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US and Europe should collaborate more on technology, says commissioner

US and Europe should collaborate more on technology, says commissioner
Europe and the US should collaborate more on R&D, the Commissioner for Research, Innovation and Science Máire Geoghegan-Quinn told an audience of policy wonks in Washington DC yesterday, because both see technological innovation as a route out of their current economic woes.

Read more on V3.co.uk via Yahoo! UK & Ireland News

Macau Still Poised for Growth

Over the past decade tiny Macau has managed to grow at an unfathomable pace, but it’s not over yet. A recent economic and real estate market correction has brought new opportunities to investors who missed out.

Americans know little about Macau, a subtropical former Portuguese colony and now special administrative region off the southeastern coast of China. With land area less than the size of Manhattan and with nearly a half million people Macau’s just as dense. Like Hong Kong, the powerful business hub to the north, Macau too has a business-friendly environment and attracts a great deal of foreign direct investment.

If Hong Kong were China’s New York, then Macau would certainly be its Las Vegas. Actually, gamblers spent more money here than in Vegas–a cool $ 8 B. Taxes from casino gaming made up about 75% of government revenue. Unlike Las Vegas, Macau offers beaches, genuine colonial architecture, narrow streets reminiscent of European cities, and close proximity to over 1 billion people.

Macau’s casino industry and colonial attractions have propelled it to one of China’s top tourists destinations. Its tourism industry has more than doubled since 2003 as it welcomed over 27 million visitors last year. Although roughly 75% of tourists are from both mainland China and Hong Kong, the news is spreading fast. Officials expect more international arrivals from Europe, the States, and Australia, and Macau could soon become one of the world’s top tourist destinations.

Tourists will notice that Macau is much cheaper than Hong Kong and nearly as safe. Macau’s local currency, the pataca is worth about 12 cents to every US$ 1 and cheap Chinese labor keeps expenses low. Tourists can walk about Macau without worry as violent crime rates here on a whole are far lower than in US cities.

Macau’s recent economic growth makes Hong Kong look like Michigan by comparison. Since 2001, the economy has grown by 13% annually, GDP growth has been at an astounding 30% since 2006, and unemployment is just 3%. Pricewaterhouse Coopers expects casino revenues to continue to grow by an average of 16% annually until 2010. Couple that with big construction projects such as the proposed 18-mile long bridge-tunnel connecting Macau to Hong Kong, where most of Macau’s investors reside and a huge $4 B theme park. So, Macau is still attracting a steady flow of capital and of course, its future looks bright.

Offshore Corporations in Macau

Macau has long been an offshore destination and tax haven, but things have changed. As too many people from Hong Kong took advantage of the system, Hong Kong officials pressed Macau for change. Now, the local government applies a 15% flat corporate/individual tax rate on profits exceeding about $ 38,000 and just 2 to 14% on profits less than that amount. Income taxes never exceed 15%. Nevertheless, $125,000 gets an offshore corporation and exemptions from income and industrial taxes, provided that it is in one of the following sectors: archive filing, data processing and warehousing, information consulting and programming, research and development, ship and aircraft operations, technology testing and analysis. Furthermore, foreign employees of offshore entities get income tax exemptions for up to 3 years. the best part is that offshore entities get anonymity, privacy protection, minimal requirements, and flexibility.

Investment Opportunities

Las Vegas Sands (LVS) recently opened the Macau Venetian Casino and Resort, similar to the original in Las Vegas. As the company’s president William Weidner put it: “Macao is on the verge of becoming the world’s top revenue-producing gaming market. With more than three billion people within a five hour flight, Macao is poised to become the gaming and leisure destination of choice for a significant part of the world’s population.” The company’s stock price more than doubled between 2006 and 2007 and it recently corrected from a high of $140. Now, shares are very attractive to investors at just $40 to $50.

Wynn Resorts (WYNN) is betting on Macau for future company growth. The new Wynn Macau Resort has a casino, 5-star amenities, and a great waterfront location . Like LVS, WYNN’s stock price has more than doubled between 2006 and 2007 and recently corrected from a high of $160. Investing in the company seems more attractive with a $ 3.80 earnings per share (EPS), a relatively low price-to-earnings (P/E) ratio, and a much lower share price.

MGM Mirage (MGM) opened the MGM Grand resort/casino in Macau last year. Its stock price more than tripled between 2006 and 2007 and has recently corrected down to the 30′s, giving investors another great buying opportunity.

Industrial and Commercial Bank of China (ICBC, listed in the U.S. as ICBAF.PK and IDCBF.PK) is already one of China’s largest banks, but recently acquired a majority stake in Macau’s Seng Heng Bank in order to gain access to all that gaming money. In light of the recent banking crisis, shares have plummeted and seem to be settling at current prices.

Speymill Macau Property (SPYUF.PK) acquires, develops, and sells property in Macau. The stock faced a significant correction bringing it’s price just above its 52-week low.

Macau Real Estate Market

As previously mentioned, Macau is very, very tiny. Land for development is extremely scarce; however, like any other tourist meccas, Macau is attracting more and more newcomers every year. For instance, it’s seen a 30% increase in non-resident workers last year alone. Thus expect Macau to one day rival London, New York, and Hong Kong when it comes to pricey properties.

Many investors have been cautious since the recent pullback in the real estate market. Yes, overdevelopment is an intermediate issue, the outlook is great. Keep in mind that Macau’s economy is expanding at phenomenal annual rates and, again it’s extremely tiny. Your property investment must appreciate in the long run in one of the 4 principal areas of Macau:

Macau peninsula, the old town and colonial Portuguese city. It borders mainland China and is where all the pre twentieth century architecture remains.

Cotai Strip is on an island separated from the Macau peninsula. If you’ve ever been to Vegas, you’ll notice similarities as this is where the largest concentration of casinos can be found. At less than 3 square miles, it’s where you’ll find most development and investment activity. Property values here average between $ 20 and $ 30 million per acre!

Taipa is the mostly residential area in between Cotai and old Macau and has most of the area’s mid-priced real estate.

Coloane is the southernmost section of the region and is where you’ll find beaches, parks, resorts, and golf courses. It’s Macau’s own green retreat. The few available properties here are amongst the city’s priciest.

Macau is more than a place–it’s a story of contrasts between the Orient and the West, history and modern pleasures, and urbanism and respite. Macau must continue to grow economically, because the Chinese are just beginning their rise to wealth and Macau is their playground.

Laid-off workers retrain but end up in same spot: Jobless

Laid-off workers retrain but end up in same spot: Jobless
Enrollment in job-training initiatives across the USA has swelled since the recession began. But a diploma is not necessarily a ticket to a job.

Read more on USA Today

A China-Indiana Connection for New Energy Vehicles

A China-Indiana Connection for New Energy Vehicles
The U.S. government could learn from their Chinese counterparts.

Read more on Forbes

National Geographic’s Darwin Error

The November edition of National Geographic magazine (NG) posed the question “Was Darwin Wrong?” on its front cover. Natural scientist David Quammen, author of the article by the same name, replied “No” to that question from his own perspective, and claimed that Darwin’s theory of evolution was today backed up by powerful scientific evidence. Quammen repeated the main claims from Darwin’s book The Origin of Species, but overlooked one important detail.

Darwin added another chapter to his book, one called “Difficulties on Theory,” and openly admitted the existence of difficulties in these terms:

Such is the sum of the several chief objections and difficulties which may justly be urged against my theory… I have felt these difficulties far too heavily during many years to doubt their weight. 1

The fact is, however, that the NG article discussed not one of the phenomena that Darwin regarded as a problem for his theory, and even ignored their existence. For example, although Darwin referred in his book to the way the fossil record failed to back up his theory and to the complexity in the eye, NG magazine did not even touch on such subjects which the theory of evolution is unable to account for as the Cambrian Explosion, biological complexity and the origin of genetic information.

Quammen, who thus appears to be more of a Darwinist than Darwin himself, emerged as the defender not of a theory that can account for difficulties, but of a “dogma” that needs to be shielded from criticism.

In this article, Quammen’s so-called evidence is analysed and the Darwinist propaganda embarked on by NG magazine refuted.

An Example of NG Turkey’s Dogmatic Stance

The English language edition of the NG article “Was Darwin Wrong?” also devoted space to Harun Yahya’s works about the theory of evolution. In the section describing worldwide reactions against evolution the following words appeared in reference to Harun Yahya:

Their discomfort is paralleled by Islamic creationists such as Harun Yahya, author of a recent volume titled The Evolution Deceit, who points to the six-day creation story in the Koran as literal truth and calls the theory of evolution “nothing but a deception imposed on us by the dominators of the world system.”

Interestingly though, Harun Yahya did not appear in NG’s Turkish version, and this section was altered, assuming the following form: “This unease displays a parallelism among those who support the Islamic idea of creation.”

As someone who states his primary aim as being that of describing the philosophy and scientific invalidity of Darwinism, Harun Yahya has closely monitored Darwinist propaganda in recent years and has responded, in the light of scientific findings, to the pro-evolutionist writings and broadcasts of media organisations, of which NG is one. (see www.darwinism-watch.com)

If Darwinism really were supported by a mass of evidence, as claimed in this NG article, then why is NG Turkey trying to prevent Harun Yahya’s scientific criticisms from being heard? Could it be that NG Turkey was concerned that Darwinism will be unable to withstand such scientific criticism? In fact, this attitude by NG’s Turkey desk not only shows that the magazine is unwilling to inform its readers of the source of effective criticism of evolution, but also confirms the criticism that it is seeking to keep Darwinism on its feet as an ideology.

NG Is Unwilling to Face the Modern Scientific Facts

There can be no doubt that in order to provide a realistic response to the question “Was Darwin Wrong?” one needs to look at what Darwin actually said and to compare this to modern scientific facts. In his book The Origin of Species, in which he unveiled his theory of evolution, Darwin provided a very important criterion by which to test his theory. So concrete is that criterion that in Darwin’s own words it could “absolutely break down” the theory. Darwin wrote:

“If it could be demonstrated that any complex organ existed, which could not possibly have been formed by numerous, successive, slight modifications, my theory would absolutely break down.” 2

Darwin maintained that organs evolved during a gradual process. Thinking of this imaginary process in reverse, it appears that Darwin assumed that these organs possessed reducibility. However, advances made in the field of biochemistry, especially over the last 40 years, have revealed that the cell possesses a superior complexity, the details of which were unknown in Darwin’s time, for which reason it was equated to a “black box,” and that certain structures within the cell actually possess the feature of “irreducible complexity.”

“Irreducible complexity” is a phenomenon based on empirical evidence and literally constitutes the antithesis of Darwin’s theory. The most important figure to bring this concept onto the agenda of the scientific world is the biochemist Michael J. Behe from Lehigh University in the USA. In his 1996 book Darwin’s Black Box: The Biochemical Challenge to Evolution Behe examines the irreducibly complex natures of the cell and certain other biological structures, and reveals that these cannot possibly be accounted for in terms of evolution. Behe sets out the effect that irreducible complexity has on the claims of Darwinism thus:

“To Darwin, the cell was a ‘black box’ — its inner workings were utterly mysterious to him. Now, the black box has been opened up and we know how it works. Applying Darwin’s test to the ultra-complex world of molecular machinery and cellular systems that have been discovered over the past 40 years, we can say that Darwin’s theory has ‘absolutely broken down’.” 3

Irreducible complexity has demolished Darwinism, and proved that life is the product of intelligent design, in other words that God has created all living things. The way that NG seeks to keep this from its readers constitutes a flight from reality.

NG’s biogeographical tales

In his article in NG, Quammen begins his account of the so-called evidence for Darwinism with biogeography, and it may be of use to provide a description of this concept at this point. Biogeography is a branch of science that investigates the geographical distribution of species and seeks an answer to the question of how they came by these habitat regions by drawing up maps of their locations on the Earth.

Most books in the field of biogeography are full of facts that say nothing, neither in favour nor against, the theory of evolution: such as maps of living species’ habitat areas, the features of those areas, questions regarding the spread of organisms, and the grouping together of species on the basis of geographical area … 4

When their distribution on the Earth is examined it can be seen that species do not generally exhibit a global distribution. Species have rather spread in large groups in areas possessing specific climatic and environmental conditions. Ever since Darwin, evolutionists have sought to portray this spread as evidence for evolution, though with regard to the “fundamental” living categories of geographical distribution their efforts have failed to come up with a consistent evolutionary scenario.

In their book Systematics and Biogeography, G. Nelson and N. Platnick of the New York American Museum of Natural History analysed the studies performed in this field and set out their conclusion:

We conclude, therefore, that biogeography (or geographical distribution of organisms) has not been shown to be evidence for or against evolution in any sense. 5

If evolutionists really wish to offer evidence for their theory then what they need to do is to abandon their fairy tales about “if this living thing is found here then it must have evolved here, and if that living thing is found there then it must have evolved there,” and instead scientifically document their own responses to the question of how living things came into being in the first place. (It is an indisputable fact that the mechanisms of random mutation and natural selection cannot account for the origin of species.)

The fact that evolutionist claims based on biogeography are myths devoid of any scientific evidence clearly emerge on inspection of NG’s claims about palaeontology. The fossil record clearly reveals that the idea that living things spread by evolving is a myth.

NG’s palaeontology deception

NG makes a generalisation about the fossil strata, telling its readers that so-called closely related species are generally found side by side in consecutive strata, and that a life form going back millions of years in one stratum is followed by a similar, though not identical, one in the subsequent stratum. As an example of this generalisation it cites the equine sequence that even evolutionists abandoned years ago; it maintains that the modern-day horse emerged at the end of the sequence Hyracotherium, Orohippus, Epihippus and Mohippus, fossils of which are found in consecutive strata.

What NG is doing here consists of a blatant deception. The equine sequence is an unfounded one, the invalidity of which has now been demonstrated. That being the case, putting it forward as a generalisation regarding the fossil record cannot be described as anything else than an attempt to verify that generalisation with a deceptive example.

Life forms emerged with no evolutionary progenitors, but in a single moment, and with flawless bodily structures

Darwin, who maintained that living things emerged through graduated evolution and who hoped that the fossil record to confirm that claim would be obtained in future excavations, was mistaken. The fossils obtained in endless excavations carried out by palaeontologists all over the world have produced findings that openly refute the idea of gradual change in consecutive strata. These facts concern the phenomena of sudden appearance and stasis.

Species emerge suddenly, with no evolutionary progenitors but with flawless bodily structures. In his 1999 book Fossils and Evolution, Tom Kemp, Curator of the Zoological Collections in Oxford University Museum of Natural History, admits this:

In virtually all cases a new taxon appears for the first time in the fossil record with most definitive features already present, and practically no known stem-group forms. 6

Fossils hundreds of millions of years old that bear no

trace of evolution invalidate neo-Darwinism

Furthermore, species exhibit no gradual change as suggested in the NG generalisation. Species with natural histories of hundreds of millions of years exhibit a “stability” demonstrating a permanency throughout geological strata. The shark, coelacanth, ant, salamander and many other species, fossils of which have been found and which have remained unchanged for hundreds of millions of years, have led to palaeontologists accepting stasis as one of the most striking aspects of the fossil record. This phenomenon refutes Darwinism’s prediction of gradual change and invalidates the theory. Professor of Geology Peter J. Williamson describes this in Nature magazine:

The principal problem is morphological stasis. A theory is only as good as its predictions, and conventional neo-Darwinism, which claims to be a comprehensive explanation of evolutionary process, has failed to predict the widespread long-term morphological stasis now recognized as one of the most striking aspects of the fossil record. 7

In short, NG’s claim of graduated change throughout geological strata is a myth supported in the face of the science of palaeontology. The way that NG seeks to support that myth with the equine sequence only makes matters worse.

The truth in the equine sequence that NG seeks to conceal from its readers

The equine sequence is based on various hoofed fossils unearthed in North America. Darwinists set these out in such a way as to establish a sequence, according to the fossils’ dental characteristics and numbers of toes, and for years put this forward as evidence for Darwinism. Continuing palaeontological excavations, however, definitively revealed the inconsistencies within that series. NG, known for its blind devotion to Darwinism, has no qualms about concealing this development from its readers and writing that the alleged evolutionary ancestors of the horse follow one another in consecutive geological strata.

Former BBC science editor Gordon Rattray Taylor describes how the equine sequence constitutes no evidence for Darwinism:

But perhaps the most serious weakness of Darwinism is the failure of paleontologists to find convincing phylogenies or sequences of organisms demonstrating major evolutionary change… The horse is often cited as the only fully worked-out example. But the fact is that the line from Eohippus to Equus is very erratic. It is alleged to show a continual increase in size, but the truth is that some variants were smaller than Eohippus, not larger. Specimens from different sources can be brought together in a convincing-looking sequence, but there is no evidence that they were actually ranged in this order in time. 8

At a meeting in November 1980 at the Chicago Museum of Natural History, attended by 150 evolutionists, one speaker, Boyce Rensberger, stated that there was no basis in the fossil record for the scenario of equine evolution, and that no gradual equine evolution ever took place:

The popularly told example of horse evolution, suggesting a gradual sequence of changes from four-toed fox-sized creatures living nearly 50 million years ago to today’s much larger one-toed horse, has long been known to be wrong. Instead of gradual change, fossils of each intermediate species appear fully distinct, persist unchanged, and then become extinct. Transitional forms are unknown. 9

Discoveries that living things included in the imaginary sequence of equine evolution actually lived at the same time, and even together, totally refute Quammen. One of the most striking examples of this came to light in 1981. Fossils of thousands of living things, 10 million years old, that had been buried under lava as the result of a volcanic eruption and whose skeletons had been preserved down to the present day, were dug up in the US state of Nebraska. With that discovery it emerged that three- and single-toed equines assumed to have lived at different periods and to have ancestral relationships with one another in the framework of evolutionists’ imaginary equine sequence, actually lived side by side. Interestingly the source of this information is NG magazine. 10

The myth of whale evolution

I can see no difficulty in a race of bears being rendered, by natural selection, more and more aquatic in their structure and habits, with larger and larger mouths, till a creature was produced as monstrous as a whale. 11

From watching bears fishing along a river bank, Darwin set out his ideas on the origin of whales in these words in his book The Origin of Species, though he elected to remove that section from subsequent editions of the book. Yet evolutionists who came after Darwin had no hesitation over adopting this myth, with various minor amendments, that came down as a monument to the unrestricted nature of his imagination. They continued to propagate the myth that the whale evolved not from the bear but from other land mammals, as if this were a scientific fact.

It can now be seen that NG, one of the main representatives of Darwinian mythology, is behaving no differently, and is seeking to portray this great myth, supported for the sake of the dogma of evolution, as representing evidence for evolution.

There are enormous differences, in terms of such basic physiological characteristics as water conservation, sight and communication, between whales and the land mammals alleged to have been their progenitors. Let us now consider the scientific dilemma facing the myth of evolution by examining the design in whales:

The special water conservation design in whales’ bodies

Although they live in water, whales are unable to meet their water requirements from salty sea water. They need fresh water to live. Although it is not known exactly how they meet their water needs, it is thought that a large part of it is obtained by eating sea creatures that contain levels of salt that are 30% lower than those of the ocean water.In such an environment, where fresh water is exceedingly scarce, the maximum conservation of water in living things’ bodies and minimum consumption thereof are critical. Water levels are of great importance to whales, for which reason, just like camels, whales do not perspire. Their kidneys regulate urine concentration in such a way as to supply water.

Why is whale milk fatty?

Another delicate balance with regard to water needs appears in the fat level in the female whale’s milk. The mother whale feeds her young with a very thick milk, of the consistency of cheese. This milk is ten times fattier than human milk. There is a chemical reason why this milk contains such a high level of fat. Water is produced as a side product as fat is processed after being consumed by the baby. In this way the mother meets her offspring’s need for water with minimal water loss.

The design in whales’ eyes

There are complex arrangements in the design of the whale eye and its communication systems, no examples of which are to be found in terrestrial mammals. Land mammals have eyelids to protect against dust and impact. Whales, on the other hand, have a hard layer to protect against a different danger, the pressure under the sea. Moreover, the refractive index in the design of the whale eye makes it possible for a killer whale to leap up and catch a fish six metres above the water level in an amusement park with considerable accuracy. In addition, whales’ eyes are on either side of the head, unlike terrestrial mammals, thus protecting them from the current. Thanks to the levels of rod and cone cells in the eye, their sensitivity levels to light, colour and other details are very high. In addition to that ratio, the presence of phosphorus in the eyes is a design that facilitates their ability to see in the dark depths of the oceans.

The mathematical calculation employed by whales

The sense used by whales in the location of sources of food and of one another is not actually sight, but rather hearing. Many whales hunt at the dark regions at the bottom of the sea thanks to a form of natural “sonar.” The whale’s brain emits clicking sounds, in a way not yet fully understood by scientists. The distance of an object is determined by means of a mathematical calculation. The whale brain multiplies the speed at which the sounds it emits strike an object and bounce back by the time necessary for this, and divides the result by two. The result is the distance of the object from itself. Furthermore, the whale also possesses the ability to focus the sound waves with its brain on a specific point and to emit these like a light impulse. The returning waves are analysed and interpreted in the animal’s brain. This interpretation determines the shape of the body in front of it, its size, speed and position. The animal’s skull is sound-proofed to protect it from the bombardment of powerful sound waves it constantly emits and which could even seriously damage the brain itself. The sonic system in the animal is unbelievably sensitive, so much so that the US Navy imitates the sonar design in sea mammals in developing its own technology. 12

Special designs for whale calves

The perfect designs in whales are by no means limited to these. The shape of a whale calf’s mouth has been designed in such a way as to be ideally suited to fit its mother’s teats, so that the calf is able to suckle without losing a drop of milk and without taking in a drop of sea water. Moreover, they possess lungs capable of storing high levels of oxygen for protracted dives and an ear membrane designed to protect them from high pressure.

These arrangements, every one of which indicates an evident design, are particular to whales and are not to be found in any terrestrial mammal. NG, however, expects it readers to set reason aside and believe that these all came about by chance. NG denies that whales were intelligently designed, maintaining instead that one fine day a land mammal decided to live in the sea, and that the whale evolved as the result of unconscious mechanisms such as random mutations and natural selection.

Yet what mutation could possibly produce sonar in a mammal that was allegedly the progenitor of the whale? Bearing in mind the effect of mutations and the importance of the brain to the whale’s survival, it is clear that mutations would damage the brain, crippling or killing the whale. Could the brain, that produces sound waves, be able to focus these on a particular point and determine the location of objects using a mathematical calculation, acquire a perfect sonar in an area that would be damaged during this random process? By what coincidence could it produce sonar of such a high quality that even the US Navy’s technology development units have been unable to match it? What mutations could turn a land mammal’s feet into fins and a tail capable of propelling several tons of weight?

There is no doubt that these questions may also be asked with regard to the systems that make it possible to use water so productively, the suckling system and the protective systems in the eye and ear. However, NG has no reasonable response to give to these questions. There is but one answer. Whales were created fully formed in a single moment. God created whales to be flawless, endowed with all the systems for their needs, just as He did all other living things. In one verse of the Qur’an it is revealed that:

Mankind! remember God’s blessing to you. Is there any creator other than God providing for you from heaven and earth? There is no god but Him. So how have you been perverted? (Qur’an, 35: 3)

(For a more detailed reply to NG’s fantastical whale story see http://www.harunyahya.com/70national_geographic_sci29.php)

NG’s error regarding embryology

Another error in Quammen’s article in NG is the repetition of a myth once known as the “law of recapitulation.” This belonged to the German biologist Ernst Haeckel and in his claim regarding embryology Darwin was to a large extent “inspired” by Haeckel. The law of recapitulation maintains that the embryological development of living things repeats the imaginary stages undergone during the descent of the alleged evolutionary ancestors.

The fact that Quammen devotes space to this in his article reveals a wide gap of knowledge on his part. Objections along the lines that Haeckel’s claims were devoid of any scientific justification and that the evidence he offered was forged began 136 years ago13, and the end of the law of recapitulation as the subject of scientific debate came as far back as 80 years ago 14. Even George Gaylord Simpson, one of the founders of neo-Darwinism, admitted this fact 42 years ago in the words:

Haeckel misstated the evolutionary principle involved. It is now firmly established that ontogeny does not repeat phylogeny. 15

Moreover, the myth of recapitulation, which NG has no qualms over recapitulating itself, involves what one British embryologist referred to in 1997 as “the best known fraud in the history of biology.” In his book Natürliche Schöpfungsgeschichte (The History of Natural Creation), written in 1868, Haeckel deliberately distorted the pictures of human, monkey and dog embryos in such a way as to support his claim.

One striking aspect of this fraud is that it also constitutes a “centennial monument” to Darwinist dogmatism. Until recently, a number of Darwinist sources, including text books, continued either to use the counterfeit drawings as they were, or else to repeat the myth of recapitulation. The Harvard University professor and evolutionist Stephen Jay Gould displayed great common sense and offered the following criticism:

… [W]e do, I think, have the right to be both astonished and ashamed by the century of mindless recycling that has led to the persistence of these drawings in a large number, if not a majority, of modern textbooks! 16

NG has not used counterfeit drawings. Yet it has no hesitations over using recapitulation, the invalidity of which emerged at least 80 years ago, as support for Darwinism.

We urge NG to consider Stephen Jay Gould’s words.

NG’s errors with regard to morphology

Quammen exhibits a most thought-provoking attitude in that section in which he deals with Darwin’s claims on the subject of morphology. The way that a zoo is organised into birds, monkeys, big cats, crocodiles or fish in the aquarium is interpreted as evidence for evolution. According to Quammen, the fact that living things can be classified under a hierarchical system in families, orders and kingdoms must be the product of an evolutionary process.

However, Quammen’s portrayal of hierarchical classification as evidence for evolution is nonsensical. That is because the fact that forms of life can be classified hierarchically is not a prediction first put forward by evolutionists and then subsequently confirmed. The Swedish scientist Carl Linnaeus, the father of the modern system of classification, was a scientist who believed in creation from nothing and regarded that classification as the product of intelligent design. That is compatible with what we see with our own eyes and is grounded in common sense. The ability to be hierarchically classified is a well known hallmark of intelligent design. Means of transport, for example, can be classified as land, air and sea vehicles, and may be broken down into subcategories and even smaller subgroups. Yet this classification does not show that the modes of transport in question came into being through evolution.

Indeed, in an article published in the magazine New Scientist, the prominent evolutionist Mark Ridley makes the following statement:

The simple fact that species can be classified hierarchically into genera, families, and so on, is not an argument for evolution. It is possible to classify any set of objects into a hierarchy whether their variation is evolutionary or not. 17

Quammen’s preconception

In the same way that what Quammen writes on this subject are far from supporting his claim, it also reveals how he relies on preconceptions rather than scientific evidence:

Such a pattern of tiered resemblances?groups of similar species nested within broader groupings, and all descending from a single source?isn’t naturally present among other collections of items. You won’t find anything equivalent if you try to categorize rocks, or musical instruments, or jewelry. Why not? Because rock types and styles of jewelry don’t reflect unbroken descent from common ancestors. Biological diversity does. The number of shared characteristics between any one species and another indicates how recently those two species have diverged from a shared lineage. (p. 13)

Quammen placed the hierarchical categorisation in living things in a separate place, on the grounds that it reflects a continual chain of descent from a common ancestor. That term, however, is helpless labelling in Quammen’s desperate attempts to prove Darwin right.

As is made clear above, there is no fossil record capable of being proposed as evidence of any evolutionary link between living categories. The words of the prominent evolutionary palaeontologist Stephen Jay Gould that “The evolutionary trees that adorn our textbooks have data only at the tips and nodes of their branches” are an admission of the fact that there is actually no evidence for the evolutionary links assumed to exist among living things. 18

In short, the origin of the evolutionary chain of descent that Quammen claims exists among living categories is not scientific fact such as the fossil record, but rather his own dogmatic mentality.

The five-digit skeletal structure error

Quammen maintains that the way that various vertebrates such as the bat, the dolphin and human beings all share the feature of having five digits stems from descent from a common ancestor. This claim rests on the fact that although there is the same basic plan in the front and rear legs of the living things in question, these can still be easily differentiated (the homological claim). This claim of Quammen’s can of course only deceive those readers who are unaware of the facts of modern science. Advances in the field of molecular biology definitively invalidate this morphology-based claim. One striking discovery that led to this is that the production of these organs, assumed to be a legacy from a common ancestor, is in fact controlled by different genes in different creatures.

The evolutionary biologist William Fix describes the collapse of the evolutionary thesis concerning pentadactylism (having five digits) in this area in the face of this discovery:

The older textbooks on evolution make much of the idea of homology, pointing out the obvious resemblances between the skeletons of the limbs of different animals. Thus the `pentadactyl’ limb pattern is found in the arm of a man, the wing of a bird, and flipper of a whale, and this is held to indicate their common origin. Now if these various structures were transmitted by the same gene couples, varied from time to time by mutations and acted upon by environmental selection, the theory would make good sense. Unfortunately this is not the case. Homologous organs are now known to be produced by totally different gene complexes in the different species. The concept of homology in terms of similar genes handed on from a common ancestor has broken down. 19

NG’s vestigial Darwinism

Quammen displays a striking determination not to grasp the fact that Darwin’s claims have been demolished by modern science. One of the indications of this is his repetition of the claim regarding vestigial organs, a claim which is utterly illusory. It is maintained in the article that organs such as the male nipple, structures claimed to be the vestiges of rear legs in certain snakes, or the covered wings in coleoptera that are not actually used, are redundant, functionless organs left over from the evolutionary process. Quammen is clearly ignoring the definitive results from scientific developments:

The list of up to 180 supposed vestigial organs at the beginning of the 20th century eventually shrank to almost none in the face of discoveries from scientific research. One by one it emerged that a great many organs, such as the appendix and the plica semilunaris, once supposed to be vestigial organs, do actually have functions.20 “Science” is in any case the process by which human beings come to know what was previously unknown. The gradual emergence of the functions of organs that were once regarded as vestigial shows that, logically, the functions of the last few remaining organs whose functions are still unknown will soon be revealed.

Indeed, a great many present-day evolutionists have admitted that the myth of “vestigial organs” is an argument rooted in ignorance. In an article headed “Do Vestigial Organs Represent Evidence for Evolution?” published in the journal Evolutionary Theory, the evolutionary biologist S. R. Scadding admits this fact:

Since it is not possible to unambiguously identify useless structures, and since the structure of the argument used is not scientifically valid, I conclude that ‘vestigial organs’ provide no special evidence for the theory of evolution. 21

Evolutionists’ claim on the subject of vestigial organs stem not from any vestigialism in these organs, but from the vestigial nature of their own perspectives. The existence of any living thing proves only the existence of God, its creator. The way that inanimate and unconscious atoms combine to produce a hearing, smelling, touching and seeing human being is proof of God’s flawless creation. That it is because it is impossible for atoms, which cannot smell, hear or see, to wish to have perception and to combine together for that purpose. For a collection of matter to stand and look at itself in front of a mirror, or for matter to taste and touch itself, has no place in evolutionary logic. These feelings can only be explained in terms of a superior creation, in other words the existence of God and His flawless creation. Despite this self-evident truth, evolutionists hold to the irrational and blind belief that they themselves are the product of matter and blind chance, which shows that their claim regarding vestigial organs is one based on this prejudiced and dogmatic perspective.

The realisation that the organs regarded by evolutionists as vestigial do actually have functions is a proof of this. For example, the structures portrayed as the vestiges of rear legs in certain species of snake are now known to help them to grip one another during mating. To regard the male nipple as the product of an evolutionary process also rests on a distorted logic. If the male nipple were a leftover from an evolutionary process then males must have evolved from a population consisting solely of females, which is a scenario so unimaginable that no evolutionist has felt able to accept it. Coleoptera, another example cited by Quammen, also constitute no evidence for evolution. Insect species which do not develop a functional wing are generally seen in open habitats with strong winds, such as ocean islands. In an environment where strong winds blow and surrounded by large masses of water, insects’ being able to fly is by no means an advantage, and may even represent a danger. That is because insects flying in the air are exposed to the effects of the wind and can be hurled into trees or rocks, ending up crippled or dead. There may, therefore, have been a tendency for them to move towards a ground-based lifestyle. Over time, the insect population that lives near the ground comes to consist of individuals that do not develop fully fledged wings. That is because, unlike flying insects, mutations that prevent insects that live near to ground level developing wings may not be damaging to the insect (on the provision that they do not cause a total interruption in its physiology).

A mutation that prevented wing development in a flying insect living in a habitat uninfluenced by winds would be harmful and maybe even lethal. That is because normally an insect that uses its wings to feed and to avoid predators would possess functionless wings because of that mutation and would be unable to survive and thus eliminated from the population.

On the other hand, in insects living in a habitat affected by winds and that used their feet to move about in the same way as non-flying insects, a mutation in the wings might not have lethal consequences. That is because the insect will already have grown accustomed to a life style in which it does not use wings, and it will make no difference whether its wings are healthy or else lose their function due to mutation (as long as the mutation in question is not one that affects the insect’s general physiology). In short, a destructive mutation leading to the loss of an insect’s wings may not be lethal in an environment where wings are in any case of no consequence.

However, it cannot be said that the coleoptera that are assumed to have undergone such a process represent evidence of evolution. The theory of evolution proposes that organs gradually assume a more complex form. The genetic change proposed in support of this claim must be of such a kind as to add new genetic information to creatures’ DNA. It is evident, however, that coleoptera do not gain any new genetic information during this process and that, on the contrary, they suffer a loss of information in the genes that control wing development.

Can this acquisition of genetic information, which is not seen in coleoptera, be observed in any other living thing? Definitely not. Evolutionists have been unable to show the emergence of a new organ, or even a new protein, by means of random mutations.

In short, the theory of evolution maintains that living things acquire new organs with the addition of new genetic information to their DNA, but the vestigial organ argument is one that concerns a loss of function, in other words a loss of genetic data. Therefore, vestigial organs provide no scientific support for the theory of evolution. The reason for evolutionists’ determination to place this claim on the scientific agenda is psychological rather than scientific. Their display of blind devotion to materialism leads them to adopt a vestigial perspective towards the evident truth of creation. (You can read Harun Yahya’s article that demolishes evolutionists’ vestigial viewpoint here. http://www.darwinism-watch.com/hurriyet_science0407.php)

James P. Gills, M.D., founder of St. Luke’s Cataract and Laser Institute in Tarpon Springs, Florida, is a creationist scientist. He is also a world-renowned ophthalmologist. In his book Darwinism Under the Microscope, Gills cites a great many proofs of creation that totally undermine evolution, and writes that the only reason why scientists still insist on evolution is the spiritual cataract of thinking of themselves as the product of blind chance. 22

The error of thinking that resistance to antibiotics and DDT is evidence of evolution

The NG article seeks to show that bacterial immunity to antibiotics and insects’ resistance to such pesticides as DDT constitutes evidence for evolution. On the subject of the resistance that microbes appear to develop to drugs Quammen confidently states:

There’s no better or more immediate evidence supporting the Darwinian theory than this process of forced transformation among our inimical germs. (p. 21)

However, Quammen’s excitement in portraying bacterial immunity as evidence for evolution is totally misplaced. It is explained below why these two phenomena do not represent evidence for Darwinism.

The first of the “deadly molecules” employed against micro-organisms was penicillin, discovered by Alexander Fleming in 1928. Fleming discovered a molecule that killed the Staphylococcus mould bacterium, after which antibiotics taken from micro-organisms were used against various bacteria. Although it appeared at first that definitive results had been obtained, the truth later emerged: bacteria gradually acquire resistance to antibiotics. The great majority of bacteria exposed to antibiotics die, but since a small minority remain unaffected this rapidly multiply and eventually come to constitute the entire population. Thus the entire population becomes resistant to the antibiotic.

However, there is no question of bacteria developing through mutation here, because the bacteria already possess the characteristics in question before being exposed to antibiotics. Despite being an evolutionist publication, Scientific American magazine admitted these facts in its March 1998 edition:

Many bacteria possessed resistance genes even before commercial antibiotics came into use. Scientists do not know exactly why these genes evolved and were maintained. 23

Insects acquire resistance to pesticides such as DDT in the same way, and, again in the same way, this represents no evidence for evolution.

The prominent evolutionary biologist Francisco Ayala accepts the truth of this in the words:

The genetic variants required for resistance to the most diverse kinds of pesticides were apparently present in every one of the populations exposed to these man-made compounds. 24

One of those to carry out the most detailed research on this subject is the Israeli biophysicist Dr. Lee Spetner. In his book Not by Chance, published in 1997, Spetner showed that bacterial immunity is brought about by two different mechanisms, but that these offer no support for the theory of evolution. For more detail on this subject see http://www.harunyahya.com/20questions05.php#q19 and http://www.darwinismrefuted.com/embryology_01.html)

Another so-called piece of evidence in the NG article, in addition to the resistance in bacteria and insects, concerns genetic similarities.

The deception that evolution can be observed

NG claims that evolution can actually be witnessed in nature and in the laboratory. This, however, is a fantastical and groundless claim. In an article titled “How Are New Species Formed?” published in the 14 June, 2003, edition of New Scientist, George Turner made the following significant “admission”:

Not long ago, we thought we knew how species formed. We believed that the process almost always started with complete isolation of populations. It often occurred after a population had gone through a severe “genetic bottleneck,” as might happen after a pregnant female was swept off to a remote island and her offspring mated with each other. The beauty of this so-called “founder effect” model was that it could be tested in the lab. In reality, it just didn’t hold up. Despite evolutionary biologists’ best efforts, nobody has even got close to creating a new species from a founder population. What’s more, as far as we know, no new species has formed as a result of humans releasing small numbers of organisms into alien environments. 25

As we have seen, evolutionists do not actually know how new species are formed. In other words, Quammen’s claim about being able to witness evolution in action is totally unfounded. The fact that the long years of study carried out by the Grants into chaffinch beak lengths on the Galapagos islands is cited in support is the result of Darwinism misrepresenting variations to represent evidence for itself. (For further information, see http://www.harunyahya.com/nas04.php)

Conclusion

As we have seen, Darwin was wrong. National Geographic’s posing the question whether he was wrong is as ridiculous as asking “Was Freud wrong?” or “Was Marx wrong?” That is because, like Freudianism and Marxism, Darwinism is a theory that has come to the end of its life. We call upon NG magazine to abandon its support for this outdated myth and to accept that creation is the true origin of life.

What NG needs to do is to set its preconceptions to one side and cease supporting Darwinism as a dogma, and to face up to the scientific evidence that undermines this theory. Discoveries in the last 40 years in particular have definitively revealed the invalidity of the naturalist philosophy at the heart of Darwinism. If NG does face up to that fact it will see that the organised complexity of life and the genetic information on which it depends point to intelligent design, in other words that life did not evolve on its own through chance and natural events, but was “created.”

NG – and all other Darwinists – have so far avoided facing up to this, and may therefore have resorted to covering up the difficulties facing their theory. Yet they must be aware that this avoidance will be of no use in keeping their theory alive. That is because a major development in the world of science is serving notice that the age of sweeping matters under the carpet has come to an end.

The way that the intelligent design movement, that has been sweeping through the USA over the last 10 years, has one by one unmasked the dogmas of Darwinism, has made it the focus of wide interest. The intellectual basis of this movement is the “Theory of Intelligent Design.” The theory in question maintains that complex biological structures containing large amounts of information can only be explained in terms of intelligence-based causes, and that these causes can be empirically studied in the field of biology. 26

One indication that the intelligent design movement may represent the dynamic for major cultural changes is the way it is effectively and in a widespread manner revealing that the evidence for so long taught as evidence for Darwinism in schools actually consists of mythology, deception, misrepresentation and even fraud. California Berkeley University’s Professor Phillip E. Johnson, the leader of the movement, stresses that Darwinism will pass into the dustbin of history sometime in this century. 27

It will be of use here to remind NG of the damage from a determined persistence in its policy of uncritical defence of Darwinism. It will be remembered that NG announced the discovery of the Archaeoraptor fossil discovered in China as definitive proof that birds evolved from dinosaurs, without waiting for it to be described in referred scientific journals. Later, however, it was realised that the fossil did not represent a missing link at all, but was a counterfeit “produced” by a Chinese peasant.26 Because of its blind devotion to Darwinism NG had no hesitation in embracing this fossil as “proof” by unscientific methods, and later found itself in “modern paleontology’s greatest embarrassment.” 29

According to the ornithologist Dr. Storrs Olson, “National Geographic has reached an all-time low for engaging in sensationalistic, unsubstantiated, tabloid journalism.” 30

The portrayal of the claim of recapitulation, which died at least 80 years ago, as evidence for evolution in NG’s article “Was Darwin Wrong” shows that it is devoid of the seriousness required by science and is continuing with its “unsubstantiated, tabloid journalism.” NG is not behaving intelligently. Maintaining this approach does not provide any support for Darwinism. On the contrary, NG is documenting its own dogmatism in an ever more obvious way.

We invite NG to consider these points and to accept that creation is the true origin of life.

There is no doubt that the Lord of all living things, on Earth, in the Sky, and between, is God. In one verse of the Qur’an God reveals that:

Your God is One God. There is no god but Him, the All-Merciful, the Most Merciful. (Qur’an, 2: 163)

Under the pen name of Harun Yahya, Adnan Oktar has written some 250 works. His books contain a total of 46,000 pages and 31,500 illustrations. Of these books, 7,000 pages and 6,000 illustrations deal with the collapse of the Theory of Evolution. You can read, free of charge, all the books Adnan Oktar has written under the pen name Harun Yahya on these websites www.harunyahya.com

1. Charles Darwin, The Origin of Species by Means of Natural Selection, or the Preservation of Favoured Races in the Struggle for Life, Electronic Text Center, University of Virginia Library.

2. Charles Darwin, The Origin of Species: A Facsimile of the First Edition, Harvard University Press, 1964, p. 189.

3. Michael Behe, Darwin’s Black Box, 1996

4. For more information about the evolutionist theses on biogeography, please see Walter J. Remine, “The Biotic Message: Evolution Versus Message Theory”, Saint Paul Science; 1st ed edition, 1993. page 538.

5. G. Nelson & N. Platnick, Systematics and Biogeography: Cladistics and Vicariance, Columbia University Press, 1981, p. 223.

6. Fossils and Evolution, Dr TS Kemp – Curator of Zoological Collections, Oxford University, Oxford University Press, 1999, p. 246.

7. Peter G. Williamson, “Morphological stasis and developmental constraint: real problems for neo-Darwinism,” Nature, vol. 294, 19 November 1981, p. 214; Stephen E. Jones, http://members.iinet.net.au/~sejones/

8. Gordon Rattray Taylor, The Great Evolution Mystery, Abacus, Sphere Books, London, 1984, p. 230.

9. Boyce Rensberger, Houston Chronicle, November 5, 1980, p. 15.

10. Voorhies M.R., “Ancient Ashfall Creates a Pompei of Prehistoric Animals,” National Geographic, Vol. 159, No. 1, January 1981, pp.67-68,74 ; “Horse Find Defies Evolution” Creation Ex Nihilo 5(3):15, January 1983, http://www.answersingenesis.org/docs/3723.asp

11. Charles Darwin, On the Origin of Species: A Facsimile of the First Edition, Harvard University Press, 1964, p. 184.

12. Spotting Mines With Dolphin Sonar , ScienceNOW 1998: 2

13 L. Rutimeyer, “Referate,” Archiv fur Anthropologie, 1868

14 Keith S. Thompson, “Ontogeny and Phylogeny Recapitulated”, American Scientist, vol. 76, May / June 1988, p. 273

15 G. G. Simpson, W. Beck, An Introduction to Biology, Harcourt Brace and World, New York, 1965, p. 241.

16 Stephen Jay Gould, “Abscheulich! – Atrocious! – the precursor to the theory of natural selection,” Natural History, March 2000, p. 45.

17 Mark Ridley, “Who Doubts Evolution?” New Scientist, vol. 90 (25 June 1981), p. 832.

18 Gould S.J, “Evolution’s Erratic Pace,” Natural History, May 1977, p. 13-14.

19 William Fix, The Bone Peddlers: Selling Evolution, Macmillan Publishing Co., New York, 1984, p. 189.

20 J. Bergman & G. Howe, Vestigial Organs are Fully Functional, CRS Books, Terre Haute, IN, 1990.

21 S. R. Scadding, “Do ‘Vestigial Organs’ Provide Evidence for Evolution?,” Evolutionary Theory, vol. 5, May 1981, p. 173.

22 James P.Gills, M.D. & Thomas Woodward, Ph.D., Darwinism under the Microscope, Charisma House, 2002, p. 39.

23 Stuart B. Levy, “The Challenge of Antibiotic Resistance,” Scientific American, March 1998, p. 35

24 Francisco J.Ayala, “The Mechanisms of Evolution,” Scientific American, vol. 239, September 1978, p. 64

25 George Turner, “How Are New Species Formed?,” New Scientist, vol. 178, issue 2399, 14 June 2003, p. 36

26 http://www.arn.org , http://www.discovery.org/csc/

27 Phillip E. Johnson, “Mothballed Science,” Touchstone Magazine, December 2003

28 For more information about Archaeoraptor forgery, please see http://www.harunyahya.com/20questions03.php#q7

29 Tim Friend, “The ‘missing link’ fossil that wasn’t”, USA Today, 02/01/2000

30 Open Letter to National Geographic Society by Storrs L. Olson, Curator of Birds, National Museum of Natural History, Smithsonian Institution

ABOUT THE AUTHOR, HARUN YAHYA

Born in Ankara in 1956, Adnan Oktar writes his books under the pen name of Harun Yahya. Ever since his university years, he has dedicated his life to telling of the existence and oneness of Almighty Allah, and to disseminating the moral values of the Qur’an. He has never wavered in the face of difficulties and despite oppression, still continues this intellectual struggle today exhibiting great patience and determination. For mor information pls visit: http://www.harunyahya.com/theauthor.php

Interview: Jim Rogers on Currencies and Inflation

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The Hera Research Newsletter (HRN) is pleased to present the following exclusive interview with legendary international investor, best selling author, adventurer and family man Jim Rogers, Chairman of Rogers Holdings and founder of the Rogers International Commodity Index (RICI). Jim Rogers’ commentaries on economics and finance have been featured in Time, The Washington Post, The New York Times …

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Research and Markets: India LCD TV Market – Growth Opportunities

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Group Genius: Everyone Can be More Creative – But not Alone

Insights for Individuals and aspiring inventors:

- All of us have the potential to be more creative; we just need to learn the secrets of group genius.

- One does not succeed by luck or being blessed with a rare good idea.

- Success comes through many small sparks and by drawing on collaboration over time.

- Collaboration exposes one to new and unexpected ideas, making it more likely the mind will engage in the richest types of conceptual creativity — combining distant concepts, elaborating concepts by modifying their core features, and creating new concepts.

Role of Conversation:

- Conversation is the driver of group genius.

- Conversation generates innovation if the “Yes, and” approach is used – we accept the other person’s suggestion and build on it further.

Insights for Organizations:

- The failure of many organizations to encourage collaboration explains why improvisers who seek group flow (a particular state of heightened consciousness) often avoid large companies, and instead join small start-ups or work for themselves.

- Organizations which encourage improvisational teams innovate more effectively.  Most innovative teams spend less time planning and more time acting — instead of planning, they improvise.

- The leader of a collaborative team has to establish a relaxed environment within which group genius is more likely to happen.  This is in contrast to the traditional view of the team manager who breaks down a given task, keeps everyone on schedule, and coordinates the team members, thereby stifling Group Genius.

Collaborative Webs:

- To be successful and realize our full creative potential, we must move beyond the linear creativity mindset and tap into the power of collaborative webs.

- We must shift away from an ownership mentality to a collaborative approach in which managers allow innovation to emerge from a web that includes their company, their customers, their suppliers, other key business partners and even their competitors.</li></ul>I recently had an opportunity to ask Dr. Sawyer about some of the interesting ideas and observations he included in his book.

Vern Burkhardt (VB): Your book is devoted to describing Group Genius.  If you were describing this concept to someone who had not read your book, what would you say?

<img src=”http://www.ideaconnection.com/articles/images/keith-sawyer.jpg” align=left alt=”Keith Sawyer” border=0 style=”margin:0 15px 3px 0″>Dr. Sawyer:
We often think that creativity is reserved for special people, the “creatives” or geniuses who somehow have better ideas than the rest of us.  But this belief in the lone genius is a myth—especially today, when successful innovation is always based in collaboration and in social networks.  All of us can tap into the power of collaboration to enhance our own creativity, and my book shows us how.

VB: In your book you state that there is a link between group flow and creativity, especially at work.  And yet in many work environments there are inherent impediments to creativity such as tight deadlines, long hours, and too much time spent in the planning stage rather than moving to executing.  Why do you think that so many organizations have not realized that creativity is a key to their survival and therefore made some fundamental and necessary changes to encourage innovation? 

Dr. Sawyer:
Group flow is a state of peak performance that groups reach, when the members blend together just right, and the environment allows a certain kind of focus and concentration on the work.  Having a strong vision and shared goals makes group flow more likely.  Groups that are in flow often work longer hours, but it’s because they are having such a great time, not because they’re being forced to work hard to meet a tight deadline.

To become more innovative, companies have to implement some very difficult organizational changes.  One of the most difficult is to realize that innovation can’t be managed in the traditional top-down manner; there’s always an important element of improvisation, unexpected developments, failures and dead ends, so that the best ideas emerge from the bottom up.  And managers are trained to stay in control and to always know what is going on.

VB: You give numerous examples to support the myth of the lone genius of historical inventors, and that the truth is always a story of group genius.  What do you think are the lessons for people who want to make their living by generating new ideas and inventions?

Dr. Sawyer:
If your goal is to be a traditional solitary inventor, who comes up with patentable new ideas and then licenses them to companies that will make them, I think that model is fading away.  The last time that model dominated innovation was the early 19th century.  The big shift away from the “lone inventor” model was Thomas Edison, who innovated by creating the first modern research lab, hiring lots of experts, and combining them in effective teams.  (The people who worked in Edison’s lab, those who came up with most of the ideas that we now credit to Edison, were quoted as saying “Edison wasn’t really that good of an inventor.”)  Most innovations today originate in collaborative teams.

I always say that the best way to have good ideas is to collaborate constantly.  You have to talk to people every day, and make sure they come from a broad range of backgrounds.  The best way to be more creative is to join together with others, in the kinds of teams that I described in my book.

VB: In describing the seven characteristics of creative teams you state that successful collaborative teams practice “deep listening”.  What do you mean by that and how can one learn to do deep listening?  

Dr. Sawyer:
Deep listening is a concept that I first heard about from improv theater actors.  What most of us do in conversation is that we listen only half way, because we’re already thinking about what we want to say next.  But if you do that in an improv theater performance, nothing new and original will ever emerge.  New ideas emerge from conversation when each person’s response is a direct elaboration of what just came before; and, you can’t really know what will be the best thing to say until you fully heard what was just spoken.

VB: You state that collaborative conversation accelerates the innovation process because the sparks happen in real time.  Since this is the driver of group genius what are some practical steps an organization can take to encourage this type of conversation? 

Dr. Sawyer:
Many companies are doing this right now. One key piece of advice is to create environments that foster spontaneous, unplanned encounters.  Office furniture companies like Steelcase and Herman Miller are way out in front on this, and they’ve custom-designed new floor layouts that are designed to foster these creative conversations: by, for example, designing an office floor using a hub-and-spoke layout, where the hubs are spaces for meeting and getting coffee and the spokes are the walkways.  The intent of this layout is that anytime you need to walk somewhere, you have to pass through one or more hubs, increasing the chance that you’ll bump into someone.  Google has a famously large sweeping staircase, and has installed wall outlets all the way up the staircase just to encourage people to sit on the steps with their laptops, so that they’ll have more encounters with the other folks who are going up and down the stairs.

VB: Perhaps related to the previous question, could you explain what you meant when you stated in your book that creative people have their most significant insights while in a flow state and that the most common place people experience flow is in conversation with others?

Dr. Sawyer:
That’s from research by Professor Mike Csikszentmihalyi, the psychologist who coined the term “flow” to refer to a state of peak experience, when you’re fully focused on the task and you lose track of time. The most creative people love their work, and they do it because it helps them attain this flow state.  Csikszentmihalyi has done a lot of experimental and observation study of the flow state; and when he interviewed people about flow at work, they ranked “conversation with others” as the most common situation where flow occurred.

VB: You say in <i>Group Genius</i> that it’s a law of innovation that successes cannot go up unless failures go up, and therefore there is a need to create an organizational culture that cherishes failure.  How can we best go about “cherishing failure”?

Dr. Sawyer:
This is a tough issue!  No one likes failure.  But the law I refer to says that successful ideas are correlated with the sheer number of ideas, and that no more than one in ten ideas result in a successful product or service.  Some companies actually have a “museum of failure”—like Alessi, the Italian design company, and IDEO, the Silicon Valley design firm.

VB: How would you recommend a Chief Executive Officer, or perhaps better still a group of motivated employees, promote the right culture and values to make an organization collaborative?

Dr. Sawyer:
I wrote my book to answer this question, so I’m not sure I can give a short version!  There’s a lot that has to be done, and it has to start at the top of the organization—only the CEO can foster a culture of openness, communication, expectation for innovative effort, and acceptance of failure.

VB: You make a strong case for the death of “brainstorming” as a way to encourage creativity in groups, and yet it seems to persist in many organizations today.  Why do such myths persist in organizations?

Dr. Sawyer:

In my book, I talk about “the illusion of group effectiveness”—brainstorming groups always think they’ve been creative.  The myth persists because most managers don’t know the research about effectiveness in groups.  I’ve been teaching a full-day seminar at our school of business, “Leading Innovative Teams,” to help managers understand how to get their teams to collaborate effectively.

VB: You observe that innovative companies reach out to their customers, and they also reach out to other businesses — even their competitors — to build collaborative relationships that lead to innovation.  Despite the numerous examples of companies that have successfully followed this model, does this seem to be a paradox? 

Dr. Sawyer:
Only certain kinds of collaborative partnerships work, and they have to be very carefully structured.  Our overall economy benefits from this kind of network, even when specific individual companies fail, as long as the ideas and the expertise flow forward to other organizations.

VB: Some large organizations have implemented expensive and complex Customer Relationship Management systems and processes in order to improve customer service and presumably increase profits.  In your book you say that the way to collaborate with customers is to foster links up and down the organization; not to channel customers through a sales contact or the customer service desk.  Does that argue against the “traditional” CRM model?

Dr. Sawyer:

I think it does, to some extent.  Cisco is one company doing something different, as I describe in my book…it’s a very different way of doing business.  For Cisco, it might work only because their customers are other businesses…I’m not sure if it would work if your customers are millions of regular consumers.  But some companies are finding success by opening up to a small subset of customers, the “lead users” who just love your product and know a lot about it.

VB: You said in your book that you spent two years in the 1990s performing with and collecting video tapes of many jazz and theatre groups, then spent the next 10 years studying these collaborations.  You analyzed this data and examined a large number of case studies in the business world.  Did you draw any conclusions about the ability of group genius along with its related creativity to solve many of the world’s social, economic and political problems?

Dr. Sawyer:
The complex problems that we face today can only be solved by working together.  The pace of innovation has increased, largely because of new technologies that enable greater and more frequent collaborations (telephone, email, inexpensive jet travel, Internet), resulting in a higher standard of living and growth in our economy.  I believe that we can channel the power of collaboration to solve pressing social and political issues, as well.

Conclusion:
In his book Dr. Sawyer provides many practical ideas on how to establish and foster a creative group.  For example, keep the number in the group to the minimum number required in order to avoid “social loafing”, use a skilled facilitator, put in place group rewards, alternate work with frequent breaks, switch between group and individual activities, and include people with complementary skills who enjoy group interaction.

As the business environment becomes more competitive and unpredictable and with rapid technological change, improvised innovation will become more and more important.  The successful organization of the future will run on group genius.  Dr. Keith Sawyer concludes his book with “I hope this book contributes, as one small spark, to helping humanity attain its true creative potential”.  It does, if we will listen.

Keith Sawyer’s book <i>Group Genius</i> was published by Basic Books in 2007 and can be purchased from Borders and Barnes & Noble, and from <a rel=”nofollow” onclick=”javascript:pageTracker._trackPageview(‘/outgoing/article_exit_link’);” href=http://www.ideaconnection.com/books/5-Group-Genius-The-Creative-Power-of-Collaboration.html target=_blank>Amazon.com</a>.  For additional information go to this <a rel=”nofollow” onclick=”javascript:pageTracker._trackPageview(‘/outgoing/article_exit_link’);” href=http://www.groupgenius.net target=_blank>website</a>.

Vern Burkhardt specializes in interviewing authors involved in creativity and innovation for IdeaConnection.com

A Bankers’ Economy

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William Cohan claims that “Banking has always been an elaborate confidence game. . . .” And the history of central banking provides ample evidence that his claim is true. Six decades ago, the U.S. Treasury wanted to shut down the Bank for International Settlements (BIS), saying it helped finance the Nazis during World War II. It handled gold looted by the Nazis and transferred Czechoslovakian gold to Germany after the Nazi invasion in 1939 during which Czech officials were held at gunpoint as they placed the order. U.S. Treasury Secretary Henry Morgenthau tried to shut down the bank at the 1944 Bretton Woods conference. Today, Jean-Claude Trichet and Ben S. Bernanke are transforming the organization into one of the world’s most powerful networking clubs.

Central banking developed into a far-reaching plan which has been described by Georgetown Professor Carroll Quigley like this: “to create a world system of financial control in private hands able to dominate the political system of each country and the economy of the world as a whole. This system was to be controlled in a feudalist fashion by the central banks of the world acting in concert, by secret agreements arrived at in frequent meetings and conferences. The apex of the system was to be the Bank for International Settlements in Basel, Switzerland, a private bank owned and controlled by the world’s central banks which were themselves private corporations. Each central bank . . . sought to dominate its government by its ability to control Treasury loans, to manipulate foreign exchanges, to influence the levels of economic activity in the country, and to influence cooperative politicians by subsequent economic rewards in the business world.”

Several short-lived attempts to impose the central banking scheme on the United States were defeated by the patriotic efforts of Presidents Madison, Jefferson, Jackson, Van Buren and Lincoln. But with the passage of the Federal Reserve Act of 1913, America yielded.

Few Americans know that the FED is a privately-held institution owned, operated, and managed by the nation’s banks. Its major concern, as is true of all private institutions, is the welfare of its owners. FED publications rarely inform readers of the FED’s ownership. To do so would expose its “elaborate confidence game.” This confidence game is inherent in remarks made by Richard W. Fisher, President and CEO of the Federal Reserve Bank of Dallas in an interview published in the Dallas Morning News.

Mr. Fisher’s biography is revealing. He attended the United States Naval Academy in Annapolis, but apparently didn’t graduate, before transferring to Harvard University where he earned a bachelor’s degree in economics. He then engaged in Latin American studies at Oxford University, again apparently without acquiring a degree, and then earned an M.B.A. at Stanford University. He joined Brown Brothers, Harriman and Company, a private banking firm, where he was assistant to former Undersecretary of the Treasury Robert V Roosa. He then served as Special Assistant to Secretary W. Michael Blumenthal at the United States Department of the Treasury before returning to Brown Brothers and established and managed the bank’s Dallas-based Texas operations. In 1987, Fisher created Fisher Capital Management, and a separate funds-management firm, Fisher Ewing Partners, managing both firms until 1997. In 1993, he was a candidate for the U.S. Senate but took fifth place. The following year, he was a candidate for the same U.S. Senate seat but again lost. From 1997 to 2001, he served as Deputy U.S. Trade Representative, serving under U.S. Trade Representative Charlene Barshefsky, where he was responsible for the implementation of NAFTA, and negotiating a variety of trade agreements, including the bilateral accords admitting both the People’s Republic of China and Taiwan to the World Trade Organization. From 2001 to 2005, he served as Vice Chairman of Kissinger McLarty Associates, a strategic advisory firm headed by former U.S. Secretary of State Henry Kissinger and former White House Chief of Staff Mack McLarty. He left the firm in April, 2005, when he was appointed President of the Federal Reserve Bank of Dallas.

Although his political connections are obviously very extensive, he could not get elected and now has the non-responsible power to cast his vote on issues of crucial importance concerning the American economy. Since the FED never has to take responsibility for its actions, being a member of the FED’s Board of Directors is a cushy, high-paid job in which he can be an advocate for his favorite special interests—banking, global finance, and “free trade.” As such, he fits in perfectly with Professor Quigley’s description cited above.

In his interview, Mr. Fisher reveals his lack of critical reasoning ability, inhumanistic biases, and spotty education. He say, for instance, that “Capitalism wasn’t designed to be stable, and we forget that too often. . . . That’s just the price we pay for a system that works better than anyone else’s.”

Well, I don’t know who he thinks “designed” Capitalism, but if is was Adam Smith, I’d like Mr. Fisher to cite any passage in the Wealth of Nations that states or even implies that view. Given that Mr. Fisher’s education in economics was acquired as an undergraduate, I doubt that the Wealth of Nations was even on his reading list. And yes, American Capitalism is “a system that works better than anyone else’s” but better at what? It is not better at providing health-care, it is not better at providing security to the elderly, it is not better at providing a modern, efficient infrastructure, it is not better at providing internet service even though the internet was invented in America. It is not better at providing an efficient transportation system; it is not better at eliminating poverty nor even of providing a culture of law-abiding citizens. It is not better at providing a just legal system or an effective educational system. So just what is it better at? Two things: a plethora of products and services most of which do not work as advertised and many of which don’t work at all, and a means for a small group of people to amass huge amounts of money, especially bankers.

Mr. Fisher’s comments about the Texas economy are curious at best. He says, “We’re the one shining star in the United States.” And “the benefit of being in Texas is we will have positive employment growth, somewhere between 1 1/2 and 2 percent. We didn’t have an over-priced housing stock. We benefit from significant immigration, not just from across the border, but from foreign countries [sic] (perhaps a typesetter’s error) like California and Florida.”

But Mr. Fisher has his head in the sand. The Texas economy has never been prosperous. In fact, the advantages Mr. Fisher cites are the result of its lack of prosperity. The reason “we didn’t have an over-priced housing stock” is that Texans didn’t have the money to support a run-up in housing prices. And if Mr. Fisher passed his statistics courses, he surely knows that employment numbers are absolutely meaningless by themselves. The very week Mr. Fisher’s interview was published, the Dallas Morning News published two stories about employment that were contradictory. One cited employment growth, the other unemployment growth. The only sane conclusion that can be draws from those pieces is that the numbers used are bogus. Of course, it is well-known that all economic numbers are bogus. The CPI is a cruel joke; so many versions of it exist that it can be cited to support almost any viewpoint. The GNP includes what a Harvard economist has called “phantom” numbers, and the employment numbers have never made any logical sense, since they render a large group of employable aged people neither employed nor unemployed. That employment growth is a meaningless number when cited by itself, consider this simple example. Suppose 12 jobs were gained and 10 lost. That gives an employment growth of two jobs. But now suppose two of the ten jobs lost paid $80,000, three paid $60,000, four paid $50,000, and one paid $40,000. The income lost comes to $580,000. Now consider the twelve jobs gained. Suppose eight paid $40,000 and two paid $50,000. The income gained comes to $420,000. So income would have declined by $160,000. That does not look like an improvement to me; people pay for things with income, not jobs.

But because Mr. Fisher is a one-consequence thinker, he misses the connection between what he praises about the Texas economy and what he laments about it. The Texas political climate fosters anti-labor and low-wage policies. But the state gets its revenue from a consumption tax, which means that since wages are low, consumption is minimal. This results in under-funded state services, one of which is public education. So when he writes that, “It worries me terribly that there’s only one Texas educational institution in the top 25 in America, and that’s Rice in Houston. . . . The economy is brain-driven in America. And the way brains develop is through education.” Rice University, of course, is a privately funded university; its activities do not depend upon state funding. Secondly, it is not required to enroll a fixed percentage of graduates from the state’s public schools. The other best known Texas universities are public institutions, and Mr. Fisher fails to see that a great university cannot be built on the backs of poorly prepared students. Undergraduate and graduate studies cannot be disassociated. It is difficult to lure the most talented graduate students to a university whose student body is poorly prepared, because graduate students shoulder the burden of undergraduate teaching so that their professors can devote their time to research and graduate-level teaching. Highly prestigious professors can’t be lured to institutions lacking highly talented graduate students, so what Mr. Fisher laments about Texas is the result of those so-called business friendly policies put in place by the legislature that I suspect Mr. Fisher supports. There problem with single consequence thinkers is that they cannot connect causal chains; they don’t understand the distinction between proximate and ultimate causes. The low quality of Texas universities may be a proximate cause of poor economic activity, but the ultimate cause is the practice of fostering ineffective, business-friendly employment policies.

Mr. Fisher also laments the nation’s commitment to Medicare. Would he then advocate that we merely allow people to suffer and die prematurely? If the nation merely kills-off the sick among us, Medicare would cost nothing at all. But Mr. Fisher’s worry about the nation’s long-term Medicare liability is misplaced anyhow. He says, “We have committed ourselves to do something for which there is a lack of $85.6 trillion in funds, which we’ll have to find somewhere. To me, that is the greatest threat facing America and our overall stability.” But this cited number is based on some projection, and every projection is derived from a set of assumptions. Anyone with even a modicum of mathematical knowledge can show how the number can be changed by changing some or all of them. Mr. Fisher’s chicken-little fears are the result of pure speculation. There are numerous ways of making the costs of Medicare manageable; every other developed nation has done it. The only reason it can’t be done in America is the hide-bound thinking of people like Mr. Fisher.

But in the end, the problem is really banker-think, which Mr. Fisher describes very nicely but inaccurately: “When the return on money gets low, people take higher risk. We had a period . . . where interest rates were low worldwide. And the yield curve, which is the difference between long-term lending rates and short-term lending rates, was almost nil. So what did humans do? They did what they always do. . . . They went out further and took higher risk. Now they’re paying for that.” The trouble with this description is that is uses slippery language. “When the return on money gets low, people take higher risk.” Well, no. Financiers (bankers) take higher risk. Most people are not in the business of money-lending. Then again, “So what did humans do?” Well, no, not humans, bankers. Then again, “Now they’re paying for that.” Well, a few bankers may be paying for it, but, unfortunately, so are the rest of us who never intended to take on any risk.

Banker-think is very insidious. Bankers take the risk and then dump the consequences of the public, and Mr. Fisher says, “I don’t see anything abnormal about it.” Only a person who also engages in banker-think could make that statement.

And then Mr. Fisher fixes the blame: “We go through periods of excess, we overbuild, we correct, we reroute. . . . But you don’t correct for the “excess excess” that we have experienced very quickly. We got carried away. I blame the regulators, including the Federal Reserve, for letting things get too far. Given that it went so far, given the natural pattern of the way creditors work, they sort of feel something is wrong, but they let it happen anyway. . . .” Mr. Fisher again confounds proximate and ultimate causes. If one asks why regulators and the FED let things get too far, the answer is banker-think. If one asks why creditors felt something was wrong, but let it happen anyway, the answer is banker-think. If the bankers didn’t engage in banker-think, the excess would have been avoided, and the regulators would have had no need to regulate. But because both the bankers and the regulators (more bankers) were of one mind, banker-think drove the bankers to more and more excess, and because the regulators were of one mind with the bankers, the regulators did nothing.

So there you have it, a bankers’ constitution for the world which reads, “We the bankers of the world, in order to form a more perfect association, to secure wealth to ourselves and our posterity, caring nothing for the nation nor the welfare, suffering, or even deaths of ordinary people, do ordain and establish the BIS and a world-wide bankers’ economy.” Confidence game? Confidence game indeed!


Putting bankers in control of the economy is just like putting a wolf-pack in the pantry.

Retired professor of philosophy and logic who blogs on social, political, and economic issues at http://johnkozy.mindsay.com and http://www.jkozy.com/. Tries to avoid mere opinion and propaganda and emphasizes logic, facts, and evidence. All or any part of his articles can be cited or distributed when properly attributed.

World Economic Strategy

There is no denying the fact that before the emergence of the concept of ‘sustainable development’, the development issue of the Southern countries was raised several times in international environmental conferences. In the world’s first major environmental conference, in Stockholm in 1972, the Northern environmental alarm was not shared universally. The main emphasis of the developing countries was their economic growth, not pollution. Indian Prime Minister Indira Ghandi emphasised that poverty was the principal problem confronting India, not pollution. The South was much concerned about possible pressure by the West to slow down their economic growth and impose environmentally motivated restrictions on aid, investment or trade policies. They gave emphasis on their sovereignty and the right to choose their own path of economic development. The North wanted to emphasise the issues of marine pollution, over consumption and global population, but on the insistence of the South, global poverty and aid issue were also included in the agenda. Both the North and South were almost divided on the question of development. However they were successful to reach an agreement about the creation of the United Nations Environmental Programme UNEP, to work as a unit on the environment within the existing UN structure. In order to meet the concern of the developing countries it was given a large governing council and after some argument it was sited in Nairobi. As has been mentioned, the Brundtland report of 1987 provided the concept of ‘sustainable development’, which gave emphasis on economic development and environment together to sustain the growth. I will therefore now focus on some other important environmental conferences to see the North-South position in those conferences.

Before the Montreal Protocol it was the believe among the scientists that the chlorofluorocarbons were the main cause of ozone depletion. Developing countries concerns had been of marginal significance in the Montreal negotiation. It was thought that the developing countries consumption of CFCs was small (less than one twentieth per capita of developed country consumption). A small number of developing countries were present at the early sessions of the conference. The provision written into the protocol therefore to gain their adherence was the right to a ten year delay in phasing out CFCs by developing countries. Some highly unspecified references to their demand of financial and technical assistance was also made. As the consumption of CFCs was growing rapidly in some developing countries (particularly in China and India,) it was thought that if the threat to ozone layer really to be tackled, the developing countries must form part of the effort. By the end of 1989, only 21 developing countries had signed the protocol. The important developing countries were making it clear that they would only get involved in this process if the North would provide the extra finance and technology for their industries with CFC substitute. This demand raised conflict between the North and the South.
This North-South tension was dominant up to the 1990 London meeting scheduled to review the Montreal Protocol. In London, it was extremely tense contest between North and the South on these financial issues. The South was trying to get the best possible financial and technological terms, while on the other hand, the North was trying to get the South on board without vast financial and technological commitments. The final result was the agreement to establish a new fund, initially of 160-240 million US$ to be contributed by the North for use by the South. The Northern companies also assured the south about the substitute technology which would be transferred later on. All the major developing countries consequently later joined the process.

Kh Atiar Rahman was born at Meherpur in the district of Kushtia in 1955. His un countable articls and poems have been published in National and International Magazines and Newspapers.Kh. Atiar Rahman was born in the former district of kushtia. From his student life he has started his writing contribution in national dailies and magazines. He has unlimited number of publication in national and international publication media.At present he is working in Financial Management Reform Program as a Counter Par officer under Ministry of Finance.Kh Atiar Rahman was born at Meherpur in the district of Kushtia in 1955. His un countable articls and poems have been published in National and International Magazines and Newspapers.Kh. Atiar Rahman was born in the former district of kushtia. From his student life he has started his writing contribution in national dailies and magazines. He has unlimited number of publication in national and international publication media.At present he is working in Financial Management Reform Program as a Counter Par officer under Ministry of Finance.