Voyager 2 has entered interstellar space. The spacecraft slipped out of the huge bubble of particles that encircles the solar system on November 5, becoming the second ever human-made craft to cross the heliosphere, or the boundary between the sun and the stars.
Coming in second place is no mean achievement. Voyager 1 became the first spacecraft to exit the solar system in 2012. But that craft’s plasma instrument stopped working in 1980, leaving scientists without a direct view of the solar wind, hot charged particles constantly streaming from the sun (SN Online: 9/12/13). Voyager 2’s plasma sensors are still working, providing unprecedented views of the space between stars.
“We’ve been waiting with bated breath for the last couple of months for us to be able to see this,” NASA solar physicist Nicola Fox said at a Dec. 10 news conference at the American Geophysical Union meeting in Washington, D.C.
NASA launched the twin Voyager spacecraft in 1977 on a grand tour of the solar system’s planets (SN: 8/19/17, p. 26). After that initial tour was over, both spacecraft continued travelling through the bubble of plasma that originates at the sun. “When Voyager was launched, we didn’t know how large the bubble was, how long it would take to get [to its edge] and whether the spacecraft could last long enough to get there,” said Voyager project scientist Edward Stone of Caltech.
For most of Voyager 2’s journey, the spacecraft’s Plasma Science Experiment measured the speed, density, temperature, pressure and other properties of the solar wind. But on November 5, the experiment saw a sharp drop in the speed and the number of solar wind particles that hit the detector each second. At the same time, another detector started picking up more high-energy particles called cosmic rays that originate elsewhere in the galaxy. Those measurements suggest that Voyager 2 has reached the region where the solar wind slams into the colder, denser population of particles that fill the space between stars. Voyager 2 is now a little more than 18 billion kilometers from the sun.
Intriguingly, Voyager 2’s measurements of cosmic rays and magnetic fields — which Voyager 1 could still make when it crossed the boundary — did not exactly match up with Voyager 1’s observations. “That’s what makes it interesting,” Stone said. The variations are probably from the fact that the two spacecraft exited the heliosphere in different places, and that the sun is at a different part of its 11-year activity cycle than it was in 2012. “We would have been amazed if they had looked the same.”
The Voyagers probably have between five and 10 years left to continue exploring interstellar space, said Voyager project manager Suzanne Dodd from NASA’s Jet Propulsion Laboratory in Pasadena, Calif.
“Both spacecraft are very healthy if you consider them senior citizens,” Dodd said. The biggest concern is how much power they have left and how cold they are — Voyager 2 is currently about 3.6° Celsius, close to the freezing point of its hydrazine fuel. In the near future, the team will have to turn off some of the spacecraft’s instruments to keep the craft operating and sending data back to Earth.
“We do have difficult decisions ahead,” Dodd said. She added that her personal goal is to see the spacecraft last until 2027, for a total of 50 years in space. “That would be fantastic.”
WASHINGTON – A months-long heat wave that scorched the Tasman Sea beginning in November of 2017 is the latest example of an extreme event that would not have happened without human-caused climate change.
Climate change also increased the likelihood of 15 other extreme weather events in 2017, from droughts in East Africa and the U.S. northern Plains states to floods in Bangladesh, China and South America, scientists reported December 10 at a news conference at the American Geophysical Union’s fall meeting. The findings were also published online December 10 in a series of studies in a special issue of the Bulletin of the American Meteorological Society. One study, of wildfires in Australia, was inconclusive on whether climate change influenced the event. And for the first time, none of the extreme events studied was determined to be the product of natural climate variability.
The findings mark the second year in a row — and only the second time — that scientists contributing to this special issue have definitively linked human-caused climate change with specific extreme weather events (SN: 1/20/18, p. 6). To the editors of the special issue, this latest tally is representative of the new normal in which the world finds itself.
“Many events were found to have appreciable climate change input; that’s not itself a surprise,” said Martin Hoerling, a special editor of the issue, at the news conference. “We are in a world that is warmer than it was in the 20th century, and we keep moving away from that baseline….”
“Nature is unfolding itself in front of our eyes,” added Hoerling, a research meteorologist with the U.S. National Oceanic and Atmospheric Administration in Boulder, Colo. Marine heat waves Several marine heat waves have struck the Tasman Sea, located between Australia and New Zealand, in the last decade, including a severe heat wave during the Southern Hemisphere summer of 2015 to 2016. But the 2017–2018 event extended across a much broader area, encompassing the entire sea. At its most severe point, temperatures increased to at least 2 degrees Celsius above average in the ocean, devastating the region’s iconic kelp forests and contributing to record-breaking summer temperatures in New Zealand.
Climate change was also responsible for another marine heat wave off the coast of East Africa that lasted from March to June 2017, according to a separate study. That marine heat wave, which the researchers found could not have happened in a preindustrial climate, also may have contributed to a drought in East Africa that caused food shortages for millions of people in the Horn of Africa, including 6 million in Somalia alone. The hot sea surface temperatures, the researchers found, doubled the probability that such a drought would occur.
“Any given extreme event might occur, but the severity of the events, that’s really what has changed. And it’s going to continue to change,” says Karsten Haustein, a climate scientist at the University of Oxford who is part of a research group that specializes in such climate attribution studies. Haustein is a coauthor on a study included in the collection that found that climate change dramatically increased the likelihood — by as much as 100 percent — of a six-day rainstorm that inundated Bangladesh in March 2017. The rainfall, which caused a flash flood, occurred before the onset of the monsoon season and proved devastating to farmers, Haustein says.
Legal liability The new issue highlights how the field of climate attribution science overall has crossed a critical threshold when it comes to liability, Lindene Patton, a strategic advisor at the Earth & Water Law Group in Washington, D.C., who specializes in climate attribution, said at the news conference. Although climate change was not found to be definitively to blame in most of the studies, it very likely was responsible for or intensified the impacts of nearly every extreme event examined in the issue — and that level of statistical certainty is enough to be legally important, Patton said. “The sufficiency of certainty differs in a court of law and in science. Perfection is not required; you just need to know if it’s more likely than not.”
The threat of liability may not be the ideal way to achieve more environment-friendly policies — but there is a precedent for it, she noted. “We clearly saw the emergence of liability in the 1970s with pollution” as a precursor to pollutant legislation.
BAMS Editor in Chief Jeff Rosenfeld acknowledges that in a world where real-time attribution studies of events such as 2018’s Hurricane Florence are becoming more common (SN Online: 9/13/18), the detailed, retrospective analyses of the BAMS special issue that lag by a year may seem a bit slow. “The funny thing is, initially, we considered it fast response,” he says.
But he thinks the looming question of climate liability highlights why the slower, more deliberate BAMS studies will continue to remain relevant, even in the swiftly changing climate of attribution science. “The people who are decision makers want numbers. They want risk factors.”
A new soft, wireless implant may someday help people who suffer from overactive bladder get through the day with fewer bathroom breaks.
The implant harnesses a technique for controlling cells with light, known as optogenetics, to regulate nerve cells in the bladder. In experiments in rats with medication-induced overactive bladders, the device alleviated animals’ frequent need to pee, researchers report online January 2 in Nature.
Although optogenetics has traditionally been used for manipulating brain cells to study how the mind works, the new implant is part of a recent push to use the technique to tame nerve cells throughout the body (SN: 1/30/10, p. 18). Similar optogenetic implants could help treat disease and dysfunction in other organs, too. “I was very happy to see this,” says Bozhi Tian, a materials scientist at the University of Chicago not involved in the work. An estimated 33 million people in the United States have overactive bladders. One available treatment is an implant that uses electric currents to regulate bladder nerve cells. But those implants “will stimulate a lot of nerves, not just the nerves that control the bladder,” Tian says. That can interfere with the function of neighboring organs, and continuous electrical stimulation can be uncomfortable.
The new optogenetic approach, however, targets specific nerves in only one organ and only when necessary. To control nerve cells with light, researchers injected a harmless virus carrying genetic instructions for bladder nerve cells to produce a light-activated protein called archaerhodopsin 3.0, or Arch. A stretchy sensor wrapped around the bladder tracks the wearer’s urination habits, and the implant wirelessly sends that information to a program on a tablet computer. If the program detects the user heeding nature’s call at least three times per hour, it tells the implant to turn on a pair of tiny LEDs. The green glow of these micro light-emitting diodes activates the light-sensitive Arch proteins in the bladder’s nerve cells, preventing the cells from sending so many full-bladder alerts to the brain. John Rogers, a materials scientist and bioengineer at Northwestern University in Evanston, Ill., and colleagues tested their implants by injecting rats with the overactive bladder–causing drug cyclophosphamide. Over the next several hours, the implants successfully detected when rats were passing water too frequently, and lit up green to bring the animals’ urination patterns back to normal.
Shriya Srinivasan, a medical engineer at MIT not involved in the work, is impressed with the short-term effectiveness of the implant. But, she says, longer-term studies may reveal complications with the treatment.
For instance, a patient might develop an immune reaction to the foreign Arch protein, which would cripple the protein’s ability to block signals from bladder nerves to the brain. But if proven safe and effective in the long term, similar optogenetic implants that sense and respond to organ motion may also help treat heart, lung or muscle tissue problems, she says.
Optogenetic implants could also monitor other bodily goings-on, says study coauthor Robert Gereau, a neuroscientist at Washington University in St. Louis. Hormone levels and tissue oxygenation or hydration, for example, could be tracked and used to trigger nerve-altering LEDs for medical treatment, he says.
There’s no sorrier sight than a puking preschooler. That’s the conclusion I recently reached around 2 a.m. as my poor 4-year-old heaved into the dim abyss. Luckily, her bout with the stomach flu was brief, and she was feeling better by the next day.
Stomach flu, also known as gastroenteritis, is a common affliction caused by bacteria or viruses that inflame the gut. Though mercifully short, the misery this brings is complete, for both the sufferer and the person charged with scrubbing chunks out of sheets, carpet and a stuffed toy cupcake. So when presented with something that could potentially cut short the puking, any parent would jump at the chance. That’s the promise of probiotics, “good” bacteria (typically in pill form) that some people think might help restore the irritated gut and get kids feeling better faster. But according to two big studies (here and here) of puking kids and probiotics, parents should save their money for something else.
For both studies, scientists studied kids ages 3 months to 4 years who came to an emergency department with acute gastroenteritis. In addition to receiving regular care, these kids took either a probiotic or placebo for five days. Then the researchers tallied up the kids’ symptoms to see if those who got the live bugs fared better than those who received a placebo. Long story short, the scientists found absolutely no differences.
The trials used different bacteria as probiotics. One used Lactobacillus rhamnosus, sold as products such as Culturelle, and the other used that bacteria plus Lactobacillus helveticus, a combination sold as Lacidofil. Neither of the formulations cut puking or other symptoms short. The kids had about the same duration of diarrhea (about two days) and missed the same amount of daycare (two days on average).
As far as studies go, these results, both published November 22 in the New England Journal of Medicine, are pretty clear: Probiotics didn’t help puking kids feel better faster. Of course, it’s possible that certain types of probiotics are good for other things, as an editorial in the same issue of the NEJM points out. Scientists have been studying whether probiotics can curb colic in babies, with some hints that helpful bacteria may reduce crying in breastfed babies (though the jury is still out). Other bacteria might also help newborns at risk of developing dangerous infections, as a recent study on babies in rural India suggests.
But when it comes to gastroenteritis in kids, probiotics’ benefits don’t seem to be there. If you’re desperate and willing to throw money at the problem, go ahead and buy your poor puking kid some probiotics. There’s no evidence they hurt, and it might make you feel like you’re doing something. Still, you’re probably better off spending your money on juice and popsicles.
Data from NASA’s now-defunct Cassini spacecraft show that five odd-shaped moons embedded in Saturn’s rings are different colors, and that the hues come from the rings themselves, researchers report. That observation could help scientists figure out how the moons were born.
“The ring moons and the rings themselves are kind of one and the same,” says planetary scientist Bonnie Buratti of NASA’s Jet Propulsion Laboratory in Pasadena, Calif. “For as long as the moons have existed, they’ve been accreting particles from the rings.” Saturn has more than 60 moons, but those nearest to the planet interact closely with its main band of rings. Between December 2016 and April 2017, Cassini passed close to five of these ring-dwelling moons: ravioli-shaped Pan and Atlas (SN Online: 3/10/17), ring-sculpting Daphnis and Pandora (SN: 9/2/17, p. 16) and potato-shaped Epimetheus. The flybys brought Cassini between two and 10 times closer to the moons than it had ever been, before the spacecraft deliberately crashed into Saturn in September 2017 (SN Online: 9/15/17).
Examining those close-ups, Buratti and her colleagues noticed that the moons’ colors vary depending on the objects’ distances from Saturn. And the moon hues are similar to the colors of the rings that the objects are closest to, the team reports online March 28 in Science. Close-in Pan was the reddest moon, while the farthest-out Epimetheus was the bluest. The researchers think the red material comes from Saturn’s dense main rings, and mostly consists of organics and iron (SN Online: 10/4/18). The blue material is probably water ice from Saturn’s more distant E ring, which is created by plumes erupting from the larger, icy moon Enceladus. The team thinks that the rings are continually depositing material onto the moons. “It’s an ongoing process,” Buratti says. She notes that “skirts” of material at Atlas and Pan’s equators are probably made of accreted ring debris, too.
The overall similarity between the moons and rings led the researchers to conclude that these small moons are leftover shards of a destructive event that created the rings in the first place. But it’s unknown whether that event was a collision between long-gone, larger moons, the shredding of one moon by Saturn’s gravity, or some other occurrence (SN: 1/20/18, p. 7).
Saturn, its rings and its moons are “very dynamic,” says planetary scientist Matija Ćuk of the SETI Institute in Mountain View, Calif. The idea that the rings are still shedding material onto the moons today “sounds perfectly reasonable.” He isn’t sure the moons formed at the same time as the rings, though. It’s possible “they formed from the rings since that catastrophic event,” he says.
Editor’s note: On April 10, the Event Horizon Telescope collaboration released a picture of the supermassive black hole at the center of galaxy M87. Read the full story here.
We’re about to see the first close-up of a black hole.
The Event Horizon Telescope, a network of eight radio observatories spanning the globe, has set its sights on a pair of behemoths: Sagittarius A*, the supermassive black hole at the Milky Way’s center, and an even more massive black hole 53.5 million light-years away in galaxy M87 (SN Online: 4/5/17). In April 2017, the observatories teamed up to observe the black holes’ event horizons, the boundary beyond which gravity is so extreme that even light can’t escape (SN: 5/31/14, p. 16). After almost two years of rendering the data, scientists are gearing up to release the first images in April.
Here’s what scientists hope those images can tell us.
What does a black hole really look like? Black holes live up to their names: The great gravitational beasts emit no light in any part of the electromagnetic spectrum, so they themselves don’t look like much.
But astronomers know the objects are there because of a black hole’s entourage. As a black hole’s gravity pulls in gas and dust, matter settles into an orbiting disk, with atoms jostling one another at extreme speeds. All that activity heats the matter white-hot, so it emits X-rays and other high-energy radiation. The most voraciously feeding black holes in the universe have disks that outshine all the stars in their galaxies (SN Online: 3/16/18). The EHT’s image of the Milky Way’s Sagittarius A, also called SgrA, is expected to capture the black hole’s shadow on its accompanying disk of bright material. Computer simulations and the laws of gravitational physics give astronomers a pretty good idea of what to expect. Because of the intense gravity near a black hole, the disk’s light will be warped around the event horizon in a ring, so even the material behind the black hole will be visible. And the image will probably look asymmetrical: Gravity will bend light from the inner part of the disk toward Earth more strongly than the outer part, making one side appear brighter in a lopsided ring.
Does general relativity hold up close to a black hole? The exact shape of the ring may help break one of the most frustrating stalemates in theoretical physics.
The twin pillars of physics are Einstein’s theory of general relativity, which governs massive and gravitationally rich things like black holes, and quantum mechanics, which governs the weird world of subatomic particles. Each works precisely in its own domain. But they can’t work together.
“General relativity as it is and quantum mechanics as it is are incompatible with each other,” says physicist Lia Medeiros of the University of Arizona in Tucson. “Rock, hard place. Something has to give.” If general relativity buckles at a black hole’s boundary, it may point the way forward for theorists.
Since black holes are the most extreme gravitational environments in the universe, they’re the best environment to crash test theories of gravity. It’s like throwing theories at a wall and seeing whether — or how — they break. If general relativity does hold up, scientists expect that the black hole will have a particular shadow and thus ring shape; if Einstein’s theory of gravity breaks down, a different shadow.
Medeiros and her colleagues ran computer simulations of 12,000 different black hole shadows that could differ from Einstein’s predictions. “If it’s anything different, [alternative theories of gravity] just got a Christmas present,” says Medeiros, who presented the simulation results in January in Seattle at the American Astronomical Society meeting. Even slight deviations from general relativity could create different enough shadows for EHT to probe, allowing astronomers to quantify how different what they see is from what they expect. Do stellar corpses called pulsars surround the Milky Way’s black hole? Another way to test general relativity around black holes is to watch how stars careen around them. As light flees the extreme gravity in a black hole’s vicinity, its waves get stretched out, making the light appear redder. This process, called gravitational redshift, is predicted by general relativity and was observed near SgrA* last year (SN: 8/18/18, p. 12). So far, so good for Einstein.
An even better way to do the same test would be with a pulsar, a rapidly spinning stellar corpse that sweeps the sky with a beam of radiation in a regular cadence that makes it appear to pulse (SN: 3/17/18, p. 4). Gravitational redshift would mess up the pulsars’ metronomic pacing, potentially giving a far more precise test of general relativity.
“The dream for most people who are trying to do SgrA* science, in general, is to try to find a pulsar or pulsars orbiting” the black hole, says astronomer Scott Ransom of the National Radio Astronomy Observatory in Charlottesville, Va. “There are a lot of quite interesting and quite deep tests of [general relativity] that pulsars can provide, that EHT [alone] won’t.”
Despite careful searches, no pulsars have been found near enough to SgrA* yet, partly because gas and dust in the galactic center scatters their beams and makes them difficult to spot. But EHT is taking the best look yet at that center in radio wavelengths, so Ransom and colleagues hope it might be able to spot some.
“It’s a fishing expedition, and the chances of catching a whopper are really small,” Ransom says. “But if we do, it’s totally worth it.” How do some black holes make jets? Some black holes are ravenous gluttons, pulling in massive amounts of gas and dust, while others are picky eaters. No one knows why. SgrA* seems to be one of the fussy ones, with a surprisingly dim accretion disk despite its 4 million solar mass heft. EHT’s other target, the black hole in galaxy M87, is a voracious eater, weighing in at between about 3.5 billion and 7.22 billion solar masses. And it doesn’t just amass a bright accretion disk. It also launches a bright, fast jet of charged subatomic particles that stretches for about 5,000 light-years.
“It’s a little bit counterintuitive to think a black hole spills out something,” says astrophysicist Thomas Krichbaum of the Max Planck Institute for Radio Astronomy in Bonn, Germany. “Usually people think it only swallows something.”
Many other black holes produce jets that are longer and wider than entire galaxies and can extend billions of light-years from the black hole. “The natural question arises: What is so powerful to launch these jets to such large distances?” Krichbaum says. “Now with the EHT, we can for the first time trace what is happening.”
EHT’s measurements of M87’s black hole will help estimate the strength of its magnetic field, which astronomers think is related to the jet-launching mechanism. And measurements of the jet’s properties when it’s close to the black hole will help determine where the jet originates — in the innermost part of the accretion disk, farther out in the disk or from the black hole itself. Those observations might also reveal whether the jet is launched by something about the black hole itself or by the fast-flowing material in the accretion disk.
Since jets can carry material out of the galactic center and into the regions between galaxies, they can influence how galaxies grow and evolve, and even where stars and planets form (SN: 7/21/18, p. 16).
“It is important to understanding the evolution of galaxies, from the early formation of black holes to the formation of stars and later to the formation of life,” Krichbaum says. “This is a big, big story. We are just contributing with our studies of black hole jets a little bit to the bigger puzzle.”
Editor’s note: This story was updated April 1, 2019, to correct the mass of M87’s black hole; the entire galaxy’s mass is 2.4 trillion solar masses, but the black hole itself weighs in at several billion solar masses. In addition, the black hole simulation is an example of one that uphold’s Einstein’s theory of general relativity, not one that deviates from it.
In the classic fairy tale, Hansel and Gretel dropped bread crumbs while walking through a treacherous forest so they wouldn’t lose their way. Rovers may one day use a similar trick to traverse other planets without losing their data.
Typically, if a rover permanently loses communication during a mission, all the information that it has gathered is lost. To avoid this, researchers suggest using a multi-rover system in which a smaller rover piggybacks on a larger “mother rover.” The smaller rover would then venture into any especially uncertain territory, such as a cave or lava tubes, deploying sensors the size of an AirPods case like bread crumbs as it goes. The sensors could then communicate with each other via a wireless network and funnel any collected data back to the mother rover, theoretical physicist Wolfgang Fink and colleagues propose February 11 in Advances in Space Research. As proof of concept, the team built prototype sensors that communicate via Wi-Fi.
It’s not that the smaller rover would be following the “bread crumbs” back the way it came. Instead, “we use [the sensors] for the data to find its way communication-wise out of the cave to the mother rover,” says Fink, of the University of Arizona in Tucson.
The technology could also be useful here on Earth, especially after a natural disaster such as an earthquake. A rover could be sent with the deployable sensors into rubble where it’s too dangerous for people to perform search-and-rescue missions (SN: 12/3/14).
The bread crumb–like communication network could allow researchers to “cater to the essence of scientific exploration,” Fink says, by allowing rovers to overcome some of the constraints posed by tricky terrain. “To get to the real exciting science, you most of the time have to go to exotic places, hard-to-get-to places.”
An uncomfortable truth is that there is another influenza pandemic in humankind’s future. Whether it will be a relative of the lethal avian flu strain currently wreaking havoc in bird populations around the globe is anyone’s guess.
Because the virus, called H5N1, can be deadly to birds, mammals and people, researchers closely monitor reports of new cases. Worryingly, a new variant of H5N1 that emerged in 2020 has not only spread farther than ever before among birds, but has also spilled over into other animals, raising the specter of a human outbreak (SN: 12/12/22).
The variant was linked to a seal die-off in Maine last summer. In October, there was an H5N1 outbreak on a mink farm in Spain, researchers reported in January in Eurosurveillance. (It’s unclear how the mink were exposed, but the animals were fed poultry by-products.) Sea lions off the coast of Peru and wild bears, foxes and skunks, which prey upon or scavenge birds, in the United States and Europe have also tested positive for the virus.
Globally, hundreds of millions of domestic poultry have been culled or died from the new variant. It’s also likely that millions of wild birds have died, though few governmental agencies are counting, says Michelle Wille a viral ecologist at the University of Sydney who studies avian influenza. “This virus is catastrophic for bird populations.”
A handful of human cases have also been reported, though there’s no evidence that the virus is spreading among people. Of seven cases, six people recovered and one person from China died. In February, health officials in China reported an eighth case in a woman whose current condition is unknown.
What’s more, four of the reported human cases — including a U.S. case from Colorado and two workers linked to the Spanish mink farm — were in people who didn’t have any respiratory symptoms. That leaves open the possibility that those people were not truly infected. Instead, tests may have picked up viral contamination, say in the nose, that the people breathed in while handling infected birds.
The impossibility of predicting which avian influenza viruses might make the jump to people and spark an outbreak is in part related to knowledge gaps. These bird pathogens don’t typically easily infect or circulate among mammals including humans. And scientists don’t have a full grasp on how these viruses might need to change for human transmission to occur.
For now, it’s encouraging that so few people have gotten infected amid such a large outbreak among birds and other animals, says Marie Culhane, a food animal veterinarian at the University of Minnesota in St. Paul. Still, experts around the globe are diligently watching for any signs the virus may be evolving to spread more easily between people.
The good news is that flu drugs and vaccines that work against the virus already exist, Wille says. Compared with where the world was when the coronavirus behind the COVID-19 pandemic came on the scene, “we are already ahead of the game.”
How the virus would need to change to spread among people is a big unknown This new iteration of bird flu is what’s called a highly pathogenic avian influenza, one that is particularly lethal for both domestic and wild birds. Aquatic birds such as ducks naturally carry avian flus with no or minor signs of infection. But when influenza viruses shuffle between poultry and waterfowl, variants with changes that make them lethal to birds can emerge and spread.
Avian viruses can be severe or even deadly for people. Since 2003, there have been 873 human cases of H5N1 infections reported to the World Health Organization. A little less than half of those people died. In February, an 11-year-old girl in Cambodia died after she developed severe pneumonia from an avian flu virus, the country’s first reported infection since 2014. Her father was also infected with the virus — a different variant than the one behind the widespread outbreak in birds —though he has not developed symptoms. It’s unknown how the two people were exposed.
Some of what scientists know about H5N1’s pandemic potential comes from controversial research on ferrets done more than a decade ago (SN: 6/21/13). Experiments showed that some changes to proteins that help the virus break into cells and make more copies of itself could help the virus travel through the air to infect ferrets, a common laboratory stand-in for humans in influenza research.
While researchers know these mutations are important in lab settings, it’s still unclear how crucial those changes are in the real world, says Jonathan Runstadler, a disease ecologist and virologist at Tufts University’s Cummings School of Veterinary Medicine in North Grafton, Mass. Viruses change constantly, but not all genetic tweaks work together. A change may help one version of the virus transmit better, while also hurting another variant and making it less likely to spread.
“We’re not sure how critical or how big a difference or how much to worry about those mutations when they happen in the wild,” Runstadler says. “Or when they happen five years down the road when there are other changes in the virus’s genetic background that are impacting those [original] mutations.”
That doesn’t stop researchers from trying to pinpoint specific changes. Runstadler and his team look for viruses in nature that have jumped into new animals and work backward to figure out which mutations were crucial. And virologist Louise Moncla says her lab is trying to develop ways to scan entire genetic blueprints of viruses from past outbreaks to look for signatures of a virus that can jump between different animal species.
“There’s a ton that we don’t know about avian influenza viruses and host switching,” says Moncla, of the University of Pennsylvania.
Genetic analyses of H5N1 circulating on the mink farm in Spain, for instance, revealed a change known to help the virus infect mice and mammalian cells grown in the lab. Such a change could make it easier for the virus to spread among mammals, including people. There could have been mink-to-mink transmission on the farm, the researchers concluded, but it remains unclear how much of a role that specific mutation played in the outbreak.
It’s a numbers game for when influenza viruses with the ability to transmit among mammals might make the jump from birds, Runstadler says. “The more chances you give the virus to spill over and adapt, the higher the risk will be that one of those adaptations will be effective [at helping the virus spread among other animals] or take root and be a real problem.”
The ongoing outbreak is still a big problem for birds Irrespective of our inability to forecast human’s future with H5N1, it’s clear that many species of birds — and some other animals that eat them — are dying now. And more species of birds are dying in this outbreak than previous ones, Culhane and Wille say.
“We have seen huge outbreaks in raptors and seabirds, which were never really affected before,” Wille says. It’s possible that genetic changes have helped the virus to spread more efficiently among birds than previous versions of H5N1, but that’s unknown. “There are a number of studies underway to try and figure it out,” Wille says. Historically, these deadly avian flus have not been a persistent problem in the Americas, Moncla says. Sporadic outbreaks of H5N1 variants are typically limited to places such as parts of Asia, where the virus has circulated in birds since its emergence in the late 1990s, and northern Africa.
North America’s last big avian flu outbreak was in 2015, when experts detected more than 200 cases of a different bird flu virus in commercial and backyard poultry across the United States. The poultry industry culled more than 45 million birds to stop that virus’s spread, Culhane says. “But it didn’t go away from the rest of the world.”
The latest version of H5N1 arrived on North American shores from Europe in late 2021, first popping up in Canada in Newfoundland and Labrador. From there, it spread south into the United States, where so far tens of millions of domestic poultry have been culled to prevent transmission on farms where the virus has been detected. By December 2022, the virus had made it to South America. In Peru, tens of thousands of pelicans and more than 700 sea lions have died since mid-January.
It’s important to understand exactly how nonbird animals are getting exposed, Culhane says. Highly pathogenic avian influenzas infect every organ of a bird’s body. So, a fox chowing down on an infected bird is exposing its own mouth, nose and stomach to a lot of virus as it eats its meal.
For now, experts are keeping an eye on infected animals to raise the alarm early if H5N1 starts transmitting among mammals.
“I do think that the mink outbreak, and then the sea lion outbreak, is a wake-up call,” Moncla says. “We should be doing our very best to implement all the science we can to try and understand what’s happening with these viruses so that if the situation does change, we are better prepared.”
LAS VEGAS — It’s a bold claim: The quest to create a superconductor that works under practical conditions is finally fulfilled, a team of researchers says. But controversy has dogged the team’s earlier claim of record-breaking superconductivity, and the new result is already facing extreme scrutiny.
The ultimate test will be whether the result can be confirmed by other researchers, says physicist Mikhail Eremets of the Max Planck Institute for Chemistry in Mainz, Germany. “I repeat it like [a] mantra: ‘Reproduce.’” Many materials become superconductors, able to transmit electricity with no resistance, provided they’re cooled to very low temperatures. A few superconductors work under warmer conditions, but those must be squeezed to crushing pressures, so they’re impractical to use.
Now physicist Ranga Dias of the University of Rochester in New York and colleagues say they have created a superconductor that works at both room temperature and relatively low pressure. A superconductor that operates under such commonplace conditions could herald a new age of high-efficiency machines, supersensitive instrumentation and revolutionary electronics.
“This is the start of the new type of material that’s useful for practical applications,” Dias said March 7 at the American Physical Society meeting, where he reported the feat.
The superconductor is made of hydrogen mixed with nitrogen and a rare earth element called lutetium, Dias and colleagues report March 8 in Nature. The team combined the elements and squeezed them in a device known as a diamond anvil cell. The researchers then varied the pressure and temperature and measured the resistance to electrical flow in the compound.
At temperatures as high as 294 kelvins (about 21° Celsius or 70° Fahrenheit), the material seemed to lose any electrical resistance. It still required pressures of 10 kilobar, which is about 10,000 times the pressure of Earth’s atmosphere. But that’s far lower than the millions of atmospheres of pressure typically required for superconductors that operate near room temperature. If confirmed, that makes the material much more promising for real-world applications.
The material displayed several hallmarks of a superconductor, the team reports. Not only did the electrical resistance suddenly drop as it became superconducting, but the material also expelled magnetic fields and exhibited an abrupt change in its heat capacity, Dias says.
When the researchers put the squeeze on the material in the diamond anvil cell, it suddenly turned from a bluish hue to hot pink. “I had never seen a color change like this in a material,” Dias says. “It was like, wow.” That color change indicated a shift in the electrical properties of the material as it became a superconductor, Dias says. This superconductor might be able to escape the confines of a diamond anvil cell, Dias says, opening it up to practical applications. A technique called strain engineering, for example, could mimic the required pressure. In such a process, researchers grow a material on a surface that constrains growth, putting a strain on the material that replicates the effects of externally applied squeezing.
Still, the research faces significant skepticism, in part because of the firestorm over the team’s earlier publication that claimed the discovery of superconductivity in a compound of carbon, sulfur and hydrogen at 15° C (SN: 10/14/20). Editors at Nature retracted that paper, over the objection of Dias and his coauthors, citing irregularities in the researchers’ data handling that undermined the editors’ confidence in the claims (SN: 10/3/22).
Several experts have expressed a lack of confidence in the new results presented by Dias’ group, based on that history. Not only was the previous result retracted, but other researchers were unable to reproduce it, says Eremets, including his own group at the Max Planck Institute. “The main test of validity — reproducibility — was failed, and from my point of view that’s the most important thing.”
The stakes are high. “If it’s true, it’s a great discovery,” says physicist Eugene Gregoryanz of the University of Edinburgh. But he views the researchers with suspicion. “Whether it’s true or not, I guess time will show.”
Others are more positive. “It’s an excellent study,” says materials chemist Russell Hemley of the University of Illinois Chicago. “The data as presented, in terms of evidence for superconductivity, is very strong.” Hemley was not involved with the study but has collaborated with Dias in the past, including on a follow-up to the retracted superconductor paper. Submitted February 16 at arXiv.org, that paper, which has not yet passed peer-review, reports that the previously claimed superconductor does function near room temperature.
The new superconductor is a hydrogen-rich type known as a hydride. Scientists predict that pure hydrogen should be a room-temperature superconductor, but only at extremely high pressures that make it difficult to produce. To lower the pressure, scientists have added in other elements, making hydride superconductors.
In 2015, Eremets and colleagues produced a compound of sulfur and hydrogen that was superconducting up to −70° C, a record high temperature at the time (SN: 12/15/15). A few years later, a compound of lanthanum and hydrogen was found to superconduct under still chilly conditions, but even closer to room temperature (SN: 9/10/18). Both materials require pressures too high for practical use.
It’s difficult to understand how the new superconductor fits in with other hydrides. Theoretical calculations of how similar hydrides behave wouldn’t suggest that such a material would be superconducting at the reported temperatures and pressures, says theoretical physicist Lilia Boeri of the Sapienza University of Rome. “For me, it looks very strange,” Boeri says. “It’s something completely unexpected…. If it’s true, it’s very different from the other hydrides.”
WASHINGTON — The tale of the first horseback riders may be written on the bones of the ancient Yamnaya people.
Five excavated skeletons dated to about 3000 to 2500 B.C. show clear signs of physical stress that hint these Yamnaya individuals may have frequently ridden horses, researchers reported March 3 at the American Association for the Advancement of Science Annual Meeting and in Science Advances. That makes the Yamnaya the earliest humans identified as likely horseback riders so far. Five thousand years ago, the Yamnaya migrated widely, spreading Indo-European languages and altering the human gene pool across Europe and Asia (SN: 11/15/17; SN: 9/5/19). Their travels eventually stretched from modern-day Hungary to Mongolia, roughly 4,500 kilometers, and are thought to have taken place over only a couple of centuries.
“In many ways, [the Yamnaya] changed the history of Eurasia,” says archaeologist Volker Heyd of the University of Helsinki.
Horse domestication became widely established around 3500 B.C., probably for milk and meat (SN: 7/6/17). Some researchers have suggested the Botai people in modern-day Kazakhstan started riding horses during that time, but that’s debated (SN: 3/5/09). The Yamnaya had horses as well, and archaeologists have speculated that the people probably rode them, but evidence was lacking.
But the oldest known depictions of horseback riding are from about 2000 B.C. Complicating efforts to determine when the behavior emerged, possible riding gear would have been made of long-decayed natural materials, and scientists rarely, if ever, find complete horse skeletons from that time. Heyd and colleagues weren’t seeking evidence of horsemanship. They were working on a massive project called the Yamnaya Impact on Prehistoric Europe to understand every aspect of the people’s lives.
While assessing over 200 human skeletons excavated from countries including Romania, Bulgaria and Hungary, bioanthropologist Martin Trautmann noticed that one individual’s bones carried distinct traits on the femur and elsewhere that he’d seen before. He immediately suspected horseback riding.
“It was just kind of a surprise,” says Trautmann, also of the University of Helsinki.
If it were a one-off case, he says he would have dismissed it. But as he continued analyzing skeletons, he noticed that several had the same traits.
Trautmann, Heyd and colleagues assessed all the skeletons for the presence of six physical signs of horseback riding that have been documented in previous research, a constellation of traits dubbed horsemanship syndrome. These signs included pelvis and femur marks that could have come from the biomechanical stress of sitting with spread legs while holding onto a horse, as well as healed vertebrae damage from injuries that could have come from falling off. The team also created a scoring system to account for the skeletal traits’ severity, preservation and relative importance.
“Bones are living tissue,” Trautmann says. “So they react to any type of environmental stimulus.”
The team deemed five Yamnaya male individuals as frequent horseback riders because they had four or more signs of horsemanship. Nine other Yamnaya males probably rode horses, but the researchers were less confident because the skeletons each displayed only three markers. “Hypothetically speaking, it’s very logical,” says bioarchaeologist Maria Mednikova of the Russian Academy of Sciences in Moscow, who was not involved in the new study. The Yamnaya were very close to horses, she says, so at some point, they probably experimented with riding.
She now plans to check for the horse-riding traits in the Yamnaya skeletons she has access to. “The human skeletal system is like a book — if you have some knowledge, you can read it,” Mednikova says.
Archaeologist Ursula Brosseder, who also was not involved in the work, warns not to interpret this finding as equestrianism reaching its full bloom within the Yamnaya culture. Brosseder, formerly of the University of Bonn in Germany, sees the paper’s discovery as humans still figuring out what they could do with horses as part of early domestication.
As for Heyd, he says he has long suspected that the Yamnaya rode horses, considering that they had the animals and expanded so rapidly across such a large area. “Now, we have proof.”