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Der digitale Fortschritt der vergangenen Jahrzehnte beruht zu einem großen Teil auf der Innovationskraft junger aufstrebender Unternehmen. Während diese Unternehmen auf der einen Seite ihr hohes Maß an Innovativität eint, entsteht für diese zeitgleich auch ein hoher Bedarf an finanziellen Mitteln, um ihre geplanten Innovations- und Wachstumsziele auch in die Tat umsetzen zu können. Da diese Unternehmen häufig nur wenige bis keine Unternehmenswerte, Umsätze oder auch Profitabilität vorweisen können, gestaltet sich die Aufnahme von externem Kapital häufig schwierig bis unmöglich. Aus diesem Umstand entstand in der Mitte des zwanzigsten Jahrhunderts das Geschäftsmodell der Risikofinanzierung, des sogenannten „Venture Capitals“. Dabei investieren Risikokapitalgeber in aussichtsreiche junge Unternehmen, unterstützen diese in ihrem Wachstum und verkaufen nach einer festgelegten Dauer ihre Unternehmensanteile, im Idealfall zu einem Vielfachen ihres ursprünglichen Wertes. Zahlreiche junge Unternehmen bewerben sich um Investitionen dieser Risikokapitalgeber, doch nur eine sehr geringe Zahl erhält diese auch. Um die aussichtsreichsten Unternehmen zu identifizieren, sichten die Investoren die Bewerbungen anhand verschiedener Kriterien, wodurch bereits im ersten Schritt der Bewerbungsphase zahlreiche Unternehmen aus dem Kreis potenzieller Investmentobjekte ausscheiden. Die bisherige Forschung diskutiert, welche Kriterien Investoren zu einer Investition bewegen. Daran anschließend verfolgt diese Dissertation das Ziel, ein tiefergehendes Verständnis darüber zu erlangen, welche Faktoren die Entscheidungsfindung der Investoren beeinflussen. Dabei wird vor allem auch untersucht, wie sich persönliche Faktoren der Investoren, sowie auch der Unternehmensgründer, auf die Investitionsentscheidung auswirken. Ergänzt werden diese Untersuchungen zudem durch die Analyse der Wirkung des digitalen Auftretens von Unternehmensgründern auf die Entscheidungsfindung von Risikokapitalgebern. Des Weiteren verfolgt diese Dissertation als zweites Ziel einen Erkenntnisgewinn über die Auswirkungen einer erfolgreichen Investition auf den Unternehmensgründer. Insgesamt umfasst diese Dissertation vier Studien, die im Folgenden näher beschrieben werden.
In Kapitel 2 wird untersucht, inwiefern sich bestimmte Humankapitaleigenschaften des Investors auf dessen Entscheidungsverhalten auswirken. Mithilfe vorangegangener Interviews und Literaturrecherchen wurden insgesamt sieben Kriterien identifiziert, die Risikokapitalinvestoren in ihrer Entscheidungsfindung nutzen. Daraufhin nahmen 229 Investoren an einem Conjoint Experiment teil, mithilfe dessen gezeigt werden konnte, wie wichtig die jeweiligen Kriterien im Rahmen der Entscheidung sind. Von besonderem Interesse ist dabei, wie sich die Wichtigkeit der Kriterien in Abhängigkeit der Humankapitaleigenschaften der Investoren unterscheiden. Dabei kann gezeigt werden, dass sich die Wichtigkeit der Kriterien je nach Bildungshintergrund und Erfahrung der Investoren unterscheidet. So legen beispielsweise Investoren mit einem höheren Bildungsabschluss und Investoren mit unternehmerischer Erfahrung deutlich mehr Wert auf die internationale Skalierbarkeit der Unternehmen. Zudem unterscheidet sich die Wichtigkeit der Kriterien auch in Abhängigkeit der fachlichen Ausbildung. So legen etwa Investoren mit einer fachlichen Ausbildung in Naturwissenschaften einen deutlich stärkeren Fokus auf den Mehrwert des Produktes beziehungsweise der Dienstleistung. Zudem kann gezeigt werden, dass Investoren mit mehr Investitionserfahrung die Erfahrung des Managementteams wesentlich wichtiger einschätzen als Investoren mit geringerer Investitionserfahrung. Diese Ergebnisse ermöglichen es Unternehmensgründern ihre Bewerbungen um eine Risikokapitalfinanzierung zielgenauer auszurichten, etwa durch eine Analyse des beruflichen Hintergrunds der potentiellen Investoren und eine damit einhergehende Anpassung der Bewerbungsunterlagen, zum Beispiel durch eine stärkere Schwerpunktsetzung besonders relevanter Kriterien.
Die in Kapitel 3 vorgestellte Studie bedient sich der Daten des gleichen Conjoint Experiments aus Kapitel 2, legt hierbei allerdings einen Fokus auf den Unterschied zwischen Investoren aus den USA und Investoren aus Kontinentaleuropa. Dazu wurden Subsamples kreiert, in denen 128 Experimentteilnehmer in den USA angesiedelt sind und 302 in Kontinentaleuropa. Die Analyse der Daten zeigt, dass US-amerikanische Investoren, im Vergleich zu Investoren in Kontinentaleuropa, einen signifikant stärkeren Fokus auf das Umsatzwachstum der Unternehmen legen. Zudem legen kontinentaleuropäische Investoren einen deutlich stärkeren Fokus auf die internationale Skalierbarkeit der Unternehmen. Um die Ergebnisse der Analyse besser interpretieren zu können, wurden diese im Anschluss mit vier amerikanischen und sieben europäischen Investoren diskutiert. Dabei bestätigen die europäischen Investoren die Wichtigkeit der hohen internationalen Skalierbarkeit aufgrund der teilweise geringen Größe europäischer Länder und dem damit zusammenhängenden Zwang, schnell international skalieren zu können, um so zufriedenstellende Wachstumsraten zu erreichen. Des Weiteren wurde der vergleichsweise geringere Fokus auf das Umsatzwachstum in Europa mit fehlenden Mitteln für eine schnelle Expansion begründet. Gleichzeitig wird der starke Fokus der US-amerikanischen Investoren auf Umsatzwachstum mit der höheren Tendenz zu einem Börsengang in den USA begründet, bei dem hohe Umsätze als Werttreiber dienen. Die Ergebnisse dieses Kapitels versetzen Unternehmensgründer in die Lage, ihre Bewerbung stärker an die wichtigsten Kriterien der potenziellen Investoren auszurichten, um so die Wahrscheinlichkeit einer erfolgreichen Investitionsentscheidung zu erhöhen. Des Weiteren bieten die Ergebnisse des Kapitels Investoren, die sich an grenzüberschreitenden syndizierten Investitionen beteiligen, die Möglichkeit, die Präferenzen der anderen Investoren besser zu verstehen und die Investitionskriterien besser auf potenzielle Partner abzustimmen.
Kapitel 4 untersucht ob bestimmte Charaktereigenschaften des sogenannten Schumpeterschen Entrepreneurs einen Einfluss auf die Wahrscheinlichkeit eines zweiten Risikokapitalinvestments haben. Dazu wurden von Gründern auf Twitter gepostete Nachrichten sowie Information von Investitionsrunden genutzt, die auf der Plattform Crunchbase zur Verfügung stehen. Insgesamt wurden mithilfe einer Textanalysesoftware mehr als zwei Millionen Tweets von 3313 Gründern analysiert. Die Ergebnisse der Studie deuten an, dass einige Eigenschaften, die typisch für Schumpetersche Gründer sind, die Chancen für eine weitere Investition erhöhen, während andere keine oder negative Auswirkungen haben. So erhöhen Gründer, die auf Twitter einen starken Optimismus sowie ihre unternehmerische Vision zur Schau stellen die Chancen auf eine zweite Risikokapitalfinanzierung, gleichzeitig werden diese aber durch ein zu starkes Streben nach Erfolg reduziert. Diese Ergebnisse haben eine hohe praktische Relevanz für Unternehmensgründer, die sich auf der Suche nach Risikokapital befinden. Diese können dadurch ihr virtuelles Auftreten („digital identity“) zielgerichteter steuern, um so die Wahrscheinlichkeit einer weiteren Investition zu erhöhen.
Abschließend wird in Kapitel 5 untersucht, wie sich die digitale Identität der Gründer verändert, nachdem diese eine erfolgreiche Risikokapitalinvestition erhalten haben. Dazu wurden sowohl Twitter-Daten als auch Crunchbase-Daten genutzt, die im Rahmen der Erstellung der Studie in Kapitel 4 erhoben wurden. Mithilfe von Textanalyse und Paneldatenregressionen wurden die Tweets von 2094 Gründern vor und nach Erhalt der Investition untersucht. Dabei kann gezeigt werden, dass der Erhalt einer Risikokapitalinvestition das Selbstvertrauen, die positiven Emotionen, die Professionalisierung und die Führungsqualitäten der Gründer erhöhen. Gleichzeitig verringert sich allerdings die Authentizität der von den Gründern verfassten Nachrichten. Durch die Verwendung von Interaktionseffekten kann zudem gezeigt werden, dass die Steigerung des Selbstvertrauens positiv durch die Reputation des Investors moderiert wird, während die Höhe der Investition die Authentizität negativ moderiert. Investoren haben durch diese Erkenntnisse die Möglichkeit, den Weiterentwicklungsprozess der Gründer nach einer erfolgreichen Investition besser nachvollziehen zu können, wodurch sie in die Lage versetzt werden, die Aktivitäten ihrer Gründer auf Social Media Plattformen besser zu kontrollieren und im Bedarfsfall bei ihrer Anpassung zu unterstützen.
Die in den Kapiteln 2 bis 5 vorgestellten Studien dieser Dissertation tragen damit zu einem besseren Verständnis der Entscheidungsfindung im Venture Capital Prozess bei. Der bisherige Stand der Forschung wird um Erkenntnisse erweitert, die sowohl den Einfluss der Eigenschaften der Investoren als auch der Gründer betreffen. Zudem wird auch gezeigt, wie sich die Investition auf den Gründer selbst auswirken kann. Die Implikationen der Ergebnisse, sowie Limitationen und Möglichkeiten künftiger Forschung werden in Kapitel 6 näher beschrieben. Da die in dieser Dissertation verwendeten Methoden und Daten erst seit wenigen Jahren im Kontext der Venture Capital Forschung genutzt werden, beziehungsweise überhaupt verfügbar sind, bietet sie sich als eine Grundlage für weitere Forschung an.
Similarity-based retrieval of semantic graphs is a core task of Process-Oriented Case-Based Reasoning (POCBR) with applications in real-world scenarios, e.g., in smart manufacturing. The involved similarity computation is usually complex and time-consuming, as it requires some kind of inexact graph matching. To tackle these problems, we present an approach to modeling similarity measures based on embedding semantic graphs via Graph Neural Networks (GNNs). Therefore, we first examine how arbitrary semantic graphs, including node and edge types and their knowledge-rich semantic annotations, can be encoded in a numeric format that is usable by GNNs. Given this, the architecture of two generic graph embedding models from the literature is adapted to enable their usage as a similarity measure for similarity-based retrieval. Thereby, one of the two models is more optimized towards fast similarity prediction, while the other model is optimized towards knowledge-intensive, more expressive predictions. The evaluation examines the quality and performance of these models in preselecting retrieval candidates and in approximating the ground-truth similarities of a graph-matching-based similarity measure for two semantic graph domains. The results show the great potential of the approach for use in a retrieval scenario, either as a preselection model or as an approximation of a graph similarity measure.
The outbreak of the COVID-19 pandemic has also led to many conspiracy theories. While the origin of the pandemic in China led some, including former US president Donald Trump, to dub the pathogen “Chinese virus” and to support anti-Chinese conspiracy narratives, it caused Chinese state officials to openly support anti-US conspiracy theories about the “true” origin of the virus. In this article, we study whether nationalism, or more precisely uncritical patriotism, is related to belief in conspiracy theories among normal people. We hypothesize based on group identity theory and motivated reasoning that for the particular case of conspiracy theories related to the origin of COVID-19, such a relation should be stronger for Chinese than for Germans. To test this hypothesis, we use survey data from Germany and China, including data from the Chinese community in Germany. We also look at relations to other factors, in particular media consumption and xenophobia.
Three Kinds of Rising-Falling Contours in German wh-Questions: Evidence From Form and Function
(2022)
The intonational realization of utterances is generally characterized by regional as well as inter- and intra-speaker variability in f0. Category boundaries thus remain “fuzzy” and it is non-trivial how the (continuous) acoustic space maps onto (discrete) pitch accent categories. We focus on three types of rising-falling contours, which differ in the alignment of L(ow) and H(igh) tones with respect to the stressed syllable. Most of the intonational systems on German have described two rising accent categories, e.g., L+H* and L*+H in the German ToBI system. L+H* has a high-pitched stressed syllable and a low leading tone aligned in the pre-tonic syllable; L*+H a low-pitched stressed syllable and a high trailing tone in the post-tonic syllable. There are indications for the existence of a third category which lies between these two categories, with both L and H aligned within the stressed syllable, henceforth termed (LH)*. In the present paper, we empirically investigate the distinctiveness of three rising-falling contours [L+H*, (LH)*, and L*+H, all with a subsequent low boundary tone] in German wh-questions. We employ an approach that addresses both the form and the function of the contours, also taking regional variation into account. In Experiment 1 (form), we used a delayed imitation paradigm to test whether Northern and Southern German speakers can imitate the three rising-falling contours in wh-questions as distinct contours. In Experiment 2 (function), we used a free association task to investigate whether listeners interpret the pragmatic meaning of the three contours differently. Imitation results showed that German speakers—both from the North and the South—reproduced the three contours. There was a small but significant effect of regional variety such that contours produced by speakers from the North were slightly more distinct than those by speakers from the South. In the association task, listeners from both varieties attributed distinct meanings to the (LH)* accent as opposed to the two ToBI accents L+H* and L*+H. Combined evidence from form and function suggests that three distinct contours can be found in the acoustic and perceptual space of German rising-falling contours.
The Second Language Acquisition of English Non-Finite Complement Clauses – A Usage-Based Perspective
(2022)
One of the most essential hypotheses of usage-based theories and many constructionist approaches to language is that language entails the piecemeal learning of constructions on the basis of general cognitive mechanisms and exposure to the target language in use (Ellis 2002; Tomasello 2003). However, there is still a considerable lack of empirical research on the emergence and mental representation of constructions in second language (L2) acquisition. One crucial question that arises, for instance, is whether L2 learners’ knowledge of a construction corresponds to a native-like mapping of form and meaning and, if so, to what extent this representation is shaped by usage. For instance, it is unclear how learners ‘build’ constructional knowledge, i.e. which pieces of frequency-, form- and meaning-related information become relevant for the entrenchment and schematisation of a L2 construction.
To address these issues, the English catenative verb construction was used as a testbed phenomenon. This idiosyncratic complex construction is comprised of a catenative verb and a non-finite complement clause (see Huddleston & Pullum 2002), which is prototypically a gerund-participial (henceforth referred to as ‘target-ing’ construction) or a to-infinitival complement (‘target-to’ construction):
(1) She refused to do her homework.
(2) Laura kept reading love stories.
(3) *He avoids to listen to loud music.
This construction is particularly interesting because learners often show choices of a complement type different from those of native speakers (e.g. Gries & Wulff 2009; Martinez‐Garcia & Wulff 2012) as illustrated in (3) and is commonly claimed to be difficult to be taught by explicit rules (see e.g. Petrovitz 2001).
By triangulating different types of usage data (corpus and elicited production data) and analysing these by multivariate statistical tests, the effects of different usage-related factors (e.g. frequency, proficiency level of the learner, semantic class of verb, etc.) on the representation and development of the catenative verb construction and its subschemas (i.e. target-to and target-ing construction) were examined. In particular, it was assessed whether they can predict a native-like form-meaning pairing of a catenative verb and non-finite complement.
First, all studies were able to show a robust effect of frequency on the complement choice. Frequency does not only lead to the entrenchment of high-frequency exemplars of the construction but is also found to motivate a taxonomic generalisation across related exemplars and the representation of a more abstract schema. Second, the results indicate that the target-to construction, due to its higher type and token frequency, has a high degree of schematicity and productivity than the target-ing construction for the learners, which allows for analogical comparisons and pattern extension with less entrenched exemplars. This schema is likely to be overgeneralised to (less frequent) target-ing verbs because the learners perceive formal and semantic compatibility between the unknown/infrequent verb and this pattern.
Furthermore, the findings present evidence that less advanced learners (A2-B2) make more coarse-grained generalisations, which are centred around high-frequency and prototypical exemplars/low-scope patterns. In the case of high-proficiency learners (C1-C2), not only does the number of native-like complement choices increase but relational information, such as the semantic subclasses of the verb, form-function contingency and other factors, becomes also relevant for a target-like choice. Thus, the results suggests that with increasing usage experience learners gradually develop a more fine-grained, interconnected representation of the catenative verb construction, which gains more resemblance to the form-meaning mappings of native speakers.
Taken together, these insights highlight the importance for language learning and teaching environments to acknowledge that L2 knowledge is represented in the form of highly interconnected form-meaning pairings, i.e. constructions, that can be found on different levels of abstraction and complexity.
The Covid-19 pandemic and the related border restrictions have had numerous social, economic and political consequences for border regions. The temporary border closures impacted not only the lives of borderlanders whose everyday practices are embedded in cross-border spaces, but also the func-tioning of institutional actors involved in cross-border activities. The aim here is to investigate the communication surrounding the pandemic and the reactions and (new) strategies of cross-border insti-tutional actors in the context of (re)bordering. Applying the concept of resilience, this paper explores coping mechanisms and modes of adaptation as well as strategies developed to adjust to new circum-stances. Against this backdrop, factors that enhanced or hindered the adaptation process were identi-fied. The German-Polish borderland serves here as a case study, although it will be situated within a wider European context.
The present dissertation was developed to emphasize the importance of self-regulatory abilities and to derive novel opportunities to empower self-regulation. From the perspective of PSI (Personality Systems Interactions) theory (Kuhl, 2001), interindividual differences in self-regulation (action vs. state orientation) and their underlying mechanisms are examined in detail. Based on these insights, target-oriented interventions are derived, developed, and scientifically evaluated. The present work comprises a total of four studies which, on the one hand, highlight the advantages of a good self-regulation (e.g., enacting difficult intentions under demands; relation with prosocial power motive enactment and well-being). On the other hand, mental contrasting (Oettingen et al., 2001), an established self-regulation method, is examined from a PSI perspective and evaluated as a method to support individuals that struggle with self-regulatory deficits. Further, derived from PSI theory`s assumptions, I developed and evaluated a novel method (affective shifting) that aims to support individuals in overcoming self-regulatory deficits. Thereby affective shifting supports the decisive changes in positive affect for successful intention enactment (Baumann & Scheffer, 2010). The results of the present dissertation show that self-regulated changes between high and low positive affect are crucial for efficient intention enactment and that methods such as mental contrasting and affective shifting can empower self-regulation to support individuals to successfully close the gap between intention and action.
The Belt and Road Initiative (BRI) has had a significant impact on China in political, economic, and cultural terms. This study focuses on the cultural domain, especially on scholarship students from the countries that signed bilateral cooperation agreements with China under the BRI. Using an integrated approach combining the difference-in-differences method and the gravity model, we explore the correlation between the BRI and the increasing number of international scholarship students funded by the Chinese government, as well as the determinants of students' decision to study in China. The panel data from 2010 to 2018 show that the launch of BRI has had a positive impact on the number of scholarship students from BRI countries. The number of scholarship recipients from non-BRI countries also increased, but at a much slower rate than those from BRI countries. The sole exception is the United States, which has trended downward for both state-funded and self-funded students.
Climate fluctuations and the pyroclastic depositions from volcanic activity both influence ecosystem functioning and biogeochemical cycling in terrestrial and marine environments globally. These controlling factors are crucial for the evolution and fate of the pristine but fragile fjord ecosystem in the Magellanic moorlands (~53°S) of southernmost Patagonia, which is considered a critical hotspot for organic carbon burial and marine bioproductivity. At this active continental margin in the core zone of the southern westerly wind belt (SWW), frequent Plinian eruptions and the extremely variable, hyper-humid climate should have efficiently shaped ecosystem functioning and land-to-fjord mass transfer throughout the Late Holocene. However, a better understanding of the complex process network defining the biogeochemical cycling at this land-to-fjord continuum principally requires a detailed knowledge of substrate weathering and pedogenesis in the context of the extreme climate. Yet, research on soils, the ubiquitous presence of tephra and the associated chemical weathering, secondary mineral (trans)formation and organic matter (OM) turnover processes is rare in this remote region. This complicates an accurate reconstruction of the ecosystem´s potentially sensitive response to past environmental impacts, including the dynamics of Late Holocene land-to-fjord fluxes as a function of volcanic activity and strong hydroclimate variability.
Against this background, this PhD thesis aims to disentangle the controlling factors that modulate the terrigenous element mobilization and export mechanisms in the hyper-humid Patagonian Andes and assesses their significance for fjord primary productivity over the past 4.5 kyrs BP. For the first time, distinct biogeochemical characteristics of the regional weathering system serve as major criterion in paleoenvironmental reconstruction in the area. This approach includes broad-scale mineralogical and geochemical analyses of basement lithologies, four soil profiles, volcanic ash deposits, the non-karst stalagmite MA1 and two lacustrine sediment cores. In order to pay special attention to the possibly important temporal variations of pedosphere-atmosphere interaction and ecological consequences initiated by volcanic eruptions, the novel data were evaluated together with previously published reconstructions of paleoclimate and paleoenvironmental conditions.
The devastative high-tephra loading of a single eruption from Mt. Burney volcano (MB2 at 4.216 kyrs BP) sustainably transformed this vulnerable fjord ecosystem, while acidic peaty Andosols developed from ~2.5 kyrs BP onwards after the recovery from millennium-scale acidification. The special setting is dominated by most variable redox-pH conditions, profound volcanic ash weathering and intense OM turnover processes, which are closely linked and ultimately regulated by SWW-induced water-level fluctuations. Constant nutrient supply though sea spray deposition represents a further important control on peat accumulation and OM turnover dynamics. These extreme environmental conditions constrain the biogeochemical framework for an extended land-to-fjord export of leachates comprising various organic and inorganic colloids (i.e., Al-humus complexes and Fe-(hydr)oxides). Such tephra- and/or Andosol-sourced flux contains high proportions of terrigenous organic carbon (OCterr) and mobilized essential (micro)nutrients, e.g., bio-available Fe, that are beneficial for fjord bioproductivity. It can be assumed that this supply of bio-available Fe produced by specific Fe-(hydr)oxide (trans)formation processes from tephra components may outlast more than 6 kyrs and surpasses the contribution from basement rock weathering and glacial meltwaters. However, the land-to-fjord exports of OCterr and bio-available Fe occur mostly asynchronous and are determined by the frequency and duration of redox cycles in soils or are initiated by SWW-induced extreme weather events.
The verification of (crypto)tephra layers embedded stalagmite MA1 enabled the accurate dating of three smaller Late Holocene eruptions from Mt. Burney (MB3 at 2.291 kyrs BP and MB4 at 0.853 kyrs BP) and Aguilera (A1 at 2.978 kyrs BP) volcanoes. Irrespective of the improvement of the regional tephrochronology, the obtained precise 230Th/U-ages allowed constraints on the ecological consequences caused by these Plinian eruptions. The deposition of these thin tephra layers should have entailed a very beneficial short-term stimulation of fjord bioproductivity with bio-available Fe and other (micro)nutrients, which affected the entire area between 52°S and 53°S 30´, respectively. For such beneficial effects, the thickness of tephra deposited to this highly vulnerable peatland ecosystem should be below a threshold of 1 cm.
The Late Holocene element mobilization and land-to-fjord transport was mainly controlled by (i) volcanic activity and tephra thickness, (ii) SWW-induced and southern hemispheric climate variability and (iii) the current state of the ecosystem. The influence of cascading climate and environmental impacts on OCterr and Fe-(hydr)oxide fluxes to can be categorized by four individual, in part overlapping scenarios. These different scenarios take into account the previously specified fundamental biogeochemical mechanisms and define frequently recurring patterns of ecosystem feedbacks governing the land-to-fjord mass transfer in the hyper-humid Patagonian Andes on the centennial-scale. This PhD thesis provides first evidence for a primarily tephra-sourced, continuous and long-lasting (micro)nutrient fertilization for phytoplankton growth in South Patagonian fjords, which is ultimately modulated by variations in SWW-intensity. It highlights the climate sensitivity of such critical land-to-fjord element transport and particularly emphasizes the important but so far underappreciated significance of volcanic ash inputs for biogeochemical cycles at active continental margins.
Formulations of macrocyclic lactone anthelmintics such as moxidectin are regularly administered to sheep to combat parasites. A disadvantage of these pharmaceuticals are their side effects on non-target organisms when entering the environment. Little is known about anthelmintic effects on plant reproduction and whether the effects depend on environmental factors. For ecological and methodological reasons, we aimed at testing whether temperature affects the efficacy of a common moxidectin-based formulation on seed germination. We carried out a germination experiment including three typical species of temperate European grasslands (Centaurea jacea, Galium mollugo, Plantago lanceolata). We applied three temperature regimes (15/5, 20/10, 30/20°C), and a four-level dilution series (1:100–1:800) of formulated moxidectin (i.e., Cydectin oral drench). These solutions represent seed-anthelmintic contacts in the digestive tract of sheep shortly after deworming. In addition, a control was carried out with purified water only. We regularly counted emerging seedlings and calculated final germination percentage, mean germination time and synchrony of germination. Formulated moxidectin significantly reduced percentage, speed and synchrony of germination. A 1:100 dilution of the formulation reduced germination percentage by a quarter and increased mean germination time by six days compared to the control. Temperature moderated effects of the anthelmintic drug on germination in all response variables and all species, but in different patterns and magnitudes (significant anthelmintic x temperature x species interactions). In all response variables, the two more extreme temperature regimes (15/5, 30/20°C) led to the strongest effects of formulated moxidectin. With respect to germination percentage, G. mollugo was more sensitive to formulated moxidectin at the warmest temperature regime, whereas P. lanceolata showed the highest sensitivity at the coldest regime. This study shows that it is important to consider temperature dependencies of the effects of pharmaceuticals on seed germination when conducting standardised germination experiments.
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.
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.
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.
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.
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.
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.
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.
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.
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.