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The present study covers the period from the late-ninth to the early-sixteenth centuries. Within this period, the late-thirteenth to mid-fourteenth centuries marked the decisive turning point, shaped more by attitudes and actions among the Christian majority than among Jewish agents. Our findings indicate an intensification of anti-Jewish tendencies, rooted in religious developments in Western Christendom. According to circumstances, however, these tendencies had a very varying impact across time and space. The frequent religious and ecclesiastical reform movements of Western Europe offer cases in point. In the 'German' Empire north of the Alps the monastic reforms of Saint Maximin and Gorze were by no means confined to the realm of monasticism; they were essential for shaping the historical circumstances in which the foundations of Ashkenazic Judaism were laid in the tenth and early-eleventh centuries. The concept of 'honor' was used by leading ecclesiastics such as bishop Rudiger of Speyer in 1084 to justify the settlement of Jews, but also by civic authorities such as those of Regensburg later on. It is significant for the long-term tendency, therefore, that the late-medieval expulsions from cities like Trier, Cologne, and Regensburg were eventually also legitimized by reference to the idea of honor.
Die Dissertation untersucht den Anteil der Armutsthematik an der Etablierung des Kinos in Deutschland. Der Untersuchungsschwerpunkt konzentriert sich auf die Jahre 1907 bis 1913, einer entscheidenden Zeitspanne für die Institutionalisierung des Kinos als Medium sui generis. Ziel der Untersuchung ist es, anhand von Filmanalysen wiederkehrende Muster medialer Praktiken der kinematographischen Artikulation der Sozialen Frage zu eruieren und ihre thematische Relevanz bzw. ihren Anteil für die Etablierung des Kinos in Deutschland zu bestimmen. Im Fokus stehen die Medienprodukte, ihre Motivgestaltung und Inszenierungspraktiken.
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.
This working paper outlines analytical pathways that could contribute to deepening the understanding of water inequalities in cities of the Global South. It brings together the status quo of research on water inequalities in Accra, the capital of Ghana, and studies on Environmental Justice. In doing so, it argues for the need to analytically distinguish between the terms ‘(in)equality’ and ‘(in)justice’. Studying everyday water practices and per- spectives on water (in)justice of different stakeholders would be a suitable entry point for an in-depth ethnographic study that analytically separates water inequalities and water injustices but considers their interlinkages. The working paper is based on a literature review conducted in 2015 in the scope of the WaterPower project.
Stressinduzierte Veränderungen gastrointestinaler Peptidhormone könnten eine biologische Grundlage für Überessen und einen Faktor bei der Entstehung von Adipositas darstellen. Darum wurden die Veränderungen der Plasmakonzentrationen von Ghrelin und Peptid YY (PYY) durch akuten Stress bei 85 adipösen und normalgewichtigen Frauen untersucht. Im Vergleich zu normalgewichtigen Frauen hatten adipöse Frauen eine geringere pre- als auch postprandiale Ghrelin-Sekretion. Darüber hinaus fiel auch der postprandiale Ghrelin-Abfall bei den adipösen Frauen geringer aus als bei der normalgewichtigen Vergleichsgruppe. Akuter Stress inhibierte die PYY-Sekretion in beiden Gruppen. Außerdem wurde der Effekt von akutem Stress auf das Essverhalten erfasst. Stress inhibierte die Nahrungsaufnahme in beiden Gruppen.
Mittels Querschnittserhebungen ist es möglich Populationsparameter zu einem bestimmten Zeitpunkt zu schätzen. Jedoch ist meist die Veränderung von Populationsparametern von besonderem Interesse. So ist es zur Evaluation von politischen Zielvorgaben erforderlich die Veränderung von Indikatoren, wie Armutsmaßen, über die Zeit zu verfolgen. Um zu testen ob eine gemessene Veränderung sich signifikant von Null unterscheidet bedarf es einer Varianzschätzung für Veränderungen von Querschnitten. In diesem Zusammenhang ergeben sich oft zwei Probleme; Zum einen sind die relevanten Statistiken meist nicht-linear und zum anderen basieren die untersuchten Querschnittserhebungen auf Stichproben die nicht unabhängig voneinander gezogen wurden. Ziel der vorliegenden Dissertation ist es einen theoretischen Rahmen zur Herleitung und Schätzung der Varianz einer geschätzten Veränderung von nicht-linearen Statistiken zu geben. Hierzu werden die Eigenschaften von Stichprobendesigns erarbeitetet, die zur Koordination von Stichprobenziehungen in einer zeitlichen Abfolge verwendet werden. Insbesondere werden Ziehungsalgorithmen zur Koordination von Stichproben vorgestellt, erarbeitet und deren Eigenschaften beschrieben. Die Problematik der Varianzschätzung im Querschnitt für nicht-lineare Schätzer bei komplexen Stichprobendesigns wird ebenfalls behandelt. Schließlich wird ein allgemeiner Ansatz zur Schätzung von Veränderungen aufgezeigt und es werden Varianzschätzer für die Veränderung von Querschnittschätzern basierend auf koordinierten Querschnittstichproben untersucht. Insbesondere dem Fall einer sich über die Zeit verändernden Population wird eine besondere Bedeutung im Rahmen der Arbeit beigemessen, da diese im Anwendungsfall die Regel darstellen.
The classic Capital Asset Pricing Model and the portfolio theory suggest that investors hold the market portfolio to diversify idiosyncratic risks. The theory predicts that expected return of assets is positive and that reacts linearly on the overall market. However, in reality, we observe that investors often do not have perfectly diversified portfolios. Empirical studies find that new factors influence the deviation from the theoretical optimal investment. In the first part of this work (Chapter 2) we study such an example, namely the influence of maximum daily returns on subsequent returns. Here we follow ideas of Bali et al. (2011). The goal is to find cross-sectional relations between extremely positive returns and expected average returns. We take account a larger number of markets worldwide. Bali et al. (2011) report with respect to the U.S. market a robust negative relation between MAX (the maximum daily return) and the expected return in the subsequent time. We extent substantially their database to a number of other countries, and also take more recent data into account (until end of 2009). From that we conclude that the relation between MAX and expected returns is not consistent in all countries. Moreover, we test the robustness of the results of Bali et al. (2011) in two time-periods using the same data from CRSP. The results show that the effect of extremely positive returns is not stable over time. Indeed we find a negative cross-sectional relation between the extremely positive returns and the average returns for the first half of the time series, however, we do not find significant effects for the second half. The main results of this chapter serve as a basis for an unpublished working paper Yuan and Rieger (2014b). While in Chapter 2 we have studied factors that prevent optimal diversification, we consider in Chapter 3 and 4 situations where the optimal structure of diversification was previously unknown, namely diversification of options (or structured financial products). Financial derivatives are important additional investment form with respect to diversification. Not only common call and put options, but also structured products enable investors to pursue a multitude of investment strategies to improve the risk-return profile. Since derivatives become more and more important, diversification of portfolios with dimension of derivatives is of particularly practical relevance. We investigate the optimal diversification strategies in connection with underlying stocks for classical rational investors with constant relative risk aversion (CRRA). In particular, we apply Monte Carlo method based on the Black-Scholes model and the Heston model for stochastic volatility to model the stock market processes and the pricing of the derivatives. Afterwards, we compare the benchmark portfolio which consists of derivatives on single assets with derivatives on the index of these assets. First we compute the utility improvement of an investment in the risk-free assets and plain-vanilla options for CRRA investors in various scenarios. Furthermore, we extend our analysis to several kinds of structured products, in particular capital protected notes (CPNs), discount certificates (DCs) and bonus certificates (BCs). We find that the decision of an investor between these two diversification strategies leads to remarkable differences. The difference in the utility improvement is influenced by risk-preferences of investors, stock prices and the properties of the derivatives in the portfolio. The results will be presented in Chapter 3 and are the basis for a yet unpublished working paper Yuan and Rieger (2014a). To check furthermore whether underlyings of structured products influence decisions of investors, we discuss explicitly the utility gain of a stock-based product and an index-based product for an investor whose preferences are described by cumulative prospect theory (CPT) (Chapter 4, compare to Yuan (2014)). The goal is that to investigate the dependence of structured products on their underlying where we put emphasis on the difference between index-products and single-stock-products, in particular with respect to loss-aversion and mental accounting. We consider capital protected notes and discount certificates as examples, and model the stock prices and the index of these stocks via Monte Carlo simulations in the Black-Scholes framework. The results point out that market conditions, particularly the expected returns and volatility of the stocks play a crucial role in determining the preferences of investors for stock-based CPNs and index-based CPNs. A median CPT investor prefers the index-based CPNs if the expected return is higher and the volatility is lower, while he prefers the stock-based CPNs in the other situation. We also show that index-based DCs are robustly more attractive as compared to stock-based DCs for CPT investors.
Zum Einfluss von Transformationen schiefer Verteilungen auf die Analyse mit imputierten Daten
(2015)
Die korrekte Behandlung fehlender Daten in empirischen Untersuchungen spielt zunehmend eine wichtige Rolle in der anwendungsorientierten, quantitativen Forschung. Als zentrales flexibles Instrument wurde von Rubin (1987) die multiple Imputation entwickelt, welche unter regulären Bedingungen eine korrekte Inferenz der eigentlichen Schätzungen ermöglicht. Eine Reihe von Imputationsmethoden beruht im Wesentlichen auf der Normalverteilungsannahme. In der Empirie wird diese Annahme normalverteilter Daten zunehmend kritisiert. So erweisen sich Variablen auf Grund ihrer sehr schiefen Verteilungen für die Imputation als besonders problematisch. In dieser Arbeit steht die korrekte Behandlung fehlender Werte mit der Intention einer validen Inferenz der eigentlichen Schätzung im Vordergrund. Ein Instrument ist die Transformation schiefer Verteilungen, um mit Hilfe der transformierten und approximativ normalverteilten Daten Imputationen unter regulären Bedingungen durchzuführen. In der Arbeit wird ein multivariater Ansatz eingeführt. Anschließend wird im Rahmen mehrerer Monte-Carlo-Simulationsstudien gezeigt, dass der neue Ansatz bereits bekannte Verfahren dominiert und sich die Transformation positiv auf die Analyse mit imputierten Daten auswirkt.
Die vorliegende empirische Untersuchung nimmt eine gezielte Betrachtung der Auswirkungen des Working Capital Managements als Ganzem sowie seiner Teilkomponenten für die operative Profitabilität und das Bonitätsrating (d.h. im Ergebnis über seine Bedeutung für die Innen- und die Außenfinanzierung) deutscher mittelständischer Unternehmen vor. Darüber hinaus wird untersucht, in wie weit größenspezifische Unterschiede bei der Wirkung der einzelnen Komponenten des Working Capital Managements auf die operative Profitabilität und das Bonitätsrating bestehen, ob also die Stärke der ggf. zu beobachtenden Effekte für kleinere Unternehmen anders ausgeprägt ist als für größere Unternehmen. Zudem wird untersucht, ob sich die Stärke der zu beobachtenden Effekte in unterschiedlichen konjunkturellen Rahmenbedingungen jeweils verändert, um Erkenntnisse darüber zu gewinnen, ob und in wie weit Working Capital Management zur Verbesserung der Krisenresistenz mittelständischer Unternehmen beitragen kann.
In the first part of this work we generalize a method of building optimal confidence bounds provided in Buehler (1957) by specializing an exhaustive class of confidence regions inspired by Sterne (1954). The resulting confidence regions, also called Buehlerizations, are valid in general models and depend on a designated statistic'' that can be chosen according to some desired monotonicity behaviour of the confidence region. For a fixed designated statistic, the thus obtained family of confidence regions indexed by their confidence level is nested. Buehlerizations have furthermore the optimality property of being the smallest (w.r.t. set inclusion) confidence regions that are increasing in their designated statistic. The theory is eventually applied to normal, binomial, and exponential samples. The second part deals with the statistical comparison of pairs of diagnostic tests and establishes relations 1. between the sets of lower confidence bounds, 2. between the sets of pairs of comparable lower confidence bounds, and 3. between the sets of admissible lower confidence bounds in various models for diverse parameters of interest.
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.
Service innovation has increasingly gained acknowledgement to contribute to economic growth and well-being. Despite this increased relevance in practice, service innovation is a developing research field. To advance literature on service innovation, this work analyzes with a qualitative study how firms manage service innovation activities in their organization differently. In addition, it evaluates the influence of top management commitment and corporate service innovativeness on service innovation capabilities of a firm and their implications for firm-level performance by conducting a quantitative study. Accordingly, the main overall research questions of this dissertation are: 1.) How and why do firms manage service innovation activities in their organization differently? 2.) What influence do top management commitment and corporate service innovativeness have on service innovation capabilities of a firm and what are the implications for firm-level performance? To respond to the first research question the way firms manage service innovation activities in their organization is investigated and by whom and how service innovations are developed. Moreover, it is examined why firms implement their service innovation activities differently. To achieve this a qualitative empirical study is conducted which included 22 semi-structured interviews with 15 firms in the sectors of construction, financial services, IT services, and logistics. Addressing the second research question, the aim is to improve the understanding about factors that enhance firm-level performance through service innovations. Deploying a dynamic capabilities perspective, a quantitative study is performed which underlines the importance of service innovation capabilities. More specifically, a theoretical framework is developed that proposes a positive relationship of top management commitment and corporate service innovativeness with service innovation capabilities and a positive relationship between service innovation capabilities and the firm-level performance indicators market performance, competitive advantage, and efficiency. A survey with double respondents from 87 companies from the sectors construction, financial services, IT services, and logistics was conducted to test the proposed theoretical framework by applying partial least squares structural equation modeling (PLS-SEM).
Matching problems with additional resource constraints are generalizations of the classical matching problem. The focus of this work is on matching problems with two types of additional resource constraints: The couple constrained matching problem and the level constrained matching problem. The first one is a matching problem which has imposed a set of additional equality constraints. Each constraint demands that for a given pair of edges either both edges are in the matching or none of them is in the matching. The second one is a matching problem which has imposed a single equality constraint. This constraint demands that an exact number of edges in the matching are so-called on-level edges. In a bipartite graph with fixed indices of the nodes, these are the edges with end-nodes that have the same index. As a central result concerning the couple constrained matching problem we prove that this problem is NP-hard, even on bipartite cycle graphs. Concerning the complexity of the level constrained perfect matching problem we show that it is polynomially equivalent to three other combinatorial optimization problems from the literature. For different combinations of fixed and variable parameters of one of these problems, the restricted perfect matching problem, we investigate their effect on the complexity of the problem. Further, the complexity of the assignment problem with an additional equality constraint is investigated. In a central part of this work we bring couple constraints into connection with a level constraint. We introduce the couple and level constrained matching problem with on-level couples, which is a matching problem with a special case of couple constraints together with a level constraint imposed on it. We prove that the decision version of this problem is NP-complete. This shows that the level constraint can be sufficient for making a polynomially solvable problem NP-hard when being imposed on that problem. This work also deals with the polyhedral structure of resource constrained matching problems. For the polytope corresponding to the relaxation of the level constrained perfect matching problem we develop a characterization of its non-integral vertices. We prove that for any given non-integral vertex of the polytope a corresponding inequality which separates this vertex from the convex hull of integral points can be found in polynomial time. Regarding the calculation of solutions of resource constrained matching problems, two new algorithms are presented. We develop a polynomial approximation algorithm for the level constrained matching problem on level graphs, which returns solutions whose size is at most one less than the size of an optimal solution. We then describe the Objective Branching Algorithm, a new algorithm for exactly solving the perfect matching problem with an additional equality constraint. The algorithm makes use of the fact that the weighted perfect matching problem without an additional side constraint is polynomially solvable. In the Appendix, experimental results of an implementation of the Objective Branching Algorithm are listed.
Mit fachlicher Informationskompetenz werden die Fähigkeiten bezeichnet, die notwendig sind, um effektiv Fachinformationen (z.B. Zeitschriftenartikel) finden und bewerten zu können. Informationskompetenz gilt als wichtige Voraussetzung für ein erfolgreiches Studium und Erfolg auf dem Arbeitsmarkt. Ziel dieser Arbeit ist es, Messinstrumente für fachliche Informationskompetenz bei Psychologiestudierenden zu entwickeln. Dabei wird davon ausgegangen, dass Informationskompetenz sowohl deklarative, als auch prozedurale Wissenskomponenten (Hintergrundwissen über Konzepte und die Beherrschung von Strategien und Vorgehensweisen) enthält. Um diese erfassen zu können, wurde ein Multiple-Choice-Test und Rechercheaufgaben entwickelt; beide Instrumente wurden zur Evaluation eines Trainings für Informationskompetenz eingesetzt. Mittlere Korrelationen zwischen den Instrumenten und die Ergebnisse einer Clusteranalyse zeigen, dass mit beiden Instrumenten unterschiedliche Wissenskomponenten erfasst werden.
Die Arbeit versucht einen Beitrag zum besseren Verständnis von Identitifikations- und Migrationsprozessen von Russlandddeutschen zu leisten. Dabei werden die folgenden zentralen Froschungsfragen behandelt:rnGibt es die Gruppe der Russlanddeutschen aus einer Binnenperspektive? Was führt dazu, dass sich jemand als Mitglied der Gemeinschaft der Russlanddeutschen fühlt? Welche Parameter üben entscheidenden Einfluss auf Migrationsprozesse aus? Welchen Einfluss üben Identitätskonstrukte auf soziale Handlungen, wie Migration aus?
Die vorliegende Arbeit teilt sich in die zwei titelgebenden Themengebiete. Inhalt des ersten Teils dieser Arbeit ist die Untersuchung der Proximität, also einer gewissen Messung der Nähe, von Binomial- und Poisson-Verteilungen. Speziell wird die uniforme Struktur des Totalvariationsabstandes auf der abgeschlossenen Menge aller Binomial- und Poisson-Verteilungen charakterisiert, und zwar mit Hilfe der die Verteilungen eindeutig bestimmenden zugehörigen Erwartungswerte und Varianzen. Insbesondere wird eine obere Abschätzung des Totalvariationsabstandes auf der Menge der Binomial- und Poisson-Verteilungen durch eine entsprechende Funktion der zugehörigen Erwartungswerte und Varianzen angegeben. Der zweite Teil der Arbeit widmet sich Konfidenzintervallen für Durchschnitte von Erfolgswahrscheinlichkeiten. Eine der ersten und bekanntesten Arbeiten zu Konfidenzintervallen von Erfolgswahrscheinlichkeiten ist die von Clopper und Pearson (1934). Im Binomialmodell werden hier bei bekanntem Stichprobenumfang und Konfidenzniveau Konfidenzintervalle für die unbekannte Erfolgswahrscheinlichkeit entwickelt. Betrachtet man bei festem Stichprobenumfang statt einer Binomialverteilung, also dem Bildmaß einer homogenen Bernoulli-Kette unter der Summationsabbildung, das entsprechende Bildmaß einer inhomogenen Bernoulli-Kette, so erhält man eine Bernoulli-Faltung mit den entsprechenden Erfolgswahrscheinlichkeiten. Für das Schätzen der durchschnittlichen Erfolgswahrscheinlichkeit im größeren Bernoulli-Faltungs-Modell sind z. B. die einseitigen Clopper-Pearson-Intervalle im Allgemeinen nicht gültig. Es werden hier optimale einseitige und gültige zweiseitige Konfidenzintervalle für die durchschnittliche Erfolgswahrscheinlichkeit im Bernoulli-Faltungs-Modell entwickelt. Die einseitigen Clopper-Pearson-Intervalle sind im Allgemeinen auch nicht gültig für das Schätzen der Erfolgswahrscheinlichkeit im hypergeometrischen Modell, das ein Teilmodell des Bernoulli-Faltungs-Modells ist. Für das hypergeometrische Modell mit festem Stichprobenumfang und bekannter Urnengröße sind die optimalen einseitigen Konfidenzintervalle bekannt. Bei festem Stichprobenumfang und unbekannter Urnengröße werden aus den im Bernoulli-Faltungs-Modell optimalen Konfidenzintervallen optimale Konfidenzintervalle für das hypergeometrische Modell entwickelt. Außerdem wird der Fall betrachtet, dass eine obere Schranke für die unbekannte Urnengröße gegeben ist.
The last decades of stress research have yielded substantial advancements highlighting the importance of the phenomenon for basic psychological functions as well as physical health and well-being. Progress in stress research heavily relies on the availability of suitable and well validated laboratory stressors. Appropriate laboratory stressors need to be able to reliably provoke a response in the relevant parameters and be applicable in different research settings or experimental designs. This thesis focuses on the Cold Pressor Test (CPT) as a stress induction technique. Three published experiments are presented that show how the advantages of the CPT can be used to test stress effects on memory processes and how some of its disadvantages can be met by a simple modification that retains its feasibility and validity. The first experiment applies the CPT in a substantial sample to investigate the consolidation effects of post-learning sympathetic arousal. Stressed participants with high increases in heart rate during the CPT showed enhanced memory performance one day after learning compared to both the warm water control group and low heart rate responders. This finding suggests that beta-adrenergic activation elicited shortly after learning enhances memory consolidation and that the CPT induced heart rate response is a predictor for this effect. Moreover, the CPT proved to be an appropriate stressor to test hypothesis about endogenous adrenergic effects on memory processes. The second experiment addresses known practical limitations of the standard dominant hand CPT protocol. A bilateral feet CPT modification is presented, the elicited neuroendocrine stress response assessed and validated against the standard CPT in a within-subjects design. The bilateral feet CPT elicited a substantial neuroendocrine stress response. Moreover, with the exception of blood pressure responses, all stress parameters were enhanced compared to the standard CPT. This shows that the bilateral feet CPT is a valid alternative to the standard CPT. The third experiment further validates the bilateral feet CPT and its corresponding control procedure by employing it in a typical application scenario. Specifically, the bilateral feet CPT was used to modulate retrieval of event files in a distractor-response binding paradigm that required lateralized bimanual responses. Again, the bilateral feet CPT induced significant increases in heart rate, blood pressure and cortisol, no such increases could be observed in the warm water control condition. Moreover, stressed participants showed diminished retrieval compared to controls. These results provide further evidence for the feasibility and validity of the bilateral feet CPT and its warm water control procedure. Together the experiments presented here highlight the usefulness of the CPT as a tool in psychophysiological stress research. It is especially well suited to test hypothesis concerning stress effects on memory processes and its applicability can be further increased by the bilateral feet modification.
The Role of Dopamine and Acetylcholine as Modulators of Selective Attention and Response Speed
(2015)
The principles of top-down and bottom-up processing are essential to cognitive psychology. At their broadest, most general definition, they denote that processing can be driven either by the salience of the stimulus input or by individual goals and strategies. Selective top-down attention, specifically, consists in the deliberate prioritizing of stimuli that are deemed goal-relevant, while selective bottom-up attention relies on the automatic allocation of attention to salient stimuli (Connor, Egeth, & Yantis, 2004; Schneider, Schote, Meyer, & Frings, 2014). Variations within neurotransmitter systems can modulate cognitive performance in a domain-specific fashion (Greenwood, Fossella, & Parasuraman, 2005). Noudoost and Moore (2011a) proposed that the influence of the dopaminergic neurotransmitter system on selective top-down attention might be greater than the influence of this system on selective bottom-up attention; likewise, they assumed that the cholinergic neurotransmitter system might be more important for selective bottom-up than top-down attention. To test this hypothesis, naturally occurring variations within the two neurotransmitter systems were assessed. Five polymorphisms were selected; two of the dopaminergic system (the COMT Val158Met polymorphism and the DAT1 polymorphism) and three of the cholinergic system (the CHRNA4 rs1044396 polymorphism, the CHRNA5 rs3841324 polymorphism, and the CHRNA5 rs16969968 polymorphism). It was tested whether these polymorphisms modulated the performance in tasks of selective top-down attention (a Stroop task and a Negative priming task) and in a task of selective bottom-up attention (a Posner-Cuing task). Indeed, the dopaminergic polymorphisms influenced selective top-down attention, but exerted no effects on bottom-up attention. This aligned with the hypothesis proposed by Noudoost and Moore (2011a). In contrast, the cholinergic polymorphisms were not found to modulate selective bottom-up attention. The three cholinergic polymorphisms, however, affected the general response speed in the Stroop task, Negative priming task, and Posner-Cuing task (irrespective of attentional processing). In sum, the findings of this study provide strong indications that the dopaminergic system modulates selective top-down attention, while the cholinergic system is highly relevant for the general speed of information processing.
Financing of Small and Medium-Sized Enterprises in Europe - Financing Patterns and 'Crowdfunding'
(2015)
Small and medium-sized enterprises (SMEs) play a vital role for the innovativeness, economic growth and competitiveness of Europe. One of the most pressing problems of SMEs is access to finance to ensure their survival and growth. This dissertation uses both quantitative and qualitative exploratory research methods and increases with its holistic approach the transparency in SME financing. The results of a cluster analysis including 12,726 SMEs in 28 European countries reveal that SME financing in Europe is not homogenous but that different financing patterns exist which differ according to the number of financing instruments used and the combinations thereof. Furthermore, the SME financing types can be profiled according to their firm-, product-, industry- and country-specific characteristics. The results of this analysis provide some support for prior findings that smaller, younger and innovative SMEs suffer from a financing gap which cannot be closed with traditional financing instruments. One alternative to close this financing gap is crowdfunding. Even though crowdfunding has shown tremendous growth rates over the past few years, little is known about the determinants of this financing alternative. This dissertation systematically analyses the existing scientific literature on crowdfunding as an alternative in SME financing and reveals existing research gaps. Afterwards, the focus is on the role of investor communication as a way to reduce information asymmetries of the crowd in equity-based crowdfunding. The results of 24 interviews with market participants in equity-based crowdfunding reveal that crowd investors seem to replace personal contacts with alternative ways of communicating, which can be characterized as pseudo-personal (i.e., by using presentation videos, social media and investor relations channels). In addition, it was found that third party endorsements (e.g., other crowd investors, professional investors, customers and platforms) reduce the information asymmetries of crowd investors and hence, increase the likelihood of their investment.
Kooperationen sind in den unterschiedlichsten Industrien und Wirtschaftszweigen ein fester Bestandteil zur Entwicklung von Unternehmensstrategien und vielfach die Reaktion auf branchenspezifische wie auch -übergreifende Bedingungen des Unternehmensumfeldes. Durch das Eingehen von Kooperationen wird sich erhofft Zugang zu Ressourcen zu gewinnen, Marktbarrieren zu umgehen, Kostensenkungspotenziale durch Synergieeffekte zu realisieren, spezifisches Know-how zu erlangen, Informations- und Wissenstransfer zu ermöglichen oder integrativ Kompetenzen in einem technologisierten Umfeld aufzubauen. Angesichts seit Jahren steigender weltweiter Tourismusausgaben für Urlaubsreisen, einem zunehmendem Wettbewerbsdruck zwischen Reisezielen und touristischen Anbietern sowie branchenspezifisch hoher Krisenanfälligkeit sind Kooperationen auch in der Tourismuswirtschaft omnipräsent. Vor dem Hintergrund sich wandelnder Aufgaben traditioneller Tourismusorganisationen (Touristen Info) einerseits sowie der den Kooperationen inhärenten Spannung zwischen Zusammenarbeit und Wettbewerb der beteiligten Akteure (Leistungsträger, Stakeholder) andererseits, steht im Mittelpunkt dieser Untersuchung die Frage: "Kooperationen von Destinationen: zufällige Einzelphänomen oder Entscheidungen eines strategischen Destinationsmanagements?" Dabei beschränkt sich der Untersuchungsgegenstand nicht auf Kooperationen zwischen Leistungsträgern innerhalb einer Destination, sondern setzt jene Kooperationen in den Fokus, die sowohl zwischen konkurrierenden Touristenorganisationen als auch zwischen Touristenorganisationen und nicht-originär touristischen Unternehmen zu beobachten sind. Ziel der Arbeit ist die theorie- und empiriegeleitete Exploration von Zielsystemen und Erfolgsfaktoren, um so einen Beitrag zum effektiven Kooperationsmanagement von Tourismusorganisationen liefern zu können. Somit positioniert sich diese Arbeit im Kontext der wirtschaftswissenschaftlichen Kooperationsforschung im strategischen Dienstleistungs- sowie Tourismus- und Destinationsmanagement. Basierend auf einem kritisch-reflektierenden Literaturüberblick wird ein konzeptioneller Bezugsrahmen entwickelt und die verfolgte qualitative Forschungsstrategie einer Fallanalyse in ein konkretes empirisches Untersuchungsdesign umgesetzt: die im Rahmen der Datenerhebung geführten Experteninterviews mit Geschäftsführern ausgewählter Unternehmen wurden transkribiert und mittels einer strukturierenden Inhaltsanalyse untersucht. Neben der Konzeption einer Systematisierung zu Kooperationen im Destinationskontext dienen die zentralen empirischen Ergebnisse der Identifikation neun eigenständiger Zielkategorien sowie sieben Erfolgsfaktoren. Davon abgeleitetes wird ein phasenorientiertes Entscheidungsmodell für Entscheidungsträger im Destinationsmanagement entwickelt.