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Towards Seamless Integration: Exploring Cross-Reality for Extending Physical Office Workspaces
(2026)
Immersive systems, like Augmented and Virtual Reality, offer new paradigms fordigital interaction, but confining users to a single reality often presents drawbacksfor complex tasks. Cross-Reality systems, which integrate multiple realities into asingle experience, have significant potential to enhance existing professional workflows by combining the unique strengths of physical and virtual environments. Thisdissertation investigates how Cross-Reality can enhance professional workflows byusing the traditional office as a primary use case, focusing on the central question:How can CR enhance existing workflows in physical settings by extendingthe physical environment with virtual content and environments?To address this, the dissertation presents a body of empirical work structuredaround isolating and investigating one core design challenge for each of the threeprimary types of Cross-Reality systems. The work first addresses transitionalCross-Reality systems, which allow users to switch between different realities, byexamining how to design effective transitions. It demonstrates that in task-drivenscenarios, users prioritize efficient transitions that minimize cognitive disruptionover more elaborate or interactive ones. Next, the dissertation tackles the fundamental problem of unwanted occlusion in Augmented Virtuality, a form of substitutional Cross-Reality systems, which integrate objects from one reality intoanother. It introduces and evaluates technical strategies to ensure physical toolsremain accessible within virtual spaces, revealing a critical trade-off between theefficacy of these solutions and user experience factors like cybersickness. Finally,the research explores multi-user Cross-Reality systems that enable collaborationbetween multiple users who may be experiencing different degrees of virtualitysimultaneously, and the complexities of enabling collaboration across multiplestages, underscoring the unique challenges of supporting shared awareness andmanaging asymmetric roles.These findings are grounded by a detailed analysis of the underlying hardware, which highlights how technical and perceptual issues inherent to VideoSee-Through and Optical See-Through Head-Mounted Displays directly impactthe feasibility and design of Cross-Reality systems. The overarching contributionof this dissertation is to provide a set of empirically-grounded design principlesfor applying Cross-Reality in productivity-focused environments. By shifting thedesign focus from entertainment to pragmatic qualities, this work offers valuableinsights into creating Cross-Reality systems that genuinely enhance workflows, prioritizing efficiency, usability, and seamless interaction while navigating technical
Transnational protest movements continue to expose the enduring legacies of colonial exploitation and institutionalised racism within and beyond European cities. They foreground the systemic conditions under which Black lives are rendered disproportionately vulnerable to premature death. In doing so, they expose the enduring entanglements of racial capitalism, state violence and spatial exclusion. Through their ongoing political agitation these movements highlight the need for spatio-temporally situated and relationally embedded engagements with Black urban lives. My thesis responds to that call by examining place-making practices of enclosure and refusal throughout Black London’s post-World War II development.
Grounded in the ethnographic narrative of “being halfway while shooting”, I explore how Black lives are enclosed by institutional racism, how this enclosure is spatialised and how Black and differently racialised Londoners refuse these spatial enclosures through everyday and collective place-making practices. At the intersection of structural constraint and the desire to enact Black freedom in London, I specifically foreground the emergence of fugitive place-making practices.
Conceptually, I bring (critical) urban geography scholarship, Black studies and Black (British)Geographies scholarship into conversation. I develop “being halfway while shooting” as a relational concept that foregrounds the production of racialised urban knowledges, the multiplicity of Black enclosures, and the plurality of place-based strategies committed to refusal. I do so by stressing the relevance of Black fugitive thinking to account for the ongoing refusals that mark the relationship between Blackness and the British city. Methodologically, I adopt a research-activist ethnographic approach, grounded in my long-term engagement with a housing campaign in East London that organises around the housing needs of London’s racialised and gendered urban poor. Using qualitative methods - archival research, interviews, (non-)participant observations, document and media analysis - I embed contemporary struggles into long and ongoing histories of racial-capitalist urban development as well as Black and multi-ethnic refusal.
The empirical chapters trace place-making practices of enclosure and refusal across London’s post-World War II urban development. By examining the aftermath of urban revolts and changing urban welfare regimes, I explore how racialised urban governance has been historically materialised in and through the city. At the same time, I foreground how within this racialised construction of the British city, Black and differently racialised Londoners continue to hold open the possibility of refusal through places in which communal care and self-determination can be enacted. I then turn to the struggle over housing in East London, showing how contemporary processes of racialised dehumanisation and ongoing displacement are both historically rooted and actively contested. In the final empirical chapter I accentuate the relevance of these findings for German-speaking critical urban geography debates.
The research shows that racial capitalist urbanism reproduces enclosures through practices of value extraction, spatial displacement, and the policing of Black subjectivities. In response, Black and differently racialised Londoners engage in fugitive place-making. Rooted in communal care, political organisation, collective education and cultural affirmation, these practices reassert Black presence and belonging. They offer an enduring mode of place-based refusal and the ongoing possibility to stay in the city differently. These findings not only demonstrate the academic significance of my research but also underscore the urgent need to support the place-making practices of Black and differently racialised urban communities, who continue to refuse the racialised enclosure of the British city from within.
From these empirical insights, I propose the concept of a fugitive sense of place - a theoretical lens that accounts for the racialised reproduction of urban space and the transformative place-making practices of those who refuse its logics. Rather than offering prescriptive policy recommendations, I call for a reorientation of urban geographical enquiry by centring Black spatial practices, knowledges and imaginations. Through the lens of “being halfway while shooting”, I argue for a rethinking of human habitation and urban theory through the lived experiences of Black survival and refusal. Attending to a fugitive sense of place, I propose new avenues for human geography research to explore how fugitive place-making practices reshape the meanings, conditions, and possibilities of urban life.
Income composition can have a significant impact on workers’ well-being, productivity, and career paths. Wages often include a variety of components, such as unconditional bonuses, profit-sharing payments, and incentives based on the individual performance of employees. Each of these may influence employee labour outcomes differently and the worker composition may matter for managers when designing the salary package. Simultaneously, workers’ employment choices and well-being are influenced by income outside the job, such as inheritances and lottery winnings, as well as by external factors like technological change. This dissertation includes five empirical studies that investigate these issues, yielding new insights on the role of monetary gifts, financial incentives, labour market institutions, and technology disruptions in affecting employees’ labour and well-being outcomes.
Many developed countries, including Germany, face a steady rise in the share of individuals obtaining higher education. While rising education itself bears a series of advantages as extensively studied in previous literature, it is also conceptually linked to a higher likelihood of working in an occupation that does not match one’s normal qualifications. Previous studies have predominantly evaluated how demographic or job‐related aspects correlate with the likelihood of being educationally ﴾mis﴿matched. However, they have largely ignored institutional facets of the educational system or industrial organization. Moreover, little is known about how private wealth affects educational mismatch or whether job satisfaction is homogenously affected among individuals once such a mismatch occurs. The five projects collected in this thesis aim to answer these open questions in the literature for Germany, using data from the Socio‐Economic Panel and employing different time intervals between 1984 and 2022.
Beginning with the educational system in early childhood, Chapter 2 evaluates the impact of school‐starting age on the likelihood of over‐ and undereducation. It exploits the exogenous variation in school‐entry rules across federal states and years in Germany with regression discontinuity designs. The results report a negative impact of school‐starting age on the likelihood of undereducation, but no systematic relationship with overeducation.
Subsequently, Chapter 3 explores the variation in education costs by leveraging the quasi‐experimental setting induced by the time‐limited introduction of tuition fees in several German federal states between 2006 and 2014. The increase in education costs among treated graduates results in a significantly higher likelihood of overeducation, which endures even several years post‐graduation.
Chapter 4 focuses on the industrial relations system and examines the correlation between trade union membership and the likelihood and extent of educational ﴾mis﴿match. The results reveal that trade union members report significantly less overeducation at both the intensive and extensive margin and also a higher likelihood of being matched compared to non‐members. Furthermore, the heterogeneity analysis provides evidence that this correlation is driven by improved bargaining power instead of informational advantages.
Chapter 5 focuses on private wealth as a determinant of educational mismatch by investigating the impact of a wealth shock through inheritances, lottery winnings or gifts on the likelihood of over‐ and undereducation. Due to the diminishing marginal returns of wages with increasing windfall gains the likelihood of undereducation is expected to decrease, while that of overeducation is expected to increase. Empirically, these suppositions are supported for overeducation, as its likelihood increases significantly after the windfall gain.
Further analyses reveal that this effect is driven by individuals switching occupations while increasing their leisure time, and it materializes only for medium to large windfall gains. Contrary to the previous chapters, Chapter 6 focuses on educational mismatch, more precisely on overeducation, as the independent variable. In particular, it investigates the correlation between overeducation and job satisfaction. The results align with the previously established negative correlation for private sector employees exclusively. In contrast, interaction and subsample analyses reveal a positive correlation for public sector employees. This link is driven by individuals with a high degree of altruistic motivation and family orientation.
This thesis examines how Europe sustains its leadership and competitiveness as a global center for foreign direct investment (FDI) and trade between 1991 and 2023. While EU membership historically functioned as the dominant determinant of inward FDI and trade integration, its relative influence has declined as new structural factors, based on trade dynamics and export-platform strategies, have emerged, together with the growing presence of Asian, especially Chinese, investors establishing production hubs in Central and Eastern Europe to serve the wider EU market. Lower trade costs within Europe have reinforced this shift, leading EU investors to focus on vertical FDI, while non-EU investors to adopt export-platform FDI patterns. Chinese investment has moved from infrastructure-focused projects to strategic-sector FDI, highlighting Europe’s exposure to evolving global industrial and geopolitical dynamics.
Chapter 2 examines how traditional determinants of FDI, including EU membership, interact with emerging drivers, such as trade interdependence, export-platform strategies, and Asian influence, to shape investment patterns in Europe. It employs a gravity-based empirical framework augmented with newly developed indicators, comprising the Bilateral Trade Interdependence Index, the Export-Platform Indicator, and Belt and Road Initiative (BRI) participation, together with a functional integration approach, covering over 95% of European countries and their global partners from 2010 to 2023. The findings indicate that trade dependency with non-EU partners grew most rapidly, increasing by 55% between 2011 and 2023. Stronger bilateral trade interdependence is found to significantly predict higher FDI inflows. The BRI analysis and functional classification indicate a shift from infrastructure-focused Chinese investment to strategic sectors, including electric vehicles and semiconductors. Since 2018, export-platform strategies have expanded from Europe’s core economies into Central and Eastern Europe, forming emerging production hubs, and have subsequently moved toward the Western Balkans and Turkey, likely reflecting evolving EU regulations and broader supply-chain realignments.
Chapter 3 expands the FDI analysis to cover a longer timeframe, from 1991 to 2017, focusing on the period when EU membership exerted a strong influence on FDI in Europe, transforming member countries from primarily cost-attractive destinations into global investment centers. Using an augmented gravity model covering 39 host and origin countries, the analysis finds that EU membership increased FDI inflows by 23%, with investments from core EU members expanding into new EU member states, while FDI from non-EU countries decreased. At the same time, EU membership may also be driven by trade, and EEA participation reflects non-FDI motivations. The chapter also highlights that EU accession strengthens both market-seeking (horizontal) and efficiency-seeking (vertical) FDI motives and applies methods to address negative and zero FDI values issues, ensuring robust estimation. The inclusion of lagged and lead variables shows that the EU integration process is phased over time, affecting FDI inflows with lags of up to 10–15 years after accession.
Chapter 4 expands the range of FDI determinants by deriving trade cost indices as a proxy for connectivity and extending the geographic scope of the analysis. In addition to EU members, the sample includes the Western Balkans, Turkey, and new EU candidates and applicants (Moldova, Ukraine, and Georgia) over the period 2000 to 2020, covering approximately 80% of European FDI flows. Trade costs are calculated for each country in the sample with its trade partners, not only within and between European subregions but also with non-EU partners such as China, and are combined with measures of FDI restrictiveness. The results show that China remains among the EU’s top three trading partners in goods and that trade costs significantly influence FDI inflows in Europe. The analysis also highlights that declining trade costs between European countries have reduced market-seeking (horizontal) FDI, while non-European investors, especially China, increasingly pursue export-platform FDI to serve third-country markets. A sharp reduction in trade costs between the Western Balkans and the EU (-45%) and a smaller decline with China (-35%) illustrates how regional integration reduces the need for local horizontal FDI while reinforcing Europe’s role as a hub for global production.
Chapter 5 shows that despite concerns about increasing outside influence, developed European countries remain the dominant source of FDI in the region. The chapter focuses on China’s role, examining FDI patterns across advanced EU members, new member states, and Western Balkan economies between 2000 and 2019, while distinguishing the effects of EU integration and BRI participation on FDI. Chinese influence has expanded primarily through the Belt and Road Initiative, particularly in accession and neighboring countries. Although BRI participation does not significantly increase FDI on its own, reflecting the dominant part of loan-financed infrastructure rather than private investment, it has strengthened physical and digital connectivity, laying the groundwork for future, longer-term FDI. The analysis also shows that intra-EU trade costs declined significantly after the 2004 and 2007 enlargements, while trade costs between the Western Balkans and China have fallen steadily since the launch of the BRI in 2013. As a result, Chinese influence is more pronounced in new EU member states and Western Balkan economies than in Western Europe. Over time, enhanced connectivity and supply-chain integration may support more diversified FDI inflows.
This thesis seeks to improve the understanding of evolution and habitat as key factors forming tadpole morphology (i.e. of larvae of the order Anura), uncovers existing gaps in current research and recommends strategies and directions for future research. The present study improves the knowledge about the influences of evolution and habitat on the bauplan of tadpoles in a global scale ensuring maximum standardization and comparability of the data. In relation to the total number of tadpoles assumed to exist, only a small proportion has been described and only a few of them have been identified genetically. The lack of a global standard for their description makes it difficult to compare data. Using the tadpole of a harlequin frog (Atelopus) from Guiana region, it is shown that only an integrative approach with morphological and genetic data can solve taxonomic problems. In the study area of Madagascar, it becomes evident that in this region the common genetic history only has little influence on morphology, in contrast to the aquatic way of life. Tadpoles from flowing waters develop larger eyes, more robust tail muscles and smaller fins to cope better with current conditions and move more efficiently. In an additional study, the examination is extended to an almost global level. To achieve the intended standardization, over 1000 individuals (tadpoles) from 144 species have been examined. It can be shown that the common evolutionary history on a global scale influences morphology as strongly as the habitat. In addition, the influence of specialized nutrition and the climate is investigated.
Expectations play a central role in financial markets, yet investors often disagree about the economy’s future. Such disagreement has long been regarded as a potential driver of asset prices, but it remains uncertain whether it reflects mispricing or a priced source of risk. This study addresses the issue by constructing monthly disagreement indices from Consensus Economics forecasts across 24 OECD markets. Firm-level exposure to economic disagreement is estimated using return regressions. The results reveal pronounced cross-country heterogeneity. In developed markets, particularly the United States, greater exposure to disagreement consistently predicts lower future returns, supporting the mispricing hypothesis. In smaller markets, the evidence is mixed, with some cases indicating positive risk premia and others showing no significant effect. Overall, the findings provide new international evidence that the pricing of forecast disagreement is context-dependent, shaped by market structure and institutional depth.
Das Thema des Erlebnisses steht bereits seit langem im Fokus von Anbietern von Dienstleistungen. Dies gilt insbesondere für den Tourismus, einer Branche, deren Produkte zu einem signifikanten Teil aus solchen bestehen. Entsprechend der Prominenz des Themas, vor allem in den Bereichen touristischer Produktentwicklung und Marketing, ist dieses bereits breit in der Forschung diskutiert worden.
Trotz ausgiebiger Publikationsaktivitäten ist der tatsächliche Wissensstand in diesem Thema dennoch auffällig gering. Ein wichtiges Problem liegt darin begründet, dass die Terminologie im Bereich von Erlebnissen noch nicht allgemein akzeptiert und scharf abgegrenzt ist. So muss zwischen Erlebnissen und Erfahrungen unterschieden werden. Erstere treten während des Prozesses der Wahrnehmung einer touristischen Dienstleistung auf und bilden die Basis für Erfahrungen, welche prägend hinsichtlich der Wahrnehmung wirken und im Gesamtkontext der Reise betrachtet werden. Dieser Unterscheidung wird nicht nur in der englischsprachigen Literatur, in der beide Begriffe mit dem Begriff Experience beschrieben werden, sondern auch in der deutschsprachigen Literatur zumeist zu wenig Rechnung getragen, was dazu führt, dass häufig zu Erlebnissen publiziert wird, obwohl eigentlich Erfahrungen beschrieben werden. Problematisch ist dies vor allem, weil damit ein Phänomen untersucht wird, dessen Basis nahezu gänzlich unbekannt ist. Wichtige Fragen, welche zum Verständnis von Erlebnissen und damit auch von Erfahrungen bleiben unbeantwortet:
1) Welche Faktoren werden in der Genese von Erlebnissen wirksam?
2) Wie wirken diese zusammen?
3) Wie wird die Stärke eines Erlebnisses determiniert?
4) Wie werden Erlebnisse stark genug um den Konsum einer touristischen Dienstleistung zu prägen und damit gegebenenfalls zu Erfahrungen zu werden?
In der vorliegenden Arbeit wurden diese Fragen beantwortet, womit ein erster Schritt in Richtung der Füllung einer für die Tourismuswissenschaft nicht unbedeutenden Forschungslücke gelungen ist.
Um Erlebnisse, den Prozess der Genese dieser und deren Bewertung durch den Gast verstehen zu können, wurde ein triangulierter, zweistufiger Forschungsprozess ersonnen und in einem naturtouristischen Setting im Nationalpark Vorpommersche Boddenlandschaft zur Anwendung gebracht. Es handelt sich dabei um einen Mixed-Methods-Ansatz:
1) Induktive-qualitative Studie auf Basis der Grounded Theory
a. Ziel: Identifikation von Wirkkomponenten und deren Zusammenspiel und Generierung eines Modells
b. Methoden: Verdeckte Beobachtung und narrative Interviews
c. Ergebnisse: Modelle der Genese punktueller Erlebnisse und prägender Erlebnisse
2) Deduktive-quantitative Studie
a. Ziel: Überprüfung und Konkretisierung der in 1) generierten Modelle
b. Methoden: Fragebogengestützte, quantitative Befragung und Auswertung mittels multivariater Verfahren
c. Ergebnisse: Zusammenfassung der beiden Modelle zu einem finalen Modell der Erlebnis- und Erfahrungsgenese
Das Ergebnis des Vorgehens ist ein empirisch erarbeitetes und validiertes, detailliertes Modell der Genese von Erlebnissen und der Bewertung dieser durch den Erlebenden in Bezug auf deren Fähigkeit zu Erfahrungen zu werden.
Neben der Aufarbeitung und Konkretisierung dieses Prozesses konnte zusätzlich die in viele Richtungen diskutierte Bedeutung von Erwartungen und Produktzufriedenheit mit Blick auf die Bewertung von Erlebnissen geklärt werden. So konnte empirisch nachgewiesen werden, dass Erlebnisse, die auf Überraschungen, dem Unerwarteten, basierten besonders resistent gegenüber Störfaktoren waren und positive Erlebnisse zwar durchaus im Zusammenhang mit Produktzufriedenheit stehen aber sich vor allem durch eine zumindest temporär gesteigerte Lebenszufriedenheit manifestieren. Damit konnte das Hauptkriterium für die Bewertung von Erlebnissen mit Blick auf ihre Tauglichkeit zu Erfahrungen identifiziert werden.
Für die weitere Forschung kann die vorliegende Arbeit mit dem finalen Modell der Erlebnis- und Erfahrungsgenese einen soliden Ausgangspunkt bilden. So bieten zahlreiche Faktoren im Modell die Möglichkeit zur weiteren Forschung. Auch sollten die Ergebnisse in weiteren touristischen Kontexten überprüft werden.
Für die touristische Praxis kann die vorliegende Arbeit zahlreiche Hinweise geben. So bedeutet die Generierung von Erlebnissen im touristischen Kontext mehr als nur die Erfüllung von Erwartungen. Die widerstandsfähigsten Erlebnisse sind jene, die den Gast zu überraschen vermögen. Ein qualitativ hochwertiges, den Gast zufriedenstellendes Produkt ist dabei nicht mehr als ein Basisfaktor. Wirklich erfolgreich ist ein erlebnisbasierender Ansatz nur dann, wenn dieser es vermag die Lebenszufriedenheit des Gastes zu steigern.