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The COVID-19 pandemic has affected schooling worldwide. In many places, schools closed for weeks or months, only part of the student body could be educated at any one time, or students were taught online. Previous research discloses the relevance of schooling for the development of cognitive abilities. We therefore compared the intelligence test performance of 424 German secondary school students in Grades 7 to 9 (42% female) tested after the first six months of the COVID-19 pandemic (i.e., 2020 sample) to the results of two highly comparable student samples tested in 2002 (n = 1506) and 2012 (n = 197). The results revealed substantially and significantly lower intelligence test scores in the 2020 sample than in both the 2002 and 2012 samples. We retested the 2020 sample after another full school year of COVID-19-affected schooling in 2021. We found mean-level changes of typical magnitude, with no signs of catching up to previous cohorts or further declines in cognitive performance. Perceived stress during the pandemic did not affect changes in intelligence test results between the two measurements.
Theoretical and empirical research assumes a negative development of student achievement motivation over the course of their school careers (i.e., mean-level declines of achievement motivation). However, the exact magnitude of this motivational change remains elusive and it is unclear whether different motivational constructs show similar developmental trends. Furthermore, it is unknown whether motivational declines are related to a particular school stage (i.e., elementary, middle, or high school) or the school transition, and which additional changes are associated with motivational decreases (e.g., changes in student achievement). Finally, previous research has remained inconsistent regarding the question whether ability grouping of students helps prevent motivational declines or results in additional motivational “costs” for students.
This dissertation presents three articles that were designed to address these research questions. In Article 1, a meta-analysis based on 107 independent longitudinal studies investigated student mean-level changes in self-esteem, academic self-concept, academic self-efficacy, intrinsic motivation, and achievement goals from first to 13th grade. Article 2 comprised two longitudinal studies with German adolescents (Study: n = 745 students assessed in four waves in grades 5-7; Study 2: n = 1420 students assessed in four waves in grades 5-8). Both longitudinal studies investigated the separate and the joint development of achievement goals, interest, and achievement in math. In Article 3, a longitudinal study (n = 296 high-ability students assessed in four waves in grades 5-7) investigated the effects of full-time ability grouping on student development of academic self-concept and achievement in math.
The meta-analysis revealed significant decreases in math and language academic self-concept, intrinsic motivation, and mastery and performance-approach goals, whereas no significant changes in self-esteem, general academic self-concept, academic self-efficacy, and performance-avoidance goals were found. Interestingly, motivational declines were not related to school stage or school transition. In Article 2, decreases in interest and mastery, performance-approach, and performance-avoidance goals were indicated by both longitudinal studies. Development of mastery and performance-approach goals was positively related or unrelated to development in interest and achievement, whereas development of performance-avoidance goals was negatively related or unrelated to development of interest and achievement. Finally, the longitudinal study in Article 3 revealed no significant change in student academic self-concept in math over time. Ability grouping showed no positive or negative effects on student academic self-concept. However, high-ability students that were grouped together demonstrated greater gains in their achievement than high-ability students in regular classes.
Structured Eurobonds - Optimal Construction, Impact on the Euro and the Influence of Interest Rates
(2020)
Structured Eurobonds are a prominent topic in the discussions how to complete the monetary and fiscal union. This work sheds light on several issues going hand in hand with the introduction of common bonds. At first a crucial question is on the optimal construction, e.g. what is the optimal common liability. Other questions that arise belong to the time after the introduction. The impact on several exchnage rates is examined in this work. Finally an approximation bias in forward-looking DSGE models is quantified which would lead to an adjustment of central bank interest rates and therefore has an impact on the other two topics.
Design and structural optimization has become a very important field in industrial applications over the last years. Due to economical and ecological reasons, the efficient use of material is of highly industrial interest. Therefore, computational tools based on optimization theory have been developed and studied in the last decades. In this work, different structural optimization methods are considered. Special attention lies on the applicability to three-dimensional, large-scale, multiphysic problems, which arise from different areas of the industry. Based on the theory of PDE-constraint optimization, descent methods in structural optimization require knowledge of the (partial) derivatives with respect to shape or topology variations. Therefore, shape and topology sensitivity analysis is introduced and the connection between both sensitivities is given by the Topological-Shape Sensitivity Method. This method leads to a systematic procedure to compute the topological derivative by terms of the shape sensitivity. Due to the framework of moving boundaries in structural optimization, different interface tracking techniques are presented. If the topology of the domain is preserved during the optimization process, explicit interface tracking techniques, combined with mesh-deformation, are used to capture the interface. This techniques fit very well the requirements in classical shape optimization. Otherwise, an implicit representation of the interface is of advantage if the optimal topology is unknown. In this case, the level set method is combined with the concept of the topological derivative to deal with topological perturbation. The resulting methods are applied to different industrial problems. On the one hand, interface shape optimization for solid bodies subject to a transient heat-up phase governed by both linear elasticity and thermal stresses is considered. Therefore, the shape calculus is applied to coupled heat and elasticity problems and a generalized compliance objective function is studied. The resulting thermo-elastic shape optimization scheme is used for compliance reduction of realistic hotplates. On the other hand, structural optimization based on the topological derivative for three-dimensional elasticity problems is observed. In order to comply typical volume constraints, a one-shot augmented Lagrangian method is proposed. Additionally, a multiphase optimization approach based on mesh-refinement is used to reduce the computational costs and the method is illustrated by classical minimum compliance problems. Finally, the topology optimization algorithm is applied to aero-elastic problems and numerical results are presented.
This paper mainly studies two topics: linear complementarity problems for modeling electricity market equilibria and optimization under uncertainty. We consider both perfectly competitive and Nash–Cournot models of electricity markets and study their robustifications using strict robustness and the -approach. For three out of the four combinations of economic competition and robustification, we derive algorithmically tractable convex optimization counterparts that have a clear-cut economic interpretation. In the case of perfect competition, this result corresponds to the two classic welfare theorems, which also apply in both considered robust cases that again yield convex robustified problems. Using the mentioned counterparts, we can also prove the existence and, in some cases, uniqueness of robust equilibria. Surprisingly, it turns out that there is no such economic sensible counterpart for the case of -robustifications of Nash–Cournot models. Thus, an analog of the welfare theorems does not hold in this case. Finally, we provide a computational case study that illustrates the different effects of the combination of economic competition and uncertainty modeling.
Memory consists of multiple anatomically and functionally distinct systems. Animal studies suggest that stress modulates multiple memory systems in a manner that favors nucleus caudatus-based stimulus-response learning at the expense of hippocampus-based spatial learning. The present work aimed (i) to translate these findings to humans, (ii) to determine the involvement of the stress hormone cortisol in this effect, and (iii) to assess whether the use of stimulus-response and spatial strategies is a long lasting person characteristic. To address these issues we developed a new paradigm that differentiates the use of spatial and stimulus-response learning in humans. Our findings indicate that (i) psychosocial stress (Trier Social Stress Test) modulates the use of spatial and stimulus-response learning in humans, (ii) cortisol plays a key role in this modulatory effect of stress, and (iii) the use of spatial and stimulus-response learning is affected by situational rather than long lasting person factors.
Stress is a common phenomenon for animals living in the wild, but also for humans in modern societies. Originally, the body's stress response is an adaptive reaction to a possibly life-threatening situation, and it has been shown to impact on energy distribution and metabolism, thereby increasing the chance of survival. However, stress has also been shown to impact on mating behaviour and reproductive strategies in animals and humans. This work deals with the effect of stress on reproductive behavior. Up to now, research has only focused on the effects of stress on reproduction in general. The effects of stress on reproduction may be looked at from two points of view. First, stress affects reproductive functioning by endocrine (e.g. glucocorticoid) actions on the reproductive system. However, stress can also influence reproductive behavior, i.e. mate choice and mating preferences. Animals and humans do not mate randomly, but exhibit preferences towards mating partners. One factor by which animals and humans choose their mating partners is similarity vs. dissimilarity: Similar mates usually carry more of one's own genes and the cooperation between similar mates is, at least theoretically, less hampered by expressing diverse behaviors. By mating with dissimilar mates on the other hand one may acquire new qualities for oneself, but also for one's offspring, useful to cope with environmental challenge. In humans we usually find a preference for similar mates. Due to the high costs of breeding, variables like cooperation and life-long partnerships may play a greater role than the acquaintance of new qualities.The present work focuses on stress effects on mating preferences of humans and will give a first answer to the question whether stress may affect our preference for similar mates. Stress and mating preferences are at the centre of this work. Thus, in the first Chapter I will give an introduction on stress and mating preferences and link these topics to each other. Furthermore, I will give a short summary of the studies described in Chapter II - Chapter IV and close the chapter with a general discussion of the findings and directions for further research on stress and mating preferences. Human mating behavior is complex, and many aspects of it may not relate to biology but social conventions and education. This work will not focus on those aspects but rather on cognitive and affective processing of erotic and sexually-relevant stimuli, since we assume that these aspects of mating behaviour are likely related to psychobiological stress mechanisms. Therefore, a paradigm is needed that measures such aspects of mating preferences in humans. The studies presented in Chapter II and Chapter III were performed in order to develop such a paradigm. In these studies we show that affective startle modulation may be used to indicate differences in sexual approach motivation to potential mating partners with different similarity levels to the participant. In Chapter IV, I will describe a study that aimed to investigate the effects of stress on human mating preferences. We showed that stress reverses human mating preferences: While unstressed individuals show a preference for similar mates, stressed individuals seem to prefer dissimilar mates. Overall, the studies presented in this work showed that affective startle modulation can be employed to measure mating preferences in humans and that these mating preferences are influenced by stress.
The brain is the central coordinator of the human stress reaction. At the same time, peripheral endocrine and neural stress signals act on the brain modulating brain function. Here, three experimental studies are presented demonstrating this dual role of the brain in stress. Study I shows that centrally acting insulin, an important regulator of energy homeostasis, attenuates the stress related cortisol secretion. Studies II and III show that specific components of the stress reaction modulate learning and memory retrieval, two important aspects of higher-order brain function.
Aggression is one of the most researched topics in psychology. This is understandable, since aggression behavior does a lot of harm to individuals and groups. A lot is known already about the biology of aggression, but one system that seems to be of vital importance in animals has largely been overlooked: the hypothalamic-pituitary-adrenal (HPA) axis. Menno Kruk and Jószef Haller and their research teams developed rodent models of adaptive, normal, and abnormal aggressive behavior. They found the acute HPA axis (re)activity, but also chronic basal levels to be causally relevant in the elicitation and escalation of aggressive behavior. As a mediating variable, changes in the processing of relevant social information is proposed, although this could not be tested in animals. In humans, not a lot of research has been done, but there is evidence for both the association between acute and basal cortisol levels in (abnormal) aggression. However, not many of these studies have been experimental of nature. rnrnOur aim was to add to the understanding of both basal chronic levels of HPA axis activity, as well as acute levels in the formation of aggressive behavior. Therefore, we did two experiments, both with healthy student samples. In both studies we induced aggression with a well validated paradigm from social psychology: the Taylor Aggression Paradigm. Half of the subjects, however, only went through a non-provoking control condition. We measured trait basal levels of HPA axis activity on three days prior. We took several cortisol samples before, during, and after the task. After the induction of aggression, we measured the behavioral and electrophysiological brain response to relevant social stimuli, i.e., emotional facial expressions embedded in an emotional Stroop task. In the second study, we pharmacologically manipulated cortisol levels 60min before the beginning of the experiment. To do that, half of the subjects were administered 20mg of hydrocortisone, which elevates circulating cortisol levels (cortisol group), the other half was administered a placebo (placebo group). Results showed that acute HPA axis activity is indeed relevant for aggressive behavior. We found in Study 1 a difference in cortisol levels after the aggression induction in the provoked group compared to the non-provoked group (i.e., a heightened reactivity of the HPA axis). However, this could not be replicated in Study 2. Furthermore, the pharmacological elevation of cortisol levels led to an increase in aggressive behavior in women compared to the placebo group. There were no effects in men, so that while men were significantly more aggressive than women in the placebo group, they were equally aggressive in the cortisol group. Furthermore, there was an interaction of cortisol treatment with block of the Taylor Aggression Paradigm, in that the cortisol group was significantly more aggressive in the third block of the task. Concerning basal HPA axis activity, we found an effect on aggressive behavior in both studies, albeit more consistently in women and in the provoked and non-provoked groups. However, the effect was not apparent in the cortisol group. After the aggressive encounter, information processing patterns were changed in the provoked compared to the non-provoked group for all facial expressions, especially anger. These results indicate that the HPA axis plays an important role in the formation of aggressive behavior in humans, as well. Importantly, different changes within the system, be it basal or acute, are associated with the same outcome in this task. More studies are needed, however, to better understand the role that each plays in different kinds of aggressive behavior, and the role information processing plays as a possible mediating variable. This extensive knowledge is necessary for better behavioral interventions.
The optimal control of fluid flows described by the Navier-Stokes equations requires massive computational resources, which has led researchers to develop reduced-order models, such as those derived from proper orthogonal decomposition (POD), to reduce the computational complexity of the solution process. The object of the thesis is the acceleration of such reduced-order models through the combination of POD reduced-order methods with finite element methods at various discretization levels. Special stabilization methods required for high-order solution of flow problems with dominant convection on coarse meshes lead to numerical data that is incompatible with standard POD methods for reduced-order modeling. We successfully adapt the POD method for such problems by introducing the streamline diffusion POD method (SDPOD). Using the novel SDPOD method, we experiment with multilevel recursive optimization at Reynolds numbers of Re=400 and Re=10,000.
Stress position in English words is well-known to correlate with both their morphological properties and their phonological organisation in terms of non-segmental, prosodic categories like syllable structure. While two generalisations capturing this correlation, directionality and stratification, are well established, the exact nature of the interaction of phonological and morphological factors in English stress assignment is a much debated issue in the literature. The present study investigates if and how directionality and stratification effects in English can be learned by means of Naive Discriminative Learning, a computational model that is trained using error-driven learning and that does not make any a-priori assumptions about the higher-level phonological organisation and morphological structure of words. Based on a series of simulation studies we show that neither directionality nor stratification need to be stipulated as a-priori properties of words or constraints in the lexicon. Stress can be learned solely on the basis of very flat word representations. Morphological stratification emerges as an effect of the model learning that informativity with regard to stress position is unevenly distributed across all trigrams constituting a word. Morphological affix classes like stress-preserving and stress-shifting affixes are, hence, not predefined classes but sets of trigrams that have similar informativity values with regard to stress position. Directionality, by contrast, emerges as spurious in our simulations; no syllable counting or recourse to abstract prosodic representations seems to be necessary to learn stress position in English.
This thesis addresses three different topics from the fields of mathematical finance, applied probability and stochastic optimal control. Correspondingly, it is subdivided into three independent main chapters each of which approaches a mathematical problem with a suitable notion of a stochastic particle system.
In Chapter 1, we extend the branching diffusion Monte Carlo method of Henry-Labordère et. al. (2019) to the case of parabolic PDEs with mixed local-nonlocal analytic nonlinearities. We investigate branching diffusion representations of classical solutions, and we provide sufficient conditions under which the branching diffusion representation solves the PDE in the viscosity sense. Our theoretical setup directly leads to a Monte Carlo algorithm, whose applicability is showcased in two stylized high-dimensional examples. As our main application, we demonstrate how our methodology can be used to value financial positions with defaultable, systemically important counterparties.
In Chapter 2, we formulate and analyze a mathematical framework for continuous-time mean field games with finitely many states and common noise, including a rigorous probabilistic construction of the state process. The key insight is that we can circumvent the master equation and reduce the mean field equilibrium to a system of forward-backward systems of (random) ordinary differential equations by conditioning on common noise events. We state and prove a corresponding existence theorem, and we illustrate our results in three stylized application examples. In the absence of common noise, our setup reduces to that of Gomes, Mohr and Souza (2013) and Cecchin and Fischer (2020).
In Chapter 3, we present a heuristic approach to tackle stochastic impulse control problems in discrete time. Based on the work of Bensoussan (2008) we reformulate the classical Bellman equation of stochastic optimal control in terms of a discrete-time QVI, and we prove a corresponding verification theorem. Taking the resulting optimal impulse control as a starting point, we devise a self-learning algorithm that estimates the continuation and intervention region of such a problem. Its key features are that it explores the state space of the underlying problem by itself and successively learns the behavior of the optimally controlled state process. For illustration, we apply our algorithm to a classical example problem, and we give an outlook on open questions to be addressed in future research.
Non-probability sampling is a topic of growing relevance, especially due to its occurrence in the context of new emerging data sources like web surveys and Big Data.
This thesis addresses statistical challenges arising from non-probability samples, where unknown or uncontrolled sampling mechanisms raise concerns in terms of data quality and representativity.
Various methods to quantify and reduce the potential selectivity and biases of non-probability samples in estimation and inference are discussed. The thesis introduces new forms of prediction and weighting methods, namely
a) semi-parametric artificial neural networks (ANNs) that integrate B-spline layers with optimal knot positioning in the general structure and fitting procedure of artificial neural networks, and
b) calibrated semi-parametric ANNs that determine weights for non-probability samples by integrating an ANN as response model with calibration constraints for totals, covariances and correlations.
Custom-made computational implementations are developed for fitting (calibrated) semi-parametric ANNs by means of stochastic gradient descent, BFGS and sequential quadratic programming algorithms.
The performance of all the discussed methods is evaluated and compared for a bandwidth of non-probability sampling scenarios in a Monte Carlo simulation study as well as an application to a real non-probability sample, the WageIndicator web survey.
Potentials and limitations of the different methods for dealing with the challenges of non-probability sampling under various circumstances are highlighted. It is shown that the best strategy for using non-probability samples heavily depends on the particular selection mechanism, research interest and available auxiliary information.
Nevertheless, the findings show that existing as well as newly proposed methods can be used to ease or even fully counterbalance the issues of non-probability samples and highlight the conditions under which this is possible.
Stakeholder Mapping
(2016)
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 a paper of 1996 the british mathematician Graham R. Allan posed the question, whether the product of two stable elements is again stable. Here stability describes the solvability of a certain infinite system of equations. Using a method from the theory of homological algebra, it is proved that in the case of topological algebras with multiplicative webs, and thus in all common locally convex topological algebras that occur in standard analysis, the answer of Allan's question is affirmative.
In splitting theory of locally convex spaces we investigate evaluable characterizations of the pairs (E, X) of locally convex spaces such that each exact sequence 0 -> X -> G -> E -> 0 of locally convex spaces splits, i.e. either X -> G has a continuous linear left inverse or G -> E has a continuous linear right inverse. In the thesis at hand we deal with splitting of short exact sequences of so-called PLH spaces, which are defined as projective limits of strongly reduced spectra of strong duals of Fréchet-Hilbert spaces. This class of locally convex spaces contains most of the spaces of interest for application in the theory of partial differential operators as the space of Schwartz distributions , the space of real analytic functions and various spaces of ultradifferentiable functions and ultradistributions. It also contains non-Schwartz spaces as B(2,k,loc)(Ω) and spaces of smooth and square integrable functions that are not covered by the current theory for PLS spaces. We prove a complete characterizations of the above problem in the case of X being a PLH space and E either being a Fréchet-Hilbert space or a strong dual of one by conditions of type (T ). To this end, we establish the full homological toolbox of Yoneda Ext functors in exact categories for the category of PLH spaces including the long exact sequence, which in particular involves a thorough discussion of the proper concept of exactness. Furthermore, we exhibit the connection to the parameter dependence problem via the Hilbert tensor product for hilbertizable locally convex spaces. We show that the Hilbert tensor product of two PLH spaces is again a PLH space which in particular proves the positive answer to Grothendieck- problème des topologies. In addition to that we give a complete characterization of the vanishing of the first derivative of the functor proj for tensorized PLH spectra if one of the PLH spaces E and X meets some nuclearity assumptions. To apply our results to concrete cases we establish sufficient conditions of (DN)-(Ω) type and apply them to the parameter dependence problem for partial differential operators with constant coefficients on B(2,k,loc)(Ω) spaces as well as to the smooth and square integrable parameter dependence problem. Concluding we give a complete solution of all the problems under consideration for PLH spaces of Köthe type.
The study analyzes the long-term trends (1998–2019) of concentrations of the air pollutants ozone (O3) and nitrogen oxides (NOx) as well as meteorological conditions at forest sites in German midrange mountains to evaluate changes in O3 uptake conditions for trees over time at a plot scale. O3 concentrations did not show significant trends over the course of 22 years, unlike NO2 and NO, whose concentrations decreased significantly since the end of the 1990s. Temporal analyses of meteorological parameters found increasing global radiation at all sites and decreasing precipitation, vapor pressure deficit (VPD), and wind speed at most sites (temperature did not show any trend). A principal component analysis revealed strong correlations between O3 concentrations and global radiation, VPD, and temperature. Examination of the atmospheric water balance, a key parameter for O3 uptake, identified some unusually hot and dry years (2003, 2011, 2018, and 2019). With the help of a soil water model, periods of plant water stress were detected. These periods were often in synchrony with periods of elevated daytime O3 concentrations and usually occurred in mid and late summer, but occasionally also in spring and early summer. This suggests that drought protects forests against O3 uptake and that, in humid years with moderate O3 concentrations, the O3 flux was higher than in dry years with higher O3 concentrations.
The demand for reliable statistics has been growing over the past decades, because more and more political and economic decisions are based on statistics, e.g. regional planning, allocation of funds or business decisions. Therefore, it has become increasingly important to develop and to obtain precise regional indicators as well as disaggregated values in order to compare regions or specific groups. In general, surveys provide the information for these indicators only for larger areas like countries or administrative divisions. However, in practice, it is more interesting to obtain indicators for specific subdivisions like on NUTS 2 or NUTS 3 levels. The Nomenclature of Units for Territorial Statistics (NUTS) is a hierarchical system of the European Union used in statistics to refer to subdivisions of countries. In many cases, the sample information on such detailed levels is not available. Thus, there are projects such as the European Census, which have the goal to provide precise numbers on NUTS 3 or even community level. The European Census is conducted amongst others in Germany and Switzerland in 2011. Most of the participating countries use sample and register information in a combined form for the estimation process. The classical estimation methods of small areas or subgroups, such as the Horvitz-Thompson (HT) estimator or the generalized regression (GREG) estimator, suffer from small area-specific sample sizes which cause high variances of the estimates. The application of small area methods, for instance the empirical best linear unbiased predictor (EBLUP), reduces the variance of the estimates by including auxiliary information to increase the effective sample size. These estimation methods lead to higher accuracy of the variables of interest. Small area estimation is also used in the context of business data. For example during the estimation of the revenues of specific subgroups like on NACE 3 or NACE 4 levels, small sample sizes can occur. The Nomenclature statistique des activités économiques dans la Communauté européenne (NACE) is a system of the European Union which defines an industry standard classification. Besides small sample sizes, business data have further special characteristics. The main challenge is that business data have skewed distributions with a few large companies and many small businesses. For instance, in the automotive industry in Germany, there are many small suppliers but only few large original equipment manufacturers (OEM). Altogether, highly influential units and outliers can be observed in business statistics. These extreme values in connection with small sample sizes cause severe problems when standard small area models are applied. These models are generally based on the normality assumption, which does not hold in the case of outliers. One way to solve these peculiarities is to apply outlier robust small area methods. The availability of adequate covariates is important for the accuracy of the above described small area methods. However, in business data, the auxiliary variables are hardly available on population level. One of several reasons for that is the fact that in Germany a lot of enterprises are not reflected in business registers due to truncation limits. Furthermore, only listed enterprises or companies which trespass specific thresholds are obligated to publish their results. This limits the number of potential auxiliary variables for the estimation. Even though there are issues with available covariates, business data often include spatial dependencies which can be used to enhance small area methods. Next to spatial information based on geographic characteristics, group-specific similarities like related industries based on NACE codes can be used. For instance, enterprises from the same NACE 2 level, e.g. sector 47 retail trade, behave more similar than two companies from different NACE 2 levels, e.g. sector 05 mining of coal and sector 64 financial services. This spatial correlation can be incorporated by extending the general linear mixed model trough the integration of spatially correlated random effects. In business data, outliers as well as geographic or content-wise spatial dependencies between areas or domains are closely linked. The coincidence of these two factors and the resulting consequences have not been fully covered in the relevant literature. The only approach that combines robust small area methods with spatial dependencies is the M-quantile geographically weighted regression model. In the context of EBLUP-based small area models, the combination of robust and spatial methods has not been considered yet. Therefore, this thesis provides a theoretical approach to this scientific and practical problem and shows its relevance in an empirical study.
Spatial Queues
(2000)
In the present thesis, a theoretical framework for the analysis of spatial queues is developed. Spatial queues are a generalization of the classical concept of queues as they provide the possibility of assigning properties to the users. These properties may influence the queueing process, but may also be of interest for themselves. As a field of application, mobile communication networks are modeled by spatial queues in order to demonstrate the advantage of including user properties into the queueing model. In this application, the property of main interest is the user's position in the network. After a short introduction, the second chapter contains an examination of the class of Markov-additive jump processes, including expressions for the transition probabilities and the expectation as well as laws of large numbers. Chapter 3 contains the definition and analysis of the central concept of spatial Markovian arrival processes (shortly: SMAPs) as a special case of Markov-additive jump processes, but also as a natural generalization from the well-known concept of BMAPs. In chapters 4 and 5, SMAPs serve as arrival streams for the analyzed periodic SMAP/M/c/c and SMAP/G/infinity queues, respectively. These types of queues find application as models or planning tools for mobile communication networks. The analysis of these queues involves new methods such that even for the special cases of BMAP inputs (i.e. non-spatial queues) new results are obtained. In chapter 6, a procedure for statistical parameter estimation is proposed along with its numerical results. The thesis is concluded by an appendix which collects necessary results from the theories of Markov jump processes and stochastic point fields. For special classes of Markov jump processes, new results have been obtained, too.
The endemic argan tree (Argania spinosa) populations in southern Morocco are highly degraded due to overbrowsing, illegal firewood extraction and the expansion of intensive agriculture. Bare areas between the isolated trees increase due to limited regrowth; however, it is unknown if the trees influence the soil of the intertree areas. Hypothetically, spatial differences in soil parameters of the intertree area should result from the translocation of litter or soil particles (by runoff and erosion or wind drift) from canopy-covered areas to the intertree areas. In total, 385 soil samples were taken around the tree from the trunk along the tree drip line (within and outside the tree area) and the intertree area between two trees in four directions (upslope, downslope and in both directions parallel to the slope) up to 50 m distance from the tree. They were analysed for gravimetric soil water content, pH, electrical conductivity, percolation stability, total nitrogen content (TN), content of soil organic carbon (SOC) and C/N ratio. A total of 74 tension disc infiltrometer experiments were performed near the tree drip line, within and outside the tree area, to measure the unsaturated hydraulic conductivity. We found that the tree influence on its surrounding intertree area is limited, with, e.g., SOC and TN content decreasing significantly from tree trunk (4.4 % SOC and 0.3 % TN) to tree drip line (2.0 % SOC and 0.2 % TN). However, intertree areas near the tree drip line (1.3 % SOC and 0.2 % TN) differed significantly from intertree areas between two trees (1.0 % SOC and 0.1 % TN) yet only with a small effect. Trends for spatial patterns could be found in eastern and downslope directions due to wind drift and slope wash. Soil water content was highest in the north due to shade from the midday sun; the influence extended to the intertree areas. The unsaturated hydraulic conductivity also showed significant differences between areas within and outside the tree area near the tree drip line. This was the case on sites under different land usages (silvopastoral and agricultural), slope gradients or tree densities. Although only limited influence of the tree on its intertree area was found, the spatial pattern around the tree suggests that reforestation measures should be aimed around tree shelters in northern or eastern directions with higher soil water content or TN or SOC content to ensure seedling survival, along with measures to prevent overgrazing.
Krylov subspace methods are often used to solve large-scale linear equations arising from optimization problems involving partial differential equations (PDEs). Appropriate preconditioning is vital for designing efficient iterative solvers of this type. This research consists of two parts. In the first part, we compare two different kinds of preconditioners for a conjugate gradient (CG) solver attacking one partial integro-differential equation (PIDE) in finance, both theoretically and numerically. An analysis on mesh independence and rate of convergence of the CG solver is included. The knowledge of preconditioning the PIDE is applied to a relevant optimization problem. The second part aims at developing a new preconditioning technique by embedding reduced order models of nonlinear PDEs, which are generated by proper orthogonal decomposition (POD), into deflated Krylov subspace algorithms in solving corresponding optimization problems. Numerical results are reported for a series of test problems.
Copositive programming is concerned with the problem of optimizing a linear function over the copositive cone, or its dual, the completely positive cone. It is an active field of research and has received a growing amount of attention in recent years. This is because many combinatorial as well as quadratic problems can be formulated as copositive optimization problems. The complexity of these problems is then moved entirely to the cone constraint, showing that general copositive programs are hard to solve. A better understanding of the copositive and the completely positive cone can therefore help in solving (certain classes of) quadratic problems. In this thesis, several aspects of copositive programming are considered. We start by studying the problem of computing the projection of a given matrix onto the copositive and the completely positive cone. These projections can be used to compute factorizations of completely positive matrices. As a second application, we use them to construct cutting planes to separate a matrix from the completely positive cone. Besides the cuts based on copositive projections, we will study another approach to separate a triangle-free doubly nonnegative matrix from the completely positive cone. A special focus is on copositive and completely positive programs that arise as reformulations of quadratic optimization problems. Among those we start by studying the standard quadratic optimization problem. We will show that for several classes of objective functions, the relaxation resulting from replacing the copositive or the completely positive cone in the conic reformulation by a tractable cone is exact. Based on these results, we develop two algorithms for solving standard quadratic optimization problems and discuss numerical results. The methods presented cannot immediately be adapted to general quadratic optimization problems. This is illustrated with examples.
Background: The body-oriented therapeutic approach Somatic Experiencing® (SE) treats posttraumatic symptoms by changing the interoceptive and proprioceptive sensations associated with the traumatic experience. Filling a gap in the landscape of trauma treatments, SE has attracted growing interest in research and therapeutic practice, recently.
Objective: To date, there is no literature review of the effectiveness and key factors of SE. This review aims to summarize initial findings on the effectiveness of SE and to outline methodspecific key factors of SE.
Method: To gain a first overview of the literature, we conducted a scoping review including studies until 13 August 2020. We identified 83 articles of which 16 fit inclusion criteria and were systematically analysed.
Results: Findings provide preliminary evidence for positive effects of SE on PTSD-related symptoms. Moreover, initial evidence suggests that SE has a positive impact on affective and somatic symptoms and measures of well-being in both traumatized and non-traumatized
samples. Practitioners and clients identified resource-orientation and use of touch as methodspecific key factors of SE. Yet, an overall studies quality assessment as well as a Cochrane analysis of risk of bias indicate that the overall study quality is mixed.
Conclusions: The results concerning effectiveness and method-specific key factors of SE are promising; yet, require more support from unbiased RCT-research. Future research should focus on filling this gap.
Soils in forest ecosystems bear a high potential as carbon (C) sinks in the mitigation of climate change. The amount and characteristics of soil organic matter (SOM) are driven by inputs, transformation, degradation and stabilization of organic substances. While tree species fuel the C cycle by producing aboveground and belowground litter, soil microorganisms are crucial for litter degradation as well as the formation and stabilization of SOM. Nonetheless, our knowledge about the tree species effect on the SOM status is limited, inconsistent and blurred. The investigation of tree species effects on SOM is challenging because in long-established forest ecosystems the spatial distribution of tree species is a result of the interplay of environmental factors including climate, geomorphology and soil chemistry. Moreover, tree distribution can further vary with forest successional stage and silvicultural management. Since these factors also directly affect the soil C-status, it is difficult to identify a pure “tree species effect” on the SOM status at regular forested sites. It therefore remains unclear in how far tree species-specific litter with different quality influences the microbial driven turnover and formation of SOM.
Tree species effects on SOM and related soil microbial properties were investigated by examining soil profiles (comprising organic forest floor horizons and mineral soil layers) in different forest stands at the recultivated spoil heap ‘Sophienhöhe’ located at the lignite open-cast mine Hambach near Jülich, Germany. The afforested sites comprised monocultural stands of Douglas fir (Pseudotsuga menziesii), black pine (Pinus nigra), European beech (Fagus sylvatica) and red oak (Quercus rubra) as well as a mixed deciduous stand site planted mainly with hornbeam (Carpinus betulus), lime (Tilia cordata) and common oak (Quercus robur) that were grown for 35 years under identical soil and geomorphological conditions. Because the parent material used for site recultivation was free from organic matter or coal material, the SOM accumulation is entirely the result of in situ soil development due to the impact of tree species.
The first study revealed that tree species had a significant effect on soil organic carbon (SOC) stocks, stoichiometric patterns of C, nitrogen (N), sulfur (S), hydrogen (H) and oxygen (O) as well as the microbial biomass carbon (MBC) content in the forest floor and the top mineral soil layers (0-5 cm, 5-10 cm, 10-30 cm). In general, forest floor SOC stocks were significantly higher at coniferous forest stands compared to deciduous tree species, whereas in mineral soil layers the differences were smaller. Thus, the impact of tree species decreased with increasing soil depth. By investigating the linkage of the natural abundance of 13C and 15N in the soil depth gradients with C:N and O:C stoichiometry, the second study showed that differences in SOC stocks and SOM quality resulted from a tree species-dependent turnover of SOM. Significantly higher turnover of organic matter in soils under deciduous tree species depended to 46 % on the quality of litterfall and root inputs (N content, C:N, O:C ratio), and on the initial isotopic signatures of litterfall. Hence, SOM composition and turnover also depends on additional – presumably microbially driven – factors. The subsequent results of the third study revealed that differences in SOM composition and related soil microbial properties were linked to different microbial communities. Phospholipid fatty acid (PLFA) patterns in the soil profiles indicated that the supply and availability of C and nutrient-rich substrates drive the distribution of fungi, Gram-positive (G+) bacteria and Gram-negative (G−) bacteria between tree species and along the soil depth gradients. The fourth study investigated the molecular composition of extractable soil microbial biomass-derived (SMB) and SOM-derived compounds by electrospray ionization Fourier transformation ion cyclotron resonance mass spectrometry (ESI-FT-ICR-MS). This was complemented by the analysis of nine monosaccharides representing microbial or plant origin. Microbially derived compounds substantially contributed to SOM and the contribution increased with soil depth. The supply of tree species-specific substrates resulted in different chemical composition of SMB with largest differences between deciduous and coniferous stands. At the same time, microorganisms contributed to SOM resulting in a strong similarity in the composition of SOM and SMB.
Overall, the complex interplay of tree species-specific litter inputs and the ability, activity and efficiency of the associated soil fauna and microbial community in metabolizing the organic substrates leads to significant differences in the amount, distribution, quality and consequently, the stability of SOM. These findings are useful for a targeted cultivation of tree species to optimize soil C sequestration and other forest ecosystems services.
Veterinary antibiotics are released to arable agricultural soil together with manure, including nutrients, organic matter, and microorganisms. Previously, the effects of antibiotic-contaminated manure on soil microbial community activity, function, structure, and resistance have been reported under controlled experimental conditions. This thesis further evaluated the antimicrobial effects as influenced by different manure compositions, soil microhabitats and moisture regimes, plants, and different distances to roots. Microbial community responses were determined by phenotypic phospholipid fatty acid (PLFA) and genotypic 16S rRNA gene fragment analyses. (Chapter 3) demonstrates that medication of pigs with difloxacin (DIF) and sulfadiazine (SDZ) alters the molecular-chemical pattern of slurries, confounding the detection of a consistent antibiotic effect in bulk and respective rhizosphere soil. This was evaluated in a 63-day mesocosm experiment considering typical agricultural manure applications to maize planted soil. Fecal bacteria were detected even 14 days after manure amendment. Manure of DIF- and SDZ-medicated pigs clearly affected the microbial community in mesocosm bulk and rhizosphere soil, temporarily matching antibiotic effects reported in previous studies. (Chapter 4) discusses the influences of different soil microhabitats on antibiotic fate and the effects on soil microflora. Total extractable SDZ was more than two-fold larger in earthworm burrows and soil macroaggregate surfaces compared to bulk soil or the interior fraction of aggregates. Furthermore, soil microbial communities were affected by a combination of soil microhabitat and treatment, which was reflected by different structural and functional community responses to SDZ in laboratory and under field conditions. (Chapter 5) evaluates if SDZ effects on microbial communities are more pronounced in soils which undergo periodic changes in soil moisture by drying-rewetting dynamics compared to soils without such moisture fluctuations. This was tested in a 49-day climate chamber soil pot experiment grown with grass. Manure-amended pots without or with SDZ contamination were incubated under a dynamic moisture regime with repeated drying and rewetting changes of more than twenty percent maximum water holding capacity compared to the control moisture regime. The microbial biomass, but less pronouncedly the community structure, showed an increased responsiveness to the combined stress of SDZ and dynamic moisture changes in the laboratory. Similar responses were documented under field conditions. (Chapter 6) indicated adverse effects of SDZ on root geotropism, number of lateral roots, and water uptake by plants in a 40-day greenhouse experiment with willow and maize grown in soil with environmentally relevant and worst-case antibiotic contamination. (Chapter 7) showed that the associated microbial community responded to a combination of plant species, distance to the root, and antibiotic spiking concentration. In highly antibiotic-contaminated soils, the structural and functional responses of the microbial community were dominated by indirect antibiotic effects on plants and roots.
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.
The formerly communist countries in Central and Eastern Europe (transitional economies in Europe and the Soviet Union – for example, East Germany, Czech Republic, Hungary, Lithuania, Poland, Russia) and transitional economies in Asia – for example, China, Vietnam had centrally planned economies, which did not allow entrepreneurship activities. Despite the political-socioeconomic transformations in transitional economies around 1989, they still had an institutional heritage that affects individuals’ values and attitudes, which, in turn, influence intentions, behaviors, and actions, including entrepreneurship.
While prior studies on the long-lasting effects of socialist legacy on entrepreneurship have focused on limited geographical regions (e.g., East-West Germany, and East-West Europe), this dissertation focuses on the Vietnamese context, which offers a unique quasi-experimental setting. In 1954, Vietnam was divided into the socialist North and the non-socialist South, and it was then reunified under socialist rule in 1975. Thus, the intensity of differences in socialist treatment in North-South Vietnam (about 21 years) is much shorter than that in East-West Germany (about 40 years) and East-West Europe (about 70 years when considering former Soviet Union countries).
To assess the relationship between socialist history and entrepreneurship in this unique setting, we survey more than 3,000 Vietnamese individuals. This thesis finds that individuals from North Vietnam have lower entrepreneurship intentions, are less likely to enroll in entrepreneurship education programs, and display lower likelihood to take over an existing business, compared to those from the South of Vietnam. The long-lasting effect of formerly socialist institutions on entrepreneurship is apparently deeper than previously discovered in the prominent case of East-West Germany and East-West Europe as well.
In the second empirical investigation, this dissertation focuses on how succession intentions differ from others (e.g., founding, and employee intentions) regarding career choice motivation, and the effect of three main elements of the theory of planned behavior (e.g., entrepreneurial attitude, subjective norms, and perceived behavioral control) in transition economy – Vietnam context. The findings of this thesis suggest that an intentional founder is labeled with innovation, an intentional successor is labeled with roles motivation, and an intentional employee is labeled with social mission. Additionally, this thesis reveals that entrepreneurial attitude and perceived behavioral control are positively associated with the founding intention, whereas there is no difference in this effect between succession and employee intentions.
Social innovation became a widely discussed topic in politics, research funding programs, and business development. Recent European and US economic and science policies have set aside significant funds to generate and foster social innovation. In view of current challenges such as digitization, Work 4.0, inclusion or migrant integration, the question of how organizations can be empowered to develop new and innovative approaches and service models to social challenges is becoming increasingly urgent. This especially applies to organizations in the fields of education and social services. In education, implementing new ideas and concepts is usually discussed as educational reform, which mostly addresses changes in policy agendas with consequences for national and international education systems. The concept of social innovation however has a different starting point: the source of new ideas and services are identified new, emergent needs in society or re-conceptualized. Such need-based perspectives might bring new impulses to the field of education. Therefore, this paper identifies important existing strands of social innovation research, which need to be considered in the emerging academic discourse on social innovation in education. Looking at social innovation through an education research lens reveals the close relation between learning, creativity, and innovation. Individuals, teams, and even organizations learn, engage in creative problem solving to create new and innovative products and services. From an organizational education perspective, the questions arise, how social innovation emerges and even more important, how the process of developing social innovation can be supported. After a brief introduction in the concept of social innovation, the paper discusses therefore the sites, where social innovation emerges, social innovators, approaches to foster social innovation as well as promoting and hindering factors for social innovation.
Zeitgleich mit stetig wachsenden gesellschaftlichen Herausforderungen haben im vergangenen Jahrzehnt Sozialunternehmen stark an Bedeutung gewonnen. Sozialunternehmen verfolgen das Ziel, mit unternehmerischen Mitteln gesellschaftliche Probleme zu lösen. Da der Fokus von Sozialunternehmen nicht hauptsächlich auf der eigenen Gewinnmaximierung liegt, haben sie oftmals Probleme, geeignete Unternehmensfinanzierungen zu erhalten und Wachstumspotenziale zu verwirklichen.
Zur Erlangung eines tiefergehenden Verständnisses des Phänomens der Sozialunternehmen untersucht der erste Teil dieser Dissertation anhand von zwei Studien auf der Basis eines Experiments das Entscheidungsverhalten der Investoren von Sozialunternehmen. Kapitel 2 betrachtet daher das Entscheidungsverhalten von Impact-Investoren. Der von diesen Investoren verfolgte Investmentansatz „Impact Investing“ geht über eine reine Orientierung an Renditen hinaus. Anhand eines Experiments mit 179 Impact Investoren, die insgesamt 4.296 Investitionsentscheidungen getroffen haben, identifiziert eine Conjoint-Studie deren wichtigste Entscheidungskriterien bei der Auswahl der Sozialunternehmen. Kapitel 3 analysiert mit dem Fokus auf sozialen Inkubatoren eine weitere spezifische Gruppe von Unterstützern von Sozialunternehmen. Dieses Kapitel veranschaulicht auf der Basis des Experiments die Motive und Entscheidungskriterien der Inkubatoren bei der Auswahl von Sozialunternehmen sowie die von ihnen angebotenen Formen der nichtfinanziellen Unterstützung. Die Ergebnisse zeigen unter anderem, dass die Motive von sozialen Inkubatoren bei der Unterstützung von Sozialunternehmen unter anderem gesellschaftlicher, finanzieller oder reputationsbezogener Natur sind.
Der zweite Teil erörtert auf der Basis von zwei quantitativ empirischen Studien, inwiefern die Registrierung von Markenrechten sich zur Messung sozialer Innovationen eignet und mit finanziellem und sozialem Wachstum von sozialen Startups in Verbindung steht. Kapitel 4 erörtert, inwiefern Markenregistrierungen zur Messung von sozialen Innovationen dienen können. Basierend auf einer Textanalyse der Webseiten von 925 Sozialunternehmen (> 35.000 Unterseiten) werden in einem ersten Schritt vier Dimensionen sozialer Innovationen (Innovations-, Impact-, Finanz- und Skalierbarkeitsdimension) ermittelt. Darauf aufbauend betrachtet dieses Kapitel, wie verschiedene Markencharakteristiken mit den Dimensionen sozialer Innovationen zusammenhängen. Die Ergebnisse zeigen, dass insbesondere die Anzahl an registrierten Marken als Indikator für soziale Innovationen (alle Dimensionen) dient. Weiterhin spielt die geografische Reichweite der registrierten Marken eine wichtige Rolle. Aufbauend auf den Ergebnissen von Kapitel 4 untersucht Kapitel 5 den Einfluss von Markenregistrierungen in frühen Unternehmensphasen auf die weitere Entwicklung der hybriden Ergebnisse von sozialen Startups. Im Detail argumentiert Kapitel 5, dass sowohl die Registrierung von Marken an sich als auch deren verschiedene Charakteristiken unterschiedlich mit den sozialen und ökonomischen Ergebnissen von sozialen Startups in Verbindung stehen. Anhand eines Datensatzes von 485 Sozialunternehmen zeigen die Analysen aus Kapitel 5, dass soziale Startups mit einer registrierten Marke ein vergleichsweise höheres Mitarbeiterwachstum aufweisen und einen größeren gesellschaftlichen Beitrag leisten.
Die Ergebnisse dieser Dissertation weiten die Forschung im Social Entrepreneurship-Bereich weiter aus und bieten zahlreiche Implikationen für die Praxis. Während Kapitel 2 und 3 das Verständnis über die Eigenschaften von nichtfinanziellen und finanziellen Unterstützungsorganisationen von Sozialunternehmen vergrößern, schaffen Kapitel 4 und 5 ein größeres Verständnis über die Bedeutung von Markenanmeldungen für Sozialunternehmen.
Roof and wall slates are fine-grained rocks with slaty cleavage, and it is often difficult to determine their mineral composition. A new norm mineral calculation called slatecalculation allows the determination of a virtual mineral composition based on full chemical analysis, including the amounts of carbon dioxide (CO2), carbon (C), and sulfur (S). Derived norm minerals include feldspars, carbonates, micas, hydro-micas, chlorites, ore-minerals, and quartz. The mineral components of the slate are assessed with superior accuracy compared to the petrographic analysis based on the European Standard EN 12326. The inevitable methodical inaccuracies in the calculations are limited and transparent. In the present paper, slates, shales, and phyllites from worldwide occurrences were examined. This also gives an overview of the rocks used for discontinuous roofing and external cladding.
Why do some people become entrepreneurs while others stay in paid employment? Searching for a distinctive set of entrepreneurial skills that matches the profile of the entrepreneurial task, Lazear introduced a theoretical model featuring skill variety for entrepreneurs. He argues that because entrepreneurs perform many different tasks, they should be multi-skilled in various areas. First, this dissertation provides the reader with an overview of previous relevant research results on skill variety with regard to entrepreneurship. The majority of the studies discussed focus on the effects of skill variety. Most studies come to the conclusion that skill variety mainly affects the decision to become self-employed. Skill variety also favors entrepreneurial intentions. Less clear are the results with regard to the influence of skill variety on the entrepreneurial success. Measured on the basis of income and survival of the company, a negative or U-shaped correlation is shown. Within the empirical part of this dissertation three research goals are tackled. First, this dissertation investigates whether a variety of early interests and activities in adolescence predicts subsequent variety in skills and knowledge. Second, the determinants of skill variety and variety of early interests and activities are investigated. Third, skill variety is tested as a mediator of the gender gap in entrepreneurial intentions. This dissertation employs structural equation modeling (SEM) using longitudinal data collected over ten years from Finnish secondary school students aged 16 to 26. As indicator for skill variety the number of functional areas in which the participant had prior educational or work experience is used. The results of the study suggest that a variety of early interests and activities lead to skill variety, which in turn leads to entrepreneurial intentions. Furthermore, the study shows that an early variety is predicted by openness and an entrepreneurial personality profile. Skill variety is also encouraged by an entrepreneurial personality profile. From a gender perspective, there is indeed a gap in entrepreneurial intentions. While a positive correlation has been found between the early variety of subjects and being female, there are negative correlations between the other two variables, education and work related Skill variety, and being female. The negative effect of work-related skill variety is the strongest. The results of this dissertation are relevant for research, politics, educational institutions and special entrepreneurship education programs. The results are also important for self-employed parents that plan the succession of the family business. Educational programs promoting entrepreneurship can be optimized on the basis of the results of this dissertation by making the transmission of a variety of skills a central goal. A focus on teenagers could also increase the success as well as a preselection based on the personality profile of the participants. Regarding the gender gap, state policies should aim to provide women with more incentives to acquire skill variety. For this purpose, education programs can be tailored specifically to women and self-employment can be presented as an attractive alternative to dependent employment.
Family firms play a crucial role in the DACH region (Germany, Austria, Switzerland). They are characterized by a long tradition, a strong connection to the region, and a well-established network. However, family firms also face challenges, especially in finding a suitable successor. Wealthy entrepreneurial families are increasingly opting to establish Single Family Offices (SFOs) as a solution to this challenge. An SFO takes on the management and protection of family wealth. Its goal is to secure and grow the wealth over generations. In Germany alone, there are an estimated 350 to 450 SFOs, with 70% of them being established after the year 2000. However, research on SFOs is still in its early stages, particularly regarding the role of SFOs as firm owners. This dissertation delves into an exploration of SFOs through four quantitative empirical studies. The first study provides a descriptive overview of 216 SFOs from the DACH-region. Findings reveal that SFOs exhibit a preference for investing in established companies and real estate. Notably, only about a third of SFOs engage in investments in start-ups. Moreover, SFOs as a group are heterogeneous. Categorizing them into three groups based on their relationship with the entrepreneurial family and the original family firm reveals significant differences in their asset allocation strategies. Subsequent studies in this dissertation leverage a hand-collected sample of 173 SFO-owned firms from the DACH region, meticulously matched with 684 family-owned firms from the same region. The second study focusing on financial performance indicates that SFO-owned firms tend to exhibit comparatively poorer financial performance than family-owned firms. However, when members of the SFO-owning family hold positions on the supervisory or executive board of the firm, there's a notable improvement. The third study, concerning cash holdings, reveals that SFO-owned firms maintain a higher cash holding ratio compared to family-owned firms. Notably, this effect is magnified when the SFO has divested its initial family firms. Lastly, the fourth study regarding capital structure highlights that SFO-owned firms tend to display a higher long-term debt ratio than family-owned firms. This suggests that SFO-owned firms operate within a trade-off theory framework, like private equity-owned firms. Furthermore, this effect is stronger for SFOs that sold their original family firm. The outcomes of this research are poised to provide entrepreneurial families with a practical guide for effectively managing and leveraging SFOs as a strategic long-term instrument for succession and investment planning.
Climate change is expected to cause mountain species to shift their ranges to higher elevations. Due to the decreasing amounts of habitats with increasing elevation, such shifts are likely to increase their extinction risk. Heterogeneous mountain topography, however, may reduce this risk by providing microclimatic conditions that can buffer macroclimatic warming or provide nearby refugia. As aspect strongly influences the local microclimate, we here assess whether shifts from warm south-exposed aspects to cool north-exposed aspects in response to climate change can compensate for an upward shift into cooler elevations.
Optimal mental workload plays a key role in driving performance. Thus, driver-assisting systems that automatically adapt to a drivers current mental workload via brain–computer interfacing might greatly contribute to traffic safety. To design economic brain computer interfaces that do not compromise driver comfort, it is necessary to identify brain areas that are most sensitive to mental workload changes. In this study, we used functional near-infrared spectroscopy and subjective ratings to measure mental workload in two virtual driving environments with distinct demands. We found that demanding city environments induced both higher subjective workload ratings as well as higher bilateral middle frontal gyrus activation than less demanding country environments. A further analysis with higher spatial resolution revealed a center of activation in the right anterior dorsolateral prefrontal cortex. The area is highly involved in spatial working memory processing. Thus, a main component of drivers’ mental workload in complex surroundings might stem from the fact that large amounts of spatial information about the course of the road as well as other road users has to constantly be upheld, processed and updated. We propose that the right middle frontal gyrus might be a suitable region for the application of powerful small-area brain computer interfaces.
Coastal erosion describes the displacement of land caused by destructive sea waves,
currents or tides. Due to the global climate change and associated phenomena such as
melting polar ice caps and changing current patterns of the oceans, which result in rising
sea levels or increased current velocities, the need for countermeasures is continuously
increasing. Today, major efforts have been made to mitigate these effects using groins,
breakwaters and various other structures.
This thesis will find a novel approach to address this problem by applying shape optimization
on the obstacles. Due to this reason, results of this thesis always contain the
following three distinct aspects:
The selected wave propagation model, i.e. the modeling of wave propagation towards
the coastline, using various wave formulations, ranging from steady to unsteady descriptions,
described from the Lagrangian or Eulerian viewpoint with all its specialties. More
precisely, in the Eulerian setting is first a steady Helmholtz equation in the form of a
scattering problem investigated and followed subsequently by shallow water equations,
in classical form, equipped with porosity, sediment portability and further subtleties.
Secondly, in a Lagrangian framework the Lagrangian shallow water equations form the
center of interest.
The chosen discretization, i.e. dependent on the nature and peculiarity of the constraining
partial differential equation, we choose between finite elements in conjunction
with a continuous Galerkin and discontinuous Galerkin method for investigations in the
Eulerian description. In addition, the Lagrangian viewpoint offers itself for mesh-free,
particle-based discretizations, where smoothed particle hydrodynamics are used.
The method for shape optimization w.r.t. the obstacle’s shape over an appropriate
cost function, constrained by the solution of the selected wave-propagation model. In
this sense, we rely on a differentiate-then-discretize approach for free-form shape optimization
in the Eulerian set-up, and reverse the order in Lagrangian computations.
Fostering positive and realistic self-concepts of individuals is a major goal in education worldwide (Trautwein & Möller, 2016). Individuals spend most of their childhood and adolescence in school. Thus, schools are important contexts for individuals to develop positive self-perceptions such as self-concepts. In order to enhance positive self-concepts in educational settings and in general, it is indispensable to have a comprehensive knowledge about the development and structure of self-concepts and their determinants. To date, extensive empirical and theoretical work on antecedents and change processes of self-concept has been conducted. However, several research gaps still exist, and several of these are the focus of the present dissertation. Specifically, these research gaps encompass (a) the development of multiple self-concepts from multiple perspectives regarding stability and change, (b) the direction of longitudinal interplay between self-concept facets over the entire time period from childhood to late adolescence, and (c) the evidence that a recently developed structural model of academic self-concept (nested Marsh/Shavelson model [Brunner et al., 2010]) fits the data in elementary school students, (d) the investigation of structural changes in academic self-concept profile formation within this model, (e) the investigation of dimensional comparison processes as determinants of academic self-concept profile formation in elementary school students within the internal/external frame of reference model (I/E model; Marsh, 1986), (f) the test of moderating variables for dimensional comparison processes in elementary school, (g) the test of the key assumptions of the I/E model that effects of dimensional comparisons depend to a large degree on the existence of achievement differences between subjects, and (h) the generalizability of the findings regarding the I/E model over different statistical analytic methods. Thus, the aim of the present dissertation is to contribute to close these gaps with three studies. Thereby, data from German students enrolled in elementary school to secondary school education were gathered in three projects comprising the developmental time span from childhood to adolescence (ages 6 to 20). Three vital self-concept areas in childhood and adolescence were in-vestigated: general self-concept (i.e., self-esteem), academic self-concepts (general, math, reading, writing, native language), and social self-concepts (of acceptance and assertion). In all studies, data were analyzed within a latent variable framework. Findings are discussed with respect to the research aims of acquiring more comprehensive knowledge on the structure and development of significant self-concept in childhood and adolescence and their determinants. In addition, theoretical and practical implications derived from the findings of the present studies are outlined. Strengths and limitations of the present dissertation are discussed. Finally, an outlook for future research on self-concepts is given.
In a case of robbery, some people actually use violence to steal - but others may supply information or weapons, make the plans, act as lookouts, provide transport. Certainly the actual robbers are guilty - but what of the others? How does Hong Kong's version of the common law answer this question now? How should the question be answered in the future?
Background: We evaluated depression and social isolation assessed at time of waitlisting as predictors of survival in heart transplant (HTx) recipients. Methods and Results: Between 2005 and 2006, 318 adult HTx candidates were enrolled in the Waiting for a New Heart Study, and 164 received transplantation. Patients were followed until February 2013. Psychosocial characteristics were assessed by questionnaires. Eurotransplant provided medical data at waitlisting, transplantation dates, and donor characteristics; hospitals reported medical data at HTx and date of death after HTx. During a median followâ€up of 70 months (<1"93 months postâ€HTx), 56 (38%) of 148 transplanted patients with complete data died. Depression scores were unrelated to social isolation, and neither correlated with disease severity. Higher depression scores increased the risk of dying (hazard ratio=1.07, 95% confidence interval, 1.01, 1.15, P=0.032), which was moderated by social isolation scores (significant interaction term; hazard ratio = 0.985, 95% confidence interval, 0.973, 0.998; P=0.022). These findings were maintained in multivariate models controlling for covariates (P values 0.020"0.039). Actuarial 1â€year/5â€year survival was best for patients with low depression who were not socially isolated at waitlisting (86% after 1 year, 79% after 5 years). Survival of those who were either depressed, or socially isolated or both, was lower, especially 5 years posttransplant (56%, 60%, and 62%, respectively). Conclusions: Low depression in conjunction with social integration at time of waitlisting is related to enhanced chances for survival after HTx. Both factors should be considered for inclusion in standardized assessments and interventions for HTx candidates. We evaluated depression and social isolation assessed at time of waitlisting as predictors of survival in heart transplant (HTx) recipients.\r\n\r\nMethods and Results: Between 2005 and 2006, 318 adult HTx candidates were enrolled in the Waiting for a New Heart Study, and 164 received transplantation. Patients were followed until February 2013. Psychosocial characteristics were assessed by questionnaires. Eurotransplant provided medical data at waitlisting, transplantation dates, and donor characteristics; hospitals reported medical data at HTx and date of death after HTx. During a median followâ€up of 70 months (<1"93 months postâ€HTx), 56 (38%) of 148 transplanted patients with complete data died. Depression scores were unrelated to social isolation, and neither correlated with disease severity. Higher depression scores increased the risk of dying (hazard ratio=1.07, 95% confidence interval, 1.01, 1.15, P=0.032), which was moderated by social isolation scores (significant interaction term; hazard ratio = 0.985, 95% confidence interval, 0.973, 0.998; P=0.022). These findings were maintained in multivariate models controlling for covariates (P values 0.020"0.039). Actuarial 1â€year/5â€year survival was best for patients with low depression who were not socially isolated at waitlisting (86% after 1 year, 79% after 5 years). Survival of those who were either depressed, or socially isolated or both, was lower, especially 5 years posttransplant (56%, 60%, and 62%, respectively).
Data used for the purpose of machine learning are often erroneous. In this thesis, p-quasinorms (p<1) are employed as loss functions in order to increase the robustness of training algorithms for artificial neural networks. Numerical issues arising from these loss functions are addressed via enhanced optimization algorithms (proximal point methods; Frank-Wolfe methods) based on the (non-monotonic) Armijo-rule. Numerical experiments comprising 1100 test problems confirm the effectiveness of the approach. Depending on the parametrization, an average reduction of the absolute residuals of up to 64.6% is achieved (aggregated over 100 test problems).
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.
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.
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.
Modern decision making in the digital age is highly driven by the massive amount of
data collected from different technologies and thus affects both individuals as well as
economic businesses. The benefit of using these data and turning them into knowledge
requires appropriate statistical models that describe the underlying observations well.
Imposing a certain parametric statistical model goes along with the need of finding
optimal parameters such that the model describes the data best. This often results in
challenging mathematical optimization problems with respect to the model’s parameters
which potentially involve covariance matrices. Positive definiteness of covariance matrices
is required for many advanced statistical models and these constraints must be imposed
for standard Euclidean nonlinear optimization methods which often results in a high
computational effort. As Riemannian optimization techniques proved efficient to handle
difficult matrix-valued geometric constraints, we consider optimization over the manifold
of positive definite matrices to estimate parameters of statistical models. The statistical
models treated in this thesis assume that the underlying data sets used for parameter
fitting have a clustering structure which results in complex optimization problems. This
motivates to use the intrinsic geometric structure of the parameter space. In this thesis,
we analyze the appropriateness of Riemannian optimization over the manifold of positive
definite matrices on two advanced statistical models. We establish important problem-
specific Riemannian characteristics of the two problems and demonstrate the importance
of exploiting the Riemannian geometry of covariance matrices based on numerical studies.
Every day we are exposed to a large set of appetitive food cues, mostly of high caloric, high carbohydrate content. Environmental factors like food cue exposition can impact eating behavior, by triggering anticipatory endocrinal responses and reinforcing the reward value of food. Additionally, it has been shown that eating behavior is largely influence by neuroendocrine factors. Energy homeostasis is of great importance for survival in all animal species. It is challenged under the state of food deprivation which is considered to be a metabolic stressor. Interestingly, the systems regulating stress and food intake share neural circuits. Adrenal glucocorticoids, as cortisol, and the pancreatic hormone insulin have been shown to be crucial to maintain catabolic and anabolic balance. Cortisol and insulin can cross the blood-brain barrier and interact with receptors distributed throughout the brain, influencing appetite and eating behavior. At the same time, these hormones have an important impact on the stress response. The aim of the current work is to broaden the knowledge on reward related food cue processing. With that purpose, we studied how food cue processing is influenced by food deprivation in women (in different phases of the menstrual cycle) and men. Furthermore, we investigated the impact of the stress/metabolic hormones, insulin and cortisol, at neural sites important for energy metabolism and in the processing of visual food cues. The Chapter I of this thesis details the underlying mechanisms of the startle response and its application in the investigation of food cue processing. Moreover, it describes the effects of food deprivation and of the stress-metabolic hormones insulin and cortisol in reward related processing of food cues. It explains the rationale for the studies presented in Chapter II-IV and describes their main findings. A general discussion of the results and recommendations for future research is given. In the study described in Chapter II, startle methodology was used to study the impact of food deprivation in the processing of reward related food cues. Women in different phases of the menstrual cycle and men were studied, in order to address potential effects of sex and menstrual cycle. All participants were studied either satiated or food deprived. Food deprivation provoked enhanced acoustic startle (ASR) response during foreground presentation of visual food cues. Sex and menstrual cycle did not influence this effect. The startle pattern towards food cues during fasting can be explained by a frustrative nonreward effect (FNR), driven by the impossibility to consume the exposed food. In Chapter III, a study is described, which was carried out to explore the central effects of insulin and cortisol, using continuous arterial spin labeling to map cerebral blood flow patterns. Following standardized periods of fasting, male participants received either intranasal insulin, oral cortisol, both, or placebo. Intranasal insulin increased resting regional cerebral blood flow in the putamen and insular cortex, structures that are involved in the regulation of eating behavior. Neither cortisol nor interaction effects were found. These results demonstrate that insulin exerts an action in metabolic centers during resting state, which is not affected by glucocorticoids. The study described in Chapter IV uses a similar pharmacological manipulation as the one presented in Chapter III, while assessing processing of reward related food cues through the startle paradigm validated in Chapter II. A sample of men was studied during short-term food deprivation. Considering the importance of both cortisol and insulin in glucose metabolism, food pictures were divided by glycemic index. Cortisol administration enhanced ASR during foreground presentation of "high glycemic" food pictures. This result suggests that cortisol provokes an increase in reward value of high glycemic food cues, which is congruent with previous research on stress and food consumption. This thesis gives support to the FNR hypothesis towards food cues during states of deprivation. Furthermore, it highlights the potential effects of stress related hormones in metabolism-connected neuronal structures, and in the reward related mechanisms of food cue processing. In a society marked by increased food exposure and availability, alongside with increased stress, it is important to better understand the impact of food exposition and its interaction with relevant hormones. This thesis contributes to the knowledge in this field. More research in this direction is needed.
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.
The forward testing effect is an indirect benefit of retrieval practice. It refers to the finding that retrieval practice of previously studied information enhances learning and retention of subsequently studied other information in episodic memory tasks. Here, two experiments were conducted that investigated whether retrieval practice influences participants’ performance in other tasks, i.e., arithmetic tasks. Participants studied three lists of words in anticipation of a final recall test. In the testing condition, participants were immediately tested on lists 1 and 2 after study of each list, whereas in the restudy condition, they restudied lists 1 and 2 after initial study. Before and after study of list 3, participants did an arithmetic task. Finally, participants were tested on list 3, list 2, and list 1. Different arithmetic tasks were used in the two experiments. Participants did a modular arithmetic task in Experiment 1a and a single-digit multiplication task in Experiment 1b. The results of both experiments showed a forward testing effect with interim testing of lists 1 and 2 enhancing list 3 recall in the list 3 recall test, but no effects of recall testing of lists 1 and 2 for participants’ performance in the arithmetic tasks. The findings are discussed with respect to cognitive load theory and current theories of the forward testing effect.
Using a dendrochronological approach, we determined the resistance, recovery and resilience of the radial stem increment towards episodes of growth decline, and the accompanying variation of 13C discrimination against atmospheric CO2 (Δ13C) in tree rings of two palaeotropical pine species. These species co-occur in the mountain ranges of south–central Vietnam (1500–1600 m a.s.l.), but differ largely in their areas of distribution (Pinus kesiya from northeast India to the Philippines; P. dalatensis only in south and central Vietnam and in some isolated populations in Laos). For P. dalatensis, a robust growth chronology covering the past 290 years could be set up for the first time in the study region. For P. kesiya, the 140-year chronology constructed was the longest that could be established to date in that region for this species. In the first 40 years of the trees’ lives, the stem diameter increment was significantly larger in P. kesiya, but levelled off and even decreased after 100 years, whereas P. dalatensis exhibited a continuous growth up to an age of almost 300 years. Tree-ring growth of P. kesiya was negatively related to temperature in the wet months and season of the current year and in October (humid transition period) of the preceding year and to precipitation in August (monsoon season), but positively to precipitation in December (dry season) of the current year. The P. dalatensis chronologies exhibited no significant correlation with temperature or precipitation. Negative correlations between BAI and Δ13C indicate a lack of growth impairment by drought in both species. Regression analyses revealed a lower resilience of P. dalatensis upon episodes of growth decline compared to P. kesiya, but, contrary to our hypothesis, mean values of the three sensitivity parameters did not differ significantly between these species. Nevertheless, the vigorous growth of P. kesiya, which does not fall behind that of P. dalatensis even at the margin of its distribution area under below-optimum edaphic conditions, is indicative of a relatively high plasticity of this species towards environmental factors compared to P. dalatensis, which, in tendency, is less resilient upon environmental stress even in the “core” region of its occurrence.
Due to the breath-taking growth of the World Wide Web (WWW), the need for fast and efficient web applications becomes more and more urgent. In this doctoral thesis, the emphasis will be on two concrete tasks for improving Internet applications. On the one hand, a major problem of many of today's Internet applications may be described as the performance of the Client/Server-communication: servers often take a long time to respond to a client's request. There are several strategies to overcome this problem of high user-perceived latencies; one of them is to predict future user-requests. This way, time-consuming calculations on the server's side can be performed even before the corresponding request is being made. Furthermore, in certain situations, also the pre-fetching or the pre-sending of data might be appropriate. Those ideas will be discussed in detail in the second part of this work. On the other hand, a focus will be placed on the problem of proposing hyperlinks to improve the quality of rapid written texts, at first glance, an entirely different problem to predicting client requests. Ultra-modern online authoring systems that provide possibilities to check link-consistencies and administrate link management should also propose links in order to improve the usefulness of the produced HTML-documents. In the third part of this elaboration, we will describe a possibility to build a hyperlink-proposal module based on statistical information retrieval from hypertexts. These two problem categories do not seem to have much in common. It is one aim of this work to show that there are certain, similar solution strategies to look after both problems. A closer comparison and an abstraction of both methodologies will lead to interesting synergetic effects. For example, advanced strategies to foresee future user-requests by modeling time and document aging can be used to improve the quality of hyperlink-proposals too.
This study focuses on the representation of British South Asian identities in contemporary British audiovisual media. It attempts to answer the question, whether these identities are represented as hybrid, heterogeneous and ambivalent, or whether these contemporary representations follow in the tradition of colonial and postcolonial racialism. Racialised depictions of British South Asians have been the norm not only in the colonial but also in the postcolonial era until the rise of the Black British movement, whose successes have been also acknowledged in the field of representation. However these achievements have to be scrutinized again, especially in the context of the post 9/11 world, rising Islamophobia, and new forms of institutionalized discrimination on the basis of religion. Since the majority of British Muslims are of South Asian origin, this study tries to answer the question whether the marker of religious origin is racial belonging, i.e. skin colour, and old stereotypes associated with the racialised representation are being perpetuated into current depictions through an examination of the varied genre of popular audio visual media texts.
Even though proper research on Cauchy transforms has been done, there are still a lot of open questions. For example, in the case of representation theorems, i.e. the question when a function can be represented as a Cauchy transform, there is 'still no completely satisfactory answer' ([9], p. 84). There are characterizations for measures on the circle as presented in the monograph [7] and for general compactly supported measures on the complex plane as presented in [27]. However, there seems to exist no systematic treatise of the Cauchy transform as an operator on $L_p$ spaces and weighted $L_p$ spaces on the real axis.
This is the point where this thesis draws on and we are interested in developing several characterizations for the representability of a function by Cauchy transforms of $L_p$ functions. Moreover, we will attack the issue of integrability of Cauchy transforms of functions and measures, a topic which is only partly explored (see [43]). We will develop different approaches involving Fourier transforms and potential theory and investigate into sufficient conditions and characterizations.
For our purposes, we shall need some notation and the concept of Hardy spaces which will be part of the preliminary Chapter 1. Moreover, we introduce Fourier transforms and their complex analogue, namely Fourier-Laplace transforms. This will be of extraordinary usage due to the close connection of Cauchy and Fourier(-Laplace) transforms.
In the second chapter we shall begin our research with a discussion of the Cauchy transformation on the classical (unweighted) $L_p$ spaces. Therefore, we start with the boundary behavior of Cauchy transforms including an adapted version of the Sokhotski-Plemelj formula. This result will turn out helpful for the determination of the image of the Cauchy transformation under $L_p(\R)$ for $p\in(1,\infty).$ The cases $p=1$ and $p=\infty$ are playing special roles here which justifies a treatise in separate sections. For $p=1$ we will involve the real Hardy space $H_{1}(\R)$ whereas the case $p=\infty$ shall be attacked by an approach incorporating intersections of Hardy spaces and certain subspaces of $L_{\infty}(\R).$
The third chapter prepares ourselves for the study of the Cauchy transformation on subspaces of $L_{p}(\R).$ We shall give a short overview of the basic facts about Cauchy transforms of measures and then proceed to Cauchy transforms of functions with support in a closed set $X\subset\R.$ Our goal is to build up the main theory on which we can fall back in the subsequent chapters.
The fourth chapter deals with Cauchy transforms of functions and measures supported by an unbounded interval which is not the entire real axis. For convenience we restrict ourselves to the interval $[0,\infty).$ Bringing once again the Fourier-Laplace transform into play, we deduce complex characterizations for the Cauchy transforms of functions in $L_{2}(0,\infty).$ Moreover, we analyze the behavior of Cauchy transform on several half-planes and shall use these results for a fairly general geometric characterization. In the second section of this chapter, we focus on Cauchy transforms of measures with support in $[0,\infty).$ In this context, we shall derive a reconstruction formula for these Cauchy transforms holding under pretty general conditions as well as results on the behaviur on the left half-plane. We close this chapter by rather technical real-type conditions and characterizations for Cauchy transforms of functions in $L_p(0,\infty)$ basing on an approach in [82].
The most common case of Cauchy transforms, those of compactly supported functions or measures, is the subject of Chapter 5. After complex and geometric characterizations originating from similar ideas as in the fourth chapter, we adapt a functional-analytic approach in [27] to special measures, namely those with densities to a given complex measure $\mu.$ The chapter is closed with a study of the Cauchy transformation on weighted $L_p$ spaces. Here, we choose an ansatz through the finite Hilbert transform on $(-1,1).$
The sixth chapter is devoted to the issue of integrability of Cauchy transforms. Since this topic has no comprehensive treatise in literature yet, we start with an introduction of weighted Bergman spaces and general results on the interaction of the Cauchy transformation in these spaces. Afterwards, we combine the theory of Zen spaces with Cauchy transforms by using once again their connection with Fourier transforms. Here, we shall encounter general Paley-Wiener theorems of the recent past. Lastly, we attack the issue of integrability of Cauchy transforms by means of potential theory. Therefore, we derive a Fourier integral formula for the logarithmic energy in one and multiple dimensions and give applications to Fourier and hence Cauchy transforms.
Two appendices are annexed to this thesis. The first one covers important definitions and results from measure theory with a special focus on complex measures. The second appendix contains Cauchy transforms of frequently used measures and functions with detailed calculations.
Die Polargebiete sind geprägt von harschen Umweltbedingungen mit extrem kalten Temperaturen und Winden. Besonders während der polaren Nacht werden Temperaturen von bis zu -89.2°C}$ auf dem Antarktischen Plateau beobachtet. Infolge der starken Abkühlung beginnt das Ozeanwasser zu gefrieren und die Eisproduktion beginnt. Der Antarktische Ozean ist dabei von einer ausgeprägten zwischen- und innerjährlichen Variabilität geprägt und die Eisbedeckung variiert zwischen 2.07 * 10^6 km^2 im Sommer und 20.14 * 10^6 km^2 im Winter. Die Eisproduktion und Eisschmelze beeinflussen die atmosphärische und ozeanische Zirkulation. Dynamische Prozesse führen zur Bildung von Rissen im Eis und letztlich zum Entstehen von Eisrinnen (leads). Leads sind langgestreckte Risse die mindestens einige Meter breit und hunderte Meter bis hunderte Kilometer lang sein können. In diesen Eisrinnen ist das warme Ozeanwasser in Kontakt mit der kalten Atmosphäre, wodurch die Austauschraten fühlbarer und latenter Wärme, Feuchtigkeit und von Gasen stark erhöht sind. Eisrinnen tragen zur Eisproduktion in den Polargebieten bei und sind Habitat für zahlreiche Tiere. Eisrinnen, zentraler Bestandteil der präsentierten Studie, sind bis heute nur unzureichend im Südpolarmeer erforscht und beobachtet. Daher ist es Ziel einen Algorithmus zu entwickeln, um Eisrinnen in Fernerkundungsdaten automatisiert zu identifizieren. Dabei kommen thermal-Infrarot Satellitendaten des Moderate-Resolution Imaging Spectroradiometer (MODIS) zum Einsatz, welches auf den beiden Satelliten Aqua und Terra montiert ist und seit 2000 (Terra) bzw. 2002 (Aqua) Satellitenbilder bereitstellt. Die einzelnen Satellitenbilder beinhalten die Eisoberflächentemperatur des MOD/MYD 29 Produktes, welche in einem zweistufigen Algorithmus für den Zeitraum April bis September 2003 bis 2019 prozessiert werden.
Im ersten Schritt werden potentielle Eisrinnen anhand der lokalen positiven Temperaturanomalie identifiziert. Aufgrund von Artefakten werden weitere temperatur- und texturbasierte Parameter abgeleitet und zu täglichen Kompositen zusammengefügt. Diese werden in der zweiten Prozessierungsstufe verwendet, um Wolkenartefakte von echten Eisrinnen-Observationen zu trennen. Hier wird Fuzzy Logic genutzt und eine Antarktis-spezifische Konfiguration wird definiert. In diesem werden ausgewählte Eingabedaten aus dem ersten Prozessierungslevel genutzt, um einen finalen Proxy, den Lead Score (LS), zu berechnen. Der LS wird abschließend mittels manueller Qualitätskontrolle in eine Unsicherheit überführt. Die darüber identifizierten Artefakte können so zusätzlich zur MODIS-Wolkenmaske genutzt werden.
Auf Basis der Eisrinnenbeobachtungen wird ein klimatologischer Referenzdatensatz erstellt, der die repräsentative Eisrinnenverteilung im Antarktischen Ozean für die Wintermonate April bis September, 2003 bis 2019 zeigt. In diesem ist sichtbar, dass Eisrinnen in manchen Gegenden systematischer auftreten als in anderen. Das sind vor allem die Regionen entlang der Küstenregion, des kontinentalen Schelfabhangs und einigen Erhebungen und Kanälen in der Tiefsee. Dabei sind die erhöhten Frequenzen entlang des Schelfabhangs besonders interessant und der Einfluss von atmosphärischen und ozeanischen Einflüssen wird untersucht. Ein regionales Eis-Ozeanmodell wird genutzt, um ozeanische Einflüsse in Zusammenhang mit erhöhten Eisrinnenfrequenzen zu setzen.
In der vorliegenden Studie wird außerdem ein umfangreicher Überblick über die großskalige Variabilität von Antarktischem Meereis gegeben. Tägliche Eiskonzentrationsdaten, abgeleitet aus passiven Mikrowellendaten, werden aus dem Zeitraum 1979 bis 2018 für die Klassifikation genutzt. Der dk-means Algorithmus wird verwendet, um zehn repräsentative Eisklassen zu identifizieren. Die geographische Verteilung dieser Klassen wird als Karte dargestellt, in der der typische jährliche Eiszyklus je Klasse sichtbar ist.
Veränderungen in dem räumlichen Auftreten von Eisklassen werden identifiziert und qualitativ interpretiert. Positive Abweichungen hin zu höheren Eisklassen werden im Weddell- und dem Ross-Meer und einigen Regionen in der Ostantarktis identifiziert. Negative Abweichungen sind im Amundsen-Bellingshausen-Meer vorhanden. Der neu entwickelte (Climatological Sea Ice Anomaly Index) wird genutzt, um Klassenabweichungen in der Zeitreihe zu identifizieren. Damit werden drei Jahre (1986, 2007, 2014) für eine Fallstudie ausgewählt und in Relation zu atmosphärischen Daten aus ERA-Interim und Eisdrift-Daten untersucht. Für die beiden Jahre 1986 und 2007 können bestimmte atmosphärische Zirkulationsmuster identifiziert werden, die die entsprechende Eisklassifikation beeinflusst haben. Für das Jahr 2014 können keine besonders ausgeprägten atmosphärischen Anomalien ausgemacht werden.
Der Eisklassen-Datensatz kann in Zukunft als Ergänzung zu vorhandenen Studien und für die Validierung von Meereismodellen genutzt werden. Dabei sind vor allem Anwendungen in Bezug auf den Eisrinnen-Datensatz möglich.
Agricultural monitoring is necessary. Since the beginning of the Holocene, human agricultural
practices have been shaping the face of the earth, and today around one third of the ice-free land
mass consists of cropland and pastures. While agriculture is necessary for our survival, the
intensity has caused many negative externalities, such as enormous freshwater consumption, the
loss of forests and biodiversity, greenhouse gas emissions as well as soil erosion and degradation.
Some of these externalities can potentially be ameliorated by careful allocation of crops and
cropping practices, while at the same time the state of these crops has to be monitored in order
to assess food security. Modern day satellite-based earth observation can be an adequate tool to
quantify abundance of crop types, i.e., produce spatially explicit crop type maps. The resources to
do so, in terms of input data, reference data and classification algorithms have been constantly
improving over the past 60 years, and we live now in a time where fully operational satellites
produce freely available imagery with often less than monthly revisit times at high spatial
resolution. At the same time, classification models have been constantly evolving from
distribution based statistical algorithms, over machine learning to the now ubiquitous deep
learning.
In this environment, we used an explorative approach to advance the state of the art of crop
classification. We conducted regional case studies, focused on the study region of the Eifelkreis
Bitburg-Prüm, aiming to develop validated crop classification toolchains. Because of their unique
role in the regional agricultural system and because of their specific phenologic characteristics
we focused solely on maize fields.
In the first case study, we generated reference data for the years 2009 and 2016 in the study
region by drawing polygons based on high resolution aerial imagery, and used these in
conjunction with RapidEye imagery to produce high resolution maize maps with a random forest
classifier and a gaussian blur filter. We were able to highlight the importance of careful residual
analysis, especially in terms of autocorrelation. As an end result, we were able to prove that, in
spite of the severe limitations introduced by the restricted acquisition windows due to cloud
coverage, high quality maps could be produced for two years, and the regional development of
maize cultivation could be quantified.
In the second case study, we used these spatially explicit datasets to link the expansion of biogas
producing units with the extended maize cultivation in the area. In a next step, we overlayed the
maize maps with soil and slope rasters in order to assess spatially explicit risks of soil compaction
and erosion. Thus, we were able to highlight the potential role of remote sensing-based crop type
classification in environmental protection, by producing maps of potential soil hazards, which can
be used by local stakeholders to reallocate certain crop types to locations with less associated
risk.
In our third case study, we used Sentinel-1 data as input imagery, and official statistical records
as maize reference data, and were able to produce consistent modeling input data for four
consecutive years. Using these datasets, we could train and validate different models in spatially
iv
and temporally independent random subsets, with the goal of assessing model transferability. We
were able to show that state-of-the-art deep learning models such as UNET performed
significantly superior to conventional models like random forests, if the model was validated in a
different year or a different regional subset. We highlighted and discussed the implications on
modeling robustness, and the potential usefulness of deep learning models in building fully
operational global crop classification models.
We were able to conclude that the first major barrier for global classification models is the
reference data. Since most research in this area is still conducted with local field surveys, and only
few countries have access to official agricultural records, more global cooperation is necessary to
build harmonized and regionally stratified datasets. The second major barrier is the classification
algorithm. While a lot of progress has been made in this area, the current trend of many appearing
new types of deep learning models shows great promise, but has not yet consolidated. There is
still a lot of research necessary, to determine which models perform the best and most robust,
and are at the same time transparent and usable by non-experts such that they can be applied
and used effortlessly by local and global stakeholders.
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.
Religion, churches and religious communities have growing importance in the Law of the European Union. Since long a distinct law on religion of the European Union is developing. This collection of those norms of European Union Law directly concerning religion mirrors today's status of this dynamic process.
Religion, churches and religious communities have growing importance in the Law of the European Union. Since long a distinct law on religion of the European Union is developing.rnThis collection of those norms of European Union Law directly concerning religion mirrors today's status of this dynamic process.
The 22nd annual conference of the European Consortium for Church and State Research took place from 11 to 14 November 2010 in Trier, Germany. Founded in 1989, the Consortium unites experts of law and religion of all Member States of the European Union. In annual meetings, various topics of the relations between religions and states within the European Union are discussed. This year- conference was dedicated to the topic "Religion in Public Education". Scholars from 27 European countries discussed inter alia the role of religion in the European member states" educational systems, opting out of school obligations for religious reasons, home schooling as well as religious dress and symbols in public schools. The present proceedings contain the opening lectures, all country reports and a report on the European Union law.
The 23rd Annual Congress of the European Consortium for Church and State Research took place in Oxford, United Kingdom from 29 September to 2 October 2011. Founded in 1989, the Consortium unites experts in law and religion from Member States of the European Union. The Oxford conference took as its theme Religion and Discrimination Law focusing on the manner in which State governments had sought to implement the non-discrimination policy of the EU by legislation and through courts and tribunals. The proceedings comprise three introductory papers considering the historical, cultural and social background; the prohibition on discrimination, and the exemptions to the general prohibition. This is followed by national reports from twenty-three countries describing the reach of discrimination law in the field of religion. These are supplemented by further papers analysing the jurisprudence of the Strasbourg Court and the background to EU Directive 2000/78/EC and by some concluding reflections. The proceedings begin with the text of a public lecture given at the opening of the Congress by Sir Nicolas Bratza, President of the European Court of Human Rights on the subject of freedom of religion under Article 9 of the Convention.
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.
The Eurosystem's Household Finance and Consumption Survey (HFCS) collects micro data on private households' balance sheets, income and consumption. It is a stylised fact that wealth is unequally distributed and that the wealthiest own a large share of total wealth. For sample surveys which aim at measuring wealth and its distribution, this is a considerable problem. To overcome it, some of the country surveys under the HFCS umbrella try to sample a disproportionately large share of households that are likely to be wealthy, a technique referred to as oversampling. Ignoring such types of complex survey designs in the estimation of regression models can lead to severe problems. This thesis first illustrates such problems using data from the first wave of the HFCS and canonical regression models from the field of household finance and gives a first guideline for HFCS data users regarding the use of replicate weight sets for variance estimation using a variant of the bootstrap. A further investigation of the issue necessitates a design-based Monte Carlo simulation study. To this end, the already existing large close-to-reality synthetic simulation population AMELIA is extended with synthetic wealth data. We discuss different approaches to the generation of synthetic micro data in the context of the extension of a synthetic simulation population that was originally based on a different data source. We propose an additional approach that is suitable for the generation of highly skewed synthetic micro data in such a setting using a multiply-imputed survey data set. After a description of the survey designs employed in the first wave of the HFCS, we then construct new survey designs for AMELIA that share core features of the HFCS survey designs. A design-based Monte Carlo simulation study shows that while more conservative approaches to oversampling do not pose problems for the estimation of regression models if sampling weights are properly accounted for, the same does not necessarily hold for more extreme oversampling approaches. This issue should be further analysed in future research.
This cumulative thesis encompass three studies focusing on the Weddell Sea region in the Antarctic. The first study produces and evaluates a high quality data set of wind measurements for this region. The second study produces and evaluates a 15 year regional climate simulation for the Weddell Sea region. And the third study produces and evaluates a climatology of low level jets (LLJs) from the simulation data set. The evaluations were done in the attached three publications and the produced data sets are published online.
In 2015/2016, the RV Polarstern undertook an Antarctic expedition in the Weddell Sea. We operated a Doppler wind lidar on board during that time running different scan patterns. The resulting data was evaluated, corrected, processed and we derived horizontal wind speed and directions for vertical profiles with up to 2 km height. The measurements cover 38 days with a temporal resolution of 10-15 minutes. A comparisons with other radio sounding data showed only minor differences.
The resulting data set was used alongside other measurements to evaluate temperature and wind of simulation data. The simulation data was produced with the regional climate model CCLM for the period of 2002 to 2016 for the Weddell Sea region. Only smaller biases were found except for a strong warm bias during winter near the surface of the Antarctic Plateau. Thus we adapted the model setup and were able to remove the bias in a second simulation.
This new simulation data was then used to derive a climatology of low level jets (LLJs). Statistics of occurrence frequency, height and wind speed of LLJs for the Weddell Sea region are presented along other parameters. Another evaluation with measurements was also performed in the last study.
The global spread of the coronavirus pandemic has particularly dramatic consequences for the lives of migrants and refugees living in already marginalised and restricted conditions, whose ongoing crisis is at risk of being overlooked. But refugees are not only extremely vulnerable and at risk of infection, as several reports show, quickly develop their own protection measures like the production of hygienic products, the publication of their situation and calls for action and help. Therefore, this paper aims to research the effects of the coronavirus crisis on refugees in camp settings with a special ethnographic focus on how refugees actively deal with this crisis and if they, through already developed resilience, are capable of adapting to the restrictions as well as inventing strategies to cope with the difficult situation. To account for the variety of refugee camps as well as the different living conditions due to their locality, history and national asylum politics, we will look at three different locations, namely refugee asylum homes in Germany, hotspots on the Greek islands as well as one refugee camp in Kenya. The main questions will be how, under structurally and institutionally framed conditions of power and victimisation in refugee camps, forms of agency are established, made possible or limited. The goal is to show which strategies refugees apply to cope with the enhanced restrictions and exclusion, how they act to protect themselves and others from the virus and how they present and reflect their situation during the coronavirus pandemic. Finally, this discussion offers a new perspective to consider refugees not only as vulnerable victims, but also as actively engaged individuals.
The collapse of the tailings pond of the Aznalcállar open pit mine (West of Seville, Spain) in April 1998 left more than 4000 ha of arable land and floodplains contaminated with heavy metal containing pyrite sludge. After a first remediation campaign a considerable contamination remained in the soil. The present study evaluates the possibilities of reflectance spectroscopy and airborne hyperspectral remote sensing for the qualitative and quantitative assessment of heavy metal contamination and the acidification risk related to the mining accident. Based on an extensive data set consisting of geochemical analyses and reflectance measurements of more than 300 soil samples different chemometrics methods (multiple linear regression, partial least squares and artificial neural networks) are tested for computation of concentrations of soil constituents on the basis of the spectral reflectance. Spectral mixture analysis is applied for the analysis of the spatial distribution of the contamination. The abundance information derived from spectral mixture analysis is turned into quantitative information incorporating an artificial mixture experiment. The results of this experiment provide a link between sludge abundance and sludge weight, allowing as a consequence calculation of the amount of residual sludge per pixel, the acidification potential and other parameters important for remediation planning. The application of laboratory, field and imaging spectroscopy for providing quantitative information about the contamination levels in their spatial context is a good complement to conventional methods. The advantage is the reduction of the time and labour-intensive geochemical analysis, because after the model calibration, further samples can be analysed directly with the chemometric models. Furthermore, the spatial distribution can be mapped with imaging spectroscopy data helping in a more precise remediation planning.
Considering the numerical simulation of mathematical models it is necessary to have efficient methods for computing special functions. We will focus our considerations in particular on the classes of Mittag-Leffler and confluent hypergeometric functions. The PhD Thesis can be structured in three parts. In the first part, entire functions are considered. If we look at the partial sums of the Taylor series with respect to the origin we find that they typically only provide a reasonable approximation of the function in a small neighborhood of the origin. The main disadvantages of these partial sums are the cancellation errors which occur when computing in fixed precision arithmetic outside this neighborhood. Therefore, our aim is to quantify and then to reduce this cancellation effect. In the next part we consider the Mittag-Leffler and the confluent hypergeometric functions in detail. Using the method we developed in the first part, we can reduce the cancellation problems by "modifying" the functions for several parts of the complex plane. Finally, in in the last part two other approaches to compute Mittag-Leffler type and confluent hypergeometric functions are discussed. If we want to evaluate such functions on unbounded intervals or sectors in the complex plane, we have to consider methods like asymptotic expansions or continued fractions for large arguments z in modulus.
Reconstructing invisible deviating events: A conformance checking approach for recurring events
(2022)
Conformance checking enables organizations to determine whether their executed processes are compliant with the intended process. However, if the processes contain recurring activities, state-of-the-art approaches unfortunately have difficulties calculating the conformance. The occurrence of complex temporal rules can further increase the complexity of the problem. Identifying this limitation, this paper presents a novel approach towards dealing with recurring activities in conformance checking. The core idea of the approach is to reconstruct the missing events in the event log using defined rules while incorporating specified temporal event characteristics. This approach then enables the use of native conformance checking algorithms. The paper illustrates the algorithmic approach and defines the required temporal event characteristics. Furthermore, the approach is applied and evaluated in a case study on an event log for melanoma surveillance.
Background: Hyperhidrosis (excessive sweating, OMIM %114110) is a complex disorder with multifactorial causes. Emotional strains and social stress increase symptoms and lead to a vicious circle. Previously, we showed significantly higher depression scores, and normal cortisol awakening responses in patients with primary focal hyperhidrosis (PFH). Stress reactivity in response to a (virtual) Trier Social Stress Test (TSST-VR) has not been studied so far. Therefore, we measured sweat secretion, salivary cortisol and alpha amylase (sAA) concentrations, and subjective stress ratings in affected and non-affected subjects in response to a TSST-VR.
Method: In this pilot study, we conducted TSST-VRs and performed general linear models with repeated measurements for salivary cortisol and sAA levels, heart rate, axillary sweat and subjective stress ratings for two groups (diagnosed PFH (n = 11), healthy controls (n = 16)).
Results: PFH patients showed significantly heightened sweat secretion over time compared to controls (p = 0.006), with highest quantities during the TSST-VR. In both groups, sweating (p < 0.001), maximum cortisol levels (p = 0.002), feelings of stress (p < 0.001), and heart rate (p < 0.001) but not sAA (p = 0.068) increased significantly in response to the TSST-VR. However, no differences were detected in subjective ratings, cortisol concentrations and heart rate between PFH patients and controls (pall > 0.131).
Conclusion: Patients with diagnosed PFH showed stress-induced higher sweat secretion compared to healthy controls but did not differ in the stress reactivity with regard to endocrine or subjective markers. This pilot study is in need of replication to elucidate the role of the sympathetic nervous system as a potential pathway involved in the stress-induced emotional sweating of PFH patients.
This thesis deals with REITs, their capital structure and the effects on leverage that regulatory requirements might have. The data used results from a combination of Thomson Reuters data with hand-collected data regarding the REIT status, regulatory information and law variables. Overall, leverage is analysed across 20 countries in the years 2007 to 2018. Country specific data, manually extracted from yearly EPRA reportings, is merged with company data in order to analyse the influence of different REIT restrictions on a firm's leverage.
Observing statistically significant differences in means across NON-REITs and REITs, causes motivation for further investigations. My results show that variables beyond traditional capital structure determinants impact the leverage of REITs. I find that explicit restrictions on leverage and the distribution of profits have a significant effect on leverage decisions. This supports the notion that the restrictions from EPRA reportings are mandatory. I test for various combinations of regulatory variables that show both in isolation as well as in combination significant effects on leverage.
My main result is the following: Firms that operate under regulation that specifies a maximum leverage ratio, in addition to mandatory high dividend distributions, have on average lower leverage ratios. Further the existence of sanctions has a negative effect on REITs' leverage ratios, indicating that regulation is binding. The analysis clearly shows that traditional capital structure determinants are of second order relevance. This relationship highlights the impact on leverage and financing decisions caused by regulation. These effects are supported by further analysis. Results based on an event study show that REITs have statistically lower leverage ratios compared to NON-REITs. Based on a structural break model, the following effect becomes apparent: REITs increase their leverage ratios in years prior REIT status. As a consequence, the ex ante time frame is characterised by a bunker and adaption process, followed by the transformation in the event. Using an event study and a structural break model, the analysis highlights the dominance of country-specific regulation.
Cortisol is a stress hormone that acts on the central nervous system in order to support adaptation and time-adjusted coping processes. Whereas previous research has focused on slow emerging, genomic effects of cortisol likely mediated by protein synthesis, there is only limited knowledge about rapid, non-genomic cortisol effects on in vivo neuronal cell activity in humans. Three independent placebo-controlled studies in healthy men were conducted to test effects of 4 mg cortisol on central nervous system activity, occurring within 15 minutes after intravenous administration. Two of the studies (N = 26; N = 9) used continuous arterial spin labeling as a magnetic resonance imaging sequence, and found rapid bilateral thalamic perfusion decrements. The third study (N = 14) revealed rapid cortisol-induced changes in global signal strength and map complexity of the electroencephalogram. The observed changes in neuronal functioning suggest that cortisol may act on the thalamic relay of non-relevant background as well as on task specific sensory information in order to facilitate the adaptation to stress challenges. In conclusion, these results are the first to coherently suggest that a physiologically plausible amount of cortisol profoundly affects functioning and perfusion of the human CNS in vivo by a rapid, non-genomic mechanism.
Background: Psychotherapy is successful for the majority of patients , but not for every patient. Hence, further knowledge is needed on how treatments should be adapted for those who do not profit or deteriorate. In the last years prediction tools as well as feedback interventions were part of a trend to more personalized approaches in psychotherapy. Research on psychometric prediction and feedback into ongoing treatment has the potential to enhance treatment outcomes, especially for patients with an increased risk of treatment failure or drop-out.rnMethods/design: The research project investigates in a randomized controlled trial the effectiveness as well as moderating and mediating factors of psychometric feedback to therapists. In the intended study a total of 423 patients, who applied for a cognitive-behavioral therapy at the psychotherapy clinic of the University Trier and suffer from a depressive and/or an anxietyrndisorder (SCID interviews), will be included. The patients will be randomly assigned either to one therapist as well as to one of two intervention groups (CG, IG2). An additional intervention group (IG1) will be generated from an existing archival data set via propensity score matching. Patients of the control group (CG; n = 85) will be monitored concerning psychological impairment but therapists will not be provided with any feedback about the patients assessments. In both intervention groups (IG1: n = 169; IG2: n = 169) the therapists are provided with feedback about the patients self-evaluation in a computerized feedback portal. Therapists of the IG2 will additionally be provided with clinical support tools, which will be developed in thisrnproject, on the basis of existing systems. Therapists will also be provided with a personalized treatment recommendation based on similar patients (Nearest Neighbors) at the beginning of treatment. Besides the general effectiveness of feedback and the clinical support tools for negatively developing patients, further mediating and moderating variables on this feedback effectrnshould be examined: treatment length, frequency of feedback use, therapist effects, therapist- experience, attitude towards feedback as well as congruence of therapist-andpatient- evaluation concerning the progress. Additional procedures will be implemented to assess treatment adherence as well as the reliability of diagnosis and to include it into the analyses.rnDiscussion: The current trial tests a comprehensive feedback system which combines precision mental health predictions with routine outcome monitoring and feedback tools in routine outpatient psychotherapy. It also adds to previous feedback research a stricter design by investigating another repeated measurement CG as well as a stricter control of treatment integrity. It also includes a structured clinical interview (SCID) and controls for comorbidity (within depression and anxiety). This study also investigates moderators (attitudes towards, use of the feedback system, diagnoses) and mediators (therapists" awareness of negative change and treatment length) in one study.
The presented research aims at providing a first empirical investigation on lexical structure in Chinese with appropriate quantitative methods. The research objects contain individual properties of words (part of speech, polyfunctionality, polysemy, word length), the relationships between properties (part of speech and polyfunctionality, polyfunctionality and polysemy, polysemy and word length) and the lexical structure composed by those properties. Some extant hypotheses in QL, such as distributions of polysemy and the relationship between word length and polysemy, are tested on the data of Chinese, which enrich the applicability of the laws with a language not tested yet. Several original hypotheses such as the distribution of polyfunctionality and the relationship between polyfunctionality and polysemy are set up and inspected.
Measurements of dust emissions and the modeling of dissipation dynamics and total values are related to great uncertainties. Agricultural activity, especially soil cultivation, may be an essential component to calculate and model local and regional dust dynamics and even connect to the global dust cycle. To budget total dust and to assess the impact of tillage, measurement of mobilized and transported dust is an essential but rare basis. In this study, a simple measurement concept with Modified Wilson and Cook samplers was applied for dust measurements on a small temporal and spatial scale on steep-slope vineyards in the Moselle area. Without mechanical impact, a mean horizontal flux of 0.01 g m2 min−1 was measured, while row tillage produced a mean horizontal flux of 5.92 g m2 min−1 of mobilized material and 4.18 g m2 min−1 emitted dust from site (=soil loss). Compared on this singular-event basis, emissions during tillage operations generated 99.89% of total emitted dust from the site under low mean wind velocities. The results also indicate a differing impact of specific cultivation operations, mulching, and tillage tools as well as the additional influence of environmental conditions, with highest emissions on dry soil and with additional wind impact. The dust source function is strongly associated with cultivation operations, implying highly dynamic but also regular and thus predictable and projectable emission peaks of total suspended particles. Detailed knowledge of the effects of mechanical impulses and reliable quantification of the local dust emission inventory are a basis for analysis of risk potential and choice of adequate management options.
We examined the long-term relationship of psychosocial risk and health behaviors on clinical events in patients awaiting heart transplantation (HTx). Psychosocial characteristics (e.g., depression), health behaviors (e.g., dietary habits, smoking), medical factors (e.g., creatinine), and demographics (e.g., age, sex) were collected at the time of listing in 318 patients (82% male, mean age = 53 years) enrolled in the Waiting for a New Heart Study. Clinical events were death/delisting due to deterioration, high-urgency status transplantation (HU-HTx), elective transplantation, and delisting due to clinical improvement. Within 7 years of follow-up, 92 patients died or were delisted due to deterioration, 121 received HU-HTx, 43 received elective transplantation, and 39 were delisted due to improvement. Adjusting for demographic and medical characteristics, the results indicated that frequent consumption of healthy foods (i.e., foods high in unsaturated fats) and being physically active increased the likelihood of delisting due improvement, while smoking and depressive symptoms were related to death/delisting due to clinical deterioration while awaiting HTx. In conclusion, psychosocial and behavioral characteristics are clearly associated with clinical outcomes in this population. Interventions that target psychosocial risk, smoking, dietary habits, and physical activity may be beneficial for patients with advanced heart failure waiting for a cardiac transplant.
Dysfunctional eating behavior is a major risk factor for developing all sorts of eating disorders. Food craving is a concept that may help to understand better why and how these and other eating disorders become chronic conditions through non homeastatically-driven mechanisms. As obesity affects people worldwide, cultural differences must be acknowledged to apply proper therapeutic strategies. In this work, we adapted the Food Craving Inventory (FCI) to the German population. We performed a factor analysis of an adaptation of the original FCI in a sample of 326 men and women. We could replicate the factor structure of the FCI on a German population.rnThe factor extraction procedure produced a factor solution that reproduces the fourfactors described in the original inventory, the FCI. Our instrument presents high internal consistency, as well as a significant correlation with measures of convergent and discriminant validity. The FCI-Deutsch (FCI-DE) is a valid instrument to assess craving for particular foods in Germany, and it could, therefore, prove useful in the clinical and research practice in the field of obesity and eating behaviors.
Properties Evaluation of Composite Materials Based on Gypsum Plaster and Posidonia Oceanica Fibers
(2023)
Estimating the amount of material without significant losses at the end of hybrid casting is a problem addressed in this study. To minimize manufacturing costs and improve the accuracy of results, a correction factor (CF) was used in the formula to estimate the volume percent of the material in order to reduce material losses during the sample manufacturing stage, allowing for greater confidence between the approved blending plan and the results obtained. In this context, three material mixing schemes of different sizes and shapes (gypsum plaster, sand (0/2), gravel (2/4), and Posidonia oceanica fibers (PO)) were created to verify the efficiency of CF and more precisely study the physico-mechanical effects on the samples. The results show that the use of a CF can reduce mixing loss to almost 0%. The optimal compressive strength of the sample (S1B) with the lowest mixing loss was 7.50 MPa. Under optimal conditions, the addition of PO improves mix volume percent correction (negligible), flexural strength (5.45%), density (18%), and porosity (3.70%) compared with S1B. On the other hand, the addition of PO thermo-chemical treatment by NaOH increases the compressive strength (3.97%) compared with PO due to the removal of impurities on the fiber surface, as shown by scanning electron microscopy. We then determined the optimal mixture ratio (PO divided by a mixture of plaster, sand, and gravel), which equals 0.0321 because Tunisian gypsum contains small amounts of bassanite and calcite, as shown by the X-ray diffraction results.
In recent years, Islamic banking has been one of the fastest growing markets in the financial world. Even to German banks, Islamic finance is not as 'foreign' as one might think. Indeed, several banks are already operating so-called "Islamic windows" in various Arab countries. However, German banks are still reluctant to offer 'Islamic' products in Germany, despite the fact that approximately 3.5 million Muslims currently live there. Potential reasons for this reluctance include widespread misunderstanding of Islamic banking in Germany and prevailing cultural prejudice towards Islam generally. The author seeks to address these concerns and to take an objective approach towards understanding the potential for Islamic banking in Germany. Legally, Islamic law cannot be the governing law of any contract in Germany. Therefore, the aim must be to draft contracts that are both enforceable under German law and consistent with the principles of Shari'a " the Islamic law. In this paper, the author gives a detailed legal analysis of the most common Islamic banking products and how they could be given effect under German law, while attempting to address widespread concerns about arbitration or parallel Shari'a courts. This publication is one of the first legal analysis of Islamic banking products in Germany. As such, its goal is not to be the final word, but rather to begin the conversation about potential problems and conflicts of Islamic banking in Germany that require further investigation.
Academic self-concept (ASC) is comprised of individual perceptions of one- own academic ability. In a cross-sectional quasi-representative sample of 3,779 German elementary school children in grades 1 to 4, we investigated (a) the structure of ASC, (b) ASC profile formation, an aspect of differentiation that is reflected in lower correlations between domain-specific ASCs with increasing grade level, (c) the impact of (internal) dimensional comparisons of one- own ability in different school subjects for profile formation of ASC, and (d) the role played by differences in school grades between subjects for these dimensional comparisons. The nested Marsh/Shavelson model, with general ASC at the apex and math, writing, and reading ASC as specific factors nested under general ASC fitted the data at all grade levels. A first-order factor model with math, writing, reading, and general ASCs as correlated factors provided a good fit, too. ASC profile formation became apparent during the first two to three years of school. Dimensional comparisons across subjects contributed to ASC profile formation. School grades enhanced these comparisons, especially when achievement profiles were uneven. In part, findings depended on the assumed structural model of ASCs. Implications for further research are discussed with special regard to factors influencing and moderating dimensional comparisons.
In past years, desertification and land degradation have been acknowledged as a major threat to human welfare world-wide, and their environmental and societal implications have sparked the formulation of the UN Convention to Combat Desertification (UNCCD). Any measure taken against desertification, or the design of dedicated early warning systems, must take into account both the spatial and temporal dimensions of process driving factors. Equally important, past and present reactions of ecosystems to physical and socio-economical disturbances or management interventions need to be understood. In this context, remote sensing and geoinformation processing support the required assessment, monitoring and modelling approaches, and hence provide an essential contribution to the scientific component of the struggle against desertification. Supported by DG Research of the European Commission, the Remote Sensing Department of the University of Trier convened RGLDD to promote scientific exchange between specialists working on the interface of remote sensing, geoinformation processing, desertification/land degradation research and its socio-economic implications. Although targeted at the scientific community, contributions with application perspectives were of crucial importance and both an overview of the current state of the art as well as operational opportunities were presented. Hosted at the Robert-Schuman Haus in Trier, the conference gained widespread attention and attracted an international audience from all parts of the world, which underlines the global dimension of land degradation and desertification processes. Based on a rigorous review of submitted abstracts, more than 100 contributions were accepted for oral and poster presentation, which are found in these proceedings edition in full paper form. Please note: This document is optimised for screen resolution, to receive a high-resolution version please contact the editors.
International private equity development is highly volatile with increasing global diversification. This thesis examines the transaction patterns of cross-border private equity investment with a particular focus on the affinity of country pairs. Analysis is based on a comprehensive dataset of 99 countries over 25 years. A three-dimensional gravity model analysis covering source and host country over time exposes the effects of the country determinants: economic mass, economic distance, banking system, corporate endowment, as well as legal, political, and institutional system on the transactions. A new method is developed to examine countries in their dual roles as investor and target. This approach verifies their global importance as source and host, and also makes possible an analysis of overall private equity investment. For private equity-specific multi-investor deals, a scheme is designed to measure cross-border activity with more precision by participation, proportional deal participation, and deal flow. The analysis identifies intense level of affinity between country pairs and reveals that no single country is ideal for private equity activity. Instead, the findings show that the specific push and pull factors within each country constellation define the optimal country as trading partner. The results verify a correlation between cross-border deals and economic masses and reduced economic distance of countries. Geographic distance and cultural similarities, such as language and legal system, intensify the likelihood of initiating transactions. International trade-oriented countries with a high level of development lower the entrance barriers and increase the chances of deal success. A well-funded financial system for the investor and an efficient and competitive banking system of target countries enhance the probability of investment between countries. Also relevant for the likelihood of starting cross-border deals are low corporate tax burdens and advanced scientific competitiveness, and a well-developed stock market in the investor country. Fundamental to frequency and likelihood of success are well-established, high standards of a country- social, political, and legal systems with widespread confidence in the rules of society. In particular, the reliability of contract enforcement, with proven quality of regulations that promote private sector development, proves to be crucial for deal success.
Soil degradation due to erosion is a significant worldwide problem at different spatial (from pedon to watershed) and temporal scales. All stages and factors in the erosion process must be detected and evaluated to reduce this environmental issue and protect existing fertile soils and natural ecosystems. Laboratory studies using rainfall simulators allow single factors and interactive effects to be investigated under controlled conditions during extreme rainfall events. In this study, three main factors (rainfall intensity, inclination, and rainfall duration) were assessed to obtain empirical data for modeling water erosion during single rainfall events. Each factor was divided into three levels (− 1, 0, + 1), which were applied in different combinations using a rainfall simulator on beds (6 × 1 m) filled with soil from a study plot located in the arid Sistan region, Iran. The rainfall duration levels tested were 3, 5, and 7 min, the rainfall intensity levels were 30, 60, and 90 mm/h, and the inclination levels were 5, 15, and 25%. The results showed that the highest rainfall intensity tested (90 mm/h) for the longest duration (7 min) caused the highest runoff (62 mm3/s) and soil loss (1580 g/m2/h). Based on the empirical results, a quadratic function was the best mathematical model (R2 = 0.90) for predicting runoff (Q) and soil loss. Single-factor analysis revealed that rainfall intensity was more influential for runoff production than changes in time and inclination, while rainfall duration was the most influential single factor for soil loss. Modeling and three-dimensional depictions of the data revealed that sediment production was high and runoff production lower at the beginning of the experiment, but this trend was reversed over time as the soil became saturated. These results indicate that avoiding the initial stage of erosion is critical, so all soil protection measures should be taken to reduce the impact at this stage. The final stages of erosion appeared too complicated to be modeled, because different factors showed differing effects on erosion.
This dissertation focuses on the link between labour market institutions and precautionary savings. It is evaluated whether private households react to changes in social insurance provision such as the income replacement in case of unemployment by increased savings for precautionary reasons. The dissertation consists of three self-contained chapters, each focusing on slightly different aspects of the topic. The first chapter titled "Precautionary saving and the (in)stability of subjective earnings uncertainty" empirically looks at the influence of future income uncertainty on household saving behavior. Numerous cross-section studies on precautionary saving use subjective expectations regarding the income variance one year ahead as a proxy for income uncertainty. Using such proxies observed only at one point in time, however, may give rise to biased estimates for precautionary wealth if expectations are not stable over time. Survey data from the Dutch DNB Household Survey suggest that subjective future income distributions are not stable over the mid-term. Moreover, in this study I contrast estimates of precautionary wealth using the variation coefficient observed at one point in time with those using a simple mid-term average. Estimates of precautionary wealth based on the average are about 40% to 80% higher than the estimates using the variation coefficient observed only once. In addition to that, wealth accumulation for precautionary reasons is estimated for different parts of the income distribution. The share of precautionary wealth is highest for households at the center of the income distribution. By linking saving behaviour with unemployment insurance, the following chapters then shed some light on an issue that has largely been neglected in the literature on labour market institutions so far. Whereas the third chapter models the relevance of unemployment insurance for income uncertainty and intertemporal decision making during institutional reform processes, chapter 4 seeks to establish empirically a relationship between saving behavior and unemployment insurance. Social insurance, especially unemployment insurance, provides agents with income insurance against not marketable income risks. Since the early 1990s, reform measures like more activating policies as suggested by the OECD Jobs Study in 1994 have been observed in Europe. In the third chapter it is argued that such changes in unemployment insurance reduce public insurance and increase income uncertainty. Moreover, a simple three period model is discussed which shows a link between a welfare state reform and agents' saving decisions as one possible reaction of agents to self-insure against income risk. Two sources of uncertainty seem to be important in this context: (1) uncertain results of the reform process concerning the replacement rate, and (2) uncertainty regarding the timing of information about the content of the reform. It can be shown that the precautionary motive for saving explains an increased accumulation of capital in times of reform activities. In addition to that, early information about the expected replacement rate increases agents' utility and reduces under and oversaving. Following the argument of the previous chapters, that an important feature of labour market institutions in modern welfare states is to provide cash transfers as income replacement in case of unemployment, it is hypothesised that unemployment benefits reduce the motive to save for precautionary reasons. Based on consumer sentiment data from the European Commission's Consumer Survey, chapter four finally provides some evidence that aggregate saving intentions are significantly influenced by unemployment benefits. It can be shown that higher benefits lower the intention to save.
In common shape optimization routines, deformations of the computational mesh
usually suffer from decrease of mesh quality or even destruction of the mesh.
To mitigate this, we propose a theoretical framework using so-called pre-shape
spaces. This gives an opportunity for a unified theory of shape optimization, and of
problems related to parameterization and mesh quality. With this, we stay in the
free-form approach of shape optimization, in contrast to parameterized approaches
that limit possible shapes. The concept of pre-shape derivatives is defined, and
according structure and calculus theorems are derived, which generalize classical
shape optimization and its calculus. Tangential and normal directions are featured
in pre-shape derivatives, in contrast to classical shape derivatives featuring only
normal directions on shapes. Techniques from classical shape optimization and
calculus are shown to carry over to this framework, and are collected in generality
for future reference.
A pre-shape parameterization tracking problem class for mesh quality is in-
troduced, which is solvable by use of pre-shape derivatives. This class allows for
non-uniform user prescribed adaptations of the shape and hold-all domain meshes.
It acts as a regularizer for classical shape objectives. Existence of regularized solu-
tions is guaranteed, and corresponding optimal pre-shapes are shown to correspond
to optimal shapes of the original problem, which additionally achieve the user pre-
scribed parameterization.
We present shape gradient system modifications, which allow simultaneous nu-
merical shape optimization with mesh quality improvement. Further, consistency
of modified pre-shape gradient systems is established. The computational burden
of our approach is limited, since additional solution of possibly larger (non-)linear
systems for regularized shape gradients is not necessary. We implement and com-
pare these pre-shape gradient regularization approaches for a 2D problem, which
is prone to mesh degeneration. As our approach does not depend on the choice of
forms to represent shape gradients, we employ and compare weak linear elasticity
and weak quasilinear p-Laplacian pre-shape gradient representations.
We also introduce a Quasi-Newton-ADM inspired algorithm for mesh quality,
which guarantees sufficient adaption of meshes to user specification during the rou-
tines. It is applicable in addition to simultaneous mesh regularization techniques.
Unrelated to mesh regularization techniques, we consider shape optimization
problems constrained by elliptic variational inequalities of the first kind, so-called
obstacle-type problems. In general, standard necessary optimality conditions cannot
be formulated in a straightforward manner for such semi-smooth shape optimization
problems. Under appropriate assumptions, we prove existence and convergence of
adjoints for smooth regularizations of the VI-constraint. Moreover, we derive shape
derivatives for the regularized problem and prove convergence to a limit object.
Based on this analysis, an efficient optimization algorithm is devised and tested
numerically.
All previous pre-shape regularization techniques are applied to a variational
inequality constrained shape optimization problem, where we also create customized
targets for increased mesh adaptation of changing embedded shapes and active set
boundaries of the constraining variational inequality.
In addition to the well-recognised effects of both, genes and adult environment, it is now broadly accepted that adverse conditions during pregnancy contribute to the development of mental and somatic disorders in the offspring, such as cardiovascular disorders, endocrinological disorders, metabolic disorders, schizophrenia, anxious and depressive behaviour and attention deficit hyperactivity disorder (ADHD). Early life events may have long lasting impact on tissue structure and function and these effects appear to underlie the developmental origins of vulnerability to chronic diseases. The assumption that prenatal adversity, such as maternal emotional states during pregnancy, may have adverse effects on the developing infant is not new. Accordant references can be found in an ancient Indian text (ca. 1050 before Christ), in biblical texts and in documents originating during the Middle Ages. Even Hippocrates stated possible effects of maternal emotional states on the developing fetus. Since the mid-1950s, research examining the effects of maternal psychosocial stress during pregnancy appeared in the literature. Extensive research in this field has been conducted since the early 1990s. Thus, the relationship between early life events and long-term health outcomes was already postulated over 20 years ago. David Barker and colleagues demonstrated that children of lower birth weight - which represents a crude marker of an adverse intrauterine environment - were at increased risk of high blood pressure, cardiovascular disorders, and type-2 diabetes later in life. These provocative findings led to a large amount of subsequent research, initially focussing on the role of undernutrition in determining fetal outcomes. The phenomenon of prenatal influences that determine in part the risk of suffering from chronic disease later in life has been named the "fetal origins of health and disease" paradigm. The concept of "prenatal programming" has now been extended to many other domains, such as the effects of prenatal maternal stress, prenatal tobacco exposure, alcohol intake, medication, toxins, as well as maternal infection and diseases. During the process of prenatal programming, environmental agents are transmitted across the placenta and act on specific fetal tissues during sensitive periods of development. Thus, developmental trajectories are changed and the organisation and function of tissue structure and organ system is altered. The biological purpose of those "early life programming" may consist in evolutionary advantages. The offspring adapts its development to the expected extrauterine environment which is forecast by the clues available during fetal life. If the fetus receives signals of a challenging environment, e.g. due to maternal stress hormones or maternal undernutrition, its survival may be promoted due to developmental adaptation processes. However, if the expected environment does not match with the real environment, maladapation and later disease risk may result. For example, a possible indicator of a "response ready" trait, such as hyperactivity/inattention may have been advantageous in an adverse ancient environment. However, it is of disadvantage when the postnatal environment demands oppositional skills, such as attention and concentration " e.g. in the classroom, at school, to achieve academic success. Borderline personality disorder (BPD) is a prevalent psychiatric disorder, characterized by impulsivity, affective instability, dysfunctional interpersonal relationships and identity disturbance. Although many studies report different risk factors, the exact etiologic mechanisms are not yet understood. In addition to the well-recognised effects of genetic components and adverse childhood experiences, BPD may potentially be co-determined by further environmental influences, acting very early in life: during pre- and perinatal period. There are several hints that may suggest possible prenatal programming processes in BPD. For example, patients with BPD are characterized by elevated stress sensitivity and reactivity and dysfunctions of the neuroendocrine stress system, such as the hypothalamic pituitary adrenal (HPA) axis. Furthermore, patients with BPD show a broad range of somatic comorbidities " especially those disorders for which prenatal programming processes have been described. During infancy and childhood, BPD patients already show behavioural and emotional abnormalities as well as pronounced temperamental traits, such as impulsivity, emotional dysregulation and inattention that may potentially be co-determined by prenatal programming processes. Such temperamental traits - similar to those, seen in patients with ADHD - have been described to be associated with low birthweight which indicates a suboptimal intrauterine environment. Moreover, the functional and structural alterations in the central nervous system (CNS) in patients with BPD might also be mediated in part by prenatal agents, such as prenatal tobacco exposure. Prenatal adversity may thus constitute a further, additional component in the multifactorial genesis of BPD. The association between BPD and prenatal risk factors has not yet been studied in such detail. We are not aware of any further study that assessed pre- and perinatal risk factors, such as maternal psychoscocial stress, smoking, alcohol intake, obstetric complications and lack of breastfeeding in patients with BPD.
Behavioural traces from interactions with digital technologies are diverse and abundant. Yet, their capacity for theory-driven research is still to be constituted. In the present cumulative dissertation project, I deliberate the caveats and potentials of digital behavioural trace data in behavioural and social science research. One use case is online radicalisation research. The three studies included, set out to discern the state-of-the-art of methods and constructs employed in radicalization research, at the intersection of traditional methods and digital behavioural trace data. Firstly, I display, based on a systematic literature review of empirical work, the prevalence of digital behavioural trace data across different research strands and discern determinants and outcomes of radicalisation constructs. Secondly, I extract, based on this literature review, hypotheses and constructs and integrate them to a framework from network theory. This graph of hypotheses, in turn, makes the relative importance of theoretical considerations explicit. One implication of visualising the assumptions in the field is to systematise bottlenecks for the analysis of digital behavioural trace data and to provide the grounds for the genesis of new hypotheses. Thirdly, I provide a proof-of-concept for incorporating a theoretical framework from conspiracy theory research (as a specific form of radicalisation) and digital behavioural traces. I argue for marrying theoretical assumptions derived from temporal signals of posting behaviour and semantic meaning from textual content that rests on a framework from evolutionary psychology. In the light of these findings, I conclude by discussing important potential biases at different stages in the research cycle and practical implications.
The contribution of three genes (C15orf53, OXTR and MLC1) to the etiology of chromosome 15-bound schizophrenia (SCZD10), bipolar disorder (BD) and autism spectrum disorder (ASD) were studied. At first, the uncharacterized gene C15orf53 was comprehensively analyzed. Previous genome-wide association studies (GWAS) in bipolar disorder samples have identified an association signal in close vicinity to C15orf53 on chromosome 15q14. This gene is located in exactly the genomic region, which is segregating in our SCZD10 families. An association study with bipolar disorder (BD) and SCZD10 individual samples did not reveal any association of single nucleotide polymorphisms (SNPs) in C15orf53. Mutational analysis of C15orf53 in SCZD10-affected individuals from seven multiplex families did not show any mutations in the 5'-untranslated region, the coding region and the intron-exon boundaries. Gene expression analysis revealed that C15orf53 was expressed in a subpopulation of leukocytes, but not in human post-mortem limbic brain tissue. Summarizing these studies, C15orf53 is unlikely to be a strong candidate gene for the etiology of BD or SCZD10. The second investigated gene was the human oxytocin receptor gene (OXTR). Five well described SNPs located in the OXTR gene were taken for a transmission-disequilibrium test (TDT) in parents-child trios with ASD-affected children. Neither in the complete sample nor in a subgroup with children that had an intelligence quotient (IQ) above 70, association was found, independent from the application of Haploview or UNPHASED for analysis. The third gene, MLC1, was investigated with regards to its implication in the etiology of SCZD10. Mutations in the MLC1 gene lead to megalencephalic leukoencephalopathy with subcortical cysts (MLC) and one variant coding for the amino acid methionine (Met) instead of leucine (Leu) at position 309 was identified to segregate in a family affected with SCZD10. For further investigation of MLC1 and its possible implication in the etiology of SCZD10, a constitutive Mlc1 knockout mouse model should be created. Mouse embryonic stem cells (mES) were electroporated with a knockout vector construct and analyzed with respect to homologous recombination of the knockout construct with the genomic DNA (gDNA) of the mES. Polymerase chain reaction (PCR) on the available stem cell clones did not reveal any homologous recombined ES. Additionally, we conducted experiments to knockdown MLC1 and using microRNAs. The 3'-untranslated region of the MLC1 gene was analyzed with the bioinformatics tool TargetScan to screen for potential microRNA target sites. In the 3'-untranslated region of the MLC1 gene, a potential binding site for miR-137 was identified. The gene expression level of genes that had been linked to psychiatric disorders and carried a predicated miR-137 binding site has been proven to be immediately responsive to miR-137. Thus, there is new evidence that MLC1 is a candidate gene for the etiology of SCZD10.
Since November 1997, we started to focus on the population ecology of two sympatric Sinonatrix snakes in the Chutzuhu swamp, northern Taiwan. At the same time we also examined some specimens from Senckenberg Natural History Museum, Frankfurt am Main and accumulated field data of some observation made on S. percarinata suriki from Fushan botanical garden, Sanping and Gaoshu, Taiwan. According to the specimens examined, we suspect that the close phylogeny of S. percarinata suriki may come from two ancestors, northeast Taiwan population closest to Fujien or Zehjiang and the southwest population closest to Guandong or Vietnam. This pattern was also represented in some molecular phylogeny studies of freshwater fish in Taiwan. There were 22,462 trap-nights, taken from the Chutzuhu swamp, during the period November 1999 to September 2001 and 361 snakes were collected, comprising five species and 617 snake-times. The population sizes were based on the Lincoln-Peterson index and were estimated to be 988-±326 in S. annularis and 129-±78 in S. percarinata suriki. Movement and home range data showed S. annularis is a restricted activity water snake and S. percarinata suriki possesses great mobility in spatial patterns, but movement ability seems to be influenced by the size of the aquatic environment. S. annularis is live-bearing, on average 8.19 neonates and this principally occurs in September; S. percarinata suriki lays 6-24 eggs, but due to insufficient observations no conclusions can be drawn. It must be noted that oviposition was also noted in September. The reproductive mode may reflect on thermal requirement differences of the two sympatric snakes. S. annularis tended to be a fish (98%) eater and S. percarinata suriki take 50% fish and 50% frogs in their diet. Middle to high ground cover marshland appears to be the favorite microhabitat of S. annularis, and S. percarinata suriki seems prefer open creeks and ditches. The population condition of S. annularis in the Chutzuhu swamp seems to be rapidly deteriorating and this trend is also reflected in the BCI declines, low proportion stomach contents and diseases of S. annularis. Water seems to be the major influencing factor and strongly correlates with the conservation strategy. Conservation proposals for S. annularis in the Chutzuhu swamp will be formulated. During this study period we also developed an efficient technique for snake morphological data accumulation and image database, with the aid of the following devices, PC notebook and scanner, which is adapted for practical field studies. We also want to propose a component system for the establishment of a fundamental snake population databases (FPDS) for long-term snake ecological studies and monitoring herein.
As the oldest genre in New Zealand literature written in English, poetry always played a significant role in the country's literary debate and was generally considered to be an indicator of the country's cultural advancement. Throughout the 20th century, the question of home, of where it is and what it entails, became a crucial issue in discussing a distinct New Zealand sense of identity and in strengthening its independent cultural status. The establishment of a national sense of home was thus of primary concern, and poetry was regarded as the cultural marker of New Zealand's independence as a nation. In this politically motivated cultural debate, the writing of women was only considered on the margin, largely because their writing was considered too personal and too intimately tied together with daily life, especially domestic life, as to be able to contribute to a larger cultural statement. Such criticism built on gender role stereotypes, like for instance women's roles as mothers and housewives in the 1950s. The strong alignment of women with the home environment is not coincidental but a construct that was, and still is, predominantly shaped by white patriarchal ideology. However, it is in particular women's, both Pakeha and Maori, thorough investigation into the concept of home from within New Zealand's society that bears the potential for revealing a more profound relationship between actual social reality and the poetic imagination. The close reading of selected poems by Ursula Bethell, Mary Stanley, Lauris Edmond and J.C. Sturm in this thesis reveals the ways in which New Zealand women of different backgrounds subvert, transcend and deconstruct such paradigms through their poetic imagination. Bethell, Stanley, Edmond and Sturm position their concepts of home at the crossroads between the public and the private realm. Their poems explore the correspondence between personal and national concerns and assess daily life against the backdrop of New Zealand's social development. Such complex socio-cultural interdependence has not been paid sufficient attention to in literary criticism, largely because a suitable approach to capturing the complexity of this kind of interconnectedness was lacking. With Spaces of Overlap and Spaces of Mediation this thesis presents two critical models that seek to break the tight critical frames in the assessment of poetic concepts of home. Both notions are based on a contextualised approach to the poetic imagination in relation to social reality and seek to carve out the concept of home in its interconnected patterns. Eventually, this approach helps to comprehend the ways in which women's intimate negotiations of home translate into moments of cultural insight and transcend the boundaries of the individual poets' concerns. The focus on women's (re)negotiations of home counteracts the traditionally male perspective on New Zealand poetry and provides a more comprehensive picture of New Zealand's cultural fabric. In highlighting the works of Ursula Bethell, Mary Stanley, Lauris Edmond and J.C. Sturm, this thesis not only emphasises their individual achievements but makes clear that a traditional line of New Zealand women's poetry exists that has been neglected far too long in the estimation of New Zealand's literary history.
The process of land degradation needs to be understood at various spatial and temporal scales in order to protect ecosystem services and communities directly dependent on it. This is especially true for regions in sub-Saharan Africa, where socio economic and political factors exacerbate ecological degradation. This study identifies spatially explicit land change dynamics in the Copperbelt province of Zambia in a local context using satellite vegetation index time series derived from the MODIS sensor. Three sets of parameters, namely, monthly series, annual peaking magnitude, and annual mean growing season were developed for the period 2000 to 2019. Trend was estimated by applying harmonic regression on monthly series and linear least square regression on annually aggregated series. Estimated spatial trends were further used as a basis to map endemic land change processes. Our observations were as follows: (a) 15% of the study area dominant in the east showed positive trends, (b) 3% of the study area dominant in the west showed negative trends, (c) natural regeneration in mosaic landscapes (post shifting cultivation) and land management in forest reserves were chiefly responsible for positive trends, and (d) degradation over intact miombo woodland and cultivation areas contributed to negative trends. Additionally, lower productivity over areas with semi-permanent agriculture and shift of new encroachment into woodlands from east to west of Copperbelt was observed. Pivot agriculture was not a main driver in land change. Although overall greening trends prevailed across the study site, the risk of intact woodlands being exposed to various disturbances remains high. The outcome of this study can provide insights about natural and assisted landscape restoration specifically addressing the miombo ecoregion.
Phylogeographic analyses point to long-term survival on the spot in micro-endemic Lycian salamanders
(2020)
Lycian salamanders (genus Lyciasalamandra) constitute an exceptional case of microendemism of an amphibian species on the Asian Minor mainland. These viviparous salamanders are confined to karstic limestone formations along the southern Anatolian coast and some islands. We here study the genetic differentiation within and among 118 populations of all seven Lyciasalamandra species across the entire genus’ distribution. Based on circa 900 base pairs of fragments of the mitochondrial 16SrDNA and ATPase genes, we analysed the spatial haplotype distribution as well as the genetic structure and demographic history of populations. We used 253 geo-referenced populations and CHELSA climate data to infer species distribution models which we projected on climatic conditions of the Last Glacial Maximum (LGM). Within all but one species, distinct phyloclades were identified, which only in parts matched current taxonomy. Most haplotypes (78%) were private to single populations. Sometimes population genetic parameters showed contradicting results, although in several cases they indicated recent population expansion of phyloclades. Climatic suitability of localities currently inhabited by salamanders was significantly lower during the LGM compared to recent climate. All data indicated a strong degree of isolation among Lyciasalamandra populations, even within phyloclades. Given the sometimes high degree of haplotype differentiation between adjacent populations, they must have survived periods of deteriorated climates during the Quaternary on the spot. However, the alternative explanation of male biased dispersal combined with a pronounced female philopatry can only be excluded if independent nuclear data confirm this result.
In his article, the author asks how legitimacy of law and the concept of rules of law can be described taking into account the interaction between aspects of philosophy and sociology as well as the will of the state in states' constitutions. As the rule of law, versus other kinds of rules in our society, should be regarded as a rule of &amp;quot;three-dimensionality&amp;quot; " an interaction between the will of the state, the social, historical, and economic factors, and the idea or concept of justice ", the author focuses his interest on the examination of these three factors always taking into account that law is the will of the state, but that not every decision of the state can be considered as law.
Early life adversity (ELA) is associated with a higher risk for diseases in adulthood. Changes in the immune system have been proposed to underlie this association. Although higher levels of inflammation and immunosenescence have been reported, data on cell-specific immune effects are largely absent. In addition, stress systems and health behaviors are altered in ELA, which may contribute to the generation of the "ELA immune phenotype". In this thesis, we have investigated the ELA immune phenotype on a cellular level and whether this is an indirect consequence of changes in behavior or stress reactivity. To address these questions the EpiPath cohort was established, consisting of 115 young adults with or without ELA. ELA participants had experienced separation from their parents in early childhood and were subsequently adopted, which is a standard model for ELA, whereas control participants grew up with their biological parents. At a first visit, blood samples were taken for analysis of epigenetic markers and immune parameters. A selection of the cohort underwent a standardized laboratory stress test (SLST). Endocrine, immune, and cardiovascular parameters were assessed at several time points before and after stress. At a second visit, participants underwent structural clinical interviews and filled out psychological questionnaires. We observed a higher number of activated T cells in ELA, measured by HLA-DR and CD25 expression. Neither cortisol levels nor health-risk behaviors explained the observed group differences. Besides a trend towards higher numbers of CCR4+CXCR3-CCR6+ CD4 T cells in ELA, relative numbers of immune cell subsets in circulation were similar between groups. No difference was observed in telomere length or in methylation levels of age-related CpGs in whole blood. However, we found a higher expression of senescence markers (CD57) on T cells in ELA. In addition, these cells had an increased cytolytic potential. A mediation analysis demonstrated that cytomegalovirus infection " an important driving force of immunosenescence " largely accounted for elevated CD57 expression. The psychological investigations revealed that after adoption, family conditions appeared to have been similar to the controls. However, PhD thesis MMC Elwenspoek 18 ELA participants scored higher on a depression index, chronic stress, and lower on self-esteem. Psychological, endocrine, and cardiovascular parameters significantly responded to the SLST, but were largely similar between the two groups. Only in a smaller subset of groups matched for gender, BMI, and age, the cortisol response seemed to be blunted in ELA participants. Although we found small differences in the methylation level of the GR promoter, GR sensitivity and mRNA expression levels GR as well as expression of the GR target genes FKBP5 and GILZ were similar between groups. Taken together, our data suggest an elevated state of immune activation in ELA, in which particularly T cells are affected. Furthermore, we found higher levels of T cells immunosenescence in ELA. Our data suggest that ELA may increase the risk of cytomegalovirus infection in early childhood, thereby mediating the effect of ELA on T cell specific immunosenescence. Importantly, we found no evidence of HPA dysregulation in participants exposed to ELA in the EpiPath cohort. Thus, the observed immune phenotype does not seem to be secondary to alterations in the stress system or health-risk behaviors, but rather a primary effect of early life programming on immune cells. Longitudinal studies will be necessary to further dissect cause from effect in the development of the ELA immune phenotype.
During and after application, pesticides enter the atmosphere by volatilisation and by wind erosion of particles on which the pesticide is sorbed. Measurements at application sites revealed that sometimes more than half of the amount applied is lost into the atmosphere within a few days. The atmosphere is an important part of the hydrologic cycle that can transport pesticides from their point of application and deposit them into aquatic and terrestrial ecosystems far from their point of use. In the region of Trier pesticides are widely used. In order to protect crops from pests and increase crop yields in the viniculture, six to eight pesticide applications take place between May and August. The impact that these applications have on the environmental pollution of the region is not yet well understood. The present study was developed to characterize the atmospheric presence, temporal patterns, transport and deposition of a variety of pesticides in the atmosphere of the area of Trier. To this purpose, rain samples were weekly collected at eight sites during the growing seasons 2000, 2001 and 2002, and air samples (gas and particle phases) were collected during the growing season 2002. Multiresidue analysis methods were developed to determine multiple classes of pesticides in rain water, particle- and gas-phase samples. Altogether 24 active ingredients and 3 metabolites were chosen as representative substances, focussing mainly on fungicides. Twenty-four of the 27 measured pesticides were detected in the rain samples; seventeen pesticides were detected in the air samples. The most frequently detected pesticides and at the highest concentrations, both in rain and air, were compounds belonging to the class of fungicides. The insecticide methyl parathion was also detected in several rain samples as well as two substances that are banned in Germany, such as the herbicides atrazine and simazine. Concentration levels varied during the growing season with the highest concentrations being measured in the late spring and summer months, coinciding with application times and warmer months. Concentration levels measured in the rain samples were, generally, in the order of rnng l-1. Though average concentrations for single substances were less than 100 ng l-1, total concentrations were considerable and in some instances well above the EU drinking water quality standard of 500 ng l-1 for total pesticides. Compared to the amounts applied for pest control, the amounts deposited by rain resulted between 0,004% and 0,10% of the maximum application rates. These low pesticide inputs from precipitation to surface-water bodies is not of concern in vinicultural areas where the impact of other sources, such as superficial runoff inputs from the treated areas and cleaning of field crop sprayers, is more important. However, the potential impacts of these aerial pesticide inputs to non-target sites, such as organic crops, and sensitive ecosystems are as yet not known. Concentration levels in the air samples were in the order of ng m-3 at sites close to the fields were pesticides were applied, while lower values, in the order of pg m-3, were detected at the site located further away from fields where applications were performed. The measured air concentration levels found in this study do not represent a concern for human health in terms of acute risk. Inhalation toxicity studies have shown that an acute potential risk only arises at air concentrations in the range of g m-3. Finally, it must be kept in mind that only a small number of chemicals that were applied in the area were analysed for in this study. In order to gain a better evaluation of the local atmospheric load of pesticides, a wider spectrum of applied substances (including metabolites) needs to be investigated.
There is ample evidence that the personality trait of extraversion is associated with frequent experiences of positive affect whereas introversion is associated with less frequent experiences of positive affect. According to a theory of Watson et al. (1997), these findings demonstrate that positive affect forms the conceptual core of extraversion. In contrast, several other researchers consider sociability - and not positive affect - as the core of extraversion. The aim of the present work is to examine the relation between extraversion and dispositional positive affect on the neurobiological level. In 38 participants resting cerebral blood flow was measured with continuous arterial spin labeling (CASL). Each participant was scanned on two measurement occasions separated by seven weeks. In addition, questionnaire measures of extraversion and dispositional positive affect were collected. To employ CASL for investigating the biological basis of personality traits, the psychometric properties of CASL blood flow measurements were examined in two studies. The first study was conducted to validate the CASL technique. Using a visual stimulation paradigm, the expected pattern of activity was found, i.e. there were specific differences in blood flow in the primary and secondary visual areas. Moreover, the results in the first measurement occasion could be reproduced in the second. Thus, these results suggest that CASL blood flow measurements have a high degree of validity. The aim of the second psychometric study was to examine whether resting blood flow measurements are characterized by a sufficient trait stability to be used as a marker for personality traits. Employing the latent state-trait theory developed by Steyer and colleagues, it was shown that about 70 % of the variance of regional blood flow could be explained by individual differences in a latent trait. This suggests that blood flow measurements have sufficient trait stability for investigating the biological basis of personality traits. In the third study, the relation between extraversion and dispositional positive affect was investigated on the neurobiological level. Voxel-based analyses showed that dispositional positive affect was correlated with resting blood flow in the ventral striatum, i.e. a brain structure that is associated with approach behavior and reward processing. This biological basis was also found for extraversion. In addition, when extraversion was statistically controlled, the association between dispositional positive affect and blood flow in the ventral striatum was still present. However, when dispositional positive affect was statistically controlled, the relation between extraversion and the ventral striatum disappeared. Taken together, these results suggest that positive affect forms a core of extraversion on the neurobiological level. The present findings thus add psychophysiological evidence to the theory of Watson et al. (1997), which suggests that positive affect forms the conceptual core of extraversion.
Currently, new business models created in the sharing economy differ considerably and they differ in the formation of trust as well. If and how trust can be created is shown by a comparison of two examples which diverge in their founding philosophy. The chosen example of community-based economy, Community Supported Agriculture (CSA), no longer trusts the capitalist system and therefore distances itself and creates its own environment including a new business model. It is implemented within rather small groups where trust is created by personal relations and face-to-face communication. On the contrary, the example of a platform economy, the accommodation-provider company Airbnb, shows trust in the system and pushes technological innovations through the use of platform applications. It promotes trust and confidence in the progress of technology. For the conceptual analysis, the distinction between personal trust and system trust defined by Niklas Luhmann is adopted. The analysis describes two different modes of trust formation and how they push distrust or improve trust. Grounded on these analyses, assumptions on the process of trust formation within varying models of the sharing economy are formulated as well as a hypothesis about possible developments is introduced for further research.
We use a novel sea-ice lead climatology for the winters of 2002/03 to 2020/21 based on satellite observations with 1 km2 spatial resolution to identify predominant patterns in Arctic wintertime sea-ice leads. The causes for the observed spatial and temporal variabilities are investigated using ocean surface current velocities and eddy kinetic energies from an ocean model (Finite Element Sea Ice–Ice-Shelf–Ocean Model, FESOM) and winds from a regional climate model (CCLM) and ERA5 reanalysis, respectively. The presented investigation provides evidence for an influence of ocean bathymetry and associated currents on the mechanic weakening of sea ice and the accompanying occurrence of sea-ice leads with their characteristic spatial patterns. While the driving mechanisms for this observation are not yet understood in detail, the presented results can contribute to opening new hypotheses on ocean–sea-ice interactions. The individual contribution of ocean and atmosphere to regional lead dynamics is complex, and a deeper insight requires detailed mechanistic investigations in combination with considerations of coastal geometries. While the ocean influence on lead dynamics seems to act on a rather long-term scale (seasonal to interannual), the influence of wind appears to trigger sea-ice lead dynamics on shorter timescales of weeks to months and is largely controlled by individual events causing increased divergence. No significant pan-Arctic trends in wintertime leads can be observed.
Entrepreneurship is a process of discovering and exploiting opportunities, during which two crucial milestones emerge: in the very beginning when entrepreneurs start their businesses, and in the end when they determine the future of the business. This dissertation examines the establishment and exit of newly created as well as of acquired firms, in particular the behavior and performance of entrepreneurs at these two important stages of entrepreneurship. The first part of the dissertation investigates the impact of characteristics at the individual and at the firm level on an entrepreneur- selection of entry modes across new venture start-up and business takeover. The second part of the dissertation compares firm performance across different entrepreneurship entry modes and then examines management succession issues that family firm owners have to confront. This study has four main findings. First, previous work experience in small firms, same sector experience, and management experience affect an entrepreneur- choice of entry modes. Second, the choice of entry mode for hybrid entrepreneurs is associated with their characteristics, such as occupational experience, level of education, and gender, as well as with the characteristics of their firms, such as location. Third, business takeovers survive longer than new venture start-ups, and both entry modes have different survival determinants. Fourth, the family firm- decision of recruiting a family or a nonfamily manager is not only determined by a manager- abilities, but also by the relationship between the firm- economic and non-economic goals and the measurability of these goals. The findings of this study extend our knowledge on entrepreneurship entry modes by showing that new venture start-ups and business takeovers are two distinct entrepreneurship entry modes in terms of their founders" profiles, their survival rates and survival determinants. Moreover, this study contributes to the literature on top management hiring in family firms: it establishes family firm- non-economic goals as another factor that impacts the family firm- hiring decision between a family and a nonfamily manager.
Part-time entrepreneurship has become increasingly popular and is a rather new field of research. Two important research topics are addressed in this dissertation: (a) the impact of culture on part-time and full-time entrepreneurship and (b) the motivational aspects of the transition from part-time to full-time entrepreneurship. Specifically, this dissertation advances prior research by highlighting the direct and indirect differential impact of macro-level societal culture on part-time and full-time entrepreneurship. Gender egalitarianism, uncertainty avoidance and future orientation have a significantly stronger impact on full-time than on part-time entrepreneurship. Furthermore the moderating impact of societal culture on micro-level relationships for both forms of entrepreneurship is explored. The age-old and well-established relationship between education and entrepreneurial activity is moderated by different forms of collectivism for part-time and full-time entrepreneurship. Regarding the motivation of part-time entrepreneurs to transition to full-time entrepreneurship, the entrepreneurial motives of self-realization and independence are significantly positively associated with the transition, whereas the entrepreneurial motives of income supplementation and recognition are significantly negatively associated with the transition. This dissertation advances academic research by indicating conceptual differences between part-time and full-time entrepreneurship in a multi country setting and by showing that both forms of entrepreneurship are impacted through different cultural mechanisms. Based on the findings, policy makers can identify the direct and indirect impact of societal culture on part-time and full-time entrepreneurship. As a result, policy makers can better target support and transition programs to foster entrepreneurial activity.
XML (Extensible Markup Language) ist ein sequentielles Format zur Speicherung und Übermittlung strukturierter Daten. Obwohl es ursprünglich für die Dokumentenverarbeitung entwickelt wurde, findet XML heute Verwendung in nahezu allen Bereichen der Datenverarbeitung, insbesondere aber im Internet. Jede XML-Dokumentenverarbeitungs-Software basiert auf einem XML-Parser. Der Parser liest ein Dokument in XML-Syntax ein und stellt es als Dokumentbaum der eigentlichen Anwendung zur Verfügung. Dokumentenverarbeitung ist dann im wesentlichen die Manipulation von Bäumen. Moderne funktionale Programmiersprachen wie SML und Haskell unterstützen Bäume als Basis-Datentypen und sind daher besonders gut für die Implementierung von Dokumentenverarbeitungs-Systemen geeignet. Um so erstaunlicher ist es, dass dieser Bereich zum größten Teil von Java-Software dominiert wird. Dies ist nicht zuletzt darauf zurückzuführen, dass noch keine vollständige Implementierung der XML-Syntax als Parser in einer funktionalen Programmiersprache vorliegt. Eine der wichtigsten Aufgaben in der Dokumentenverarbeitung ist Querying, d.h. die Lokalisierung von Teildokumenten, die eine angegebene Strukturbedingung erfüllen und in einem bestimmten Kontext stehen. Die baumartige Auffassung von Dokumenten in XML erlaubt die Realisierung des Querying mithilfe von Techniken aus der Theorie der Baumsprachen und Baumautomaten. Allerdings müssen diese Techniken an die speziellen Anforderungen von XML angepasst werden. Eine dieser Anforderungen ist, dass auch extrem große Dokumente verarbeitet werden müssen. Deshalb sollte der Querying-Algorithmus in einem einzigen Durchlauf durch das Dokument ausführbar sein, ohne den Dokumentbaum explizit im Speicher aufbauen zu müssen. Diese Arbeit besteht aus zwei Teilen. Der erste Teil beschreibt den XML- Parser fxp, der vollständig in SML programmiert wurde. Insbesondere werden die Erfahrungen mit SML diskutiert, die während der Implementierung von fxp gewonnen wurden. Es folgt eine Analyse des Laufzeit-Verhaltens von fxp und ein Vergleich mit anderen XML-Parsern, die in imperativen oder objekt- orientierten Programmiersprachen entwickelt wurden. Im zweiten Teil beschreiben wir einen Algorithmus zum Querying von XML- Dokumenten, der auf der Theorie der Waldautomaten fundiert ist. Er findet alle Treffer einer Anfrage in höchstens zwei Durchläufen durch das Dokument. Für eine wichtige Teilklasse von Anfragen kann das Querying sogar in einem einzelnen Durchlauf realisiert werden. Außerdem wird die Implementierung des Algorithmus in SML mit Hilfe von fxp dargestellt.
In this thesis, we study the convergence behavior of an efficient optimization method used for the identification of parameters for underdetermined systems. The research is motivated by optimization problems arising from the estimation of parameters in neural networks as well as in option pricing models. In the first application, we are concerned with neural networks used to forecasting stock market indices. Since neural networks are able to describe extremely complex nonlinear structures they are used to improve the modelling of the nonlinear dependencies occurring in the financial markets. Applying neural networks to the forecasting of economic indicators, we are confronted with a nonlinear least squares problem of large dimension. Furthermore, in this application the number of parameters of the neural network to be determined is usually much larger than the number of patterns which are available for the determination of the unknowns. Hence, the residual function of our least squares problem is underdetermined. In option pricing, an important but usually not known parameter is the volatility of the underlying asset of the option. Assuming that the underlying asset follows a one-factor continuous diffusion model with nonconstant drift and volatility term, the value of an European call option satisfies a parabolic initial value problem with the volatility function appearing in one of the coefficients of the parabolic differential equation. Using this system equation, the estimation of the volatility function is described by a nonlinear least squares problem. Since the adaption of the volatility function is based only on a small number of observed market data these problems are naturally ill-posed. For the solution of these large-scale underdetermined nonlinear least squares problems we use a fully iterative inexact Gauss-Newton algorithm. We show how the structure of a neural network as well as that of the European call price model can be exploited using iterative methods. Moreover, we present theoretical statements for the convergence of the inexact Gauss-Newton algorithm applied to the less examined case of underdetermined nonlinear least squares problems. Finally, we present numerical results for the application of neural networks to the forecasting of stock market indices as well as for the construction of the volatility function in European option pricing models. In case of the latter application, we discretize the parabolic differential equation using a finite difference scheme and we elucidate convergence problems of the discrete scheme when the initial condition is not everywhere differentiable.
Digitalization primarily takes place in and through organizations. Despite this prominent role, however, the importance of organizational structure-building processes in the digital transformation is still underexposed in discourse. The fact that ongoing digitalization is linked to an established phenomenon and its own logic, is regularly not addressed due to the attraction potential of the semantics of the digital revolution. Digital revolution and the reordering of societal relationships, though, manifest themselves primarily in processes of reorganization. Structural automation processes in the ongoing digital transformation are limiting the scope for action, necessitating forms of structural structurelessness in organizations that cultivate opportunities for chance. Since organizations realize their operations as a dual of structure and individual, and the principle of organization is therefore based on the complementarity of structural formality and unpredictable informality. The paper discusses the topicality of the classical form of modern organization in the digital age and reflects on approaches to a contemporary design of spaces of opportunity. The reflexive handling of future openness is the central task of management and leadership in order to enable variation and innovation in organizations.
This socio-pragmatic study investigates organisational conflict talk between superiors and subordinates in three medical dramas from China, Germany and the United States. It explores what types of sociolinguistic realities the medical dramas construct by ascribing linguistic behaviour to different status groups. The study adopts an enhanced analytical framework based on John Gumperz’ discourse strategies and Spencer-Oatey’s rapport management theory. This framework detaches directness from politeness, defines directness based on preference and polarity and explains the use of direct and indirect opposition strategies in context.
The findings reveal that the three hospital series draw on 21 opposition strategies which can be categorised into mitigating, intermediate and intensifying strategies. While the status identity of superiors is commonly characterised by a higher frequency of direct strategies than that of subordinates, both status groups manage conflict in a primarily direct manner across all three hospital shows. The high percentage of direct conflict management is related to the medical context, which is characterised by a focus on transactional goals, complex role obligations and potentially severe consequences of medical mistakes and delays. While the results reveal unexpected similarities between the three series with regard to the linguistic directness level, cross-cultural differences between the Chinese and the two Western series are obvious from particular sociopragmatic conventions. These conventions particularly include the use of humour, imperatives, vulgar language and incorporated verbal and para-verbal/multimodal opposition. Noteworthy differences also appear in the underlying patterns of strategy use. They show that the Chinese series promotes a greater tolerance of hierarchical structures and a partially closer social distance in asymmetrical professional relationships. These disparities are related to different perceptions of power distance, role relationships, face and harmony.
The findings challenge existing stereotypes of Chinese, US American and German conflict management styles and emphasise the context-specific nature of verbal conflict management in every culture. Although cinematic aspects affect the conflict management in the fictional data, the results largely comply with recent research on conflict talk in real-life workplaces. As such, the study contributes to intercultural trainings in medical contexts and provides an enhanced analytical framework for further cross-cultural studies on linguistic strategies.