unique visual language and technique, creating striking works that manifested his interest in painting textures and the interplay of light upon surfaces.

    “This is a once-in-a-lifetime opportunity for visitors to see Monet’s mastery — before Impressionism,” says Max Hollein, Director and CEO of the Fine Arts Museums of San Francisco. “Monet is ubiquitous — people tend to think there is nothing more to know about him. This exhibition is revelatory.”

    With a selection of works gathered from some of the most important international collections — the Musée d’Orsay in Paris, the National Gallery of Art in Washington DC, the Metropolitan Museum of Art in New York and other public and private collections worldwide — Monet: The Early Years authoritatively demonstrates the artist’s early command of many genres, not only the landscapes for which he has become so renowned but also still lifes, portraits and genre scenes.Still Life With Flowers and Fruit

    “The paintings from Monet’s early career are profoundly daring and surprising,” comments Esther Bell, Curator in Charge of European Paintings at the Fine Art Museums of San Francisco. “You see his mastery of light and texture everywhere – in his depictions of large and small moments, with friends and loved ones, in the solitude of forests and fields and in the quiet scenes of everyday life. Every stroke commands our attention.”

    This exhibition follows the Legion of Honor’s strong history of showing highly important moments in French Impressionism. By following Monet before Impressionism, visitors can see the emergence of his style and how he helped shape the movement. Monet: The Early Years will be on view at the Legion of Honor in San Francisco from February 25 through May 29, 2017. This is the first of two exhibitions curated by George Shackelford, Deputy Director of the Kimbell Art Museum in Fort Worth, Texas to examine the full artistic career of Claude Monet. The companion exhibition, Monet: The Late Years, will come to San Francisco in 2019.

    Claude Monet, “Still Life with Flowers and Fruit,” 1869. Oil on canvas, 100.3 x 81.3 cm (39 1/2 x 32 in.). The J. Paul Getty Museum, Los Angeles

    The presentation opens with the first painting Monet exhibited in public, View Near Rouelles (1858, Marunuma Art Park, Asaka, Japan). Created when the artist was just 18 years old, this work demonstrates his early mastery of oil painting through his brilliant handling of color and also prefigures his lifelong affinity for the subject of landscapes. From 1864 to 1868, he was simultaneously interested in capturing the geographies of his artistic life, from the cool, gray coast of Normandy to the warm, lush forest of Fontainebleau. The Pointe de La Hève at Low Tide (1865, Kimbell Art Museum), which Monet exhibited in the Paris Salon of 1865 to critical acclaim, exemplifies his talent for conveying the dramatic atmosphere of a Normandy beach. One of his finest treatments of the interior of the forest is An Oak at Bas-Bréau (The Bodmer) (1865, Private collection), his detailed study of a tree named for the Swiss painter Karl Bodmer. This work is being shown publicly for only the second time in this exhibition.