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Entrepreneurship has become an essential phenomenon all over the world because it is a major driving force behind the economic growth and development of a country. It is widely accepted that entrepreneurship development in a country creates new jobs, pro-motes healthy competition through innovation, and benefits the social well being of individuals and societies. The policymakers in both developed and developing countries focus on entrepreneurship because it helps to alleviate impediments to economic development and social welfare. Therefore, policymakers and academic researchers consider the promotion of entrepreneurship as essential for the economy and research-based support is needed for further development of entrepreneurship activities.
The impact of entrepreneurial activities on economic and social development also varies from country to country. The effect of entrepreneurial activities on economic and social development also varies from country to country because the level of entrepreneur-ship activities also varies from one region to another or one country to another. To under-stand these variations, policymakers have investigated the determinants of entrepreneur-ship at different levels, such as the individual, industry, and country levels. Moreover, entrepreneurship behavior is influenced by various personal and environmental level factors. However, these personal-level factors cannot be separated from the surrounding environment.
The link between religion and entrepreneurship is well established and can be traced back to Weber (1930). Researchers have analyzed the relationship between religion and entrepreneurship from various perspectives, and the research related to religion and entrepreneurship is diversified and scattered across disciplines. This dissertation tries to explain the link between religion and entrepreneurship, specifically Islamic religion and entrepreneurship. Technically this dissertation comprises three parts. The first part of this dissertation consists of two chapters that discuss the definition and theories of entrepreneurship (Chapter 2) and the theoretical relationship between religion and entrepreneur-ship (Chapter 3).
The second part of this dissertation (Chapter 4) provides an overview of the field with a purpose to gain a better understanding of the field’s current state of knowledge to bridge the different views and perspectives. In order to provide an overview of the field, a systematic literature search leading to a descriptive overview of the field based on 270 articles published in 163 journals Subsequently, bibliometric methods are used to identify thematic clusters, the most influential authors and articles, and how they are connected.
The third part of this dissertation (Chapter 5) empirically evaluates the influence of Islamic values and Islamic religious practices on entrepreneurship intentions within the Islamic community. Using the theory of planned behavior as a theoretical lens, we also take into account that the relationship between religion and entrepreneurial intentions can be mediated by individual’s attitude towards entrepreneurship. A self-administrative questionnaire was used to collect the responses from a sample of 1895 Pakistani university students. A structured equation modeling was adopted to perform a nuanced assessment of the relationship between Islamic values and practices and entrepreneurship intentions and to account for mediating effect of attitude towards entrepreneurship.
The research on religion and entrepreneurship has increased sharply during the last years and is scattered across various academic disciplines and fields. The analysis identifies and characterize the most important publications, journals, and authors in the area and map the analyzed religions and regions. The comprehensive overview of previous studies allows us to identify research gaps and derive avenues for future research in a substantiated way. Moreover, this dissertation helps the research scholars to understand the field in its entirety, identify relevant articles, and to uncover parallels and differences across religions and regions. Besides, the study reveals a lack of empirical research related to specific religions and specific regions. Therefore, scholars can take these regions and religions into consideration when conducting empirical research.
Furthermore, the empirical analysis about the influence of Islamic religious values and Islamic religious practices show that Islamic values served as a guiding principle in shaping people’s attitudes towards entrepreneurship in an Islamic community; they had an indirect influence on entrepreneurship intention through attitude. Similarly, the relationship between Islamic religious practices and the entrepreneurship intentions of students was fully mediated by the attitude towards entrepreneurship. Furthermore, this dissertation contributes to prior research on entrepreneurship in Islamic communities by applying a more fine-grained approach to capture the link between religion and entrepreneurship. Moreover, it contributes to the literature on entrepreneurship intentions by showing that the influence of religion on entrepreneurship intentions is mainly due to religious values and practices, which shape the attitude towards entrepreneurship and thereby influence entrepreneurship intentions in religious communities. The entrepreneur-ship research has put a higher emphasis on assessing the influence of a diverse set of con-textual factors. This dissertation introduces Islamic values and Islamic religious practices as critical contextual factors that shape entrepreneurship in countries that are characterized by the Islamic religion.
At any given moment, our senses are assaulted with a flood of information from the environment around us. We need to pick our way through all this information in order to be able to effectively respond to that what is relevant to us. In most cases we are usually able to select information relevant to our intentions from what is not relevant. However, what happens to the information that is not relevant to us? Is this irrelevant information completely ignored so that it does not affect our actions? The literature suggests that even though we mayrnignore an irrelevant stimulus, it may still interfere with our actions. One of the ways in which irrelevant stimuli can affect actions is by retrieving a response with which it was associated. An irrelevant stimulus that is presented in close temporal contiguity with a relevant stimulus can be associated with the response made to the relevant stimulus " an observation termed distractor-response binding (Rothermund, Wentura, & De Houwer, 2005). The studies presented in this work take a closer look at such distractor-response bindings, and therncircumstances in which they occur. Specifically, the study reported in chapter 6 examined whether only an exact repetition of the distractor can retrieve the response with which it was associated, or whether even similar distractors may cause retrieval. The results suggested that even repeating a similar distractor caused retrieval, albeit less than an exact repetition. In chapter 7, the existence of bindings between a distractor and a response were tested beyond arnperceptual level, to see whether they exist at an (abstract) conceptual level. Similar to perceptual repetition, distractor-based retrieval of the response was observed for the repetition of concepts. The study reported in chapter 8 of this work examined the influence of attention on the feature-response binding of irrelevant features. The results pointed towards a stronger binding effects when attention was directed towards the irrelevant feature compared to whenrnit was not. The study in chapter 9 presented here looked at the processes underlying distractor-based retrieval and distractor inhibition. The data suggest that motor processes underlie distractor-based retrieval and cognitive process underlie distractor inhibition. Finally, the findings of all four studies are also discussed in the context of learning.
Redox-driven biogeochemical cycling of iron plays an integral role in the complex process network of ecosystems, such as carbon cycling, the fate of nutrients and greenhouse gas emissions. We investigate Fe-(hydr)oxide (trans)formation pathways from rhyolitic tephra in acidic topsoils of South Patagonian Andosols to evaluate the ecological relevance of terrestrial iron cycling for this sensitive fjord ecosystem. Using bulk geochemical analyses combined with micrometer-scale-measurements on individual soil aggregates and tephra pumice, we document biotic and abiotic pathways of Fe released from the glassy tephra matrix and titanomagnetite phenocrysts. During successive redox cycles that are controlled by frequent hydrological perturbations under hyper-humid climate, (trans)formations of ferrihydrite-organic matter coprecipitates, maghemite and hematite are closely linked to tephra weathering and organic matter turnover. These Fe-(hydr)oxides nucleate after glass dissolution and complexation with organic ligands, through maghemitization or dissolution-(re)crystallization processes from metastable precursors. Ultimately, hematite represents the most thermodynamically stable Fe-(hydr)oxide formed under these conditions and physically accumulates at redox interfaces, whereas the ferrihydrite coprecipitates represent a so far underappreciated terrestrial source of bio-available iron for fjord bioproductivity. The insights into Fe-(hydr)oxide (trans)formation in Andosols have implications for a better understanding of biogeochemical cycling of iron in this unique Patagonian fjord ecosystem.
By rodent studies it has been shown that the mineralocorticoid receptor (MR) is a candidate gene for the investigation of cognitive functions comparable to human executive function. The present work addresses the question if polymorphisms in the MR gene can act as a "probe" to explain a part of the interindividual variance of human executive functions. For this purpose, 72 healthy young participants were assigned to four equally sized groups, concerning their particular MR genotype for two common MR polymorphisms. They were investigated in an electroencephalogram (EEG) test session, accomplishing two cognitive tests while delivering saliva samples for subsequent cortisol measures. The two tests chosen for the assessment of executive functions were the Attention Network Task (ANT) and a modified version of the Wisconsin Card Sorting Test (WCST).Chapter 1 of the present work reports of the rational bases for the empirical approach, which were built up on a broad theoretical background presented in Chapter 2. In the third chapter, the investigation and results of the statistical analysis for behavioral data (i.e. reaction times, accuracy/error rates) are presented. No association with MR polymorphisms was found for the reaction times of both tests. For the accuracy rate, differences between genotype groups were found for ANT and WCST, indicating an association of MR polymorphisms and accuracy in the Alertness and Executive Control network of the ANT and during the detection of an intradimensional shift in the WCST. Data acquisition and the results for EEG data analyses are presented in Chapter 4. The results show that groups differing for MR genotype show different activity over prefrontal motor areas during the process of answering to the ANT. Those group differences again were prominent for the Alertness and Executive Control network. A tendency for further significant group differences was found for activity on frontopolar positions in extradimensional rule switching. Chapter 5 summarizes the findings for the analysis of salivary free cortisol, showing a tendency for an association between MR polymorphisms and a mildly stimulated Hypothalamus-pituitary-adrenal (HPA) axis during the test situation. The results of the different measures are integrated and discussed in Chapter 6 within the scope of novel findings in investigating the functionality of the chosen MR polymorphisms. Finally, Chapter 7 gives an outlook on the methodology and constraints of future research strategies to further describe the role of the MR in human cognitive function.
This thesis contributes to the economic literature on India and specifically focuses on investment project (IP) location choice. I study three topics that naturally arise in sequence: geographic concentration of investment projects, the determinants of the location choices, and the impact these choices have on project success.
In Chapter 2, I provide the analysis of geographic concentration of IPs. I find that investments were concentrated over the period of observation (1996–2015), although the degree of concentration was decreasing. Additionally, I analyze different subsamples of the data set by ownership (Indian private, Indian public and foreign) and project status (completed or dropped). Foreign projects in all industries are more concentrated than private and public, while for the latter categories I identify only minor differences in concentration levels. Additionally, I find that the location patterns of completed and dropped investments are similar to that of the overall distribution and the distributions of their respective industries with completed IPs being somewhat more concentrated.
In Chapter 3, I study the determinants of project location choices with the focus on an important highway upgrade, the Golden Quadrilateral (GQ). In line with the existing literature, the GQ construction is connected to higher levels of investment in the affected non-nodal GQ districts in 2002–2016. I also provide suggestive evidence on changes in firm behavior after the GQ construction: Firms located in the non-nodal GQ districts became less likely to invest in their neighbor districts after the GQ completion compared to firms located in districts unaffected by the GQ construction.
Finally, in Chapter 4, I investigate the characteristics of IPs that may contribute to discontinuation of their implementation by comparing completed investments to dropped ones, defined as abandoned, shelved, and stalled investments as identified on the date of the data download. Controlling for local and business cycle conditions, as well as various investor and project characteristics, I show that projects located in close proximity to the investor offices (i.e., in the same district) are more likely to achieve the completion stage than more remote projects.
During pregnancy every eighth woman is treated with glucocorticoids. Glucocorticoids inhibit cell division but are assumed to accelerate the differentiation of cells. In this review animal models for the development of the human fetal and neonatal hypothalamic-pituitary-adrenal (HPA) axis are investigated. It is possible to show that during pregnancy in humans, as in most of the here-investigated animal models, a stress hyporesponsive period (SHRP) is present. In this period, the fetus is facing reduced glucocorticoid concentrations, by low or absent fetal glucocorticoid synthesis and by reduced exposure to maternal glucocorticoids. During that phase, sensitive maturational processes in the brain are assumed, which could be inhibited by high glucocorticoid concentrations. In the SHRP, species-specific maximal brain growth spurt and neurogenesis of the somatosensory cortex take place. The latter is critical for the development of social and communication skills and the secure attachment of mother and child. Glucocorticoid treatment during pregnancy needs to be further investigated especially during this vulnerable SHRP. The hypothalamus and the pituitary stimulate the adrenal glucocorticoid production. On the other hand, glucocorticoids can inhibit the synthesis of corticotropin-releasing hormone (CRH) in the hypothalamus and of adrenocorticotropic hormone (ACTH) in the pituitary. Alterations in this negative feedback are assumed among others in the development of fibromyalgia, diabetes and factors of the metabolic syndrome. In this work it is shown that the fetal cortisol surge at the end of gestation is at least partially due to reduced glucocorticoid negative feedback. It is also assumed that androgens are involved in the control of fetal glucocorticoid synthesis. Glucocorticoids seem to prevent masculinization of the female fetus by androgens during the sexual gonadal development. In this work a negative interaction of glucocorticoids and androgens is detectable.
Subject of this publication is torture as an interrogational instrument in criminal proceedings from a legal history point of view. Thereby, the paper at hand is the continuation of Volume I (published in 2014, number 68 of the Legal Policy Forum).
Volume II covers the following historical periods: Late Middle Ages and Early Modern Age; the latter ending with the 18th century as the so called Century of Enlightenment, being the actual beginning of the Modern Age in criminal law and criminal procedure law.
The paper ends with critical remarks against the predominant view that the torture's reign of terror in the former inquisitionsprozess merely was the inevitable consequence of the unreasonable kaw on evidence applicable at that time.
Subject of this publication is torture as an interrogational instrument in criminal proceedings from a legal history point of view. Thereby, the author makes a distinction between torturing the accused on the one hand and, on the other hand, torture as an instrument to force a witness' incriminating testimony against third parties (in German: Zeugenfolter), torture as a means to avert dangers (lifesaving torture), torture as an additional cruelty to the accused's punishment (in German: Straffolter), and corporal punlishment for lying in a court. Only the first manifestation, namely torturing the accused intending to extort his confession, is the real subject of this paper.
Interaction between the Hypothalamic-Pituitary-Adrenal Axis and the Circadian Clock System in Humans
(2017)
Rotation of the Earth creates day and night cycles of 24 h. The endogenous circadian clocks sense these light/dark rhythms and the master pacemaker situated in the suprachiasmatic nucleus of the hypothalamus entrains the physical activities according to this information. The circadian machinery is built from the transcriptional/translational feedback loops generating the oscillations in all nucleated cells of the body. In addition, unexpected environmental changes, called stressors, also challenge living systems. A response to these stimuli is provided immediately via the autonomic-nervous system and slowly via the hypothalamus"pituitary"adrenal (HPA) axis. When the HPA axis is activated, circulating glucocorticoids are elevated and regulate organ activities in order to maintain survival of the organism. Both the clock and the stress systems are essential for continuity and interact with each other to keep internal homeostasis. The physiological interactions between the HPA axis and the circadian clock system are mainly addressed in animal studies, which focus on the effects of stress and circadian disturbances on cardiovascular, psychiatric and metabolic disorders. Although these studies give opportunity to test in whole body, apply unwelcome techniques, control and manipulate the parameters at the high level, generalization of the results to humans is still a debate. On the other hand, studies established with cell lines cannot really reflect the conditions occurring in a living organism. Thus, human studies are absolutely necessary to investigate mechanisms involved in stress and circadian responses. The studies presented in this thesis were intended to determine the effects of cortisol as an end-product of the HPA axis on PERIOD (PER1, PER2 and PER3) transcripts as circadian clock genes in healthy humans. The expression levels of PERIOD genes were measured under baseline conditions and after stress in whole blood. The results demonstrated here have given better understanding of transcriptional programming regulated by pulsatile cortisol at standard conditions and short-term effects of cortisol increase on circadian clocks after acute stress. These findings also draw attention to inter-individual variations in stress response as well as non-circadian functions of PERIOD genes in the periphery, which need to be examined in details in the future.
Despite significant advances in terms of the adoption of formal Intellectual Property Rights (IPR) protection, enforcement of and compliance with IPR regulations remains a contested issue in one of the world's major contemporary economies—China. The present review seeks to offer insights into possible reasons for this discrepancy as well as possible paths of future development by reviewing prior literature on IPR in China. Specifically, it focuses on the public's perspective, which is a crucial determinant of the effectiveness of any IPR regime. It uncovers possible differences with public perspectives in other countries and points to mechanisms (e.g., political, economic, cultural, and institutional) that may foster transitions over time in both formal IPR regulation and in the public perception of and compliance with IPR in China. On this basis, the review advances suggestions for future research in order to improve scholars' understanding of the public's perspective of IPR in China, its antecedents and implications.