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Anmerkung: Es handelt sich um die 2. überarbeitete Auflage der Dissertation.
1. Auflage siehe:
"https://ubt.opus.hbz-nrw.de/frontdoor/index/index/docId/2083".
Ausgangspunkt der politisch-ikonographischen Untersuchung, in deren
Zentrum zwei Staatsporträts König Maximilians II. von Bayern stehen, ist die Beobachtung, dass diese beiden Bildnisse grundsätzlich unterschiedliche Inszenierungsformen wählen. Das erste von Max Hailer gefertigte Werk zeigt Maximilian II. im vollen bayerischen Krönungsornat und greift eine tradierte Darstellungsweise im Staatsporträt auf. Es entstand zwei Jahre nach Maximilians II. Thronbesteigung und damit nach den revolutionären Unruhen der Jahre 1848/49 im Jahr 1850. Das zweite wurde von Joseph Bernhardt 1857 bis 1858 gemalt und im Jahr 1858 zum zehnjährigen Thronjubiläum des Monarchen erstmals präsentiert. Die Inszenierung ändert sich im zweiten Bildnis: Das bayerische Krönungsornat ist der Generalsuniform gewichen, ebenso weitere Details, die sich noch in der ersten Darstellung finden: Draperie und Wappen fehlen, der übliche bayerisch-königliche Thronsessel ist durch einen anderen ersetzt. In den Hintergrund gedrängt ist die Verfassung, immerhin seit 1818 staatliche Rechtsgrundlage des bayerischen Königreichs. Die beiden Staatsporträts Maximilians II. leiten offensichtlich von den Herrscherbildnissen im vollen bayerischen Krönungsornat seines Großvaters Maximilian I. und Vaters Ludwig I. über zu einer solchen in Uniform mit Krönungsmantel wie sie sich bei Napoleon III. und Friedrich Wilhelm IV. finden und wie sie sein Sohn Ludwig II. weiterführte. Es stellt sich somit die Frage, welche Faktoren zu diesem prägnanten Wandel in der Inszenierung Maximilians II. als König von Bayern führten. Die Arbeit geht der These nach, dass beide Darstellungen grundlegend auf eine reaktionäre, gegen die Revolution 1848/49 gerichtete Politik ausgelegt sind, wobei dieser reaktionäre Charakter in Maximilians II. Bildnis von 1858 noch eine Steigerung im Vergleich zu derjenigen von 1850 erfährt. Zudem wandelt sich die innenpolitisch-historische Ausrichtung des ersten Porträts bei der zweiten Darstellung des bayerischen Monarchen in eine außenpolitisch-progressive. Die Legitimation Maximilians II. begründet sich nicht mehr, wie bei ersterem, in der Geschichte und der Herrschaft der Wittelsbacher, sondern in seinen eigenen Errungenschaften und seiner eigenen Herrschaft. Dieser Wechsel der politischen Bildaussage fußt sowohl auf den politischen Veränderungen und Entwicklungen innerhalb und außerhalb Bayerns als auch auf der Entwicklung des Staatsporträts in der Mitte des 19. Jahrhunderts. Nach nur zehn Jahren wird so eine veränderte Botschaft über Maximilians II. Position und Machtanspruch ausgesendet.
Left ventricular assist devices (LVADs) have become a valuable treatment for patients with advanced heart failure. Women appear to be disadvantaged in the usage of LVADs and concerning clinical outcomes such as death and adverse events after LVAD implant. Contrary to typical clinical characteristics (e.g., disease severity), device-related factors such as the intended device strategy, bridge to a heart transplantation or destination therapy, are often not considered in research on gender differences. In addition, the relevance of pre-implant psychosocial risk factors, such as substance abuse and limited social support, for LVAD outcomes is currently unclear. Thus, the aim of this dissertation is to explore the role of pre-implant psychosocial risk factors for gender differences in clinical outcomes, accounting for clinical and device-related risk factors.
In the first article, gender differences in pre-implant characteristics of patients registered in The European Registry for Patients with Mechanical Circulatory Support (EUROMACS) were investigated. It was found that women and men differed in multiple pre-implant characteristics depending on device strategy. In the second article, gender differences in major clinical outcomes (i.e., death, heart transplant, device explant due to cardiac recovery, device replacement due to complications) were evaluated for patients in the device strategy destination therapy in the Interagency Registry for Mechanically Assisted Circulation (INTERMACS). Additionally, the association of gender and psychosocial risk factors with the major outcomes were analyzed. Women had similar probabilities to die on LVAD support, and even higher probabilities to experience explant of the device due to cardiac recovery compared with men in the destination therapy subgroup. Pre-implant psychosocial risk factors were not associated with major outcomes. The third article focused on gender differences in 10 adverse events (e.g., device malfunction, bleeding) after LVAD implant in INTERMACS. The association of a psychosocial risk indicator with gender and adverse events after LVAD implantation was evaluated. Women were less likely to have psychosocial risk pre-implant but more likely to experience seven out of 10 adverse events compared with men. Pre-implant psychosocial risk was associated with adverse events, even suggesting a dose response-relationship. These associations appeared to be more pronounced in women.
In conclusion, women appear to have similar survival to men when accounting for device strategy. They have higher probabilities of recovery, but higher probabilities of device replacement and adverse events compared with men. Regarding these adverse events, women may be more susceptible to psychosocial risk factors than men. The results of this dissertation illustrate the importance of gender-sensitive research and suggest considering device strategy when studying gender differences in LVAD recipients. Further research is warranted to elucidate the role of specific psychosocial risk factors that lead to higher probabilities of adverse events, to intervene early and improve patient care in both, women and men
This thesis contains four parts that are all connected by their contributions to the Efficient Market Hypothesis and decision-making literature. Chapter two investigates how national stock market indices reacted to the news of national lockdown restrictions in the period from January to May 2020. The results show that lockdown restrictions led to different reactions in a sample of OECD and BRICS countries: there was a general negative effect resulting from the increase in lockdown restrictions, but the study finds strong evidence for underreaction during the lockdown announcement, followed by some overreaction that is corrected subsequently. This under-/overreaction pattern, however, is observed mostly during the first half of our time series, pointing to learning effects. Relaxation of the lockdown restrictions, on the other hand, had a positive effect on markets only during the second half of our sample, while for the first half of the sample, the effect was negative. The third chapter investigates the gender differences in stock selection preferences on the Taiwan Stock Exchange. By utilizing trading data from the Taiwan Stock Exchange over a span of six years, it becomes possible to analyze trading behavior while minimizing the self-selection bias that is typically present in brokerage data. To study gender differences, this study uses firm-level data. The percentage of male traders in a company is the dependent variable, while the company’s industry and fundamental/technical aspects serve as independent variables. The results show that the percentage of women trading a company rises with a company’s age, market capitalization, a company’s systematic risk, and return. Men trade more frequently and show a preference for dividend-paying stocks and for industries with which they are more familiar. The fourth chapter investigated the relationship between regret and malicious and benign envy. The relationship is analyzed in two different studies. In experiment 1, subjects had to fill out psychological scales that measured regret, the two types of envy, core self-evaluation and the big 5 personality traits. In experiment 2, felt regret is measured in a hypothetical scenario, and the subject’s felt regret was regressed on the other variables mentioned above. The two experiments revealed that there is a positive direct relationship between regret and benign envy. The relationship between regret and malicious envy, on the other hand, is mostly an artifact of core self-evaluation and personality influencing both malicious envy and regret. The relationship can be explained by the common action tendency of self-improvement for regret and benign envy. Chapter five discusses the differences in green finance regulation and implementation between the EU and China. China introduced the Green Silk Road, while the EU adopted the Green Deal and started working with its own green taxonomy. The first difference comes from the definition of green finance, particularly with regard to coal-fired power plants. Especially the responsibility of nation-states’ emissions abroad. China is promoting fossil fuel projects abroad through its Belt and Road Initiative, but the EU’s Green Deal does not permit such actions. Furthermore, there are policies in both the EU and China that create contradictory incentives for economic actors. On the one hand, the EU and China are improving the framework conditions for green financing while, on the other hand, still allowing the promotion of conventional fuels. The role of central banks is also different between the EU and China. China’s central bank is actively working towards aligning the financial sector with green finance. A possible new role of the EU central bank or the priority financing of green sectors through political decision-making is still being debated.
Knowledge acquisition comprises various processes. Each of those has its dedicated research domain. Two examples are the relations between knowledge types and the influences of person-related variables. Furthermore, the transfer of knowledge is another crucial domain in educational research. I investigated these three processes through secondary analyses in this dissertation. Secondary analyses comply with the broadness of each field and yield the possibility of more general interpretations. The dissertation includes three meta-analyses: The first meta-analysis reports findings on the predictive relations between conceptual and procedural knowledge in mathematics in a cross-lagged panel model. The second meta-analysis focuses on the mediating effects of motivational constructs on the relationship between prior knowledge and knowledge after learning. The third meta-analysis deals with the effect of instructional methods in transfer interventions on knowledge transfer in school students. These three studies provide insights into the determinants and processes of knowledge acquisition and transfer. Knowledge types are interrelated; motivation mediates the relation between prior and later knowledge, and interventions influence knowledge transfer. The results are discussed by examining six key insights that build upon the three studies. Additionally, practical implications, as well as methodological and content-related ideas for further research, are provided.
Der zentrale Gegenstand der Untersuchung ist die Rechtsfigur des Indigenats im Kontext der württembergischen und preußischen Staatenlandschaft. Das Indigenat lässt sich als ein Recht bestimmen, das seine potenziellen Rechtsträger maßgeblich über das Abstammungsprinzip definiert und ein Verhältnis zwischen Rechtsträger und einem übergeordneten Rechtssubjekt zum Ausdruck bringt, sei es lehns- oder standes-, staats- oder auch bundes- beziehungsweise reichsrechtlicher Natur. Der zeitliche Schwerpunkt der Betrachtung liegt auf dem 19. Jahrhundert. Es werden jedoch auch Rückblicke in die Frühe Neuzeit geworfen, weil Wandel und Kontinuität in der Entwicklung des Indigenats in einer solch langen Perspektive besonders klar hervortreten können. Die zentrale These dieser Arbeit ist, dass ein enger Zusammenhang zwischen der im 19. Jahrhundert entstehenden und bis heute geläufigen Form der Zuordnung von Menschen zum Staat und den aus diesem Verhältnis entspringenden Rechten einerseits und dem frühneuzeitlichen Indigenat andererseits besteht. Dabei kann gezeigt werden, dass Gesellschaften ihre politischen Machtpositionen gegenüber „fremdstämmigen“, etwa zuwandernden Personen abschirmten, indem sie sich auf indigenatrechtliche, ethnische Bestimmungen beriefen.
When humans encounter attitude objects (e.g., other people, objects, or constructs), they evaluate them. Often, these evaluations are based on attitudes. Whereas most research focuses on univalent (i.e., only positive or only negative) attitude formation, little research exists on ambivalent (i.e., simultaneously positive and negative) attitude formation. Following a general introduction into ambivalence, I present three original manuscripts investigating ambivalent attitude formation. The first manuscript addresses ambivalent attitude formation from previously univalent attitudes. The results indicate that responding to a univalent attitude object incongruently leads to ambivalence measured via mouse tracking but not ambivalence measured via self-report. The second manuscript addresses whether the same number of positive and negative statements presented block-wise in an impression formation task leads to ambivalence. The third manuscript also used an impression formation task and addresses the question of whether randomly presenting the same number of positive and negative statements leads to ambivalence. Additionally, the effect of block size of the same valent statements is investigated. The results of the last two manuscripts indicate that presenting all statements of one valence and then all statements of the opposite valence leads to ambivalence measured via self-report and mouse tracking. Finally, I discuss implications for attitude theory and research as well as future research directions.
Data fusions are becoming increasingly relevant in official statistics. The aim of a data fusion is to combine two or more data sources using statistical methods in order to be able to analyse different characteristics that were not jointly observed in one data source. Record linkage of official data sources using unique identifiers is often not possible due to methodological and legal restrictions. Appropriate data fusion methods are therefore of central importance in order to use the diverse data sources of official statistics more effectively and to be able to jointly analyse different characteristics. However, the literature lacks comprehensive evaluations of which fusion approaches provide promising results for which data constellations. Therefore, the central aim of this thesis is to evaluate a concrete plethora of possible fusion algorithms, which includes classical imputation approaches as well as statistical and machine learning methods, in selected data constellations.
To specify and identify these data contexts, data and imputation-related scenario types of a data fusion are introduced: Explicit scenarios, implicit scenarios and imputation scenarios. From these three scenario types, fusion scenarios that are particularly relevant for official statistics are selected as the basis for the simulations and evaluations. The explicit scenarios are the fulfilment or violation of the Conditional Independence Assumption (CIA) and varying sample sizes of the data to be matched. Both aspects are likely to have a direct, that is, explicit, effect on the performance of different fusion methods. The summed sample size of the data sources to be fused and the scale level of the variable to be imputed are considered as implicit scenarios. Both aspects suggest or exclude the applicability of certain fusion methods due to the nature of the data. The univariate or simultaneous, multivariate imputation solution and the imputation of artificially generated or previously observed values in the case of metric characteristics serve as imputation scenarios.
With regard to the concrete plethora of possible fusion algorithms, three classical imputation approaches are considered: Distance Hot Deck (DHD), the Regression Model (RM) and Predictive Mean Matching (PMM). With Decision Trees (DT) and Random Forest (RF), two prominent tree-based methods from the field of statistical learning are discussed in the context of data fusion. However, such prediction methods aim to predict individual values as accurately as possible, which can clash with the primary objective of data fusion, namely the reproduction of joint distributions. In addition, DT and RF only comprise univariate imputation solutions and, in the case of metric variables, artificially generated values are imputed instead of real observed values. Therefore, Predictive Value Matching (PVM) is introduced as a new, statistical learning-based nearest neighbour method, which could overcome the distributional disadvantages of DT and RF, offers a univariate and multivariate imputation solution and, in addition, imputes real and previously observed values for metric characteristics. All prediction methods can form the basis of the new PVM approach. In this thesis, PVM based on Decision Trees (PVM-DT) and Random Forest (PVM-RF) is considered.
The underlying fusion methods are investigated in comprehensive simulations and evaluations. The evaluation of the various data fusion techniques focusses on the selected fusion scenarios. The basis for this is formed by two concrete and current use cases of data fusion in official statistics, the fusion of EU-SILC and the Household Budget Survey on the one hand and of the Tax Statistics and the Microcensus on the other. Both use cases show significant differences with regard to different fusion scenarios and thus serve the purpose of covering a variety of data constellations. Simulation designs are developed from both use cases, whereby the explicit scenarios in particular are incorporated into the simulations.
The results show that PVM-RF in particular is a promising and universal fusion approach under compliance with the CIA. This is because PVM-RF provides satisfactory results for both categorical and metric variables to be imputed and also offers a univariate and multivariate imputation solution, regardless of the scale level. PMM also represents an adequate fusion method, but only in relation to metric characteristics. The results also imply that the application of statistical learning methods is both an opportunity and a risk. In the case of CIA violation, potential correlation-related exaggeration effects of DT and RF, and in some cases also of RM, can be useful. In contrast, the other methods induce poor results if the CIA is violated. However, if the CIA is fulfilled, there is a risk that the prediction methods RM, DT and RF will overestimate correlations. The size ratios of the studies to be fused in turn have a rather minor influence on the performance of fusion methods. This is an important indication that the larger dataset does not necessarily have to serve as a donor study, as was previously the case.
The results of the simulations and evaluations provide concrete implications as to which data fusion methods should be used and considered under the selected data and imputation constellations. Science in general and official statistics in particular benefit from these implications. This is because they provide important indications for future data fusion projects in order to assess which specific data fusion method could provide adequate results along the data constellations analysed in this thesis. Furthermore, with PVM this thesis offers a promising methodological innovation for future data fusions and for imputation problems in general.
Allocating scarce resources efficiently is a major task in mechanism design. One of the most fundamental problems in mechanism design theory is the problem of selling a single indivisible item to bidders with private valuations for the item. In this setting, the classic Vickrey auction of~\citet{vickrey1961} describes a simple mechanism to implement a social welfare maximizing allocation.
The Vickrey auction for a single item asks every buyer to report its valuation and allocates the item to the highest bidder for a price of the second highest bid. This auction features some desirable properties, e.g., buyers cannot benefit from misreporting their true value for the item (incentive compatibility) and the auction can be executed in polynomial time.
However, when there is more than one item for sale and buyers' valuations for sets of items are not additive or the set of feasible allocations is constrained, then constructing mechanisms that implement efficient allocations and have polynomial runtime might be very challenging. Consider a single seller selling $n\in \N$ heterogeneous indivisible items to several bidders. The Vickrey-Clarke-Groves auction generalizes the idea of the Vickrey auction to this multi-item setting. Naturally, every bidder has an intrinsic value for every subset of items. As in in the Vickrey auction, bidders report their valuations (Now, for every subset of items!). Then, the auctioneer computes a social welfare maximizing allocation according to the submitted bids and charges buyers the social cost of their winning that is incurred by the rest of the buyers. (This is the analogue to charging the second highest bid to the winning bidder in the single item Vickrey auction.) It turns out that the Vickrey-Clarke-Groves auction is also incentive compatible but it poses some problems: In fact, say for $n=40$, bidders would have to submit $2^{40}-1$ values (one value for each nonempty subset of the ground set) in total. Thus, asking every bidder for its valuation might be impossible due to time complexity issues. Therefore, even though the Vickrey-Clarke-Groves auction implements a social welfare maximizing allocation in this multi-item setting it might be impractical and there is need for alternative approaches to implement social welfare maximizing allocations.
This dissertation represents the results of three independent research papers all of them tackling the problem of implementing efficient allocations in different combinatorial settings.
Das Ziel dynamischer Mikrosimulationen ist es, die Entwicklung von Systemen über das Verhalten der einzelnen enthaltenen Bestandteile zu simulieren, um umfassende szenariobasierte Analysen zu ermöglichen. Im Bereich der Wirtschafts- und Sozialwissenschaften wird der Fokus üblicherweise auf Populationen bestehend aus Personen und Haushalten gelegt. Da politische und wirtschaftliche Entscheidungsprozesse meist auf lokaler Ebene getroffen werden, bedarf es zudem kleinräumiger Informationen, um gezielte Handlungsempfehlungen ableiten zu können. Das stellt Forschende wiederum vor große Herausforderungen im Erstellungsprozess regionalisierter Simulationsmodelle. Dieser Prozess reicht von der Generierung geeigneter Ausgangsdatensätze über die Erfassung und Umsetzung der dynamischen Komponenten bis hin zur Auswertung der Ergebnisse und Quantifizierung von Unsicherheiten. Im Rahmen dieser Arbeit werden ausgewählte Komponenten, die für regionalisierte Mikrosimulationen von besonderer Relevanz sind, beschrieben und systematisch analysiert.
Zunächst werden in Kapitel 2 theoretische und methodische Aspekte von Mikrosimulationen vorgestellt, um einen umfassenden Überblick über verschiedene Arten und Möglichkeiten der Umsetzung dynamischer Modellierungen zu geben. Im Fokus stehen dabei die Grundlagen der Erfassung und Simulation von Zuständen und Zustandsänderungen sowie die damit verbundenen strukturellen Aspekte im Simulationsprozess.
Sowohl für die Simulation von Zustandsänderungen als auch für die Erweiterung der Datenbasis werden primär logistische Regressionsmodelle zur Erfassung und anschließenden wahrscheinlichkeitsbasierten Vorhersage der Bevölkerungsstrukturen auf Mikroebene herangezogen. Die Schätzung beruht insbesondere auf Stichprobendaten, die in der Regel neben einem eingeschränktem Stichprobenumfang keine oder nur unzureichende regionale Differenzierungen zulassen. Daher können bei der Vorhersage von Wahrscheinlichkeiten erhebliche Differenzen zu bekannten Totalwerten entstehen. Um eine Harmonisierung mit den Totalwerten zu erhalten, lassen sich Methoden zur Anpassung von Wahrscheinlichkeiten – sogenannte Alignmentmethoden – anwenden. In der Literatur werden zwar unterschiedliche Möglichkeiten beschrieben, über die Auswirkungen dieser Verfahren auf die Güte der Modelle ist jedoch kaum etwas bekannt. Zur Beurteilung verschiedener Techniken werden diese im Rahmen von Kapitel 3 in umfassenden Simulationsstudien unter verschiedenen Szenarien umgesetzt. Hierbei kann gezeigt werden, dass durch die Einbindung zusätzlicher Informationen im Modellierungsprozess deutliche Verbesserungen sowohl bei der Schätzung der Parameter als auch bei der Vorhersage der Wahrscheinlichkeiten erzielt werden können. Zudem lassen sich dadurch auch bei fehlenden regionalen Identifikatoren in den Modellierungsdaten kleinräumige Wahrscheinlichkeiten erzeugen. Insbesondere die Maximierung der Likelihood des zugrundeliegenden Regressionsmodells unter der Nebenbedingung, dass die bekannten Totalwerte eingehalten werden, weist in allen Simulationsstudien überaus gute Ergebnisse auf.
Als eine der einflussreichsten Komponenten in regionalisierten Mikrosimulationen erweist sich die Umsetzung regionaler Mobilität. Gleichzeitig finden Wanderungen in vielen Mikrosimulationsmodellen keine oder nur unzureichende Beachtung. Durch den unmittelbaren Einfluss auf die gesamte Bevölkerungsstruktur führt ein Ignorieren jedoch bereits bei einem kurzen Simulationshorizont zu starken Verzerrungen. Während für globale Modelle die Integration von Wanderungsbewegungen über Landesgrenzen ausreicht, müssen in regionalisierten Modellen auch Binnenwanderungsbewegungen möglichst umfassend nachgebildet werden. Zu diesem Zweck werden in Kapitel 4 Konzepte für Wanderungsmodule erstellt, die zum einen eine unabhängige Simulation auf regionalen Subpopulationen und zum anderen eine umfassende Nachbildung von Wanderungsbewegungen innerhalb der gesamten Population zulassen. Um eine Berücksichtigung von Haushaltsstrukturen zu ermöglichen und die Plausibilität der Daten zu gewährleisten, wird ein Algorithmus zur Kalibrierung von Haushaltswahrscheinlichkeiten vorgeschlagen, der die Einhaltung von Benchmarks auf Individualebene ermöglicht. Über die retrospektive Evaluation der simulierten Migrationsbewegungen wird die Funktionalität der Wanderdungskonzepte verdeutlicht. Darüber hinaus werden über die Fortschreibung der Population in zukünftige Perioden divergente Entwicklungen der Einwohnerzahlen durch verschiedene Konzepte der Wanderungen analysiert.
Eine besondere Herausforderung in dynamischen Mikrosimulationen stellt die Erfassung von Unsicherheiten dar. Durch die Komplexität der gesamten Struktur und die Heterogenität der Komponenten ist die Anwendung klassischer Methoden zur Messung von Unsicherheiten oft nicht mehr möglich. Zur Quantifizierung verschiedener Einflussfaktoren werden in Kapitel 5 varianzbasierte Sensitivitätsanalysen vorgeschlagen, die aufgrund ihrer enormen Flexibilität auch direkte Vergleiche zwischen unterschiedlichsten Komponenten ermöglichen. Dabei erweisen sich Sensitivitätsanalysen nicht nur für die Erfassung von Unsicherheiten, sondern auch für die direkte Analyse verschiedener Szenarien, insbesondere zur Evaluation gemeinsamer Effekte, als überaus geeignet. In Simulationsstudien wird die Anwendung im konkreten Kontext dynamischer Modelle veranschaulicht. Dadurch wird deutlich, dass zum einen große Unterschiede hinsichtlich verschiedener Zielwerte und Simulationsperioden auftreten, zum anderen aber auch immer der Grad an regionaler Differenzierung berücksichtigt werden muss.
Kapitel 6 fasst die Erkenntnisse der vorliegenden Arbeit zusammen und gibt einen Ausblick auf zukünftige Forschungspotentiale.
This cumulative thesis encompass three studies focusing on the Weddell Sea region in the Antarctic. The first study produces and evaluates a high quality data set of wind measurements for this region. The second study produces and evaluates a 15 year regional climate simulation for the Weddell Sea region. And the third study produces and evaluates a climatology of low level jets (LLJs) from the simulation data set. The evaluations were done in the attached three publications and the produced data sets are published online.
In 2015/2016, the RV Polarstern undertook an Antarctic expedition in the Weddell Sea. We operated a Doppler wind lidar on board during that time running different scan patterns. The resulting data was evaluated, corrected, processed and we derived horizontal wind speed and directions for vertical profiles with up to 2 km height. The measurements cover 38 days with a temporal resolution of 10-15 minutes. A comparisons with other radio sounding data showed only minor differences.
The resulting data set was used alongside other measurements to evaluate temperature and wind of simulation data. The simulation data was produced with the regional climate model CCLM for the period of 2002 to 2016 for the Weddell Sea region. Only smaller biases were found except for a strong warm bias during winter near the surface of the Antarctic Plateau. Thus we adapted the model setup and were able to remove the bias in a second simulation.
This new simulation data was then used to derive a climatology of low level jets (LLJs). Statistics of occurrence frequency, height and wind speed of LLJs for the Weddell Sea region are presented along other parameters. Another evaluation with measurements was also performed in the last study.