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Besides well-known positive aspects of conservation tillage combined with mulching, a drawback may be the survival of phytopathogenic fungi like Fusarium species on plant residues. This may endanger the health of the following crop by increasing the infection risk for specific plant diseases. In infected plant organs, these pathogens are able to produce mycotoxins like deoxynivalenol (DON). Mycotoxins like DON persist during storage, are heat resistant and of major concern for human and animal health after consumption of contaminated food and feed, respectively. Among fungivorous soil organisms, there are representatives of the soil fauna which are obviously antagonistic to a Fusarium infection and the contamination with mycotoxins. Earthworms (Lumbricus terrestris), collembolans (Folsomia candida) and nematodes (Aphelenchoides saprophilus) provide a wide range of ecosystem services including the stimulation of decomposition processes which may result in the regulation of plant pathogens and the degradation of environmental contaminants. Several investigations under laboratory conditions and in the field were conducted to test the following hypotheses: (1) Fusarium-infected and DON-contaminated wheat straw provides a more attractive food substrate than non-infected control straw (2) the introduced soil fauna reduce the biomass of F. culmorum and the content of DON in infected wheat straw under laboratory and field conditions (3) the species interaction of the introduced soil fauna enhances the degradation of Fusarium biomass and DON concentration in wheat straw; (4) the degradation efficiency of soil fauna is affected by soil texture. The results of the present thesis pointed out that the degradation performance of the introduced soil fauna must be considered as an important contribution to the biological control of plant diseases and environmental pollutants. As in particular L. terrestris revealed to be the driver of the degradation process, earthworms contribute to a sustainable control of fungal pathogens like Fusarium and its mycotoxins in wheat straw, thus reducing the risk of plant diseases and environmental pollution as ecosystem services.
Der vorliegende Bericht basiert auf einer universitätsweiten Online-Umfrage zum Status quo des Forschungsdatenma-nagements an der Universität Trier. Er ist ein erster Schritt, um den aktuellen und zukünftigen Bedarf an zentralen Dienstleistungen zu identifizieren. Neue Handlungsfelder sollen frühzeitig erkannt werden, auch um der Strategie-entwicklung eine Richtung zu weisen.rnDie Befragten befürworten generell die Initiative zur Entwicklung zentraler IT- und Beratungsangebote. Sie sind bereit, die eigenen Forschungsdaten anderen zur Nachnutzung zur Verfügung zu stellen, sofern die geeigneten Instrumente vorhanden, sind die eine solche Arbeitsweise unterstützen. Allerdings wird eine unkommentierte Bereit-stellung von Rohdaten eher kritisch beurteilt. Der Dokumentationsaufwand einer öffentlichen Bereitstellung von Daten wird in einem ungünstigen Kosten-Nutzenverhältnis gesehen. Es fällt auf, dass die Datenarchivierung größ-tenteils in proprietären Formaten erfolgt.
Exposure to fine and ultra-fine environmental particles is still a problem of concern in many industrialized parts of the world and the intensified use of nanotechnology may further increase exposure to small particles. Since many years air pollution is recognized as a critical problem in western countries, which led to rigorous regulation of air quality and the introduction of strict guidelines. However, the upper thresholds for particulates in ambient air recommended by the world health organization are often exceeded several times in newly industrialized countries. Such high levels of air pollution have the potential to induce adverse effects on human health. The response triggered by air pollutants is not limited to local effects of the respiratory system but is often systemic, resulting in endothelial dysfunction or atherosclerotic malady. The link between air pollution and cardiovascular disease is now accepted by the scientific community but the underlying mechanisms responsible for the pro-atherogenic potential still need to be unraveled in detail. Based on the results from in- vivo and in vitro studies the production of reactive oxygen species due to exposure to particles is the most important mechanism to explain the observed adverse effects. However, the doses that were applied in many in vivo and in vitro studies are far beyond the range of what humans are exposed to and there is the need for more realistic exposure studies. Complex in vitro coculture systems may be valuable tools to study particle-induced processes and to extrapolate effects of particles on the lung. One of the objectives of this PhD thesis was the establishment and further improvement of a complex coculture system initially described by Alfaro-Moreno et al. [1]. The system is composed of an alveolar type-II cell line (A549), differentiated macrophage-like cells (THP-1), mast cells (HMC-1) and endothelial cells (EA.hy 926), seeded in a 3D-orientation on a microporous membrane to mimic the cell response of the alveolar surface in vitro in conjunction with native aerosol exposure (VitrocellTM chamber). The tetraculture system was carefully characterized to ensure its performance and repeatability of results. The spatial distribution of the cells in the tetraculture was analyzed by confocal laser scanning microscopy (CLSM), showing a confluent layer of endothelial and epithelial cells on both sides of the Transwellâ„¢. Macrophage-like cells and mast cells can be found on top of the epithelial cells. The latter cells formed colonies under submerged conditions, which disappeared at the air-liquid-interface (ALI). The VitrocellTM aerosol exposure system was not significantly influencing the viability. Using this system, cells were exposed to an aerosol of 50 nm SiO2-Rhodamine nanoparticles (NPs) in PBS. The distribution of the NPs in the tetraculture after exposure was evaluated by CLSM. Fluorescence from internalized particles was detected in CD11b-positive THP-1 cells only. Furthermore, all cell lines were found to be able to respond to xenobiotic model compounds, such as benzo[a]pyrene (B[a]P) or 2,3,7,8-tetrachlorodibenzo-p-dioxin (TCDD) with the upregulation of CYP1 mRNA. With this tetraculture system the response of the endothelial part of the alveolar barrier was studied in- vitro in a still realistic exposure scenario representing the conditions for a polluted situation without direct exposure of endothelial cells. After exposure to diesel exhaust particulate matter (DEPM) the expression of different anti-oxidant target genes and inflammatory genes such as NAD(P)H dehydrogenase quinone 1 (NQO1), superoxide dismutase 1 (SOD1) and heme oxygenase 1 (HMOX1), as well as the nuclear translocation nuclear factor erythroid-derived 2 (Nrf2) was evaluated. In addition, the potential of DEPM to induce the upregulation of CYP1A1 mRNA in the endothelium was analyzed. DEPM exposure led not to an upregulation of the anti-oxidant or inflammatory target genes, but to clear nuclear translocation of Nrf2. The endothelial cells responded to the DEPM treatment also with the upregulation of CYP1A1 mRNA and nuclear translocation of the aryl hydrocarbon receptor (AhR). Overall, DEPM triggered a response in the endothelial cells after indirect exposure of the tetraculture system to low doses of DEPM, underlining the sensitivity of ALI exposure systems. The use of the tetraculture together with the native aerosol exposure equipment may finally lead to a more realistic judgment regarding the hazard of new compounds and/or new nano-scaled materials in the future. For the first time, it was possible to study the response of the endothelial cells of the alveolar barrier in vitro in a realistic exposure scenario avoiding direct exposure of endothelial cells to high amounts of particulates.
The development of our society contributed to increased occurrence of emerging substances (pesticides, pharmaceuticals, personal care products, etc.) in wastewater. Because of their potential hazard on ecosystems and humans, Wastewater Treatment Plants (WWTPs) need to adapt to better remove these compounds. Technology or policy development should however comply with sustainable development, e.g. based on Life Cycle Assessment (LCA) metrics. Nevertheless, the reliability or consistency of LCA results can sometimes be debatable. The main objective of this work was to explore how LCA can better support the implementation of innovative wastewater treatment options, in particular including removal benefits. The method was applied to support solutions for pharmaceuticals elimination from wastewater, regarding: (i) UV technology design, (ii) choice of advanced technology and (iii) centralized or decentralized treatment policy. The assessment approach followed by previous authors based on net impacts calculation seemed very promising to consider both environmental effects induced by treatment plant operation and environmental benefits obtained from pollutants removal. It was therefore applied to compare UV configuration types. LCA outcomes were consistent with degradation kinetics analysis. For the comparison of advanced technologies and policy scenarios, the common practice (net impacts based on EDIP method) was compared to other assessments, to better consider elimination benefits. First, USEtox consensus was applied for the avoided (eco)toxicity impacts, in combination with the recent method ReCiPe for generated impacts. Then, an eco-efficiency indicator (EFI) was developed to weigh the treatment efforts (generated impacts based on EDIP and ReCiPe methods) by the average removal efficiency (overcoming (eco)toxicity uncertainty issues). In total, the four types of comparative assessment showed the same trends: (i) ozonation and activated carbon perform better than UV irradiation, and (ii) no clear advantage distinguished between policy scenarios. It cannot be however concluded that advanced treatment of pharmaceuticals is not necessary because other criteria should be considered (risk assessment, bacterial resistance, etc.) and large uncertainties were embedded in calculations. Indeed, a significant part of this work was dedicated to the discussion of uncertainty and limitations of the LCA outcomes. At the inventory level, it was difficult to model technology operation at development stage. For impact assessment, the newly developed characterization factors for pharmaceuticals (eco)toxicity showed large uncertainties, mainly due to the lack of data and quality for toxicity tests. The use of information made available under REACH framework to develop CFs for detergent ingredients tried to cope with this issue but the benefits were limited due to the mismatch of information between REACH and USEtox method. The highlighted uncertainties were treated with sensitivity analyses to understand their effects on LCA results. This research work finally presents perspectives on the use of transparently generated data (technology inventory and (eco)toxicity factors) and further development of EFI indicator. Also, an accent is made on increasing the reliability of LCA outcomes, in particular through the implementation of advanced techniques for uncertainty management. To conclude, innovative technology/product development (e.g. based on circular economy approach) needs the involvement of all types of actors and the support from sustainability metrics.
Phase-amplitude cross-frequency coupling is a mechanism thought to facilitate communication between neuronal ensembles. The mechanism could underlie the implementation of complex cognitive processes, like executive functions, in the brain. This thesis contributes to answering the question, whether phase-amplitude cross-frequency coupling - assessed via electroencephalography (EEG) - is a mechanism by which executive functioning is implemented in the brain and whether an assumed performance effect of stress on executive functioning is reflected in phase-amplitude coupling strength. A huge body of studies shows that stress can influence executive functioning, in essence having detrimental effects. In two independent studies, each being comprised of two core executive function tasks (flexibility and behavioural inhibition as well as cognitive inhibition and working memory), beta-gamma phase-amplitude coupling was robustly detected in the left and right prefrontal hemispheres. No systematic pattern of coupling strength modulation by either task demands or acute stress was detected. Beta-gamma coupling might also be present in more basic attention processes. This is the first investigation of the relationship between stress, executive functions and phase-amplitude coupling. Therefore, many aspects have not been explored yet. For example, studying phase precision instead of coupling strength as an indicator for phase-amplitude coupling modulations. Furthermore, data was analysed in source space (independent component analysis); comparability to sensor space has still to be determined. These as well as other aspects should be investigated, due to the promising finding of very robust and strong beta-gamma coupling for all executive functions. Additionally, this thesis tested the performance of two widely used phase-amplitude coupling measures (mean vector length and modulation index). Both measures are specific and sensitive to coupling strength and coupling width. The simulation study also drew attention to several confounding factors, which influence phase-amplitude coupling measures (e. g. data length, multimodality).
The efficacy and effectiveness of psychotherapeutic interventions have been proven time and again. We therefore know that, in general, evidence-based treatments work for the average patient. However, it has also repeatedly been shown that some patients do not profit from or even deteriorate during treatment. Patient-focused psychotherapy research takes these differences between patients into account by focusing on the individual patient. The aim of this research approach is to analyze individual treatment courses in order to evaluate when and under which circumstances a generally effective treatment works for an individual patient. The goal is to identify evidence based clinical decision rules for the adaptation of treatment to prevent treatment failure. Patient-focused research has illustrated how different intake indicators and early change patterns predict the individual course of treatment, but they leave a lot of variance unexplained. The thesis at hand analyzed whether Ecological Momentary Assessment (EMA) strategies could be integrated into patient-focused psychotherapy research in order to improve treatment response prediction models. EMA is an electronically supported diary approach, in which multiple real-time assessments are conducted in participants" everyday lives. We applied EMA over a two-week period before treatment onset in a mixed sample of patients seeking outpatient treatment. The four daily measurements in the patients" everyday environment focused on assessing momentary affect and levels of rumination, perceived self-efficacy, social support and positive or negative life events since the previous assessment. The aim of this thesis project was threefold: First, to test the feasibility of EMA in a routine care outpatient setting. Second, to analyze the interrelation of different psychological processes within patients" everyday lives. Third and last, to test whether individual indicators of psychological processes during everyday life, which were assessed before treatment onset, could be used to improve prediction models of early treatment response. Results from Study I indicate good feasibility of EMA application during the waiting period for outpatient treatment. High average compliance rates over the entire assessment period and low average burdens perceived by the patients support good applicability. Technical challenges and the results of in-depth missing analyses are reported to guide future EMA applications in outpatient settings. Results from Study II shed further light on the rumination-affect link. We replicated results from earlier studies, which identified a negative association between state rumination and affect on a within-person level and additionally showed a) that this finding holds for the majority but not every individual in a diverse patient sample with mixed Axis-I disorders, b) that rumination is linked to negative but also to positive affect and c) that dispositional rumination significantly affects the state rumination-affect association. The results provide exploratory evidence that rumination might be considered a transdiagnostic mechanism of psychological functioning and well-being. Results from Study III finally suggest that the integration of indicators derived from EMA applications before treatment onset can improve prediction models of early treatment response. Positive-negative affect ratios as well as fluctuations in negative affect measured during patients" daily lives allow the prediction of early treatment response. Our results indicate that the combination of commonly applied intake predictors and EMA indicators of individual patients" daily experiences can improve treatment response predictions models. We therefore conclude that EMA can successfully be integrated into patient-focused research approaches in routine care settings to ameliorate or optimize individual care.
Das Triple-X-Syndrom ist die häufigste Chromosomenstörung im weiblichen Geschlecht und dennoch wenig bekannt und erforscht. Um die wissenschaftliche Datenlage für die Betroffenen, werdenden Eltern und genetischen Berater zu verbessern wurde die vorliegende Studie durchgeführt. Ziel der Studie war es zu untersuchen, ob bei Mädchen und Frauen mit Triple-X-Karyotyp häufiger psychische Probleme und Verhaltensauffälligkeiten auftreten als bei Mädchen und Frauen mit einem regelrechten Chromosomensatz. Insgesamt konnten 72 Mädchen und Frauen mit Triple-X und 69 mit einem regelrechten Chromosomensatz in die Studie eingeschlossen werden. Durch drei in Altersgruppen aufgeteilte Kohorten konnte verglichen werden, ob mögliche Auffälligkeiten altersabhängig auftreten, wie sich der Entwicklungsverlauf vom Kind zur erwachsenen Frau darstellt und ob dabei Zusammenhänge erkennbar sind. Bei den Mädchen im Alter von vier bis sieben Jahren zeigten sich im Vergleich zur Kontrollgruppe bereits signifikante Unterschiede in Bezug auf schulische Kompetenzen, soziale Probleme und Aufmerksamkeitsprobleme. In der Altersgruppe der Mädchen von acht bis 17 Jahren haben sich diese Auffälligkeiten noch verstärkt und die Ergebnisse aus dem Fragebogen "Child Behavior Checklist" weisen über alle Skalen hinweg einen deutlichen Unterschied zwischen der Triple-X-Gruppe und der Kontrollgruppe auf. Dies betrifft insbesondere die Bereiche "Schulische Kompetenzen", "Internalisierende Auffälligkeiten", "Sozialer Rückzug", "Soziale Probleme" und "Aufmerksamkeits-probleme". In der Gesamtintensität der Auffälligkeiten haben die Triple-X-Mädchen im Mittel signifikant schlechtere Werte als die Mädchen der Kontrollgruppe. Auch ist der Anteil der Mädchen, die in den klinisch auffälligen Bereich fallen, in der Triple-X-Gruppe signifikant erhöht. Die Untersuchungen zum Selbstwertgefühl machen deutlich, dass Mädchen mit Triple-X-Karyotyp ein vermindertes Selbstwertgefühl im Vergleich zur Kontrollgruppe aufweisen. Auch unterscheiden sich Triple-X-Mädchen in Bezug auf ihr Emotionsregulationsverhalten. Sie haben eine Tendenz zu eher maladaptiven Bewältigungsstrategien und sie zeigen insbesondere beim "Problemorientierten Handeln" und auch in Bezug auf die Emotion "Angst" signifikante Unterschiede zur Kontrollgruppe. Für die Gruppe der Erwachsenen konnte nachgewiesen werden, dass sich Triple-X-Frauen in ihren Persönlichkeitsmerkmalen von Frauen mit einem regelrechten Chromosomensatz unterscheiden. Die Ergebnisse lassen darauf schließen, dass Triple-X-Frauen häufiger emotional labil und ängstlich reagieren und auch eher zurückhaltend und introvertiert und weniger leistungsorientiert sind. Sie haben eine geringere Lebenszufriedenheit und neigen dazu weniger sozial verantwortlich zu handeln. Triple-X-Frauen sind in ihrem täglichen Leben stärker durch körperliche und psychische Symptome beeinträchtigt, wenngleich diese Beeinträchtigungen nicht so stark sind, dass sie in den klinisch auffälligen Bereich fallen.
Im Fokus der Ursachenanalyse der zunehmenden Homogenisierung von Biozönosen und des weltweiten Artenverlustes steht neben dem Flächennutzungs- und Klimawandel vorrangig auch die durch den Menschen verursachte Einbringung gebietsfremder, invasiver Arten. Aufgrund ihrer Charakteristika bilden diese Arten einen wichtigen Schnittpunkt von Ökologie, Ökonomie und Soziologie in Theorie und Praxis und erfahren folglich im Zuge der weltweit steigenden Anzahl von biologischen Invasionen zunehmend eine rechtliche Regulierung. Eine grundsätzliche Herausforderung in der Invasionsforschung liegt in der Identifikation von Faktoren, die Verbreitung, Dynamik und Erfolg der Arten erklären, um anhand dieses Wissens ihr Risiko für das Ökosystem als auch hinsichtlich ökonomischer und gesundheitlicher Aspekte abschätzen zu können. Eine Einschätzung der Invasivität der Art zur Ableitung von Handlungsstrategien und zur rechtlichen Einstufung erfolgt anhand von Risikoanalysen, deren kriterienbasierte Bewertung eine Reihe wissenschaftlicher Fakten voraussetzen. Um mögliche Ausbreitungswege- und barrieren zu identifiziert und Faktoren herauszustellen, welche die erfolgreiche Etablierung und Ausbreitung des Nordamerikanischen Waschbären in Deutschland und Europa erklären, wird in dieser Dissertation unter Verwendung populationsgenetischer Methoden die Ausbreitung der Art rekonstruiert. Darüberhinaus wird in dieser Arbeit die Bedeutung von Verbreitungsmodellen als Analyse- und Präventions-Instrument in der naturschutzfachlichen Risikoabschätzung verdeutlicht und zudem die Problematik einer Risikoabschätzung auf Grundlage einer lückenhaften Wissensbasis erläutert. Der rechtliche Schwerpunkt der Dissertation widmet sich der Regulierung der Haltung von IAS, die als ein aktiver und dominanter Einbringungsweg insbesonders für gebietsfremde Wirbeltierarten zählt und für die hier betrachtete Modellart nachweislich von hoher Bedeutung ist. Die gewonnenen Erkenntnisse geben Hilfestellung zur Einstufung der Invasivität der Art und zur Beurteilung eines Handlungsbedarfes.
The main achievement of this thesis is an analysis of the accuracy of computations with Loader's algorithm for the binomial density. This analysis in later progress of work could be used for a theorem about the numerical accuracy of algorithms that compute rectangle probabilities for scan statistics of a multinomially distributed random variable. An example that shall illustrate the practical use of probabilities for scan statistics is the following, which arises in epidemiology: Let n patients arrive at a clinic in d = 365 days, each of the patients with probability 1/d at each of these d days and all patients independently from each other. The knowledge of the probability, that there exist 3 adjacent days, in which together more than k patients arrive, helps deciding, after observing data, if there is a cluster which we would not suspect to have occurred randomly but for which we suspect there must be a reason. Formally, this epidemiological example can be described by a multinomial model. As multinomially distributed random variables are examples of Markov increments, which is a fact already used implicitly by Corrado (2011) to compute the distribution function of the multinomial maximum, we can use a generalized version of Corrado's Algorithm to compute the probability described in our example. To compute its result, the algorithm for rectangle probabilities for Markov increments always uses transition probabilities of the corresponding Markov Chain. In the multinomial case, the transition probabilities of the corresponding Markov Chain are binomial probabilities. Therefore, we start an analysis of accuracy of Loader's algorithm for the binomial density, which for example the statistical software R uses. With the help of accuracy bounds for the binomial density we would be able to derive accuracy bounds for the computation of rectangle probabilities for scan statistics of multinomially distributed random variables. To figure out how sharp derived accuracy bounds are, in examples these can be compared to rigorous upper bounds and rigorous lower bounds which we obtain by interval-arithmetical computations.
Die Beschäftigung mit dem Luxemburgischen unter phraseologischem Gesichtspunkt ist ein Phänomen der jüngsten Forschungen, das erst im Laufe der letzten beiden Jahrzehnte vermehrt Aufmerksam gefunden hat. Trotz einer bereits soliden Grundsteinlegung bietet die Phraseologie des Luxemburgischen noch reichlich Untersuchungsfläche. Die Dissertation "Formelhafte Sprache in der Chambre des Députés: Eine empirische Untersuchung der Phrasemverwendung im Luxemburgischen anhand der öffentlichen Sitzungsprotokolle der Abgeordnetenkammer" befasst sich mit dem Gebrauch des Luxemburgischen in politischen Reden, mit Schwerpunkt auf formelhafter Sprache, sogenannten Phraseologismen, wie etwa Routineformeln (z. B.: Dir Dammen an Dir Hären…; wéi scho gesot…), Sprichwörter (z. B.: Déi aarm Leit kache mat Waasser; Wie schnell geet, geet duebel), Paarformeln (z. B.: de Sënn an den Zweck; ëmmer an iwwerall), komparative Phraseologismen (z. B.: eppes läit engem um Mo wéi eng Zill) und andere vorgefertigte Sprachelemente, die meistens in einer verfestigten Form vorkommen und häufig dazu dienen, bestimmte Kommunikationssituationen zu bewältigen. In diesen Reden spielen Phraseologismen unbestreitbar eine wichtige Rolle, seien es bewusst eingesetzte Wortverbindungen, die rhetorisch überzeugen sollen oder unbewusst vorkommende Phraseologismen, die den Redefluss und die Formulierung erleichtern. Zudem zeigt die Formelhaftigkeit sich in dieser Textsorte umso stärker, weil es in den Sitzungen der Abgeordnetenkammer, ebenso wie in anderen Parlamenten auch, eine Fülle von fest vorgeschriebenen Abläufen und festgelegte Rollen mit eigenen ritualisierten Redeanteilen gibt. Die in den stenographischen Protokollen aufgezeichneten Reden und Debatten aus dem luxemburgischen Parlament bilden also die Grundlage der Untersuchung. Im Vorfeld wurde ein Untersuchungkorpus zusammengestellt, indem die betreffenden Sprachelemente (Phraseme) manuell exzerpiert wurden. Diese wurden in eine Datenbank eingetragen, nach mehreren Kriterien klassifiziert und mit zusätzlichen Metainformationen angereichert. Der Hauptteil der Untersuchung besteht in der Analyse der im Textkorpus vorkommenden Phraseme innerhalb ihres Kontextes in den Abgeordnetenreden, um die unterschiedlichen (stilistischen, rhetorischen, etc.) Funktionen und Effekte herauszuarbeiten, die sie in den jeweiligen Redestellen erfüllen. Dieses Vorgehen ist von großer Bedeutung, um zu erkennen, wie wichtig solche verfestigten Ausdrücke und formelhaften Elemente für die Sprache sind und welche zentrale Rolle sie in den untersuchten Reden und im Luxemburgischen im Allgemeinen spielen. Daneben werden auch quantitative Aspekte untersucht (z. B. allgemeine Phraseologismenfrequenz; Verteilung auf unterschiedliche Phraseologismusklassen; Phrasemvorkommen in unterschiedlichen Zeitschnitten), damit die ausgewählten Texte auch mit anderen Textsorten oder mit Parlamentsreden aus anderen Sprachen vergleichbar sind hinsichtlich des Gebrauchs von formelhaften/phraseologischen Elementen.