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According to the “Ältestes Systemprogramm des deutschen Idealismus” philosophy resolves itself into poetics at the end. Hölderlin elaborates this idea in his poetic fragments. The article describes the systematic impact of Hölderlin’s concept of „Wechsel der Töne“ on the act of composing poems. On the example of the seven keywords of an unwritten poem „Ovids Rükkehr nach Rom“, the article focusses on a specific metamorphosis: the one from a pure intellectual and pre-lingual realm into the lingual sphere of a concrete poem. Thereby it becomes clear that the way of thinking (in its pre-lingual sense) is poetic; the process of thinking transforms itself into a genuine poetic progress, and vice versa the structure of a poem turns out to be part of a creative development of thinking. By contrast, the described transformative process elucidates an impact of contemporary poetics, because transformation as a core issue is mostly only referred to linguistic, social, or cultural aspects.
How do Germanophone contemporary writers conceive of their poetry in relation to their proper lives and experiences? Comparing two cycles of poems from the beginning of the years 2000 dealing with invasive medical treatments their empirical authors supposedly have undergone themselves – Ulrike Draesner’s „bläuliche sphinx (metal)“ on a missed abortion and Thomas Kling’s „Gesang von der Bronchoskopie“ on a biopsy of the lungs –, this paper explores how poetic language is used to shape and to offer experiences that are staged as escaping entire translation into linguistic propositions, thus claiming a kind of ‘complementary knowledge’ that is conceived as exclusively conveyed, or rather generated, by poetry.
This paper characterizes several ways of transferring knowledge via lyric poetry. It is argued that conveying information via schemata is a prevalent mode of that kind. But there are also others like employing a concise use of language or pointing at other texts using intertextual references. Besides, many poetry books establish some sort of a lyric sequence to further elaborate a certain topic. As information in lyric poetry is not only schematized, but also sketchy, from a critical reception point of view it may also be highlighted that recipients can make use of it as some kind of a template that enables them to gain new insights related to their own living environment.
The important role of schemata as well as the other kinds of knowledge transfer specified in this paper are exemplified with reference to the contemporary poetry of ageing and with a special focus on several poems by Harald Hartung. As ageing is a process that becomes more and more important to western societies due to demographic development, the poetry of ageing and of old age in particular may serve as a tool for gaining knowledge and especially knowledge of what-it-is-like regarding that topic. This adds even more authority to the question of how knowledge is transferred via literature and lyric poetry in particular.
Can we learn something from poetry? Can poems convey to their readers insight, knowledge, orientation, understanding or even wisdom? The paper assumes that general answers to these questions are possible but often lacking in substance. Instead, it is worthwhile to consider (a) different types of cognitive achievements and (b) sub-genres of poetry to which specific cognitive achievements have been attributed in certain aesthetic traditions as well as in literary criticism.
For this purpose, the paper introduces a modern descriptive vocabulary for various types of cognitive significance and advocates an orientation to the concept of “knowledge” instead of more vague terms like “insight” or “understanding”. In a second step, the paper deals with three sub-genres of lyric poetry, whose cognitive value has repeatedly been claimed in aesthetic traditions as well as in literary studies: “didactic poetry”, “philosophical poetry” (Germ. „Gedankenlyrik“) and “poetry of moods”.
By means of concrete examples, the paper shows how each of the three sub-genres privileges a certain type of cognitive significance or a certain “mechanism” of knowledge communication. In a third step, the paper points out which basic features of poetry, such as fictionality, argumentativeness, and literariness, are essential and which are irrelevant to the different types of cognitive significance. Finally, the paper discusses (a) whether the three sub-genres of lyric poetry can be defined without reference to their cognitive functions and (b) whether it would be more appropriate to postulate corresponding practices of reading lyric poetry that are linked but not restricted to these sub-genres of lyric poetry and therefore can basically be applied to every poem.
The paper gives a survey on the German tradition of didactic poems and nature poems from the 18 th century to the immediate present. The early modern pattern of nature as a peaceful Arcadia, the enlightenment pattern of nature reflecting God in every detail, and the romanticist pattern of nature that is impenetrable but nevertheless a permanent object of longing (“Sehnsucht”) are proved to be models of nature poetry that are the most important reference points up to now. The poems about nature written in the early 21st century refer to these models as well as to their destruction and deconstruction by the modernists and avantgardes of the 20th century. The most convincing poets devoting their attention to nature today play with these traditions with artistic perfection and in an ironic manner at the same time. Often, annotations, essays, and talks on nature are accompanying the lyrical texts. In the present, female writers are the authors of some of the best poems about nature. In several poems, the relationship between love and nature appears under new perspectives. Other important subjects are the landscapes of far-away countries.
Evaluation in lyrical poetry is mostly uncharted territory, although subgenres such as panegyric or elegy suggest that it has a rich tradition. This contribution proposes a definition of evaluation in lyrical poetry and explores possible forms and functions of such evaluations in selected examples. The analyses suggest that contemporary poetry, although it may be full of evaluative expressions, provides few clues to the actual object of evaluation or the axiology of evaluation, which makes evaluation in poetry appear vague, incomplete or enigmatic. Despite this tendency towards vagueness, evaluation in poetry may help to convey knowledge to its recipients. Among others, poems by Erika Burkart, Daniela Danz and Wulf Kirsten will demonstrate that evaluation may serve as an enhancement of represented experiences, in particular by tapping into a phenomenological knowledge of ‘what-it-feels-like’ to be in such and such a situation.
Literature and thus also historical poetry want “not only to convey factual truth and to exhort subjective truthfulness, but also to give orientation for the – in whatever respect – correct or appropriate world behavior” (Lamping 2013: 65f.). The question of this paper is to what extent and how the 9/11-poems of Thomas Kling and Durs Grünbein offer a specific counter-historiography beyond the dichotomies of truth and falsehood, fact and fiction, in order to achieve a different level of knowledge. Due to the exhibited self-relatedness Grünbein presents not only in his essayistic pretext but also in his poem „September-Elegien“ mainly a subjective truthfulness rather than any certain orientation-knowledge. Kling’s historiographical-wrapped and complex instrumented poem „Manhattan Mundraum Zwei“ offers over-temporal, metaphysical-existential (counter-)truths and gives orientation beyond media-presented “facts” about 9/11.
Die "Gedankenkunst" des lyrischen Schöpfertums. Metaphysische Aspekte in der Poetik Olʼga Sedakovas
(2019)
This article examines the features of cognition gained through poetic creativity. First, three aspects of the theoretical considerations of Russian poet Olʼga Sedakova are considered: the attributes of the poetic state, the subject of poetical creation and of poetical reception, and the relationship of poetical creation and mystical experience. Second, parallels to her literary work are demonstrated in an overview, but also discussed in a concrete analysis of one of her poems («Vzgljad kota»). It is shown that Sedakova is entangled in contradictions in her theoretical work because she reproduces the openness and ambiguity of poetic writing in her theoretical texts. Finally, it is demonstrated that the poetic state can be characterized on the basis of her theoretical and poetical work as non-propositionally, founded in a pre-conscious mental structure, and can be qualified with Leibniz’ concept of the cognitio clara et confusa.
This article analyses the depiction of school as a place of knowledge in contemporary poetry in English. In dealing with the poetry of Jean Breeze (Jamaica/GB), Gillian Clarke (Wales/GB), Carol Ann Duffy (England/GB), Thabo Jijana (South Africa), Meena Kandasamy (Tamil Nadu/India), Claudia Rankine (USA) and Edwin Thumboo (Singapore), it does not only enable the reader to draw pedagogical conclusions from poetic evidence. The article differentiates further between a poem’s potential of knowledge and its process of knowledge developed during its reception; taking, additionally, into account how its reception might interfere with the poem’s potential of knowledge and even with its author’s intention. Eventually, each poem highlights an important anglophone region ranging from the United States, the Caribbean, India and South Africa to the British Isles and Singapore. Hence, each poem is also interpreted in its cultural and historical context. Last but not least, the article tries to undertake a comparative analysis of the role of contemporary German-language poetry within educational contexts in Germany.
The ability of poetry – on the basis of its generic capability to bring together playfulness and awareness, an anticipated future (Ahnung) and the present – has had consequences for the history of German poetry insofar as poetry could function as a seismograph of tectonic shifts in times of societal crisis. Such was the case in the 1980s, when the East German state entered a phase of agony and there was ever more apparent disquiet in society. Multiple moments of consolidation shaped the poetry of the GDR which ought to be investigated for its epistemological potential: first, the return of political “poems for the times” (Zeitgedichte) in satirical diagnoses, second, poetic anticipation in accumulated collections of surreal visual constructs in poetry and the emphasis of grotesque effects, third, the exorbitant adventure to bring to life a space of thought and language beyond authoritarian surveillance – that is, the ambition to free the diffuse, the Proteus-esque, the marginalized, and the secretive from ossified discourse structures. A fourth tendency further resides in the historical-philosophically grounded self-determination of position and reassurance (Standortbestimmung und Vergewisserung) in poetry. Repeatedly these are bound to decided rejections of every kind of teleological progress, at times with apocalyptic scenarios. Premonition and anticipated knowledge intertwine when, for example, Volker Braun foresees the fall of the Berlin Wall in a poem written in 1988.
Walter Benjamin developed his concept of the “aura” on the basis of the poetry of Baudelaire and applied this term to objects of art, nature, and man. Georg Picht transformed Benjamin’s aura-concept into a method of pre-rational knowledge forms, whose mediums includes foremost music, but also poetry and art. In modern nature poetry the varieties of aura cognition can be determined and described with the help of Benjamin’s and Picht’s concepts: Gennadij Ajgi creates poetic equivalents for the experience of nature-aura; Keijiro Suga makes a diagnosis of aura of areas of natural sites or landscapes and their historical transformation through war and nuclear catastrophe (Fukushima); Christian Lehnert translates auratic communication with nature in poetic conversations.
The article considers the question whether poets lie against the background of the possible difference between poetical and discursive knowledge. Starting from Plato’s thesis, namely that poets lie, the article refers to Rorty, who, in contrast to Plato and with the example of Nabokov, recognizes in poetry a special kind of knowledge. It is opposed to discursive knowledge, which is closely related to prose. In the second part Parmenides’ didactic poem “On Nature” is seen as an example of proposing discursive truth in poetic words. Heidegger read Parmenides’ poem as a case for the evidence of truth in non-ambiguous poetical words (cf. the example “a-letheia” – un-concealedness, truth). Popper, however, interpreted the same text very differently, namely as a critical reference to the principal ambiguity of the word in human language and as the first known instance of the presentation of the deductive method. In this context the works of Nietzsche and Solov’ev are seen as opposed to each other, as Nietzsche in “Zarathustra” identified philosophical and poetical knowledge, whereas Solov’ev in his main work kept them separate from each other. The last part of the article studies the relation of poetical and discursive knowledge in poems of Gennadij Ajgi with their closeness to the dream, of Vera Stepanova with the intriguing opening to the co-presence of the Poetical I and the Other in one and the same word and of Durs Grünbein, who exposes the ambiguity of poetical language as a means to show that even untruth can open a way to come to truth. Then the lie of poetical words can be their way to say the truth.
“But now I know”: Erkenntnisprozesse als mentale Ereignisse in zeitgenössischer englischer Lyrik
(2019)
On account of its constitution as a temporally organized sequence of verbal utterances, typically presented from a speaker’s subjective perspective, lyric poetry is particularly suited to simulate mental processes and thereby mediate forms of cognition and insight. Indeed, the presentation of cognitive phenomena can be considered one of the prime functions of lyric poems throughout the history of poetry. For the analysis of such processes in poems a transgeneric narratological approach is here proposed, which is ultimately based on the anthropological fact that human existence is inescapably subject to temporality and change and that individuals are therefore permanently concerned with understanding, structuring, planning or preventing change. For this purpose, they employ the basic operation of narration in their communication both with others and themselves as well as in the production and reception of the various artistic genres, not only in fiction, drama and film, but also in lyric poetry. Poems employ narrative elements in a variety of modes which are specific to poetry, such as psycho-narration, mini-narratives, condensed, implicit or metaphorical narratives. A central device for structuring and interpreting a narrative sequence is the event, a transformation or decisive turn in the chain of changes, which then constitutes the moment of cognition or insight in the poem. The presentation of such a mental transformation from the speaker’s limited subjective perspective allows for a critical assessment of status and motivation of the process of cognition on the part of the reader.
This transgeneric narratological approach to the cognitive dimension of lyric poetry will first be demonstrated with the analysis of an older prototypical example, W. B. Yeats’s “The Second Coming”, and then applied to three recent, complex British-Irish poems, Eavan Boland’s “The Making of an Irish Goddess”, Kathleen Jamie’s “The Way We Live” and Paul Muldoon’s “Why Brownlee Left”, exemplifying the range of variation in which lyric poetry can perform and mediate mental processes of cognition.
Lyrik und Erkenntnis
(2019)
This text examines various positions and opinions on the question of the relationship between lyric and knowledge. In this respect, we can, on the one hand, determine traditional positions which contend that poetry may be understood as a tool of thought or at least offer access to knowledge. On the other hand, there are positions that strongly advocate the view that knowledge depends on methodically secured insight (cognition) that cannot be realized in poetry. This article adopts Gabriel’s (2013) mediating position, which assumes that there are other forms of non-propositional knowledge besides propositional knowledge, such as ‘knowing-what-it-is-like’ and others. Following the definition of lyric by Zymner (2009), the focus is then set on the issue of how lyric may convey nonpropositional knowledge. An analysis of a poem by Herta Müller will provide an example for an imparting of lyrical knowledge by showing (‚Aufweisen‘).
The problem of this volume is not so much ‚Lyrik‘ but rather ‚Erkenntnis‘ (knowledge, cognition). This paper, therefore, discusses a revision of the notion of ‚erkennen‘ (knowing, realizing, understanding), explaining it as a way of transforming our way of thinking things at the same time as understanding ourselves and other cognizant beings. In this way, the notion of knowledge / understanding is to be freed from the narrow restrictions of science, by which most of us have acquired the habit of limiting understanding to specific scientific methods. Beyond the bounds of established scientific standards, the practice of philosophical thinking reveals analogies to the practice of lyrical thinking. Both try to explore new ways of thinking beyond the limits of established methodological guidelines. Which characteristics do they share, which differences remain? But most of all, how can these nonscientific ways of searching for knowledge be protected from confusion and disorientation? How may their ways of thinking be legitimized? Where do they lead?
A major thesis of the paper argues that both ways of searching for knowledge, poetry and philosophy, question the generally accepted distinction of analytical and synthetic judgements. This distinction is a constitutive element of any scientific discourse manifesting itself in the importance of the introductory definitions of its specific basic terms. They start from the common experience that seemingly evident words and notions, by being used in unaccustomed ways, may change their meanings, i.e. their relations to other words and notions. Both in their own traditions, experimental practices of thinking poetry as well as philosophy, may succeed in opening up new ways of perceiving of things as well as realizing the thinkers’ own position in the world while attempting to convince others to join them in doing so.
From the point of view of a philosophy of literature the position of lyric poetry is specific. While epistemic approaches focus on fiction and its forms of cognition, lyric poetry is often reduced to conveying emotions or atmosphere. While arguing for the epistemic content of lyric poetry, the paper will focus on the concept of representation (‚Vergegenwärtigung‘). Emphasis will be placed on the non-propositional component of cognition as well as on a specific understanding of experience in the form of knowing, ‘what-it-islike’. While didactic poetry displays a propositional character, nonsense-poetry with its emphasis on analogy as well as the poetry of experience (‚Erlebnisdichtung‘) fall on the non-propositional side. The form of cognition that is central, here, resembles that of Bertrand Russell’s ‘knowledge by acquaintance’, albeit as one of indirect acquaintance. In contrast to phenomenal experience and an emotivistic reading of poetry the non propositional knowledge it conveys is based on cognitive procedures such as imagination and/or projection. In sum, then, the epistemic impact of literature is not restricted to fiction but can also be said to apply to lyric poetry.
The relationship between poetry and cognition appears, at first glance, as hardly compelling as that of art and science, of feeling and thinking, or even of intuition and analysis. For this reason, its analysis is fundamentally concerned with questions from philosophical and literary criticism perspectives: Which forms of “cognition” are possible in poetry? In what way and in what forms can poetry also be a medium of generation and/or mediation of cognition, experience or even knowledge and truth? And which processes, matters, or “information” are thereby privileged? Are there subgenres of poetry, for example historical poetry, reflective poetry or didactic poetry, that are especially relevant as regards cognitive functions? And can cognition also be mediated through aura, Stimmung or experience?
Zum Geleit
(2019)
”Poetry and Cognition“ is a topic which could be regarded as paradigmatic for the objective of this journal: Exploring a phenomenon which primarily discloses itself to a transdisciplinary and polyperspectivic approach, extending across research areas defined by disciplines and subjects. The question of knowledge gained by and within poetry neither exclusively falls within the scope of a genuinely literary, philological or even lyricological research area, nor does it entirely belong into various fields of philosophy, such as aesthetics or epistemology, but requires for its discussion both, an approach from the perspective of specialised academic research on poetry as well as from an epistemological point of view.
Lyrik gilt vielfach als hermetisch, gefühlszentriert oder ästhetisch überdeterminiert. Daher ist das Verhältnis von Lyrik und Erkenntnis auf den ersten Blick so wenig zwingend wie das von Kunst und Wissenschaft, von Fühlen und Denken oder auch von Intuition und Analyse. Die Beiträge des Bandes widmen sich aus philosophischer und literaturwissenschaftlicher Perspektive Praktiken und Formen, die sich in der Lyrik, insbesondere in der Gegenwartslyrik, möglicher Erkenntnisfunktionen bedienen. Dabei geht es um grundsätzliche Fragen zum Verhältnis von Lyrik und Erkenntnis: Welche Formen von ‚Erkenntnis‘ sind in der Lyrik überhaupt möglich? Inwiefern und mit welchen Formen kann Lyrik auch ein Mittel der Generierung und/oder Vermittlung von Erkenntnis, Erfahrung oder gar Wissen und Wahrheit sein und welche Verfahren, Inhalte oder ‚Informationen‘ werden dabei bevorzugt? Gibt es Subgenres der Lyrik, beispielsweise Geschichtslyrik, Gedankenlyrik oder Lehrdichtung, die im Hinblick auf Erkenntnisfunktionen besonders relevant sind? Und kann Erkenntnis auch durch Aura, Stimmung oder Erlebnis vermittelt werden?
Human behavior in regard to financial issues has long been explained in the light of the efficient market hypothesis. Following the strict interpretation of this theory, investors in the financial markets take into account that all relevant information is already included in the market price of an asset. Accordingly, information from the past does not affect future prices as all information is instantly incorporated. However, focussing on the actual behavior of humans, our empirical results indicate that the existing market conditions influence the behavior of stock market investors.
In the introductory chapter, we describe the difficulties of the efficient markets hypothesis in explaining the behavior of investors within a strictly rational frame. In the second chapter, we show that investors do consider the previous market development for their upcoming investment decisions. First, stock market patterns with predominantly positive days trigger significantly more trades than patterns with negative days. And second, after recent upward movements, investors sell proportionally more stocks than they buy. In the third chapter, we expound a theoretical framework that connects investment-related triggers of arousal, such as the performance of own stocks and the general market environment, with investors’ risk appetite in the decision-making processes. Our model predicts that aroused investors accept higher risks by holding stocks longer in comparison to their less aroused peers. In the fourth chapter, we show how two extreme market environments, the bull and the bear market, affect the disposition effect and especially learning to avoid this behavioral bias. Investors are subject to the bias in each market phase but with a far stronger propensity during the bear market. However, we show that investors also make the greatest progress in avoiding the disposition effect during this period.
These results suggest that future studies about investors’ behavior in the financial markets should consider the market environment as an important determinant.
This thesis sheds light on the heterogeneous hedging behavior of airlines. The focus lies on financial hedging, operational hedging and selective hedging. The unbalanced panel data set includes 74 airlines from 39 countries. The period of analysis is 2005 until 2014, resulting in 621 firm years. The random effects probit and fixed effects OLS models provide strong evidence of a convex relation between derivative usage and a firm’s leverage, opposing the existing financial distress theory. Airlines with lower leverage had higher hedge ratios. In addition, the results show that airlines with interest rate and currency derivatives were more likely to engage in fuel price hedging. Moreover, the study results support the argument that operational hedging is a complement to financial hedging. Airlines with more heterogeneous fleet structures exhibited higher hedge ratios.
Also, airlines which were members of a strategic alliance were more likely to be hedging airlines. As alliance airlines are rather financially sound airlines, the positive relation between alliance membership and hedging reflects the negative results on the leverage
ratio. Lastly, the study presents determinants of an airlines’ selective hedging behavior. Airlines with prior-period derivative losses, recognized in income, changed their hedge portfolios more frequently. Moreover, the sample airlines acted in accordance with herd behavior theory. Changes in the regional hedge portfolios influenced the hedge portfolio of the individual airline in the same direction.
The World's second oldest system of judicial review of national legislation emerged through court practice from the very first years after the adoption of the Constitution of Norway in 1814. The review is exercised by the ordinary courts at all levels with the single Supreme Court as the last instance. No specialized constitutional court has been established. The independence of the judiciary is generally recognized as high. But what degree of legitimacy should judges appointed in order to ensure ordinary judicial business enjoy when exercising a basically political function like reviewing and possibly setting aside acts of Parliament?
Die vorgelegte Dissertation trägt den Titel Regularization Methods for Statistical Modelling in Small Area Estimation. In ihr wird die Verwendung regularisierter Regressionstechniken zur geographisch oder kontextuell hochauflösenden Schätzung aggregatspezifischer Kennzahlen auf Basis kleiner Stichproben studiert. Letzteres wird in der Fachliteratur häufig unter dem Begriff Small Area Estimation betrachtet. Der Kern der Arbeit besteht darin die Effekte von regularisierter Parameterschätzung in Regressionsmodellen, welche gängiger Weise für Small Area Estimation verwendet werden, zu analysieren. Dabei erfolgt die Analyse primär auf theoretischer Ebene, indem die statistischen Eigenschaften dieser Schätzverfahren mathematisch charakterisiert und bewiesen werden. Darüber hinaus werden die Ergebnisse durch numerische Simulationen veranschaulicht, und vor dem Hintergrund empirischer Anwendungen kritisch verortet. Die Dissertation ist in drei Bereiche gegliedert. Jeder Bereich behandelt ein individuelles methodisches Problem im Kontext von Small Area Estimation, welches durch die Verwendung regularisierter Schätzverfahren gelöst werden kann. Im Folgenden wird jedes Problem kurz vorgestellt und im Zuge dessen der Nutzen von Regularisierung erläutert.
Das erste Problem ist Small Area Estimation in der Gegenwart unbeobachteter Messfehler. In Regressionsmodellen werden typischerweise endogene Variablen auf Basis statistisch verwandter exogener Variablen beschrieben. Für eine solche Beschreibung wird ein funktionaler Zusammenhang zwischen den Variablen postuliert, welcher durch ein Set von Modellparametern charakterisiert ist. Dieses Set muss auf Basis von beobachteten Realisationen der jeweiligen Variablen geschätzt werden. Sind die Beobachtungen jedoch durch Messfehler verfälscht, dann liefert der Schätzprozess verzerrte Ergebnisse. Wird anschließend Small Area Estimation betrieben, so sind die geschätzten Kennzahlen nicht verlässlich. In der Fachliteratur existieren hierfür methodische Anpassungen, welche in der Regel aber restriktive Annahmen hinsichtlich der Messfehlerverteilung benötigen. Im Rahmen der Dissertation wird bewiesen, dass Regularisierung in diesem Kontext einer gegen Messfehler robusten Schätzung entspricht - und zwar ungeachtet der Messfehlerverteilung. Diese Äquivalenz wird anschließend verwendet, um robuste Varianten bekannter Small Area Modelle herzuleiten. Für jedes Modell wird ein Algorithmus zur robusten Parameterschätzung konstruiert. Darüber hinaus wird ein neuer Ansatz entwickelt, welcher die Unsicherheit von Small Area Schätzwerten in der Gegenwart unbeobachteter Messfehler quantifiziert. Es wird zusätzlich gezeigt, dass diese Form der robusten Schätzung die wünschenswerte Eigenschaft der statistischen Konsistenz aufweist.
Das zweite Problem ist Small Area Estimation anhand von Datensätzen, welche Hilfsvariablen mit unterschiedlicher Auflösung enthalten. Regressionsmodelle für Small Area Estimation werden normalerweise entweder für personenbezogene Beobachtungen (Unit-Level), oder für aggregatsbezogene Beobachtungen (Area-Level) spezifiziert. Doch vor dem Hintergrund der stetig wachsenden Datenverfügbarkeit gibt es immer häufiger Situationen, in welchen Daten auf beiden Ebenen vorliegen. Dies beinhaltet ein großes Potenzial für Small Area Estimation, da somit neue Multi-Level Modelle mit großem Erklärungsgehalt konstruiert werden können. Allerdings ist die Verbindung der Ebenen aus methodischer Sicht kompliziert. Zentrale Schritte des Inferenzschlusses, wie etwa Variablenselektion und Parameterschätzung, müssen auf beiden Levels gleichzeitig durchgeführt werden. Hierfür existieren in der Fachliteratur kaum allgemein anwendbare Methoden. In der Dissertation wird gezeigt, dass die Verwendung ebenenspezifischer Regularisierungsterme in der Modellierung diese Probleme löst. Es wird ein neuer Algorithmus für stochastischen Gradientenabstieg zur Parameterschätzung entwickelt, welcher die Informationen von allen Ebenen effizient unter adaptiver Regularisierung nutzt. Darüber hinaus werden parametrische Verfahren zur Abschätzung der Unsicherheit für Schätzwerte vorgestellt, welche durch dieses Verfahren erzeugt wurden. Daran anknüpfend wird bewiesen, dass der entwickelte Ansatz bei adäquatem Regularisierungsterm sowohl in der Schätzung als auch in der Variablenselektion konsistent ist.
Das dritte Problem ist Small Area Estimation von Anteilswerten unter starken verteilungsbezogenen Abhängigkeiten innerhalb der Kovariaten. Solche Abhängigkeiten liegen vor, wenn eine exogene Variable durch eine lineare Transformation einer anderen exogenen Variablen darstellbar ist (Multikollinearität). In der Fachliteratur werden hierunter aber auch Situationen verstanden, in welchen mehrere Kovariate stark korreliert sind (Quasi-Multikollinearität). Wird auf einer solchen Datenbasis ein Regressionsmodell spezifiziert, dann können die individuellen Beiträge der exogenen Variablen zur funktionalen Beschreibung der endogenen Variablen nicht identifiziert werden. Die Parameterschätzung ist demnach mit großer Unsicherheit verbunden und resultierende Small Area Schätzwerte sind ungenau. Der Effekt ist besonders stark, wenn die zu modellierende Größe nicht-linear ist, wie etwa ein Anteilswert. Dies rührt daher, dass die zugrundeliegende Likelihood-Funktion nicht mehr geschlossen darstellbar ist und approximiert werden muss. Im Rahmen der Dissertation wird gezeigt, dass die Verwendung einer L2-Regularisierung den Schätzprozess in diesem Kontext signifikant stabilisiert. Am Beispiel von zwei nicht-linearen Small Area Modellen wird ein neuer Algorithmus entwickelt, welche den bereits bekannten Quasi-Likelihood Ansatz (basierend auf der Laplace-Approximation) durch Regularisierung erweitert und verbessert. Zusätzlich werden parametrische Verfahren zur Unsicherheitsmessung für auf diese Weise erhaltene Schätzwerte beschrieben.
Vor dem Hintergrund der theoretischen und numerischen Ergebnisse wird in der Dissertation demonstriert, dass Regularisierungsmethoden eine wertvolle Ergänzung der Fachliteratur für Small Area Estimation darstellen. Die hier entwickelten Verfahren sind robust und vielseitig einsetzbar, was sie zu hilfreichen Werkzeugen der empirischen Datenanalyse macht.
Der Photograph Willi Huttig
(2019)
This working paper examines the concept of metabolism and its potential as a critical analytical lens to study the contemporary city from a political perspective. The paper illustrates how the metabolism concept has been used historically, both as a metaphor to describe the technological, social, political and economic dimensions of human-environment relations, and as a concrete analytical tool to quantify and better understand how flows of matter and energy shape the territorial and spatial configurations of cityscapes. Drawing on the example of the urban water metabolism of the Greater Accra Metropolitan Area (GAMA), it is argued that contemporary approaches to metabolic analysis should be extended in two ways to increase the integrative potential of the urban water metabolism concept. On the one hand, the paper demonstrates that a political ecology approach is particularly well-suited to illuminate the contested production of urban environments and move beyond a narrow technical, managerial and state- centric focus in research on urban metabolic relations. On the other hand, the paper advocates for an approach to metabolic analysis that views the urban environment not simply as a relatively static exteriority that is produced by dynamic flows of matter, energy and information, but rather as a dynamic, nested and co-evolutionary network of complex biosocial and material relations, which in itself shapes how various metabolisms interact across scales. The paper then concludes by briefly discussing how a combination of metabolic analysis and political ecology research can inform urban water governance. In sum, the paper emphasizes the need for metabolic analysis to remain open to a plurality of different knowledge forms and perspectives, and to remain attentive to the inherently political nature of material and technological phenomena in order to allow for mutually beneficial exchanges between various scholarly communities.
The impacts of intense urbanization and associated urban land-use change along coastlines is vast and unprecedented. Several coasts of the world have been be subjected to human-induced coastal changes and it is imperative to monitor, assess and quantify them. This paper provides the state-of-the-art discourses on the changing dynamics of urban land-use driven by the forces of urbanization. Drawing on extant literature mainly from Web of Science and Google scholar, the status quo of the spatio-temporal dynamics of urbanization and urban change processes were explored with specific focus on global, Africa, Ghana and an actual case of Accra coast. Findings show whilst urbanization continues to increase exponentially, urban land also continue to change markedly. Current trends and patterns shows that changing urban dynamics exhibit are distinctly different from that of the past. Particularly, the rate, magnitude, geographic location, urban forms and functions are changing. In the specific case of Accra coast, there is general trend of urbanization moving outwards, i.e. from the core city centre towards the peripheral areas. Additionally, spatial urban pattern is dominated by urban sprawl, characterized by the cyclical process of diffusion and coalescence. The processes of urbanization are further exacerbated within coastal areas with a new and unique spatial urban form, “tourism urbanization” emerging. This new urban form is largely driven by rapid expansion of tourist infrastructure, developing at the instance of government policy to develop coastal tourism. In addition, the coastal conurbation of Accra-Tema is a powerful hub for industrial and commercial activities, which is drawing huge “humanline” to- wards the coastline. The literature illustrates that contemporary approaches and conceptualizations for urbanization and urban land-use change analysis be extended particularly from the mere focus on statistical classifications of cities in different size categories. With the urban fringe spreading outwardly, it should be kept in mind that new forms of urban settlements are emerging along with varying sizes. Considering the multiple scales, magnitude and rates involved as well as the geospatial patterns of urban change processes, experimental case studies that include coastal cities, Peri-urban fringes and interconnections with rural areas across a range of urbanization processes is essential and very urgent.
The main socio-ecological pressures in five wetlands in the Greater Accra Region were first identified and then summarized by reviewing the relevant literature. As a second step, fieldwork in the region was carried out in 2016 to further examine the pressures identified in the literature. Most research on the wetlands in Ghana was published around the year 2000. Yet, similar socio-ecological pressures persist today. Based on both, fieldwork observations and the literature review, these pressures were ranked using the IUCN pressures system analysis framework. It is suggested that further research needs to proceed with uncovering how trade-offs between ecosystem and quality of life can be defined.
In a first step, this paper analyses the emergence of the UN Sustainable Development Goals (SDGs) as new global development framework with regard to key actors, social learning cycles, innovation platforms, fundamental policy changes and transition dynamics towards sustainability. In a second step, it traces the convolution of social, political and environmental dimensions, social power relations and governance paradigms embedded in the drafting process and final framework of the water related SDG 6. This research concludes that the SDGs induced important paradigm and policy changes in addition to rearranging existing power relations.
Stakeholder Mapping
(2019)
This report presents the results of a stakeholder mapping exercise carried out in the WaterPower project. The mapping was conducted for the following main research areas of the project: water supply, land use planning and management, wetland management and climate change adaptation/disaster risk reduction. The report gives an overview of the stakeholders that play a role in these respective areas and identifies those who have concomitant responsibilities in different sectors. It represents the first step towards further involvement of stakeholders in the WaterPower project.
In the first overview lecture, we take a look at conceptualizations of water – from the hydrological cycle to socio-political perspectives on water. During the 20th century, water management developed from traditional uses and local industrial schemes to the “hydraulic paradigm” and finally, to the concept of modern water governance at the turn of the millennium. We will raise the question of whether there has truly been a paradigm shift from the natural, science based hydraulic paradigm to water governance and how dual- isms of culture/society and nature are still being reproduced. With this in mind, we will also take an introductory look at the much talked about global water crisis.
GIS – what can and what can’t it say about social relations in adaptation to urban flood risk?
(2019)
Urban flooding cannot be avoided entirely and in all areas, particularly in coastal cities. Therefore adaptation to the growing risk is necessary. Geographical Information Systems (GIS) based knowledge on risk informs location-based approach to adaptation to climate risk. It allows managing city- wide coordination of adaptation measures, reducing adverse impacts of local strategies on neighbouring areas to the minimum. Quantitative assessments dominate GIS applications in flood risk management, for instance to demonstrate the distribution of people and assets in a flood prone area. Qualitative, participatory approaches to GIS are on the rise but have not been applied in the context of flooding yet. The overarching research question of this working paper is: what can GIS, and what can it not say about relationships / social relations in adaptation to urban flood risk? The use of GIS in risk mapping has exposed environmental injustices. Applications of GIS further allow model- ling future flood risk in function of demographic and land use changes, and combining it with decision support systems (DSS). While such GIS applications provide invaluable information for urban planners steering adaptation they however fall short on revealing the social relations that shape individual and household adaptation decisions. The relevance of networked social relations in adaptation to flood risk has been demonstrated in case studies, and extensively in the literature on organizational learning and adaptation to change. The purpose of this literature review is to identify the type of social relations that shape adaptive capacities towards urban flood risk which can- not be identified in a conventional GIS application.
Understanding the mechanisms that shape access to the fisheries ecosystem service in Tsokomey, Accra
(2019)
Questions of access to ecosystem services remain largely unaddressed. Yet, in the coming decades, addressing access to services and securing them for livelihoods and well-being of people will likely gain importance, especially to guide according policies at the local scale. Through a qualitative approach, this paper addresses the mechanisms that shape access to the fisheries eco- system service in Accra, Ghana. The analysis uses a framework that focuses on access to land, tools and technology, knowledge and information, capital and credit, as well as labor. This research reveals how access is organized across the different categories of this framework and how people’s well-being is shaped. Moreover, it helps to further our understanding of what regulates the access to ecosystem services and how to address future shocks and capacity in terms of production of ecosystem services.
The rate and range of ongoing changes in social and ecological systems and particularly the global environmental degradation illustrates the need of holistic and sustainable approaches for the governance of natural resources to ensure their well-functioning for future generations (Rockström et al. 2009). The narrative of common pool resources system such as SES of small-scale fisheries, reports world-wide of stock collapse, environmental degradation and overexploitation (Cinner et al. 2013). In order to understand the complexity of system interactions in those resource systems, the consideration of local scale specific phenomena is of great relevance (Ostrom 2007b). The focus of this thesis consequently is the social-ecological system of a small scale fishery in a heavily urbanised coastal wetland on the fringes of Ghana ́s capital Accra. With the theoretical foundation of the social-ecological system (SES) theory (Folke et al. 2004; Berkes et al. 2003; G. S. Cumming 2011) and the social-ecological system framework (SESF) by Ostrom (2007a) and McGinnis & Ostrom (2014) as analytical tool, the study ex- amines the role of the fishers as focal actor group and the governance system based on traditional ecological knowledge (TEK) (Berkes et al. 2003). While the common narrative of system collapse is partly confirmed for the focal system, also contradicting findings about the diversity of the actor group, their sustainable and responsible exploitation of the deltas resources have been found, that rather illustrate the fishers as potential cooperation partners for the development of sustainable governance strategies (see Hollup 2000) than simply as bur- den to the system. However, the results also show that in order to achieve sustainable outcomes in the focal SES, so far unsuccessful top-down governance efforts have to work cooperatively with the fishers to challenge the multiple threats to the system from external perturbation and internal changes, in the long run.
As in many other cities of the Global South, in Accra and its Greater Metropolitan Area (GAMA) water provision for drinking, domestic and productive uses is coproduced by multiple provisioning and delivery modalities. This paper contributes to the overall understanding of sociospatial conditions of urban water (in)security in GAMA. By looking at the geography of infrastructure and inequalities in water access, it seeks to identify patterns of uneven access to water. The first part provides an overview of urban water supply in GAMA, focusing on water infrastructure and the perspective of water providers. In the second part, households’ access strategies are discussed by combining both quantitative and qualitative perspectives. The paper brings together literature research and empirical material collected during fieldwork in the Ghanaian capital city.
This literature review was conducted to identify important wetlands in the Greater Accra Region and to illustrate dominant research trends, prevailing perspectives and corresponding research gaps. Six wetlands systems were identified as most significant lagoon systems, namely the Densu Delta, Sakumo, Muni-Pomadze, Keta, Korle and Songor Lagoons. Research foci for each of the respective wetlands were extrapolated and summarized in a category system. The frequency of different categories illustrates that natural science’s perspectives dominate, as most of Accra’s lagoons have been studied with regard to their ecological, physical and chemical properties. The development of research interest over time and focus on ecological baseline conditions are related to the designation of Ramsar Sites and orientation of national policies towards environmental protection. A research gap was identified, as studies link their findings to human activities but neglect the connection between governance variables and environmental developments. It is suggested to expand the natural science’s perspective on Accra’s wetlands to account for social and political aspects in order to develop a holistic and more sustainable management strategy.
This paper provides an overview of five major shifts in urban water supply governance in relation to changing paradigms in the water sector as a whole and in water-related research: i) the municipal hydraulic paradigm in the Global North; ii) its travel to cities in the Global South; iii) the shift from government to governance; iv) the (private) utility model and v) its contestation. The articulation of each shift in the Ghanaian context is described from the creation of the first water supply system during colonial time to the recent contestation against private corporate sector participation. Current challenges are outlined together with new pathways for researching urban water governance. The paper is based on a literature review conducted in 2015 and serves as a background study for further research within the WaterPower project.
This working paper outlines analytical pathways that could contribute to deepening the understanding of water inequalities in cities of the Global South. It brings together the status quo of research on water inequalities in Accra, the capital of Ghana, and studies on Environmental Justice. In doing so, it argues for the need to analytically distinguish between the terms ‘(in)equality’ and ‘(in)justice’. Studying everyday water practices and per- spectives on water (in)justice of different stakeholders would be a suitable entry point for an in-depth ethnographic study that analytically separates water inequalities and water injustices but considers their interlinkages. The working paper is based on a literature review conducted in 2015 in the scope of the WaterPower project.
Both water scarcity and flood risk are increasingly turning into safety concerns for many urban dwellers and, consequently, become increasingly politicised. This development involves a reconfiguration of the academic land- scape around urban risk, vulnerability and adaptation to climate change research. This paper is a literature assessment of concepts on disaster risk, vulnerability and adaptation and their applicability to the context of studying water in an African city. An overview on water-related risk in African cities is presented and concepts and respective disciplinary backgrounds reviewed. Recent debates that have emerged from the application of risk, vulnerability and adaptation concepts in research and policy practice are presented. Finally the applicability of these concepts as well as the relevance and implications of recent debates for studying water in African cities is discussed. ‘Riskscape’ is proposed as a conceptual frame for close and integrated analysis of water related risk in an African city.
In der kleinen ostfriesischen Kirchengemeinde W. hat sich im Jahr 1969 ein plötzlicher Todesfall ereignet. Fremdverschulden wird ausgeschlossen. Jemand, der die Hintergründe des Todesfalls aufklären will, stößt allenthalben auf – bisweilen gar aggressives – Schweigen. Eine Geschichte über individuelle und kollektive Schuld, lutherische Kirchenmusik und den Wert, den wir der Kultur und der Tradition beimessen.
Ausgezeichnet mit dem Borsla-Preis 2019.
Bei Albert Dietz und Bernhard Grothe handelt es sich um zwei bedeutende Architekten im französisch-saarländischen Grenzgebiet. Sie gründeten 1952 eine Arbeitsgemeinschaft mit dem Ziel, auf gemeinschaftlicher Basis den nach dem Krieg entstandenen Bedarf an profanen und sakralen Wiederaufbau- und Neubaumaßnahmen in ihren Bauwerken möglichst effektiv reaslisieren zu können. Diese Arbeit befaßt sich ausschließlich mit den Sakralbauten, die deren künstlerische und architektonische Leistungen auf anschauliche Weise demonstrieren und belegen.
Global food security poses large challenges to a fast changing human society and has been a key topic for scientists, agriculturist, and policy makers in the 21st century. The United Nation predicts a total world population of 9.15 billion in 2050 and defines the provision of food security as the second major point in the UN Sustainable Development Goals. As the capacities of both, land and water resources, are finite and locally heavily overused, reducing agriculture’s environmental impact while meeting an increasing demand for food of a constantly growing population is one of the greatest challenges of our century. Therefore, a multifaceted solution is required, including approaches using geospatial data to optimize agricultural food production.
The availability of precise and up-to-date information on vegetation parameters is mandatory to fulfill the requirements of agricultural applications. Direct field measurements of such vegetation parameters are expensive and time-consuming. On the contrary, remote sensing offers a variety of techniques for a cost-effective and non-destructive retrieval of vegetation parameters. Although not widely used, hyperspectral thermal infrared (TIR) remote sensing has demonstrated being a valuable addition to existing remote sensing techniques for the retrieval of vegetation parameters.
This thesis examined the potential of TIR imaging spectroscopy as an important contribution to the growing need of food security. The main scientific question dealt with the extraction of vegetation parameters from imaging TIR spectroscopy. To this end, two studies impressively demonstrated the ability of extracting vegetation related parameters from leaf emissivity spectra: (i) the discrimination of eight plant species based on their emissivity spectra and (ii) the detection of drought stress in potato plants using temperature measures and emissivity spectra.
The datasets used in these studies were collected using the Telops Hyper-Cam LW, a novel imaging spectrometer. Since this FTIR spectrometer presents some particularities, special attention was paid on the development of dedicated experimental data acquisition setups and on data processing chains. The latter include data preprocessing and the development of algorithms for extracting precise surface temperatures, reproducible emissivity spectra and, in the end, vegetation parameters.
The spectrometer’s versatility allows the collection of airborne imaging spectroscopy datasets. Since the general availability of airborne TIR spectrometers is limited, the preprocessing and
data extraction methods are underexplored compared to reflective remote sensing. This counts especially for atmospheric correction (AC) and temperature and emissivity separation (TES) algorithms. Therefore, we implemented a powerful simulation environment for the development of preprocessing algorithms for airborne hyperspectral TIR image data. This simulation tool is designed in a modular way and includes the image data acquisition and processing chain from surface temperature and emissivity to the final at-sensor radiance data. It includes a series of available algorithms for TES, AC as well as combined AC and TES approaches. Using this simulator, one of the most promising algorithms for the preprocessing of airborne TIR data – ARTEMISS – was significantly optimized. The retrieval error of the atmospheric water vapor during the atmospheric characterization was reduced. As a result, this improvement in atmospheric characterization accuracy enhanced the subsequent retrieval of surface temperatures and surface emissivities intensely.
Although, the potential of hyperspectral TIR applications in ecology, agriculture, and biodiversity has been impressively demonstrated, a serious contribution to a global provision of food security requires the retrieval of vegetation related parameters with global coverage, high spatial resolution and at high revisit frequencies.
Emerging from the findings in this thesis, the spectral configuration of a spaceborne TIR spectrometer concept was developed. The sensors spectral configuration aims at the retrieval of precise land surface temperatures and land surface emissivity spectra. Complemented with additional characteristics, i.e. short revisit times and a high spatial resolution, this sensor potentially allows the retrieval of valuable vegetation parameters needed for agricultural optimizations. The technical feasibility of such a sensor concept underlines the potential contribution to the multifaceted solution required for achieving the challenging goal of guaranteeing global food security in a world of increasing population.
In conclusion, thermal remote sensing and more precisely hyperspectral thermal remote sensing has been presented as a valuable technique for a variety of applications contributing to the final goal of a global food security.
For grape canopy pixels captured by an unmanned aerial vehicle (UAV) tilt-mounted RedEdge-M multispectral sensor in a sloped vineyard, an in situ Walthall model can be established with purely image-based methods. This was derived from RedEdge-M directional reflectance and a vineyard 3D surface model generated from the same imagery. The model was used to correct the angular effects in the reflectance images to form normalized difference vegetation index (NDVI)orthomosaics of different view angles. The results showed that the effect could be corrected to a certain scope, but not completely. There are three drawbacks that might restrict a successful angular model construction and correction: (1) the observable micro shadow variation on the canopy enabled by the high resolution; (2) the complexity of vine canopies that causes an inconsistency between reflectance and canopy geometry, including effects such as micro shadows and near-infrared (NIR) additive effects; and (3) the resolution limit of a 3D model to represent the accurate real-world optical geometry. The conclusion is that grape canopies might be too inhomogeneous for the tested method to perform the angular correction in high quality.
In order to discuss potential sustainability issues of expanding silage maize cultivation in Rhineland-Palatinate, spatially explicit monitoring is necessary. Publicly available statistical records are often not a sufficient basis for extensive research, especially on soil health, where risk factors like erosion and compaction depend on variables that are specific to every site, and hard to generalize for larger administrative aggregates. The focus of this study is to apply established classification algorithms to estimate maize abundance for each independent pixel, while at the same time accounting for their spatial relationship. Therefore, two ways to incorporate spatial autocorrelation of neighboring pixels are combined with three different classification models. The performance of each of these modeling approaches is analyzed and discussed. Finally, one prediction approach is applied to the imagery, and the overall predicted acreage is compared to publicly available data. We were able to show that Support Vector Machine (SVM) classification and Random Forests (RF) were able to distinguish maize pixels reliably, with kappa values well above 0.9 in most cases. The Generalized Linear Model (GLM) performed substantially worse. Furthermore, Regression Kriging (RK) as an approach to integrate spatial autocorrelation into the prediction model is not suitable in use cases with millions of sparsely clustered training pixels. Gaussian Blur is able to improve predictions slightly in these cases, but it is possible that this is only because it smoothes out impurities of the reference data. The overall prediction with RF classification combined with Gaussian Blur performed well, with out of bag error rates of 0.5% in 2009 and 1.3% in 2016. Despite the low error rates, there is a discrepancy between the predicted acreage and the official records, which is 20% in 2009 and 27% in 2016.
The forward testing effect refers to the finding that retrieval practice of previously studied information enhances learning and retention of subsequently studied other information. While most of the previous research on the forward testing effect examined group differences, the present study took an individual differences approach to investigate this effect. Experiment 1 examined whether the forward effect has test-retest reliability between two experimental sessions. Experiment 2 investigated whether the effect is related to participants’ working memory capacity. In both experiments (and each session of Experiment 1), participants studied three lists of items in anticipation of a final cumulative recall test. In the testing condition, participants were tested immediately on lists 1 and 2, whereas in the restudy condition, they restudied lists 1 and 2. In both conditions, participants were tested immediately on list 3. On the group level, the results of both experiments demonstrated a forward testing effect, with interim testing of lists 1 and 2 enhancing immediate recall of list 3. On the individual level, the results of Experiment 1 showed that the forward effect on list 3 recall has moderate test-retest reliability between two experimental sessions. In addition, the results of Experiment 2 showed that the forward effect on list 3 recall does not depend on participants’ working memory capacity. These findings suggest that the forward testing effect is reliable at the individual level and affects learners at a wide range of working memory capacities alike. The theoretical and practical implications of the findings are discussed.
This dissertation deals with consistent estimates in household surveys. Household surveys are often drawn via cluster sampling, with households sampled at the first stage and persons selected at the second stage. The collected data provide information for estimation at both the person and the household level. However, consistent estimates are desirable in the sense that the estimated household-level totals should coincide with the estimated totals obtained at the person-level. Current practice in statistical offices is to use integrated weighting. In this approach consistent estimates are guaranteed by equal weights for all persons within a household and the household itself. However, due to the forced equality of weights, the individual patterns of persons are lost and the heterogeneity within households is not taken into account. In order to avoid the negative consequences of integrated weighting, we propose alternative weighting methods in the first part of this dissertation that ensure both consistent estimates and individual person weights within a household. The underlying idea is to limit the consistency conditions to variables that emerge in both the personal and household data sets. These common variables are included in the person- and household-level estimator as additional auxiliary variables. This achieves consistency more directly and only for the relevant variables, rather than indirectly by forcing equal weights on all persons within a household. Further decisive advantages of the proposed alternative weighting methods are that original individual rather than the constructed aggregated auxiliaries are utilized and that the variable selection process is more flexible because different auxiliary variables can be incorporated in the person-level estimator than in the household-level estimator.
In the second part of this dissertation, the variances of a person-level GREG estimator and an integrated estimator are compared in order to quantify the effects of the consistency requirements in the integrated weighting approach. One of the challenges is that the estimators to be compared are of different dimensions. The proposed solution is to decompose the variance of the integrated estimator into the variance of a reduced GREG estimator, whose underlying model is of the same dimensions as the person-level GREG estimator, and add a constructed term that captures the effects disregarded by the reduced model. Subsequently, further fields of application for the derived decomposition are proposed such as the variable selection process in the field of econometrics or survey statistics.
Mit diesem Territorial Science Echo werden wesentliche Facetten von Governance beleuchtet, die sich für die künftige Entwicklung der Großregion als relevant erweisen können. Es wird insbesondere dargestellt, wie thematische Kooperationen und Konflikte zur der Etablierung von Governance Strukturen beitragen. Das Paper setzt sich mit den Themen Governance im Allgemeinen, Partizipation und Wohnen sowie den Außenbeziehungen der Großregion auseinander, formuliert wesentliche Herausforderungen und Empfehlungen, und ist somit als Anregung im fachlichen Diskurs um die weitere Gestaltung des Raumentwicklungskonzeptes der Großregion zu verstehen.
Der vorliegende Sammelband geht auf die UniGR-Fachtagung Edu.GR - Europa leben lernen / Edu.GR - Apprendre à vivre l’Europe zurück, die am 20. September 2018 an der Universität Trier stattfand. Die Beiträge befassen sich aus unterschiedlichen Perspektiven – so aus Sicht der Bildungswissenschaften, der Fachdidaktiken, der Sozialwissenschaften und der Bildungspraxis – mit der Frage der Gestaltung Europas am Beispiel der Großregion. Vorgestellt und diskutiert werden neben Konzepten transnationaler Bildung auch empirische Analysen des Denkens und Handelns der Beteiligten in grenzregionalen (Aus-)Bildungskontexten sowie ausgewählte Beispiele transnationaler Bildungspraxis.
Die ersten Filme aus Ägypten
(2019)
Thema dieser Dissertation ist das deutsche Selbstbildnis im 17. Jahrhundert. Ziel der Arbeit war es, das deutsche Selbstbildnis als eigene Gattung zu etablieren. Hierzu wurden die Selbstbildnisse deutscher Maler des 17. Jahrhunderts ausgewählt, gilt doch diese Zeit noch immer als ‚totes Jahrhundert‘. Grundlage der Untersuchung war eine Sammlung von 148 Objekten, die einer grundlegenden Analyse unterzogen wurden. Das früheste Selbstbildnis in dieser Sammlung stammt von 1600, das späteste wurde um 1700 angefertigt. Künstler aus dem gesamten Alten Reich, ob aus Schlesien und Böhmen, Nord-oder Süddeutschland oder aus den österreichischen wie schweizerischen Landen sind hier vertreten. Die Selbstbildnisse stammen von Malern in der gesamten breite ihrer Karriere. So sind gleichermaßen Selbstbildnisse von Gesellen wie Meistern, von Hofmalern bis hin zu Freimeistern vertreten. Besonders wichtig war es, nicht nur Selbstbildnisse im Gemälde oder Kupferstich in die Untersuchung aufzunehmen, sondern auch Stammbucheinträge.
Die ausführliche Betrachtung und Gegenüberstellung der deutschen Selbstbildnisse mit denen ihrer europäischen Kollegen hat gezeigt, dass auch deutsche Maler den gängigen Darstellungstypen wie etwa dem virtuoso folgten. Aber die deutschen Maler imitierten nicht nur, sondern experimentierten und gingen mit ihren Vorbildern spielerisch um. Daneben folgten sie natürlich auch den Trends der Selbstinszenierung. Sie drückten in ihren Selbstbildnissen ihren Wunsch nach sozialer und gesellschaftlicher Emanzipation des gesamten Berufsstandes aus. So war das deutsche Selbstbildnis eigenständiger Ausdruck des Aufbruches deutscher Künstler in eine neue Zeit.
Competitive analysis is a well known method for analyzing online algorithms.
Two online optimization problems, the scheduling problems and the list accessing problems, are considered in the thesis of Yida Zhu in the respect of this method.
For both problems, several existing online and offline algorithms are studied. Their performances are compared with the performances of corresponding offline optimal algorithms.
In particular, the list accessing algorithm BIT is carefully reviewed.
The classical proof of its worst case performance get simplified by adapting the knowledge about the optimal offline algorithm.
With regard to average case analysis, a new closed formula is developed to determine the performance of BIT on specific class of instances.
All algorithm considered in this thesis are also implemented in Julia.
Their empirical performances are studied and compared with each other directly.
This doctoral thesis includes five studies that deal with the topics work, well-being, and family formation, as well as their interaction. The studies aim to find answers to the following questions: Do workers’ personality traits determine whether they sort into jobs with performance appraisals? Does job insecurity result in lower quality and quantity of sleep? Do public smoking bans affect subjective well-being by changing individuals’ use of leisure time? Can risk preferences help to explain non-traditional family forms? And finally, are differences in out-of-partnership birth rates between East and West Germany driven by cultural characteristics that have evolved in the two separate politico-economic systems? To answer these questions, the following chapters use basic economic subjects such as working conditions, income, and time use, but also employ a range of sociological and psychological concepts such as personality traits and satisfaction measures. Furthermore, all five studies use data from the German Socio-Economic Panel (SOEP), a representative longitudinal panel of private households in Germany, and apply state-of-the-art microeconometric methods. The findings of this doctoral thesis are important for individuals, employers, and policymakers. Workers and employers benefit from knowing the determinants of occupational sorting, as vacancies can be filled more accurately. Moreover, knowing which job-related problems lead to lower well-being and potentially higher sickness absence likely increases efficiency in the workplace. The research on smoking bans and family formation in chapters 4, 5, and 6 is particularly interesting for policymakers. The results on the effects of smoking bans on subjective well-being presented in chapter 4 suggest that the impacts of tobacco control policies could be weighed more carefully. Additionally, understanding why women are willing to take the risks associated with single motherhood can help to improve policies targeting single mothers.
Die publikationsbasierte Dissertation untersucht die Bedeutung sozialer Bewegungen für die Entwicklung der Sozialen Arbeit am Ende des 19. und den ersten Jahrzehnten des 20. Jahrhunderts als Profession und Disziplin in den USA und in Deutschland. Dabei wird die entstehende Soziale Arbeit als ‚Formbildung‘ sozialer Bewegungen verstanden und gefragt, wie sich die Bewegungen in die sich etablierende und institutionalisierende Profession und Wissenschaft Soziale Arbeit einschreiben, welche Anliegen dabei verfolgt werden und wie dadurch Wissen in der Sozialen Arbeit auch über nationalstaatliche Grenzen hinweg zirkuliert.
Die Untersuchung konzentriert sich auf Prozesse der Pädagogisierung, also unterschiedliche ‚Formbildungen des Pädagogischen‘, die die Bewegungsanliegen zum Thema von Aufklärung, (Selbst)Bildung und Pädagogik machen, und auf solche der Verwissenschaftlichung, die sich auf den Aufbau einer Wissensgrundlage zur Bearbeitung von sozialen Problemen richten und dabei alternative Formen der Wissensproduktion ausbilden. Diese Prozesse werden in drei Teilstudien – zur Charity Organization Movement und der Settlement House Movement in den USA sowie der bürgerlichen Frauenbewegung in Deutschland – in sieben Einzelbeiträgen näher untersucht. Im Mittelpunkt stehen dabei die Handlungsmethoden und das Praxisverständnis sowie Forschungskonzepte und –projekte exemplarisch ausgewählter sozialbewegter Initiativen der Sozialen Arbeit. Dabei werden unter anderem nicht-intendierte Effekte untersucht, die zum Beispiel in Konservierungen normativer Vorstellungen und Ideologien in als demokratisierend angelegten Ansätzen, aber auch in ‚differenzverstärkenden‘ Effekten bestehen können.
La participation des élèves ne devrait pas se limiter à l’implication dans l’organisation et l’évaluation des cours. Une culture de tâches participative offre de nombreuses possibilités pour pratiquer et analyser la participation démocratique à l’aide d’actions réelles ou simulées dans l’apprentissage technique.
Considérer les processus d’évaluation à l’école comme une possibilité pour soutenir les élèves dans l’évaluation réaliste et le développement de leurs processus et leur comportement d’apprentissage : l’évaluation participative des performances offre différentes possibilités pratiques pour favoriser la motivation d’apprendre, l’autoréflexion et la compréhension démocratique.
Le feedback à l’école ? Il s’agit souvent d’un simple retour d’informations des enseignant(e)s sur le travail des élèves en classe. Cependant, une culture du feedback solide en classe offre de nombreuses possibilités pour pratiquer l’action démocratique et améliorer la qualité de l’enseignement, tout en faisant participer enseignant(e)s et apprenant(e)s.
Les carnets paraissent deux fois par an et offrent aux dirigeant(e)s des écoles ainsi qu’au personnel des fondements théoriques et du matériel pratique pour la mise en oeuvre d’un développement scolaire démocratique. Chaque publication traite d’une méthode de l’éducation à la démocratie ou d’une question stratégique du développement scolaire. Les carnets en langue allemande sont mis à la disposition des écoles luxembourgeoises en version imprimée. Tout le matériel ainsi que la version en langue française sont disponibles en ligne.
Participer à l’enseignement dès le plus jeune âge – est-ce possible ? Les discussions et les processus de négociation et de décision ne nécessitent-ils pas une certaine maturité dont les enfants de trois ans ne disposent pas encore ? L’équipe mateneen s’est fait une idée du travail avec des enfants préscolaires et a constaté : que c’était tout à fait possible !
L’enseignement participatif, qui ne se résume pas à une participation vécue ponctuellement, comme l’écrit Charlotte Keuler dans l’article principal de ce carnet, est devenu indispensable à plusieurs égards en raison des défis auxquels nous confronte notre monde globalisé. La capacité à communiquer, les compétences interculturelles, la gestion des connaissances et d’autres « soft skills » sont les compétences clés du 21e siècle.
L’enseignement participatif
(2019)
L‘école est un lieu de socialisation des enfants et des jeunes. Les heures de cours de l‘enseignement des différentes matières sont un espace d‘expérimentation de cette socialisation. Elles marquent par leur durée dans la journée aussi bien le rôle fondamental de l‘école que l‘action et la perception à la fois des enseignant(e)s et des apprenant(e)s. Il apparaît donc d’autant plus important d’intégrer ces cours dans l’organisation d’une culture scolaire démocratique.
This thesis discusses revue as a significantly inter-cultural genre in the history of global theatre. During the ‘modernisation’ period in Europe, America and Japan, most major urban cities experienced a boom in revue venues and performances. Few studies about revue have yet been done in theatre studies or in urban cultural studies. My thesis will attempt to reevaluate and redefine revue as a highly intercultural theatre genre by using the concept of liminality. In other words, the aim is to examine revue as a genre built on ‘modern composition of betweenness’, bridging seemingly opposing elements, such as the foreign and the domestic, the classic and the innovative, the traditional and the modern, the professional and the amateur, high and low culture, and the feminine and the masculine. The goal is to regard revue as a liminal genre constructed amidst the negotiations between these binaries, existing in a state of constant flux.
The purpose of this approach is to capture revue as a transitory phenomena in five dimensions: conceptual, spatial, temporal, categorical and physical. Over the course of six chapters, this
inter-disciplinary discussion will reveal the reasons why and the ways by which revue came to establish its prominent position in the Japanese theatre industry. The whole structure is also an attempt to provide plausible ways to apply sociological considerations to theatre studies.
Finding behavioral parameterization for a 1-D water balance model by multi-criteria evaluation
(2019)
Evapotranspiration is often estimated by numerical simulation. However, to produce accurate simulations, these models usually require on-site measurements for parameterization or calibration. We have to make sure that the model realistically reproduces both, the temporal patterns of soil moisture and evapotranspiration. In this study, we combine three sources of information: (i) measurements of sap velocities; (ii) soil moisture; and (iii) expert knowledge on local runoff generation and water balance to define constraints for a “behavioral” forest stand water balance model. Aiming for a behavioral model, we adjusted soil moisture at saturation, bulk resistance parameters and the parameters of the water retention curve (WRC). We found that the shape of the WRC influences substantially the behavior of the simulation model. Here, only one model realization could be referred to as “behavioral”. All other realizations failed for a least one of our evaluation criteria: Not only transpiration and soil moisture are simulated consistently with our observations, but also total water balance and runoff generation processes. The introduction of a multi-criteria evaluation scheme for the detection of unrealistic outputs made it possible to identify a well performing parameter set. Our findings indicate that measurement of different fluxes and state variables instead of just one and expert knowledge concerning runoff generation facilitate the parameterization of a hydrological model.
Nonlocal operators are used in a wide variety of models and applications due to many natural phenomena being driven by nonlocal dynamics. Nonlocal operators are integral operators allowing for interactions between two distinct points in space. The nonlocal models investigated in this thesis involve kernels that are assumed to have a finite range of nonlocal interactions. Kernels of this type are used in nonlocal elasticity and convection-diffusion models as well as finance and image analysis. Also within the mathematical theory they arouse great interest, as they are asymptotically related to fractional and classical differential equations.
The results in this thesis can be grouped according to the following three aspects: modeling and analysis, discretization and optimization.
Mathematical models demonstrate their true usefulness when put into numerical practice. For computational purposes, it is important that the support of the kernel is clearly determined. Therefore nonlocal interactions are typically assumed to occur within an Euclidean ball of finite radius. In this thesis we consider more general interaction sets including norm induced balls as special cases and extend established results about well-posedness and asymptotic limits.
The discretization of integral equations is a challenging endeavor. Especially kernels which are truncated by Euclidean balls require carefully designed quadrature rules for the implementation of efficient finite element codes. In this thesis we investigate the computational benefits of polyhedral interaction sets as well as geometrically approximated interaction sets. In addition to that we outline the computational advantages of sufficiently structured problem settings.
Shape optimization methods have been proven useful for identifying interfaces in models governed by partial differential equations. Here we consider a class of shape optimization problems constrained by nonlocal equations which involve interface-dependent kernels. We derive the shape derivative associated to the nonlocal system model and solve the problem by established numerical techniques.
In this thesis, we aim to study the sampling allocation problem of survey statistics under uncertainty. We know that the stratum specific variances are generally not known precisely and we have no information about the distribution of uncertainty. The cost of interviewing each person in a stratum is also a highly uncertain parameter as sometimes people are unavailable for the interview. We propose robust allocations to deal with the uncertainty in both stratum specific variances and costs. However, in real life situations, we can face such cases when only one of the variances or costs is uncertain. So we propose three different robust formulations representing these different cases. To the best of our knowledge robust allocation in the sampling allocation problem has not been considered so far in any research.
The first robust formulation for linear problems was proposed by Soyster (1973). Bertsimas and Sim (2004) proposed a less conservative robust formulation for linear problems. We study these formulations and extend them for the nonlinear sampling allocation problem. It is very unlikely to happen that all of the stratum specific variances and costs are uncertain. So the robust formulations are in such a way that we can select how many strata are uncertain which we refer to as the level of uncertainty. We prove that an upper bound on the probability of violation of the nonlinear constraints can be calculated before solving the robust optimization problem. We consider various kinds of datasets and compute robust allocations. We perform multiple experiments to check the quality of the robust allocations and compare them with the existing allocation techniques.
Partizipation im Unterricht von klein auf – geht das? Braucht man für Diskussionen, Aushandlungs-und Entscheidungsprozesse nicht eine bestimmte Reife, über die Dreijährige noch gar nicht verfügen? Das mateneen-Team hat sich auf Limpertsberg ein Bild von der Arbeit mit Vorschulkindern gemacht und festgestellt: das geht sehr wohl!
Partizipativer Unterricht, der nicht nur aus punktuell erlebter Teilnahme besteht, ist — wie Charlotte Keuler es im Leitartikel des vorliegenden Heftes formuliert — durch die Herausforderungen, vor die uns unsere globalisierte Welt stellt, in vielerlei Hinsicht unabdingbar geworden. Kommunikationsfähigkeit, interkulturelle Kompetenz, Wissensmanagement und andere oft zitierte „soft skills“ sind Schlüsselkompetenzen des 21. Jahrhunderts.
Fachunterricht ist der zentrale Erfahrungsraum im Sozialisationsumfeld Schule. Er prägt schon allein aufgrund seines hohen zeitlichen Anteils im Tagesverlauf und der grundlegenden Funktion von Schule Handeln und Wahrnehmung von Lehrpersonen und Lernenden. Umso wichtiger ist es, ihn in die Gestaltung einer demokratischen Schulkultur einzubeziehen.
Bewertungsprozesse in der Schule als Möglichkeit nutzen, um Schüler*innen bei der realistischen Einschätzung und Weiterentwicklung ihrer Lernprozesse und ihres Lernverhaltens zu unterstützen: Die partizipative Leistungsbewertung bietet verschiedene praxisnahe Ansätze zur Förderung von Lernmotivation, Selbstreflexion und demokratischem Verständnis.
Die Partizipationskompetenz von Schülerinnen und Schülern sollte nicht nur durch eine Beteiligung an der formalen Gestaltung und Bewertung des Unterrichts gefördert werden. Vielmehr bietet eine entsprechende Aufgabenkultur vielfältige Möglichkeiten, demokratische Partizipation durch simulatives oder reales Handeln im fachlichen Lernen zu üben und zu reflektieren.
Feedback in der Schule? Das bedeutet häufig eine kurze Rückmeldung der Lehrer*innen an die Schüler*innen zu deren Mitarbeit. Dabei bietet eine etablierte Feedbackkultur im Unterricht breite Möglichkeiten, demokratisches Handeln zu üben und die Unterrichtsqualität zu verbessern, und muss keineswegs nur einseitig ausfallen.
Die Praxishefte Demokratische Schulkultur erscheinen halbjährlich und bieten Schulleitungen und Schulpersonal theoretische Grundlagen und praxisorientierte Anleitungen zur demokratiepädagogischen Schulentwicklung. Jedes Themenheft ist jeweils einer demokratiepädagogischen Bauform oder strategischen Frage der Schulentwicklung gewidmet. Die Praxishefte werden allen Luxemburger Schulen als Printausgabe zur Verfügung gestellt und online mit zusätzlichen Materialien und in französischer Fassung vorgehalten.
We consider a linear regression model for which we assume that some of the observed variables are irrelevant for the prediction. Including the wrong variables in the statistical model can either lead to the problem of having too little information to properly estimate the statistic of interest, or having too much information and consequently describing fictitious connections. This thesis considers discrete optimization to conduct a variable selection. In light of this, the subset selection regression method is analyzed. The approach gained a lot of interest in recent years due to its promising predictive performance. A major challenge associated with the subset selection regression is the computational difficulty. In this thesis, we propose several improvements for the efficiency of the method. Novel bounds on the coefficients of the subset selection regression are developed, which help to tighten the relaxation of the associated mixed-integer program, which relies on a Big-M formulation. Moreover, a novel mixed-integer linear formulation for the subset selection regression based on a bilevel optimization reformulation is proposed. Finally, it is shown that the perspective formulation of the subset selection regression is equivalent to a state-of-the-art binary formulation. We use this insight to develop novel bounds for the subset selection regression problem, which show to be highly effective in combination with the proposed linear formulation.
In the second part of this thesis, we examine the statistical conception of the subset selection regression and conclude that it is misaligned with its intention. The subset selection regression uses the training error to decide on which variables to select. The approach conducts the validation on the training data, which oftentimes is not a good estimate of the prediction error. Hence, it requires a predetermined cardinality bound. Instead, we propose to select variables with respect to the cross-validation value. The process is formulated as a mixed-integer program with the sparsity becoming subject of the optimization. Usually, a cross-validation is used to select the best model out of a few options. With the proposed program the best model out of all possible models is selected. Since the cross-validation is a much better estimate of the prediction error, the model can select the best sparsity itself.
The thesis is concluded with an extensive simulation study which provides evidence that discrete optimization can be used to produce highly valuable predictive models with the cross-validation subset selection regression almost always producing the best results.
Harvesting of silage maize in late autumn on waterlogged soils may result in several ecological problems such as soil compaction and may subsequently be a major threat to soil fertility in Europe. It was hypothesized that perennial energy crops might reduce the vulnerability for soil compaction through earlier harvest dates and improved soil stability. However, the performance of such crops to be grown on soil that are periodically waterlogged and implications for soil chemical and microbial properties are currently an open issue. Within the framework of a two-year pot experiment we investigated the potential of the cup plant (Silphium perfoliatum L.), Jerusalem artichoke (Helianthus tuberosus), giant knotweed (Fallopia japonicum X bohemica), tall wheatgrass (Agropyron elongatum), and reed canary grass (Phalaris arundinacea) for cultivation under periodically waterlogged soil conditions during the winter half year and implications for soil chemical and biological properties. Examined perennial energy crops coped with periodical waterlogging and showed yields 50% to 150% higher than in the control which was never faced with waterlogging. Root formation was similar in waterlogged and non-waterlogged soil layers. Soil chemical and microbial properties clearly responded to different soil moisture treatments. For example, dehydrogenase activity was two to four times higher in the periodically waterlogged treatment compared to the control. Despite waterlogging, aerobic microbial activity was significantly elevated indicating morphological and metabolic adaptation of the perennial crops to withstand waterlogged conditions. Thus, our results reveal first evidence of a site-adapted biomass production on periodical waterlogged soils through the cultivation of perennial energy crops and for intense plant microbe interactions.
A satellite-based climatology of wind-induced surface temperature anomalies for the Antarctic
(2019)
It is well-known that katabatic winds can be detected as warm signatures in the surface temperature over the slopes of the Antarctic ice sheets. For appropriate synoptic forcing and/or topographic channeling, katabatic surges occur, which result in warm signatures also over adjacent ice shelves. Moderate Resolution Imaging Spectroradiometer (MODIS) ice surface temperature (IST) data are used to detect warm signatures over the Antarctic for the winter periods 2002–2017. In addition, high-resolution (5 km) regional climate model data is used for the years of 2002 to 2016. We present a case study and a climatology of wind-induced IST anomalies for the Ross Ice Shelf and the eastern Weddell Sea. The IST anomaly distributions show maxima around 10–15K for the slopes, but values of more than 25K are also found. Katabatic surges represent a strong climatological signal with a mean warm anomaly of more than 5K on more than 120 days per winter for the Byrd Glacier and the Nimrod Glacier on the Ross Ice Shelf. The mean anomaly for the Brunt Ice Shelf is weaker, and exceeds 5K on about 70 days per winter. Model simulations of the IST are compared to the MODIS IST, and show a very good agreement. The model data show that the near-surface stability is a better measure for the response to the wind than the IST itself.
Abstract: Thermal infrared (TIR) multi-/hyperspectral and sun-induced fluorescence (SIF) approaches together with classic solar-reflective (visible, near-, and shortwave infrared reflectance (VNIR)/SWIR) hyperspectral remote sensing form the latest state-of-the-art techniques for the detection of crop water stress. Each of these three domains requires dedicated sensor technology currently in place for ground and airborne applications and either have satellite concepts under development (e.g., HySPIRI/SBG (Surface Biology and Geology), Sentinel-8, HiTeSEM in the TIR) or are subject to satellite missions recently launched or scheduled within the next years (i.e., EnMAP and PRISMA (PRecursore IperSpettrale della Missione Applicativa, launched on March 2019) in the VNIR/SWIR, Fluorescence Explorer (FLEX) in the SIF). Identification of plant water stress or drought is of utmost importance to guarantee global water and food supply. Therefore, knowledge of crop water status over large farmland areas bears large potential for optimizing agricultural water use. As plant responses to water stress are numerous and complex, their physiological consequences affect the electromagnetic signal in different spectral domains. This review paper summarizes the importance of water stress-related applications and the plant responses to water stress, followed by a concise review of water-stress detection through remote sensing, focusing on TIR without neglecting the comparison to other spectral domains (i.e., VNIR/SWIR and SIF) and multi-sensor approaches. Current and planned sensors at ground, airborne, and satellite level for the TIR as well as a selection of commonly used indices and approaches for water-stress detection using the main multi-/hyperspectral remote sensing imaging techniques are reviewed. Several important challenges are discussed that occur when using spectral emissivity, temperature-based indices, and physically-based approaches for water-stress detection in the TIR spectral domain. Furthermore, challenges with data processing and the perspectives for future satellite missions in the TIR are critically examined. In conclusion, information from multi-/hyperspectral TIR together with those from VNIR/SWIR and SIF sensors within a multi-sensor approach can provide profound insights to actual plant (water) status and the rationale of physiological and biochemical changes. Synergistic sensor use will open new avenues for scientists to study plant functioning and the response to environmental stress in a wide range of ecosystems.
Background
In light of the current biodiversity crisis, DNA barcoding is developing into an essential tool to quantify state shifts in global ecosystems. Current barcoding protocols often rely on short amplicon sequences, which yield accurate identification of biological entities in a community but provide limited phylogenetic resolution across broad taxonomic scales. However, the phylogenetic structure of communities is an essential component of biodiversity. Consequently, a barcoding approach is required that unites robust taxonomic assignment power and high phylogenetic utility. A possible solution is offered by sequencing long ribosomal DNA (rDNA) amplicons on the MinION platform (Oxford Nanopore Technologies).
Findings
Using a dataset of various animal and plant species, with a focus on arthropods, we assemble a pipeline for long rDNA barcode analysis and introduce a new software (MiniBar) to demultiplex dual indexed Nanopore reads. We find excellent phylogenetic and taxonomic resolution offered by long rDNA sequences across broad taxonomic scales. We highlight the simplicity of our approach by field barcoding with a miniaturized, mobile laboratory in a remote rainforest. We also test the utility of long rDNA amplicons for analysis of community diversity through metabarcoding and find that they recover highly skewed diversity estimates.
Conclusions
Sequencing dual indexed, long rDNA amplicons on the MinION platform is a straightforward, cost-effective, portable, and universal approach for eukaryote DNA barcoding. Although bulk community analyses using long-amplicon approaches may introduce biases, the long rDNA amplicons approach signifies a powerful tool for enabling the accurate recovery of taxonomic and phylogenetic diversity across biological communities.
Gegenstand der Dissertation ist die Geschichte und Manifestation des Nationaltheaters in Japan, der Transfer einer europäischen Kulturinstitution nach und deren Umsetzungsprozess in Japan, welcher mit der Modernisierung Japans ab Mitte des 19. Jahrhunderts begann und erst hundert Jahre später mit der Eröffnung des ersten Nationaltheaters 1966 endete. Dazu werden theaterhistorische Entwicklungen, Veränderungen in der Theaterproduktion und -architektur in Bezug auf die Genese eines japanischen Nationaltheaters beleuchtet. Das Ergebnis zeigt, dass sich die Institution Nationaltheater in seiner japanischen kulturellen Translation bzw. Manifestation wesentlich von den vom Land selbst als Model anvisierten Pendants in Europa in Inhalt, Organisations- und Produktionsstruktur unterscheidet. Kulturell übersetzt wurde allein die Hülle der europäischen Institution. Das erste Nationaltheater in Japan manifestiert sich als eine von der Regierung im Rahmen des Denkmalschutzgesetztes initiierte und bestimmte, spezifisch japanische Variante eines Nationaltheaters, die unter dem Management von staatlichen Angestellten und Beamten den Erhalt traditioneller Künste in dafür ausgerichteten Bühnen zur Aufgabe hat. Nationaltheaterensemble gibt es nicht, die Produktionen werden mit Schauspielern kommerzieller Theaterunternehmen realisiert. Der lange Prozess dieser Genese liegt in der nicht vorhandenen Theaterförderung seitens der Regierung und der eher zurückhaltenden Haltung der Theaterwelt gegenüber einem staatlich betriebenen Theater begründet. Das Hüllen-Konzept des ersten Nationaltheaters diente, genau wie dessen Management durch Beamte, als Prototyp für die fünf weiteren bis 2004 eröffneten Nationaltheater in Japan, welche als Spartentheater der spezifisch japanischen Vielfalt an Theaterformen, auch in ihrer Bühnenarchitektur Rechnung tragen.
In dem Beitrag wird ein praxissoziologischer Ansatz für die Beschreibung und Analyse der grenzüberschreitenden Zusammenarbeit vorgestellt. Dafür wird zunächst die Entwicklung der Kooperationsforschung, ihre charakteristischen Orientierungen sowie die Grundzüge praxistheoretischen Denkens skizziert. Darauf aufbauend wird die heuristische Denkfigur der grenzüberschreitenden Praxisformation erarbeitet, die mit Prämissen herkömmlicher Kooperationsforschung bricht. Sie wird am Beispiel von vier Herausforderungen der grenzüberschreitenden Zusammenarbeit weiter ausdifferenziert, um schließlich zu einer alternativen Perspektivierung der grenzüberschreitenden Zusammenarbeit zu gelangen. Es folgt ein Ausblick, der auf die forschungspraktischen Besonderheiten des vorgestellten Ansatzes eingeht mit Blick auf eine künftige praxissoziologische und multidisziplinär anschlussfähige Kooperationsforschung.
Cet article analyse les pratiques quotidiennes des habitants de Sarre, de Lorraine, du Luxembourg, de Rhénanie-Palatinat et de Wallonie effectuées dans les régions voisines. L’hypothèse est l’existence d’une réalité de vie transfrontalière dans la Grande Région à partir des pratiques transfrontalières de ses habitants. Dans une telle perspective socio-constructiviste, on ne demande pas ce qu'est la Grande Région SaarLorLux, mais comment elle est constituée ou comment elle se manifeste dans la vie quotidienne de ses habitants. Pour donner des éléments de réponse, seront analysées les pratiques transfrontalières les plus courantes, notamment le fait de faire des achats et du shopping, se détendre dans la nature/faire du tourisme, fréquenter des manifestations culturelles et rendre visite à des amis et à la famille. Les considérations se basent sur trois études empiriques récentes dans l’espace d'analyse, qui sont mises en rapport et contextualisées socio-culturellement et socio-économiquement dans le but de relever l'organisation spatiale, les motivations ainsi que d'autres facteurs contextuels des pratiques transfrontalières dans la Grande Région SaarLorLux. Dans cette approche, les flux de mobilité et les préférences spatiales sont reconstruits à partir des pratiques quotidiennes qui donnent un aperçu des réalités de vie transfrontalière dans la Grande Région SaarLorLux.
Faut-il interdire les emballages en plastique ? Quels arguments s’opposent au droit de vote à partir de 14 ans ? Quelles sont les conséquences du Brexit sur l’Europe ? – Ce type de questions a toute sa place en conseil de coopération, car leur discussion offre des possibilités d’apprentissage des processus démocratiques.
Dans les écoles secondaires, le conseil de coopération offre aussi aux élèves un espace pour exprimer leurs demandes et explorer, dans un processus démocratique, les potentiels d’amélioration pour la classe et l’école. Les supports ci-dessous vous aideront à préparer et à mener les réunions de manière autonome.
Dans les écoles fondamentales, le conseil de coopération offre aux élèves la possibilité d’apprendre et d’approfondir les premières étapes de la gestion démocratique. Dans un espace protégé, ils / elles apprennent à s’exprimer sur les thèmes les plus divers, à résoudre les conflits en se concentrant sur les solutions et à prendre des responsabilités. Les supports présentés ici ont pour objectif de vous aider à mettre en place et à mener à bien le conseil de coopération.
La mise en œuvre d’un conseil de coopération est liée à l’espoir de renforcer les compétences démocratiques des élèves. Une étude empirique1 réalisée au Lycée Nic Biever de Dudelange a analysé les compétences réellement acquises par les participant(e)s grâce à cette méthode d’éducation à la démocratie ainsi que l’impact du conseil de coopération sur la classe.
C’est la participation des citoyen(ne)s engagé(e)s qui fait vivre la démocratie. À cette fin, il est nécessaire de familiariser le plus tôt possible les enfants et les adolescents aux méthodes démocratiques. Le conseil de coopération est un outil d’éducation à la démocratie qui offre aux élèves de nombreuses possibilités pour expérimenter la participation et renforcer leurs compétences démocratiques.
Les carnets paraissent biannuellement et offrent aux dirigeant(e)s des écoles ainsi qu’au personnel des fondements théoriques et du matériel pratique pour la mise en œuvre d’un développement scolaire démocratique. Chaque publication traite d’une méthode de l’éducation à la démocratie ou d’une question stratégique du développement scolaire. Les carnets en langue allemande sont mis à disposition des écoles luxembourgeoises en version imprimée. Tous le matériel ainsi que la version en langue française sont disponibles en ligne.
Die Aufgabe der vorliegenden Arbeit lag darin, anhand der Quelle von Luthers Tischreden zu zeigen, welche Art von Kunstwerken Martin Luther erwähnt und welche Funktion diese in den Colloquia hatten. Sie untersucht das Corpus der über 7000 Tischreden systematisch auf Äußerungen, die im Zusammenhang mit Kunstwerken im weitesten Sinne stehen. Es erfolgte eine textkritische Bearbeitung der Tischreden. Der Anspruch der Arbeit war, diese Bildwerke zu identifizieren und in ihren historischen bzw. kunsthistorischen Kontext zu stellen. Da viele Parallelstellen gefunden und herangezogen werden konnten, ließen sich zahlreiche Irrtümer aufdecken und Fehldeutungen korrigieren. Der Fokus lag dabei nach der Auswertung und der anschließenden Beschäftigung mit den Stellen auf Luthers geradezu leitmotivisch auftretendem Thema der Superbia. Diesem Themenbereich der Todsünden wurde in der Lutherforschung bisher nur wenig Beachtung geschenkt, denn die sie galt für die Reformation als unwesentlich. Es konnte aber in dieser Arbeit dargelegt werden, wie wichtig die Todsünden und vor allem die Superbia in Luthers Tischreden und in seinem Gesamtwerk sind. Darüber hinaus hat sich die Arbeit mit der Performanz der Bilder in Luthers Werk beschäftigt. Sie leistet zudem einen Beitrag zu der Fragestellung, mit welcher Intention Luther seine eigenen Porträts in Auftrag gegeben hat. So wird dargelegt, wie Luther seine Bildstrategien verfolgt. Die Arbeit hat ferner gezeigt, wie wichtig für die effektive, interdisziplinär nutzbare Auswertung der Tischreden als Quelle eine digitale Ausgabe wäre, die mit Metadaten versehen ist und dadurch nach semantischen Kriterien durchsucht werden kann.
A huge number of clinical studies and meta-analyses have shown that psychotherapy is effective on average. However, not every patient profits from psychotherapy and some patients even deteriorate in treatment. Due to this result and the restricted generalization of clinical studies to clinical practice, a more patient-focused research strategy has emerged. The question whether a particular treatment works for an individual case is the focus of this paradigm. The use of repeated assessments and the feedback of this information to therapists is a major ingredient of patient-focused research. Improving patient outcomes and reducing dropout rates by the use of psychometric feedback seems to be a promising path. Therapists seem to differ in the degree to which they make use of and profit from such feedback systems. This dissertation aims to better understand therapist differences in the context of patient-focused research and the impact of therapists on psychotherapy. Three different studies are included, which focus on different aspects within the field:
Study I (Chapter 5) investigated how therapists use psychometric feedback in their work with patients and how much therapists differ in their usage. Data from 72 therapists treating 648 patients were analyzed. It could be shown that therapists used the psychometric feedback for most of their patients. Substantial variance in the use of feedback (between 27% and 52%) was attributable to therapists. Therapists were more likely to use feedback when they reported being satisfied with the graphical information they received. The results therefore indicated that not only patient characteristics or treatment progress affected the use of feedback.
Study II (Chapter 6) picked up on the idea of analyzing systematic differences in therapists and applied it to the criterion of premature treatment termination (dropout). To answer the question whether therapist effects occur in terms of patients’ dropout rates, data from 707 patients treated by 66 therapists were investigated. It was shown that approximately six percent of variance in dropout rates could be attributed to therapists, even when initial impairment was controlled for. Other predictors of dropout were initial impairment, sex, education, personality styles, and treatment expectations.
Study III (Chapter 7) extends the dissertation by investigating the impact of a transfer from one therapist to another within ongoing treatments. Data from 124 patients who agreed to and experienced a transfer during their treatment were analyzed. A significant drop in patient-rated as well as therapist-rated alliance levels could be observed after a transfer. On average, there seemed to be no difficulties establishing a good therapeutic alliance with the new therapist, although differences between patients were observed. There was no increase in symptom severity due to therapy transfer. Various predictors of alliance and symptom development after transfer were investigated. Impacts on clinical practice were discussed.
Results of the three studies are discussed and general conclusions are drawn. Implications for future research as well as their utility for clinical practice and decision-making are presented.
Die Großregion gilt als eine der wichtigsten Regionen der grenzüberschreitenden Zusammenarbeit in der Europäischen Union. Nach Beginn der Zusammenarbeit in den siebziger Jahren entwickelte sich die Koope-ration im Bereich der Raumplanung zu einer wichtigen Säule. Dennoch sind konkrete Nachweise, die die hohe Bedeutung einer grenzüberschreitenden Raumplanung bestätigen eher selten zu finden. Aufgegriffen wird diese Thematik meist nur in Bezug auf den gesetzlichen und institutionellen Rahmen.
Das vorliegende Strategiepapier setzt voraus, dass die grenzüberschreitende Raumplanung über die Ge-setze, Pläne und Konzepte hinaus auch aus Planungspraktiken resultiert, die darauf abzielen gesellschaftli-che Bedürfnisse an den Raum langfristig zu berücksichtigen.
Nach einer kurzen Präsentation der wichtigsten Meilensteine der Zusammenarbeit im Bereich der grenz-überschreitenden Raumplanung in der Großregion, stellt dieses Strategiepapier die Ergebnisse eines expe-rimentellen Workshops (Planspiel) vor, der im Jahr 2017 stattfand und bei dem sowohl Forscher als auch Planungspraktiker involviert waren. Abschließend stellt das Dokument eine Reihe von Empfehlungen vor, die auf der Analyse des Forschungsmaterials basieren.
Das Working Paper beleuchtet den Themenbereich Energie und arbeitet Herausforderungen für die Raumentwicklung der Großregion ab. Es diskutiert den Begriff der Energiewende und legt einen Fokus auf Energiesysteme und –träger, insbesondere den Ausbau der Windkraft und Energiegewinnung aus Biomasse im Zusammenhang mit der Entwicklung fossil-atomarer Energiequellen in Deutschland und Frankreich.
Das Working Paper beleuchtet den Themenbereich Beschäftigung und wirtschaftliche Entwicklung und arbeitet Herausforderungen für die Raumentwicklung der Großregion ab. Insbesondere legt es einen Fokus auf die Industriegeschichte sowie die Beschäftigung und grenzüberschreitende Arbeit in der Großregion.