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Sample surveys are a widely used and cost effective tool to gain information about a population under consideration. Nowadays, there is an increasing demand not only for information on the population level but also on the level of subpopulations. For some of these subpopulations of interest, however, very small subsample sizes might occur such that the application of traditional estimation methods is not expedient. In order to provide reliable information also for those so called small areas, small area estimation (SAE) methods combine auxiliary information and the sample data via a statistical model.
The present thesis deals, among other aspects, with the development of highly flexible and close to reality small area models. For this purpose, the penalized spline method is adequately modified which allows to determine the model parameters via the solution of an unconstrained optimization problem. Due to this optimization framework, the incorporation of shape constraints into the modeling process is achieved in terms of additional linear inequality constraints on the optimization problem. This results in small area estimators that allow for both the utilization of the penalized spline method as a highly flexible modeling technique and the incorporation of arbitrary shape constraints on the underlying P-spline function.
In order to incorporate multiple covariates, a tensor product approach is employed to extend the penalized spline method to multiple input variables. This leads to high-dimensional optimization problems for which naive solution algorithms yield an unjustifiable complexity in terms of runtime and in terms of memory requirements. By exploiting the underlying tensor nature, the present thesis provides adequate computationally efficient solution algorithms for the considered optimization problems and the related memory efficient, i.e. matrix-free, implementations. The crucial point thereby is the (repetitive) application of a matrix-free conjugated gradient method, whose runtime is drastically reduced by a matrx-free multigrid preconditioner.
Die Vermittlung des Grauens
(2018)
Im Rahmen meiner zweiteiligen Dissertation „Die Vermittlung des Grauens“ untersuchte ich das Einsatzpotential von Multimedia-Technologien an museal aufbereiteten Originalschauplätzen des Opfergedenkens in Frankreich und Deutschland. Vordergründig stand die Klärung der Frage, ob die heute verfügbaren technischen Hilfsmittel die traditionelle Vermittlungsarbeit sinnvoll ergänzen können. Die Forts Douaumont und Vaux in Verdun und die Alte Synagoge Essen schienen mir aufgrund ihrer stark divergierenden Musealisierungen für eine dahingehende Analyse besonders geeignet. Vor Ort widmete ich mich zum einen dem Prozess der „Vergegenwärtigung der Vergangenheit am nahezu originalbelassenen Erinnerungsort durch Multimediaguides“ und begab mich ebenso auf „Spurensuche in der Alten Synagoge Essen“, da die Neukonzeptionierung der Stätte sämtliche Erinnerungen an das örtliche Geschehen im Nationalsozialismus überzeichnet hat. Diese Umstände wirken sich dementsprechend auch unterschiedlich auf die Authentizität des jeweiligen Ortes aus, worauf das dortige Konzept reagieren und für einen angemessenen Ausgleich sorgen muss. Um die Aussagekraft demgemäß zu fördern, bieten sich heutzutage insbesondere Technologien wie Audio- und Multimediaguides an, deren Potential anhand der genannten Objekte überprüft wurde. Neben diese mittlerweile schon traditionellen Maßnahmen, traten im Laufe der Zeit weitere Präsentationsmöglichkeiten wie die Touchscreen-, Virtual oder Augmented Reality-Technologien, der QR-Code, die Nahbereichskommunikation NFC und die sogenannten Museums-Apps, die ebenso zur Sprache kamen. Dieser Umstand trägt sich nicht zuletzt dadurch, dass bei der musealen Vermittlungsarbeit das Zusammenwirken von formalen Bildungsträgern und informellen Lernorten immer mehr an Bedeutung gewinnt. Die große Herausforderung hierbei ist die altersgerechte Darbietung der Inhalte.
This study examines to what extent a banking crisis and the ensuing potential liquidity shortage affect corporate cash holdings. Specifically, how do firms adjust their liquidity management prior to and during a banking crisis when they are restricted in their financing options? These restrictions might not result from firm-specific characteristics but also incorporate the effects of certain regulatory requirements. I analyse the real effects of indicators of a potential crisis and the occurrence of a crisis event on corporate cash holdings for both unregulated and regulated firms from 31 different countries. In contrast to existing studies, I perform this analysis on the basis of a long observation period (1997 to 2014 respectively 2003 to 2014) using multiple crisis indicators (early warning signals) and multiple crisis events. For regulated firms, this study makes use of a unique sample of country-specific regulatory information, which is collected by hand for 15 countries and converted into an ordinal scale based on the severity of the regulation. Regulated firms are selected from a single industry: Real Estate Investment Trusts. These firms invest in real estate properties and let these properties to third parties. Real Estate Investment Trusts that comply with the aforementioned regulations are exempt from income taxation and are punished for a breach, which makes this industry particularly interesting for the analysis of capital structure decisions.
The results for regulated and unregulated firms are mostly inconclusive. I find no convincing evidence that the degree of regulation affects the level of cash holdings for regulated firms before and during a banking crisis. For unregulated firms, I find strong evidence that financially constrained firms have higher cash holdings than unconstrained firms. Further, there is no real evidence that either financially constrained firms or unconstrained firms increase their cash holdings when observing an early warning signal. In case of a banking crisis, the results differ for univariate tests and in panel regressions. In the univariate setting, I find evidence that both types of firms hold higher levels of cash during a banking crisis. In panel regressions, the effect is only evident for financially unconstrained firms from the US, and when controlling for financial stress, it is also apparent for financially constrained US firms. For firms from Europe, the results are predominantly inconclusive. For banking crises that are preceded by an early warning signal, there is only evidence for an increase in cash holdings for unconstrained US firms when controlling for financial stress.
In the present study a non-motion-stabilized scanning Doppler lidar was operated on board of RV Polarstern in the Arctic (June 2014) and Antarctic (December 2015– January 2016). This is the first time that such a system measured on an icebreaker in the Antarctic. A method for a motion correction of the data in the post-processing is presented.
The wind calculation is based on vertical azimuth display (VAD) scans with eight directions that pass a quality control. Additionally a method for an empirical signal-tonoise ratio (SNR) threshold is presented, which can be calculated for individual measurement set-ups. Lidar wind profiles are compared to total of about 120 radiosonde profiles and also to wind measurements of the ship.
The performance of the lidar measurements in comparison with radio soundings generally shows small root mean square deviation (bias) for wind speed of around 1ms-1(0.1ms-1) and for wind direction of around 10 (1). The post-processing of the non-motion-stabilized data shows comparably high quality to studies with motion-stabilized systems.
Two case studies show that a flexible change in SNR threshold can be beneficial for special situations. Further the studies reveal that short-lived low-level jets in the atmospheric boundary layer can be captured by lidar measurements with a high temporal resolution in contrast to routine radio soundings. The present study shows that a non-motionstabilized Doppler lidar can be operated successfully on an
icebreaker. It presents a processing chain including quality control tests and error quantification, which is useful for further measurement campaigns.
Salivary alpha-amylase (sAA) influences the perception of taste and texture, features both relevant in acquiring food liking and, with time, food preference. However, no studies have yet investigated the relationship between basal activity levels of sAA and food preference. We collected saliva from 57 volunteers (63% women) who we assessed in terms of their preference for different food items. These items were grouped into four categories according to their nutritional properties: high in starch, high in sugar, high glycaemic index, and high glycaemic load. Anthropometric markers of cardiovascular risk were also calculated. Our findings suggest that sAA influences food
preference and body composition in women. Regression analysis showed that basal sAA activity is inversely associated with subjective but not self-reported behavioural preference for foods high in sugar. Additionally, sAA and subjective preference are associated with anthropometric markers of cardiovascular risk. We believe that this pilot study points to this enzyme as an interesting candidate to consider among the physiological factors that modulate eating behaviour.
Possibilités et opportunités d’une organisation démocratique du système scolaire luxembourgeois
(2018)
« Aujourd’hui, le socialisme et la démocratie ne sont plus de simples questions réservées aux partis politiques, ce sont des questions vitales. L’école et les enseignants devront s’en saisir (...) et donner au peuple de demain, par un enseignement solide, mais surtout par une éducation formatrice, les moyens de remplir sa mission principale : régner ensemble. » – ein luxemburger Schulfreund, 1920
« Lorsque l’on réfléchit aux perspectives du développement scolaire, notre action doit être guidée par la vision d’une école démocratique, d’une école vivante dans un État démocratique ainsi que par la conception de l’être humain à laquelle elle est associée. Dans ses processus de conception et dans sa vie quotidienne, l’école de demain doit elle-même être une mise en pratique de la démocratie. » (Hartmut Wenzel)
Comment les élèves vivent-ils les possibilités actuelles de participation démocratique dans l’enseignement ? La communauté scolaire est-elle prête à porter le processus de développement ? Quelles résistances faut-il prendre en compte et où se trouvent les potentiels et les idées inexploités pour innover dans l’école et dans l’enseignement ?
« Ce serait vraiment cool si les élèves avaient leur propre chaîne de télévision, non ? », s’extasie Sophie. « Peut-être plutôt une web TV, pour qu’on puisse voir nos reportages de partout dans le monde », s’exclame Max. « En tout cas, il faut que ça parle de sujets qui sont importants pour les élèves » : sur ce point, les deux collégiens sont d’accord. Ensemble, ils se creusent les méninges : pour commencer, est-ce possible juridiquement ? Qui peut nous aider ?
Développer l’école – sans ordre du jour fixe, sans tribune ni interventions programmées. Tous les membres de la communauté scolaire peuvent décider librement ce qu’ils veulent faire et quand ils veulent le faire. Leurs idées et leurs souhaits sont écoutés. Tout cela vous semble à la fois intéressant et un peu fou ? Grâce à la méthode du forum ouvert, outil de développement scolaire démocratique, c’est possible.
Academic achievement is a central outcome in educational research, both in and outside higher education, has direct effects on individual’s professional and financial prospects and a high individual and public return on investment. Theories comprise cognitive as well as non-cognitive influences on achievement. Two examples frequently investigated in empirical research are knowledge (as a cognitive determinant) and stress (as a non-cognitive determinant) of achievement. However, knowledge and stress are not stable, what raises questions as to how temporal dynamics in knowledge on the one hand and stress on the other contribute to achievement. To study these contributions in the present doctoral dissertation, I used meta-analysis, latent profile transition analysis, and latent state-trait analysis. The results support the idea of knowledge acquisition as a cumulative and long-term process that forms the basis for academic achievement and conceptual change as an important mechanism for the acquisition of knowledge in higher education. Moreover, the findings suggest that students’ stress experiences in higher education are subject to stable, trait-like influences, as well as situational and/or interactional, state-like influences which are differentially related to achievement and health. The results imply that investigating the causal networks between knowledge, stress, and academic achievement is a promising strategy for better understanding academic achievement in higher education. For this purpose, future studies should use longitudinal designs, randomized controlled trials, and meta-analytical techniques. Potential practical applications include taking account of students’ prior knowledge in higher education teaching and decreasing stress among higher education students.
Die vorliegende Arbeit befasst sich mit einer komplexen Fragestellung: Wie geschieht der dynamische Umbau der sprachlichen Strukturen unter der Wirkung der innersprachlichen und außersprachlichen Parameter. Im Fokus der Forschung steht der Mechanismus des Werdens der Sprachstruktur, der hier als ein einziger Modus des Daseins der Sprache betrachtet wird. Als Material der Untersuchung dient die Operationalisierung der Bestandteile der verbalen Wortbildungsprozesse in der deutschen Sprache. Die Auswahl des verbalen Teils des Vokabulars ist dadurch bedingt, dass diese Wortart ein Zentralelement ist, das die ganze Sprachmaterie konsolidiert. Als einer der Schlüsselparameter gilt dabei der Frequenzfaktor, der bisher keinen einheitlichen Status in der Sprachtheorie bekommen hat. Die Suche nach dem Ursprung der Macht dieses Faktors führt unumgänglich über die Grenzen des Sprachsystems hinaus. Die Beobachtungen über das Verhalten des Frequenzfaktors in den Prozessen und Strukturen unterschiedlichster Natur lassen behaupten, dass wir es hier mit einem sehr komplexen Phänomen zu tun haben, das ein Bestandteil des allgemeinen kognitiven Anpassungsmechanismus des Menschen zur Umwelt ist. Als solcher ist er auch ein unveräußerlicher Aspekt der Semiose, des Sprachzeichens.
Early life adversity (ELA) poses a high risk for developing major health problems in adulthood including cardiovascular and infectious diseases and mental illness. However, the fact that ELA-associated disorders first become manifest many years after exposure raises questions about the mechanisms underlying their etiology. This thesis focuses on the impact of ELA on startle reflexivity, physiological stress reactivity and immunology in adulthood.
The first experiment investigated the impact of parental divorce on affective processing. A special block design of the affective startle modulation paradigm revealed blunted startle responsiveness during presentation of aversive stimuli in participants with experience of parental divorce. Nurture context potentiated startle in these participants suggesting that visual cues of childhood-related content activates protective behavioral responses. The findings provide evidence for the view that parental divorce leads to altered processing of affective context information in early adulthood.
A second investigation was conducted to examine the link between aging of the immune system and long-term consequences of ELA. In a cohort of healthy young adults, who were institutionalized early in life and subsequently adopted, higher levels of T cell senescence were observed compared to parent-reared controls. Furthermore, the results suggest that ELA increases the risk of cytomegalovirus infection in early childhood, thereby mediating the effect of ELA on T cell-specific immunosenescence.
The third study addresses the effect of ELA on stress reactivity. An extended version of the Cold Pressor Test combined with a cognitive challenging task revealed blunted endocrine response in adults with a history of adoption while cardiovascular stress reactivity was similar to control participants. This pattern of response separation may best be explained by selective enhancement of central feedback-sensitivity to glucocorticoids resulting from ELA, in spite of preserved cardiovascular/autonomic stress reactivity.
Reptiles belong to a taxonomic group characterized by increasing worldwide population declines. However, it has not been until comparatively recent years that public interest in these taxa has increased, and conservation measures are starting to show results. While many factors contribute to these declines, environmental pollution, especially in form of pesticides, has seen a strong increase in the last few decades, and is nowadays considered a main driver for reptile diversity loss. In light of the above, and given that reptiles are extremely underrepresented in ecotoxicological studies regarding the effects of plant protection products, this thesis aims at studying the impacts of pesticide exposure in reptiles, by using the Common wall lizard (Podarcis muralis) as model species. In a first approach, I evaluated the risk of pesticide exposure for reptile species within the European Union, as a means to detect species with above average exposure probabilities and to detect especially sensitive reptile orders. While helpful to detect species at risk, a risk evaluation is only the first step towards addressing this problem. It is thus indispensable to identify effects of pesticide exposure in wildlife. For this, the use of enzymatic biomarkers has become a popular method to study sub-individual responses, and gain information regarding the mode of action of chemicals. However, current methodologies are very invasive. Thus, in a second step, I explored the use of buccal swabs as a minimally invasive method to detect changes in enzymatic biomarker activity in reptiles, as an indicator for pesticide uptake and effects at the sub-individual level. Finally, the last part of this thesis focuses on field data regarding pesticide exposure and its effects on reptile wildlife. Here, a method to determine pesticide residues in food items of the Common wall lizard was established, as a means to generate data for future dietary risk assessments. Subsequently, a field study was conducted with the aim to describe actual effects of pesticide exposure on reptile populations at different levels.
A basic assumption of standard small area models is that the statistic of interest can be modelled through a linear mixed model with common model parameters for all areas in the study. The model can then be used to stabilize estimation. In some applications, however, there may be different subgroups of areas, with specific relationships between the response variable and auxiliary information. In this case, using a distinct model for each subgroup would be more appropriate than employing one model for all observations. If no suitable natural clustering variable exists, finite mixture regression models may represent a solution that „lets the data decide“ how to partition areas into subgroups. In this framework, a set of two or more different models is specified, and the estimation of subgroup-specific model parameters is performed simultaneously to estimating subgroup identity, or the probability of subgroup identity, for each area. Finite mixture models thus offer a fexible approach to accounting for unobserved heterogeneity. Therefore, in this thesis, finite mixtures of small area models are proposed to account for the existence of latent subgroups of areas in small area estimation. More specifically, it is assumed that the statistic of interest is appropriately modelled by a mixture of K linear mixed models. Both mixtures of standard unit-level and standard area-level models are considered as special cases. The estimation of mixing proportions, area-specific probabilities of subgroup identity and the K sets of model parameters via the EM algorithm for mixtures of mixed models is described. Eventually, a finite mixture small area estimator is formulated as a weighted mean of predictions from model 1 to K, with weights given by the area-specific probabilities of subgroup identity.
Die vorliegende Dissertation befasst sich mit der Bildung der Modelle der Komposita in der englischen Sprache.Um eine linguistische Theorie richtig zu bilden, stellen wir 7 Hypothesen auf, die auf umfangreiches englisches Sprachmaterial basieren. Wir schaffen den Regelkreis, der die Möglichkeiten für weitere Untersuchungen in diesem Bereich gibt. In unserem Fall ist diese Untersuchung ein begrenzter Bereich, der als die Bereicherung des Regelkreises von Köhler (2005) gilt (synergetisch-linguistische Modellierung).
Stiftungsunternehmen sind Unternehmen, die sich ganz oder teilweise im Eigentum einer gemeinnützigen oder privaten Stiftung befinden. Die Anzahl an Stiftungsunternehmen in Deutschland ist in den letzten Jahren deutlich gestiegen. Bekannte deutsche Unternehmen wie Aldi, Bosch, Bertelsmann, LIDL oder Würth befinden sich im Eigentum von Stiftungen. Einige von ihnen, wie beispielsweise Fresenius, ZF Friedrichshafen oder Zeiss, sind sogar an der Börse notiert. Die Mehrzahl der Stiftungsunternehmen entsteht dadurch, dass Unternehmensgründer oder Unternehmerfamilien ihr Unternehmen in eine Stiftung einbringen, anstatt es zu vererben oder zu verkaufen.
Die Motive hierfür sind vielfältig und können familiäre Gründe (z. B. Kinderlosigkeit, Vermeidung von Familienstreit), unternehmensbezogene Gründe (z. B. Möglichkeit der langfristigen Planung durch stabile Eigentümerstruktur) und steuerliche Gründe (Vermeidung oder Reduzierung der Erbschaftssteuer) haben oder sind durch die Person des Gründers motiviert (Möglichkeit, das Unternehmen auch nach dem eigenen Tod über die Stiftung noch weiterhin zu prägen). Aufgrund der Tatsache, dass Stiftungsunternehmen zumeist aus Familienunternehmen hervorgehen, wird in der Forschung häufig nicht zwischen Familien- und Stiftungsunternehmen differenziert. Aus diesem Grund werden in dieser Dissertation zu Beginn anhand des Drei-Kreis-Modells für Familienunternehmen die Unterschiede zwischen Stiftungs- und Familienunternehmen dargestellt. Die Ergebnisse zeigen, dass nur eine sehr geringe Anzahl von Stiftungsunternehmen eine große Ähnlichkeit zu klassischen Familienunternehmen aufweist. Die meisten Stiftungsunternehmen unterscheiden sich zum Teil sehr stark von Familienunternehmen. Diese Ergebnisse verdeutlichen, dass Stiftungsunternehmen als separates Forschungsfeld betrachtet werden sollten.
Da innerhalb der Gruppe der Stiftungsunternehmen ebenfalls eine starke Heterogenität herrscht, werden im Anschluss Performanceunterschiede innerhalb der Gruppe der Stiftungsunternehmen untersucht. Hierzu wurden die Daten von 142 deutschen Stiftungsunternehmen für die Jahre 2006-2016 erhoben und mittels einer lineareren Regression ausgewertet. Die Ergebnisse zeigen, dass zwischen den verschiedenen Typen signifikante Unterschiede herrschen. Unternehmen, die von einer gemeinnützigen Stiftung gehalten werden, weisen eine signifikant schlechtere Performance auf, als Unternehmen die eine private Stiftung als Shareholder haben.
Im nächsten Schritt wird die Gruppe der börsennotierten Stiftungsunternehmen untersucht. Mittels einer Ereignisstudie wird getestet, wie sich die Stiftung als Eigentümer eines börsennotierten Unternehmens auf den Shareholder Value auswirkt. Die Ergebnisse zeigen, dass eine Anteilsverringerung einer Stiftung einen positiven Einfluss auf den Shareholder Value hat. Stiftungen werden vom Kapitalmarkt dementsprechend negativ bewertet. Aufgrund der divergierenden Ziele von Stiftung und Unternehmen birgt die Verbindung zwischen Stiftung und Unternehmen potentielle Konflikte und Herausforderungen für die beteiligten Personen. Mittels eines qualitativen explorativen Ansatzes, wird basierend auf Interviews, ein Modell entwickelt, welches die potentiellen Konflikte in Stiftungsunternehmen anhand des Beispiels der Doppelstiftung aufzeigt.
Im letzten Schritt werden Handlungsempfehlungen in Form eines Entwurfs für einen Corporate Governance Kodex erarbeitet, die (potentiellen) Stifterinnen und Stiftern helfen sollen, mögliche Konflikte entweder zu vermeiden oder bereits bestehende Probleme zu lösen.
Die Ergebnisse dieser Dissertation sind relevant für Theorie und Praxis. Aus theoretischer Sicht liegt der Wert dieser Untersuchungen darin, dass Forscher künftig besser zwischen Stiftungs- und Familienunternehmen unterscheiden können. Zudem bringt diese Arbeit den aktuellen Forschungsstand zum Thema Stiftungsunternehmen weiter. Außerdem bietet diese Dissertation insbesondere potentiellen Stiftern einen Überblick über die verschiedenen Ausgestaltungsmöglichkeiten und die Vor- und Nachteile, die diese Konstruktionen mit sich bringen. Die Handlungsempfehlungen ermöglichen es Stiftern, vorab potentielle Gefahren erkennen zu können und diese zu umgehen.
Acute social and physical stress interact to influence social behavior: the role of social anxiety
(2018)
Stress is proven to have detrimental effects on physical and mental health. Due to different tasks and study designs, the direct consequences of acute stress have been found to be wide-reaching: while some studies report prosocial effects, others report increases in antisocial behavior, still others report no effect. To control for specific effects of different stressors and to consider the role of social anxiety in stress-related social behavior, we investigated the effects of social versus physical stress on behavior in male participants possessing different levels of social anxiety. In a randomized, controlled two by two design we investigated the impact of social and physical stress on behavior in healthy young men. We found significant influences on various subjective increases in stress by physical and social stress, but no interaction effect. Cortisol was significantly increased by physical stress, and the heart rate was modulated by physical and social stress as well as their combination. Social anxiety modulated the subjective stress response but not the cortisol or heart rate response. With respect to behavior, our results show that social and physical stress interacted to modulate trust, trustworthiness, and sharing. While social stress and physical stress alone reduced prosocial behavior, a combination of the two stressor modalities could restore prosociality. Social stress alone reduced nonsocial risk behavior regardless of physical stress. Social anxiety was associated with higher subjective stress responses and higher levels of trust. As a consequence, future studies will need to investigate further various stressors and clarify their effects on social behavior in health and social anxiety disorders.
The changing views on the evolutionary relationships of extant Salamandridae (Amphibia: Urodela)
(2018)
The phylogenetic relationships among members of the family Salamandridae have been repeatedly investigated over the last 90 years, with changing character and taxon sampling. We review the changing composition and the phylogenetic position of salamandrid genera and species groups and add a new phylogeny based exclusively on sequences of nuclear genes. Salamandrina often changed its position depending on the characters used. It was included several times in a clade together with the primitive newts (Echinotriton, Pleurodeles, Tylototriton) due to their seemingly ancestral morphology. The latter were often inferred as a monophyletic clade. Respective monophyly was almost consistently established in all molecular studies for true salamanders (Chioglossa, Lyciasalamandra, Mertensiella, Salamandra), modern Asian newts (Cynops, Laotriton, Pachytriton, Paramesotriton) and modern New World newts (Notophthalmus, Taricha). Reciprocal non-monophyly has been established through molecular studies for the European mountain newts (Calotriton, Euproctus) and the modern European newts (Ichthyosaura, Lissotriton, Neurergus, Ommatotriton, Triturus) since Calotriton was identified as the sister lineage of Triturus. In pre-molecular studies, their respective monophyly had almost always been assumed, mainly because a complex courtship behaviour shared by their respective members. Our nuclear tree is nearly identical to a mito-genomic tree, with all but one node being highly supported. The major difference concerns the position of Calotriton, which is no longer nested within the modern European newts. This has implications for the evolution of courtship behaviour of European newts. Within modern European newts, Ichthyosaura and Lissotriton changed their position compared to the mito-genomic tree. Previous molecular trees based on seemingly large nuclear data sets, but analysed together with mitochondrial data, did not reveal monophyly of modern European newts since taxon sampling and nuclear gene coverage was too poor to obtain conclusive results. We therefore conclude that mitochondrial and nuclear data should be analysed on their own.
Species can show strong variation of local abundance across their ranges. Recent analyses suggested that variation in abundance can be related to environmental suitability, as the highest abundances are often observed in populations living in the most suitable areas. However, there is limited information on the mechanisms through which variation in environmental suitability determines abundance. We analysed populations of the microendemic salamander Hydromantes flavus, and tested several hypotheses on potential relationships linking environmental suitability to population parameters. For multiple populations across the whole species range, we assessed suitability using species distribution models, and measured density, activity level, food intake and body condition index. In high-suitability sites, the density of salamanders was up to 30-times higher than in the least suitable ones. Variation in activity levels and population performance can explain such variation of abundance. In high-suitability sites, salamanders were active close to the surface, and showed a low frequency of empty stomachs. Furthermore, when taking into account seasonal variation, body condition was better in the most suitable sites. Our results show that the strong relationship between environmental suitability and population abundance can be mediated by the variation of parameters strongly linked to individual performance and fitness.