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Die Kunstgewerbeschule Pforzheim nimmt innerhalb der Bildungsanstalten, die zur künstlerischen Förderung der Gewerbe im 19. Jahrhundert gegründet worden waren, eine Sonderstellung ein. Lehrplan und Ausbildungsgang orientierten sich vorrangig an den Bedürfnissen der in Pforzheim seit 1767 ansässigen Schmuckindustrie, die maßgeblich an der Gründung und Förderung der Kunstgewerbeschule beteiligt war. In der Dissertation werden die Rahmenbedingungen, die zur Gründung der Pforzheimer Kunstgewerbeschule im Jahr 1877 führten, sowie die Qualität und die Methoden der dort angebotenen künstlerisch-technischen Ausbildung unter Berücksichtigung zeitgenössischer Bildungsideale analysiert. Im Anschluss wird das Ansehen der Kunstgewerbeschule unter Zeitgenossen beurteilt sowie die Bedeutung dieser Institution für die Pforzheimer Schmuckindustrie herausgearbeitet. Der Betrachtungszeitraum erstreckt sich von 1877, dem Gründungsjahr der Kunstgewerbeschule, bis 1911, dem Todesjahr ihres ersten Direktors, Alfred Waag. Zeitgenössische Berichte und Archivmaterialien sowie der kontinuierlich erweiterte Lehrmittelbestand der Kunstgewerbeschule bilden die Grundlage für die Untersuchungen. Ein Großteil der Musterstücke, viele Bücher und Vorlagenwerke, die zur künstlerischen Ausbildung der Schüler angeschafft wurden, sind bis heute in Archiven und Museen erhalten und zeugen von der Qualität und der Fortschrittlichkeit der Ausbildungsstätte. Vor allem in den Bereichen Entwurf und Technik setzte man an der Kunstgewerbeschule Pforzheim Maßstäbe. Unter dem Einfluss der Schule entstanden Entwürfe für die lokale Schmuckindustrie, die speziell auf die serielle Fertigung zugeschnitten waren und damit beispielhaft für eine gelungene Allianz von Kunst, Technik und Wirtschaftlichkeit stehen. Die Zusammenarbeit der lokalen Schmuckhersteller mit Lehrern oder Absolventen der Kunstgewerbeschule ließ sich ebenso belegen wie die erfolgreiche Teilnahme verschiedener Schüler an überregionalen Wettbewerben für Schmuckentwürfe. Dank der quellengestützten Recherche konnten Beziehungen zwischen den als mustergültig empfundenen Vorbildern, der Entwurfsarbeit an der Schule und dem in Pforzheim industriell hergestellten Schmuck aufgezeigt werden. Der häufig geäußerte Vorwurf, Pforzheimer Firmen hätten vor allem fremde Schmuckentwürfe kopiert und durch maschinelle Fertigungstechniken billig produziert, verkennt den eigenen künstlerischen Anspruch einer Industrie, die zur ästhetisch-technischen Ausbildung ihrer Arbeiter und Lehrlinge eine Kunstgewerbeschule ins Leben rief, die bis heute unter dem Namen Hochschule Pforzheim - Gestaltung, Technik, Wirtschaft und Recht Bestand hat.
Digital libraries have become a central aspect of our live. They provide us with an immediate access to an amount of data which has been unthinkable in the past. Support of computers and the ability to aggregate data from different libraries enables small projects to maintain large digital collections on various topics. A central aspect of digital libraries is the metadata -- the information that describes the objects in the collection. Metadata are digital and can be processed and studied automatically. In recent years, several studies considered different aspects of metadata. Many studies focus on finding defects in the data. Specifically, locating errors related to the handling of personal names has drawn attention. In most cases the studies concentrate on the most recent metadata of a collection. For example, they look for errors in the collection at day X. This is a reasonable approach for many applications. However, to answer questions such as when the errors were added to the collection we need to consider the history of the metadata itself. In this work, we study how the history of metadata can be used to improve the understanding of a digital library. To this goal, we consider how digital libraries handle and store their metadata. Based in this information we develop a taxonomy to describe available historical data which means data on how the metadata records changed over time. We develop a system that identifies changes to metadata over time and groups them in semantically related blocks. We found that historical meta data is often unavailable. However, we were able to apply our system on a set of large real-world collections. A central part of this work is the identification and analysis of changes to metadata which corrected a defect in the collection. These corrections are the accumulated effort to ensure data quality of a digital library. In this work, we present a system that automatically extracts corrections of defects from the set of all modifications. We present test collections containing more than 100,000 test cases which we created by extracting defects and their corrections from DBLP. This collections can be used to evaluate automatic approaches for error detection. Furthermore, we use these collections to study properties of defects. We will concentrate on defects related to the person name problem. We show that many defects occur in situations where very little context information is available. This has major implications for automatic defect detection. We also show that properties of defects depend on the digital library in which they occur. We also discuss briefly how corrected defects can be used to detect hidden or future defects. Besides the study of defects, we show that historical metadata can be used to study the development of a digital library over time. In this work, we present different studies as example how historical metadata can be used. At first we describe the development of the DBLP collection over a period of 15 years. Specifically, we study how the coverage of different computer science sub fields changed over time. We show that DBLP evolved from a specialized project to a collection that encompasses most parts of computer science. In another study we analyze the impact of user emails to defect corrections in DBLP. We show that these emails trigger a significant amount of error corrections. Based on these data we can draw conclusions on why users report a defective entry in DBLP.
In recent decades, the Arctic has been undergoing a wide range of fast environmental changes. The sea ice covering the Arctic Ocean not only reacts rapidly to these changes, but also influences and alters the physical properties of the atmospheric boundary layer and the underlying ocean on various scales. In that regard, polynyas, i.e. regions of open water and thin ice within thernclosed pack ice, play a key role as being regions of enhanced atmosphere-ice-ocean interactions and extensive new ice formation during winter. A precise long-term monitoring and increased efforts to employ long-term and high-resolution satellite data is therefore of high interest for the polar scientific community. The retrieval of thin-ice thickness (TIT) fields from thermal infrared satellite data and atmospheric reanalysis, utilizing a one-dimensional energy balance model, allows for the estimation of the heat loss to the atmosphere and hence, ice-production rates. However, an extended application of this approach is inherently connected with severe challenges that originate predominantly from the disturbing influence of clouds and necessary simplifications in the model set-up, which all need to be carefully considered and compensated for. The presented thesis addresses these challenges and demonstrates the applicability of thermal infrared TIT distributions for a long-term polynya monitoring, as well as an accurate estimation of ice production in Arctic polynyas at a relatively high spatial resolution. Being written in a cumulative style, the thesis is subdivided into three parts that show the consequent evolution and improvement of the TIT retrieval, based on two regional studies (Storfjorden and North Water (NOW) polynya) and a final large-scale, pan-Arctic study. The first study on the Storfjorden polynya, situated in the Svalbard archipelago, represents the first long-term investigation on spatial and temporal polynya characteristics that is solely based on daily TIT fields derived from MODIS thermal infrared satellite data and ECMWF ERA-Interim atmospheric reanalysis data. Typical quantities such as polynya area (POLA), the TIT distribution, frequencies of polynya events as well as the total ice production are derived and compared to previous remote sensing and modeling studies. The study includes a first basic approach that aims for a compensation of cloud-induced gaps in daily TIT composites. This coverage-correction (CC) is a mathematically simple upscaling procedure that depends solely on the daily percentage of available MODIS coverage and yields daily POLA with an error-margin of 5 to 6 %. The NOW polynya in northern Baffin Bay is the main focus region of the second study, which follows two main goals. First, a new statistics-based cloud interpolation scheme (Spatial Feature Reconstruction - SFR) as well as additional cloud-screening procedures are successfully adapted and implemented in the TIT retrieval for usage in Arctic polynya regions. For a 13-yr period, results on polynya characteristics are compared to the CC approach. Furthermore, an investigation on highly variable ice-bridge dynamics in Nares Strait is presented. Second, an analysis of decadal changes of the NOW polynya is carried out, as the additional use of a suite of passive microwave sensors leads to an extended record of 37 consecutive winter seasons, thereby enabling detailed inter-sensor comparisons. In the final study, the SFR-interpolated daily TIT composites are used to infer spatial and temporal characteristics of 17 circumpolar polynya regions in the Arctic for 2002/2003 to 2014/2015. All polynya regions combined cover an average thin-ice area of 226.6 -± 36.1 x 10-³ km-² during winter (November to March) and yield an average total wintertime accumulated ice production of about 1811 -± 293 km-³. Regional differences in derived ice production trends are noticeable. The Laptev Sea on the Siberian shelf is presented as a focus region, as frequently appearing polynyas along the fast-ice edge promote high rates of new ice production. New affirming results on a distinct relation to sea-ice area export rates and hence, the Transpolar Drift, are shown. This new high-resolution pan-Arctic data set can be further utilized and build upon in a variety of atmospheric and oceanographic applications, while still offering room for further improvements such as incorporating high-resolution atmospheric data sets and an optimized lead-detection.
Educational researchers have intensively investigated students" academic self-concept (ASC) and self-efficacy (SE). Both constructs are part of the competence-related self-perceptions of students and are considered to support students" academic success and their career development in a positive manner (e.g., Abele-Brehm & Stief, 2004; Richardson, Abraham, & Bond, 2012; Schneider & Preckel, 2017). However, there is a lack of basic research on ASC and SE in higher education in general, and in undergraduate psychology courses in particular. Therefore, according to the within-network and between-network approaches of construct validation (Byrne, 1984), the present dissertation comprises three empirical studies examining the structure (research question 1), measurement (research question 2), correlates (research question 3), and differentiation (research question 4) of ASC and SE in a total sample of N = 1243 psychology students. Concerning research question 1, results of confirmatory factor analysis (CFAs) implied that students" ASC and SE are domain-specific in the sense of multidimensionality, but they are also hierarchically structured, with a general factor at the apex according to the nested Marsh/Shavelson model (NMS model, Brunner et al., 2010). Additionally, psychology students" SE to master specific psychological tasks in different areas of psychological application could be described by a 2-dimensional model with six factors according to the Multitrait-Multimethod (MTMM)-approach (Campbell & Fiske, 1959). With regard to research question 2, results revealed that the internal structure of ASC and SE could be validly assessed. However, the assessment of psychology students" SE should follow a task-specific measurement strategy. Results of research question 3 further showed that both constructs of psychology students" competence-related self-perceptions were positively correlated to achievement in undergraduate psychology courses if predictor (ASC, SE) corresponded to measurement specificity of the criterion (achievement). Overall, ASC provided substantially stronger relations to achievement compared to SE. Moreover, there was evidence for negative paths (contrast effects) from achievement in one psychological domain on ASC of another psychological domain as postulated by the internal/external frame of reference (I/E) model (Marsh, 1986). Finally, building on research questions 1 to 3 (structure, measurement, and correlates of ASC and SE), psychology students" ASC and SE were be differentiated on an empirical level (research question 4). Implications for future research practices are discussed. Furthermore, practical implications for enhancing ASC and SE in higher education are proposed to support academic achievement and the career development of psychology students.
Long-Term Memory Updating: The Reset-of-Encoding Hypothesis in List-Method Directed Forgetting
(2017)
People- memory for new information can be enhanced by cuing them to forget older information, as is shown in list-method directed forgetting (LMDF). In this task, people are cued to forget a previously studied list of items (list 1) and to learn a new list of items (list 2) instead. Such cuing typically enhances memory for the list 2 items and reduces memory for the list 1 items, which reflects effective long-term memory updating. This review focuses on the reset-of-encoding (ROE) hypothesis as a theoretical explanation of the list 2 enhancement effect in LMDF. The ROE hypothesis is based on the finding that encoding efficacy typically decreases with number of encoded items and assumes that providing a forget cue after study of some items (e.g., list 1) resets the encoding process and makes encoding of subsequent items (e.g., early list 2 items) as effective as encoding of previously studied (e.g., early list 1) items. The review provides an overview of current evidence for the ROE hypothesis. The evidence arose from recent behavioral, neuroscientific, and modeling studies that examined LMDF on both an item and a list level basis. The findings support the view that ROE plays a critical role for the list 2 enhancement effect in LMDF. Alternative explanations of the effect and the generalizability of ROE to other experimental tasks are discussed.
Automata theory is the study of abstract machines. It is a theory in theoretical computer science and discrete mathematics (a subject of study in mathematics and computer science). The word automata (the plural of automaton) comes from a Greek word which means "self-acting". Automata theory is closely related to formal language theory [99, 101]. The theory of formal languages constitutes the backbone of the field of science now generally known as theoretical computer science. This thesis aims to introduce a few types of automata and studies then class of languages recognized by them. Chapter 1 is the road map with introduction and preliminaries. In Chapter 2 we consider few formal languages associated to graphs that has Eulerian trails. We place few languages in the Chomsky hierarchy that has some other properties together with the Eulerian property. In Chapter 3 we consider jumping finite automata, i. e., finite automata in which input head after reading and consuming a symbol, can jump to an arbitrary position of the remaining input. We characterize the class of languages described by jumping finite automata in terms of special shuffle expressions and survey other equivalent notions from the existing literature. We could also characterize some super classes of this language class. In Chapter 4 we introduce boustrophedon finite automata, i. e., finite automata working on rectangular shaped arrays (i. e., pictures) in a boustrophedon mode and we also introduce returning finite automata that reads the input, line after line, does not alters the direction like boustrophedon finite automata i. e., reads always from left to right, line after line. We provide close relationships with the well-established class of regular matrix (array) languages. We sketch possible applications to character recognition and kolam patterns. Chapter 5 deals with general boustrophedon finite automata, general returning finite automata that read with different scanning strategies. We show that all 32 different variants only describe two different classes of array languages. We also introduce Mealy machines working on pictures and show how these can be used in a modular design of picture processing devices. In Chapter 6 we compare three different types of regular grammars of array languages introduced in the literature, regular matrix grammars, (regular : regular) array grammars, isometric regular array grammars, and variants thereof, focusing on hierarchical questions. We also refine the presentation of (regular : regular) array grammars in order to clarify the interrelations. In Chapter 7 we provide further directions of research with respect to the study that we have done in each of the chapters.
Monetary Policy During Times of Crisis - Frictions and Non-Linearities in the Transmission Mechanism
(2017)
For a long time it was believed that monetary policy would be able to maintain price stability and foster economic growth during all phases of the business cycle. The era of the Great Moderation, often also called the Volcker-Greenspan period, beginning in the mid 1980s was characterized by a decline in volatility of output growth and inflation among the industrialized countries. The term itself is first used by Stock and Watson (2003). Economist have long studied what triggered the decline in volatility and pointed out several main factors. An important research strand points out structural changes in the economy, such as a decline of volatility in the goods producing sector through better inventory controls and developments in the financial sector and government spending (McConnell2000, Blanchard2001, Stock2003, Kim2004, Davis2008). While many believed that monetary policy was only 'lucky' in terms of their reaction towards inflation and exogenous shocks (Stock2003, Primiceri2005, Sims2006, Gambetti2008), others reveal a more complex picture of the story. Rule based monetary policy (Taylor1993) that incorporates inflation targeting (Svensson1999) has been identified as a major source of inflation stabilization by increasing transparency (Clarida2000, Davis2008, Benati2009, Coibion2011). Apart from that, the mechanics of monetary policy transmission have changed. Giannone et al. (2008) compare the pre-Great Moderation era with the Great Modertation and find that the economies reaction towards monetary shocks has decreased. This finding is supported by Boivin et al. (2011). Similar to this, Herrera and Pesavento (2009) show that monetary policy during the Volcker-Greenspan period was very effective in dampening the effects of exogenous oil price shocks on the economy, while this cannot be found for the period thereafter. Yet, the subprime crisis unexpectedly hit worldwide economies and ended the era of Great Moderation. Financial deregulation and innovation has given banks opportunities for excessive risk taking, weakened financial stability (Crotty2009, Calomiris2009) and led to the build-up of credit-driven asset price bubbles (SchularickTaylor2012). The Federal Reserve (FED), that was thought to be the omnipotent conductor of price stability and economic growth during the Great Moderation, failed at preventing a harsh crisis. Even more, it did intensify the bubble with low interest rates following the Dotcom crisis of the early 2000s and misjudged the impact of its interventions (Taylor2009, Obstfeld2009). New results give a more detailed explanation on the question of latitude for monetary policy raised by Bernanke and suggest the existence of non-linearities in the transmission of monetary policy. Weise (1999), Garcia and Schaller (2002), Lo and Piger (2005), Mishkin (2009), Neuenkirch (2013) and Jannsen et al. (2015) find that monetary policy is more potent during times of financial distress and recessions. Its effectiveness during 'normal times' is much weaker or even insignificant. This prompts the question if these non-linearities limit central banks ability to lean against bubbles and financial imbalances (White2009, Walsh2009, Boivin2010, Mishkin2011).
Nos recherches ont exploré l’espace transculturel dans la dramaturgie québécoise contemporaine. Notre travail a été principalement basé sur le concept de transgressivité de Bertrand Westphal [WESTPHAL : 2007] et la notion de transculturalité proposée par Wolfgang Welsch [WELSCH : 1999].
La réflexion menée par Welsch nous a inspiré dans l’établissement des trois grands axes de notre analyse, autour desquels se sont articulées les dimensions transculturelles superposées : l’axe syncrétique, l’axe intime et l’axe cosmopolite. Ces axes ont déterminé le choix de notre corpus, provenant de l’époque transculturelle du Québec entre 1975 et 1995. L’axe syncrétique s’est dessiné à partir de la présence de cultures modernes interconnectées, où les façons de vivre ne se limitent pas aux frontières culturelles nationales. Elles les « transgressent » et se retrouvent dans d’autres cultures. L’axe intime découle de ce que les individus – le(s) Moi(s) – sont des hybrides culturels, chaque individu se formant par des attachements multiples. Ils interagissent entre eux, créant ainsi une transculturalité interne. L’axe cosmopolite renferme une dimension qui représente de nombreuses façons de vivre et diverses vies culturelles qui s’interpénètrent mutuellement. Elles interagissent entre elles, mais aussi avec des espaces considérés comme étant hors du contexte transculturel.
Nous avons tenu à développer notre projet autour des prémisses théoriques de la géocritique. Cela nous a conduit à établir une grille d’analyse spécifique afin de découvrir le mode de fonctionnement de l’espace humain transculturel. L’analyse s’est basée uniquement sur le texte dramatique. Des dispositifs inspirés de la géocritique ont dévoilé quelques caractéristiques primordiales des dimensions transculturelles superposées de la diversité québécoise.
This dissertation looked at both design-based and model-based estimation for rare and clustered populations using the idea of the ACS design. The ACS design (Thompson, 2012, p. 319) starts with an initial sample that is selected by a probability sampling method. If any of the selected units meets a pre-specified condition, its neighboring units are added to the sample and observed. If any of the added units meets the pre-specified condition, its neighboring units are further added to the sample and observed. The procedure continues until there are no more units that meet the pre-specified condition. In this dissertation, the pre-specified condition is the detection of at least one animal in a selected unit. In the design-based estimation, three estimators were proposed under three specific design setting. The first design was stratified strip ACS design that is suitable for aerial or ship surveys. This was a case study in estimating population totals of African elephants. In this case, units/quadrant were observed only once during an aerial survey. The Des Raj estimator (Raj, 1956) was modified to obtain an unbiased estimate of the population total. The design was evaluated using simulated data with different levels of rarity and clusteredness. The design was also evaluated on real data of African elephants that was obtained from an aerial census conducted in parts of Kenya and Tanzania in October (dry season) 2013. In this study, the order in which the samples were observed was maintained. Re-ordering the samples by making use of the Murthy's estimator (Murthy, 1957) can produce more efficient estimates. Hence a possible extension of this study. The computation cost resulting from the n! permutations in the Murthy's estimator however, needs to be put into consideration. The second setting was when there exists an auxiliary variable that is negatively correlated with the study variable. The Murthy's estimator (Murthy, 1964) was modified. Situations when the modified estimator is preferable was given both in theory and simulations using simulated and two real data sets. The study variable for the real data sets was the distribution and counts of oryx and wildbeest. This was obtained from an aerial census that was conducted in parts of Kenya and Tanzania in October (dry season) 2013. Temperature was the auxiliary variable for two study variables. Temperature data was obtained from R package raster. The modified estimator provided more efficient estimates with lower bias compared to the original Murthy's estimator (Murthy, 1964). The modified estimator was also more efficient compared to the modified HH and the modified HT estimators of (Thompson, 2012, p. 319). In this study, one auxiliary variable is considered. A fruitful area for future research would be to incorporate multi-auxiliary information at the estimation phase of an ACS design. This could, in principle, be done by using for instance a multivariate extension of the product estimator (Singh, 1967) or by using the generalized regression estimator (Särndal et al., 1992). The third case under design-based estimation, studied the conjoint use of the stopping rule (Gattone and Di Battista, 2011) and the use of the without replacement of clusters (Dryver and Thompson, 2007). Each of these two methods was proposed to reduce the sampling cost though the use of the stopping rule results in biased estimates. Despite this bias, the new estimator resulted in higher efficiency gain in comparison to the without replacement of cluster design. It was also more efficient compared to the stratified design which is known to reduce final sample size when networks are truncated at stratum boundaries. The above evaluation was based on simulated and real data. The real data was the distribution and counts of hartebeest, elephants and oryx obtained in the same census as above. The bias attributed by the stopping rule has not been evaluated analytically. This may not be direct since the truncated network formed depends on the initial unit sampled (Gattone et al., 2016a). This and the order of the bias however, deserves further investigation as it may help in understanding the effect of the increase in the initial sample size together with the population characteristics on the efficiency of the proposed estimator. Chapter four modeled data that was obtained using the stratified strip ACS (as described in sub-section (3.1)). This was an extension of the model of Rapley and Welsh (2008) by modeling data that was obtained from a different design, the introduction of an auxiliary variable and the use of the without replacement of clusters mechanism. Ideally, model-based estimation does not depend on the design or rather how the sample was obtained. This is however, not the case if the design is informative; such as the ACS design. In this case, the procedure that was used to obtain the sample was incorporated in the model. Both model-based and design-based simulations were conducted using artificial and real data. The study and the auxiliary variable for the real data was the distribution and counts of elephants collected during an aerial census in parts of Kenya and Tanzania in October (dry season) and April (wet season) 2013 respectively. Areas of possible future research include predicting the population total of African elephants in all parks in Kenya. This can be achieved in an economical and reliable way by using the theory of SAE. Chapter five compared the different proposed strategies using the elephant data. Again the study variable was the elephant data from October (dry season) 2013 and the auxiliary variable was the elephant data from April (wet season) 2013. The results show that the choice of particular strategy to use depends on the characteristic of the population under study and the level and the direction of the correlation between the study and the auxiliary variable (if present). One general area of the ACS design that is still behind, is the implementation of the design in the field especially on animal populations. This is partly attributed by the challenges associated with the field implementation, some of which were discussed in section 2.3. Green et al. (2010) however, provides new insights in undertaking the ACS design during an aerial survey such as how the aircraft should turn while surveying neighboring units. A key point throughout the dissertation is the reduction of cost during a survey which can be seen by the reduction in the number of units in the final sample (through the use of stopping rule, use of stratification and truncating networks at stratum boundaries) and ensuring that units are observed only once (by using the without replacement of cluster sampling technique). The cost of surveying an edge unit(s) is assumed to be low in which case the efficiency of the ACS design relative to the non-adaptive design is achieved (Thompson and Collins, 2002). This is however not the case in aerial surveys as the aircraft flies at constant speed and height (Norton-Griffiths, 1978). Hence the cost of surveying an edge unit is the same as the cost of surveying a unit that meets the condition of interest. The without replacement of cluster technique plays a greater role of reducing the cost of sampling in such surveys. Other key points that motivated the sections in the dissertation include gains in efficiency (in all sections) and practicability of the designs in the specific setting. Even though the dissertation focused on animal populations, the methods can as well be implemented in any population that is rare and clustered such as in the study of forestry, plants, pollution, minerals and so on.
Die Publikation, die sich primär an Forschende aus den Geisteswissenschaften wendet, bietet eine praxisbezogene kurze Einführung in das Forschungsdatenmanagement. Sie ist als Planungsinstrument für ein Forschungsprojekt konzipiert und bietet Hilfestellung bei der Erarbeitung eines digitalen Forschungskonzepts und der Erstellung eines Datenmanagementplans. Ausgehend von der Analyse ausgewählter Arbeitssituationen (Projektplanung und Antrag-stellung, Quellenbearbeitung, Publikation und Archivierung) und deren Veränderung in einer zunehmend digital organisierten Forschungspraxis werden die Zusammenhänge zwischen Forschungs- und Datenmanagementprozess thematisiert. Eine Checkliste in Form eines Fragenkatalogs und eine kommentierte Mustervorlage für einen Daten-managementplan helfen bei der Projektplanung und -beantragung.
This dissertation details how Zeami (ca. 1363 - ca.1443) understood his adoption of the heavenly woman dance within the historical conditions of the Muromachi period. He adopted the dance based on performances by the Ōmi troupe player Inuō in order to expand his own troupe’s repertoire to include a divinely powerful, feminine character. In the first chapter, I show how Zeami, informed by his success as a sexualized child in the service of the political elite (chigo), understood the relationship between performer and audience in gendered terms. In his treatises, he describes how a player must create a complementary relationship between patron and performer (feminine/masculine or yin/yang) that escalates to an ecstasy of successful communication between the two poles, resembling sexual union. Next, I look at how Zeami perceived Inuō’s relationships with patrons, the daimyo Sasaki Dōyo in chapter two and shogun Ashikaga Yoshimitsu in chapter three. Inuō was influenced by Dōyo’s masculine penchant for powerful, awe-inspiring art, but Zeami also recognized that Inuō was able to complement Dōyo’s masculinity with feminine elegance (kakari and yūgen). In his relationship with Yoshimitsu, Inuō used the performance of subversion, both in his public persona and in the aesthetic of his performances, to maintain a rebellious reputation appropriate within the climate of conflict among the martial elite. His play “Aoi no ue” draws on the aristocratic literary tradition of the Genji monogatari, giving Yoshimitsu the role of Prince Genji and confronting him with the consequences of betrayal in the form of a demonic, because jilted, Lady Rokujō. This performance challenged Zeami’s early notion that the extreme masculinity of demons and elegant femininity as exemplified by the aristocracy must be kept separate in character creation. In the fourth chapter, I show how Zeami also combined dominance (masculinity) and submission (femininity) in the corporal capacity of a single player when he adopted the heavenly woman dance. The heavenly woman dance thus complemented not only the masculinity of his male patrons with femininity but also the political power of his patrons with another dominant power, which plays featuring the heavenly woman dance label divine rather than masculine.
Erosion durch Regen und Wind schädigt fruchtbare Bodensubstanz irreversibel, verursacht weltweit riesige ökologische und sozio-ökonomische Schäden und ist eines der Hauptanliegen bezüglich Ökosystemdienstleistungen und Nahrungsmittelsicherheit. Die Quantifizierung von Abtragsraten ist immer noch höchst spekulativ, und fehlende empirische Daten führen zu großen Unsicherheiten von Risikoanalysemodellen. Als ein wesentlicher Grund für diese Unsicherheiten wird in dieser Arbeit die Prozesse der Beeinflussung von Wassererosion durch Wind und, im Speziellen, die Erosionsleistung von windbeeinflussten Regentropfen im Gegensatz zu windlosen Tropfen inklusive unterschiedlicher Oberflächenparameter beleuchtet. Der Forschungsansatz war experimentell-empirisch und beinhaltete die Entwicklung und Formulierung der Forschungshypothesen, die Konzeption und Durchführung von Experimenten mit einem mobilen Wind-Regenkanal, die Probenverarbeitung und Analyse sowie Interpretation der Daten. Die Arbeit gliedert sich in die Teile 1. "Bodenerosionsexperimente zu windbeeinflusstem Regen auf autochthonen und naturähnlichen Böden", 2. "Experimente zu Substratpartikeltransport durch windbeeinflussten Tropfenschlag" und 3. "Zusammenführung der Freiland- und Labortests". 1. Tests auf autochthonen degradierten Böden im semiariden Südspanien sowie auf kohäsionslosem sandigen Substrat wurden durchgeführt, um die relativen Auswirkungen von windbeeinflusstem Regen auf Oberflächenabflussbildung und Erosion zu untersuchen und zu quantifizieren. In der überwiegenden Anzahl der Versuche wurde klar eine Erhöhung der Erosionsraten festgestellt, was die Forschungshypothese, windbeeinflusster Regen sei erosiver als windloser Regen, deutlich bestätigte. Neben den stark erhöhten wurden auch niedrigere Abtragswerte gemessen, was zum einen die ausnehmende Relevanz der Oberflächenstrukturen und damit von in-situ- Experimenten belegte, zum anderen auf eine Erhöhung der Variabilität der Erosionsprozesse deutete. Diese Variabilität scheint zuzunehmen mit der Erhöhung der beteiligten Faktoren. 2. Ein sehr spezialisiertes Versuchsdesign wurde entwickelt und eingesetzt, um explizite Messungen der Tropfenschlagprozesse mit und ohne Windeinfluss durchzuführen. Getestet wurden die Erosionsagenzien Regen, Wind und windbeeinflusster Regen sowie drei Neigungen, drei Rauheiten und zwei Substrate. Alle Messergebnisse zeigten eine klare windinduzierte Erhöhung der Erosion um bis zu zwei Größenordnungen gegenüber windlosem Tropfenschlag und Wind. Windbeeinflusster Regen wird durch die gesteigerte Transportmenge und Weite als wesentlicher Erosionsfaktor bestätigt und ist damit ein Schlüsselparameter bei der Quantifizierung von globaler Bodenerosion, Erstellung von Sedimentbudgets und bei der Erforschung von Connectivity. Die Daten sind von hervorragender Qualität und sowohl für anspruchsvollere Analysemethoden (multivariate Statistik) als auch für Modellierungsansätze geeignet. 3. Eine Synthese aus Feld- und Laborversuchen (darunter auch ein bis dato unveröffentlichtes Versuchsset) inklusive einer statistischen Analyse bestätigt WDR als den herausragenden Faktor, der alle anderen Faktoren überlagert. Die Zusammenführung der beiden komplementären Experimentgruppen bringt die Forschungsreihe zu windbeeinflusstem Regen auf eine weiterführende Ebene, indem die Messergebnisse in einen ökologischen Zusammenhang gesetzt werden. Eine vorsichtige Projektion auf Landschaftsebene ermöglicht einen Einblick in die Risikobewertung von Bodenerosion durch windbeeinflussten Regen. Es wird deutlich, dass er sich gerade auch im Zusammenhang mit den durch den Klimawandel verstärkt auftretenden Regensturmereignissen katastrophal auf Bodenerosionsraten auszuwirken kann und dringend in die Bodenerosionsmodellierung integriert werden muss.
Background: Psychotherapy is successful for the majority of patients , but not for every patient. Hence, further knowledge is needed on how treatments should be adapted for those who do not profit or deteriorate. In the last years prediction tools as well as feedback interventions were part of a trend to more personalized approaches in psychotherapy. Research on psychometric prediction and feedback into ongoing treatment has the potential to enhance treatment outcomes, especially for patients with an increased risk of treatment failure or drop-out.rnMethods/design: The research project investigates in a randomized controlled trial the effectiveness as well as moderating and mediating factors of psychometric feedback to therapists. In the intended study a total of 423 patients, who applied for a cognitive-behavioral therapy at the psychotherapy clinic of the University Trier and suffer from a depressive and/or an anxietyrndisorder (SCID interviews), will be included. The patients will be randomly assigned either to one therapist as well as to one of two intervention groups (CG, IG2). An additional intervention group (IG1) will be generated from an existing archival data set via propensity score matching. Patients of the control group (CG; n = 85) will be monitored concerning psychological impairment but therapists will not be provided with any feedback about the patients assessments. In both intervention groups (IG1: n = 169; IG2: n = 169) the therapists are provided with feedback about the patients self-evaluation in a computerized feedback portal. Therapists of the IG2 will additionally be provided with clinical support tools, which will be developed in thisrnproject, on the basis of existing systems. Therapists will also be provided with a personalized treatment recommendation based on similar patients (Nearest Neighbors) at the beginning of treatment. Besides the general effectiveness of feedback and the clinical support tools for negatively developing patients, further mediating and moderating variables on this feedback effectrnshould be examined: treatment length, frequency of feedback use, therapist effects, therapist- experience, attitude towards feedback as well as congruence of therapist-andpatient- evaluation concerning the progress. Additional procedures will be implemented to assess treatment adherence as well as the reliability of diagnosis and to include it into the analyses.rnDiscussion: The current trial tests a comprehensive feedback system which combines precision mental health predictions with routine outcome monitoring and feedback tools in routine outpatient psychotherapy. It also adds to previous feedback research a stricter design by investigating another repeated measurement CG as well as a stricter control of treatment integrity. It also includes a structured clinical interview (SCID) and controls for comorbidity (within depression and anxiety). This study also investigates moderators (attitudes towards, use of the feedback system, diagnoses) and mediators (therapists" awareness of negative change and treatment length) in one study.
Die organische Bodensubstanz (OBS) ist eine fundamentale Steuergröße aller biogeochemischen Prozesse und steht in engem Zusammenhang zu Kohlenstoffkreisläufen und globalem Klima. Die derzeitige Herausforderung der Ökosystemforschung ist die Identifizierung der für die Bodenqualität relevanten Bioindikatoren und deren Erfassung mit Methoden, die eine nachhaltige Nutzung der OBS in großem Maßstab überwachen und damit zu globalen Erderkundungsprogrammen beitragen können. Die fernerkundliche Technik der Vis-NIR Spektroskopie ist eine bewährte Methode für die Beurteilung und das Monitoring von Böden, wobei ihr Potential bezüglich der Erfassung biologischer und mikrobieller Bodenparameter bisher umstritten ist. Das Ziel der vorgestellten Arbeit war die quantitative und qualitative Untersuchung der OBS von Ackeroberböden mit unterschiedlichen Methoden und variierender raumzeitlicher Auflösung sowie die anschließende Bewertung des Potentials non-invasiver, spektroskopischer Methoden zur Erfassung ausgewählter Parameter dieser OBS. Dafür wurde zunächst eine umfassende lokale Datenbank aus chemischen, physikalischen und biologischen Bodenparametern und dazugehörigen Bodenspektren einer sehr heterogenen geologischen Region mit gemäßigten Klima im Südwesten Deutschlands erstellt. Auf dieser Grundlage wurde dann das Potential der Bodenspektroskopie zur Erfassung und Schätzung von Feld- und Geländedaten ausgewählter OBS Parameter untersucht. Zusätzlich wurde das Optimierungspotential der Vorhersagemodelle durch statistische Vorverarbeitung der spektralen Daten getestet. Die Güte der Vorhersagewahrscheinlichkeit gebräuchlicher fernerkundlicher Bodenparameter (OC, N) konnte für im Labor erhobene Hyperspektralmessungen durch statistische Optimierungstechniken wie Variablenselektion und Wavelet-Transformation verbessert werden. Ein zusätzliches Datenset mit mikrobiellen/labilen OBS Parametern und Felddaten wurde untersucht um zu beurteilen, ob Bodenspektren zur Vorhersage genutzt werden können. Hierzu wurden mikrobieller Kohlenstoff (MBC), gelöster organischer Kohlenstoff (DOC), heißwasserlöslicher Kohlenstoff (HWEC), Chlorophyll α (Chl α) und Phospholipid-Fettsäuren (PLFAs) herangezogen. Für MBC und DOC konnte abhängig von Tiefe und Jahreszeit eine mittlere Güte der Vorhersagewahrscheinlichkeit erreicht werden, wobei zwischen hohen und niedrigen Konzentration unterschieden werden konnte. Vorhersagen für OC und PLFAs (Gesamt-PLFA-Gehalt sowie die mikrobiellen Gruppen der Bakterien, Pilze und Algen) waren nicht möglich. Die beste Prognosewahrscheinlichkeit konnte für das Chlorophyll der Grünalgen an der Bodenoberfläche (0-1cm Bodentiefe) erzielt werden, welches durch Korrelation mit MBC vermutlich auch für dessen gute Vorhersagewahrscheinlichkeit verantwortlich war. Schätzungen des Gesamtgehaltes der OBS, abgeleitet durch OC, waren hingegen nicht möglich, was der hohen Dynamik der mikrobiellen OBS Parameter an der Bodenoberfläche zuzuschreiben ist. Das schränkt die Repräsentativität der spektralen Messung der Bodenoberfläche zeitlich ein. Die statistische Optimierungstechnik der Variablenselektion konnte für die Felddaten nur zu einer geringen Verbesserung der Vorhersagemodelle führen. Die Untersuchung zur Herkunft der organischen Bestandteile und ihrer Auswirkungen auf die Quantität und Qualität der OBS konnte die mikrobielle Nekromasse und die Gruppe der Bodenalgen als zwei mögliche weitere signifikante Quellen für die Entstehung und Beständigkeit der OBS identifizieren. Insgesamt wird der mikrobielle Beitrag zur OBS höher als gemeinhin angenommen eingestuft. Der Einfluss mikrobieller Bestandteile konnte für die OBS Menge, speziell in der mineralassoziierten Fraktion der OBS in Ackeroberböden, sowie für die OBS Qualität hinsichtlich der Korrelation von mikrobiellen Kohlenhydraten und OBS Stabilität gezeigt werden. Die genaue Quantifizierung dieser OBS Parameter und ihre Bedeutung für die OBS Dynamik sowie ihre Prognostizierbarkeit mittels spektroskopischer Methoden ist noch nicht vollständig geklärt. Für eine abschließende Beurteilung sind deshalb weitere Studien notwendig.
Flexibility and spatial mobility of labour are central characteristics of modern societies which contribute not only to higher overall economic growth but also to a reduction of interregional employment disparities. For these reasons, there is the political will in many countries to expand labour market areas, resulting especially in an overall increase in commuting. The picture of the various, unintended long-term consequences of commuting on individuals is, however, relatively unclear. Therefore, in recent years, the journey to work has gained high attention especially in the study of health and well-being. Empirical analyses based on longitudinal as well as European data on how commuting may affect health and well-being are nevertheless rare. The principle aim of this thesis is, thus, to address this question with regard to Germany using data from the Socio-Economic Panel. Chapter 2 empirically investigates the causal impact of commuting on absence from work due to sickness-related reasons. Whereas an exogenous change in commuting distance does not affect the number of absence days of those individuals who commute short distances to work, it increases the number of absence days of those employees who commute middle (25 " 49 kilometres) or long distances (50 kilometres and more). Moreover, our results highlight that commuting may deteriorate an individual- health. However, this effect is not sufficient to explain the observed impact of commuting on absence from work. Chapter 3 explores the relationship between commuting distance and height-adjusted weight and sheds some light on the mechanisms through which commuting might affect individual body weight. We find no evidence that commuting leads to excess weight. Compensating health behaviour of commuters, especially healthy dietary habits, could explain the non-relationship of commuting and height-adjusted weight. In Chapter 4, a multivariate probit approach is used to estimate recursive systems of equations for commuting and health-related behaviours. Controlling for potential endogeneity of commuting, the results show that long distance commutes significantly decrease the propensity to engage in health-related activities. Furthermore, unobservable individual heterogeneity can influence both the decision to commute and healthy lifestyle choices. Chapter 5 investigates the relationship between commuting and several cognitive and affective components of subjective well-being. The results suggest that commuting is related to lower levels of satisfaction with family life and leisure time which can largely be ascribed to changes in daily time use patterns, influenced by the work commute.
This study aims to estimate the cotton yield at the field and regional level via the APSIM/OZCOT crop model, using an optimization-based recalibration approach based on the state variable of the cotton canopy - the leaf area index (LAI), derived from atmospherically corrected Landsat-8 OLI remote sensing images in 2014. First, a local sensitivity and global analysis approach was employed to test the sensitivity of cultivar, soil and agronomic parameters to the dynamics of the LAI. After sensitivity analyses, a series of sensitive parameters were obtained. Then, the APSIM/OZCOT crop model was calibrated by observations over a two-year span (2006-2007) at the Aksu station, combined with these sensitive cultivar parameters and the current understanding of cotton cultivar parameters. Third, the relationship between the observed in-situ LAI and synchronous perpendicular vegetation indices derived from six Landsat-8 OLI images covering the entire growth stage was modelled to generate LAI maps in time and space. Finally, the Particle Swarm Optimization (PSO) and general-purpose optimization approach (based on Nelder-Mead algorithm) were used to recalibrate four sensitive agronomic parameters (row spacing, sowing density per row, irrigation amount and total fertilization) according to the minimization of the root-mean-square deviation (RMSE) between the simulated LAI from the APSIM/OZCOT model and retrieved LAI from Landsat-8 OLI remote sensing images. After the recalibration, the best simulated results compared with observed cotton yield were obtained. The results showed that: (1) FRUDD, FLAI and DDISQ were the major cultivar parameters suitable for calibrating the cotton cultivar. (2) After the calibration, the simulated LAI performed well with an RMSE and mean absolute error (MAE) of 0.45 and 0.33, respectively, in 2006 and 0.46 and 0.41, respectively, in 2007. The coefficient of determination between the observed and simulated LAI was 0.83 and 0.97, respectively, in 2006 and 2007. The Pearson- correlation coefficient was 0.913 and 0.988 in 2006 and 2007, respectively, with a significant positive correlation between the simulated and observed LAI. The difference between the observed and simulated yield was 776.72 kg/ha and 259.98 kg/ha in 2006 and 2007, respectively. (3) Cotton cultivation in 2014 was obtained using three Landsat-8 OLI images - DOY136 (May), DOY 168 (June) and DOY 200 (July) - based on the phenological differences in cotton and other vegetation types. (4) The yield estimation after the assimilation closely approximated the field-observed values, and the coefficient of determination was as high as 0.82, after recalibration of the APSIM/OZCOT model for ten cotton fields. The difference between the observed and assimilated yields for the ten fields ranged from 18.2 to 939.7 kg/ha. The RMSE and MAE between the assimilated and observed yield was 417.5 and 303.1 kg/ha, respectively. These findings provide scientific evidence for the feasibility of coupled remote sensing and APSIM/OZCOT model at the field level. (5) Upscaling from field level to regional level, the assimilation algorithm and scheme are both especially important. Although the PSO method is very efficient, the computational efficiency is also the shortcoming of the assimilation strategy on a regional scale. Comparisons between the PSO and general-purpose optimization method (based on the Nelder-Mead algorithm) were implemented from the RSME, LAI curve and computational time. The general-purpose optimization method (based on the Nelder-Mead algorithm) was used for the regional assimilation between remote sensing and the APSIM/OZCOT model. Meanwhile, the basic unit for regional assimilation was also determined as cotton field rather than pixel. Moreover, the crop growth simulation was also divided into two phases (vegetative growth and reproductive growth) for regional assimilation. (6) The regional assimilation at the vegetative growth stage between the remote sensing derived and APSIM/OZCOT model-simulated LAI was implemented by adjusting two parameters: row spacing and sowing density per row. The results showed that the sowing density of cotton was higher in the southern part than in the northern part of the study area. The spatial pattern of cotton density was also consistent with the reclamation from 2001 to 2013. Cotton fields after early reclamation were mainly located in the southern part while the recent reclamation was located in the northern part. Poor soil quality, lack of irrigation facilities and woodland belts of cotton fields in the northern part caused the low density of cotton. Regarding the row spacing, the northern part was larger than the southern part due to the variation of two agronomic modes from military and private companies. (7) The irrigation and fertilization amount were both used as key parameters to be adjusted for regional assimilation during the reproductive growth period. The result showed that the irrigation per time ranged from 58.14 to 89.99 mm in the study area. The spatial distribution of the irrigation amount is higher in the northern part while lower in southern study area. The application of urea fertilization ranged from 500.35 to 1598.59 kg/ha in the study area. The spatial distribution of fertilization was lower in the northern part and higher in the southern part. More fertilization applied in the southern study area aims to increase the boll weight and number for pursuing higher yields of cotton. The frequency of the RSME during the second assimilation was mainly located in the range of 0.4-0.6 m2/m2. The estimated cotton yield ranged from 1489 to 8895 kg/ha. The spatial distribution of the estimated yield is also higher in the southern part than the northern study area.
DNA methylation, through 5-methyl- and 5-hydroxymethylcytosine (5mC and 5hmC) is considered to be one of the principal interfaces between the genome and our environment and it helps explain phenotypic variations in human populations. Initial reports of large differences in methylation level in genomic regulatory regions, coupled with clear gene expression data in both imprinted genes and malignant diseases provided easily dissected molecular mechanisms for switching genes on or off. However, a more subtle process is becoming evident, where small (<10%) changes to intermediate methylation levels were associated with complex disease phenotypes. This has resulted in two clear methylation paradigms. The latter "subtle change" paradigm is rapidly becoming the epigenetic hallmark of complex disease phenotypes, although we were currently hampered by a lack of data addressing the true biological significance and meaning of these small differences. The initial expectation of rapidly identifying mechanisms linking environmental exposure to a disease phenotype led to numerous observational/association studies being performed. Although this expectation remains unmet, there is now a growing body of literature on specific genes, suggesting wide ranging transcriptional and translational consequences of such subtle methylation changes. Data from the glucocorticoid receptor (NR3C1) has shown that a complex interplay between DNA methylation, extensive 5"UTR splicing and microvariability gives rise to the overall level and relative distribution of total and N-terminal protein isoforms generated. Additionally, the presence of multiple AUG translation initiation codons throughout the complete, processed, mRNA enables translation variability, hereby enhancing the translational isoforms and the resulting protein isoform diversity; providing a clear link between small changes in DNA methylation and significant changes in protein isoforms and cellular locations. Methylation changes in the NR3C1 CpG island, alters the NR3C1 transcription and eventually protein isoforms in the tissues, resulting in subtle but visible physiological variability. Implying external environmental stimuli act through subtle methylation changes, with transcriptional microvariability as the underlying mechanism, to fine-tune the total NR3C1 protein levels. The ubiquitous distribution of genes with similar structure as NR3C1, combined with an increasing number of studies linking subtle methylation changes in specific genes with wide ranging transcriptional and translational consequences, suggested a more genome-wide spread of subtle DNA methylation changes and transcription variability. The subtle methylation paradigm and the biological relevance of such changes were supported by two epigenetic animal models, which linked small methylation changes to either psychopathological or immunological effects. The first model, rats subjected to maternal deprivation, showed long term behavioural and stress response changes. A second model, exposing mice to early life infection with H1N1, illustrated long-term immunological effects. Both models displayed subtle changes within the methylome. Suggesting/Indicating that early life adversity and early life viral infection "programmed" the CNS and innate immune response respectively, via subtle DNA methylation changes genome-wide. The research presented in this thesis investigated the ever-growing roles of DNA methylation; the physiological and functional relevance of subtle small DNA methylation changes genome-wide, in particular for the CNS (MD model) and the immune system (early life viral infection model) ; and the evidence available, particularly from the glucocorticoid of the cascade of events initiated by such subtle methylation changes, as well as addressing the underlying question as to what represents a genuine biologically significant difference in methylation.
Gegenstand der vorliegenden Arbeit ist die Untersuchung der Lexik der spätmittelalterlichen Luxemburger Rechnungsbücher unter der Prämisse der Urbanität. Da auf keine ausgearbeitete Methodik zurückgegriffen werden konnte, anhand derer eine Einteilung in für die Analyse relevante bzw. irrelevante Lexik vorgenommen werden konnte, wurde im Rahmen der Arbeit unter Rückgriff auf sprachwissenschaftliche und geschichtswissenschaftliche Konzepte eine eigene Methodik entwickelt. Auf deren Basis erfolgte die Anlage des Untersuchungskorpus' auf der Grundlage der von 1388-1500 fast lückenlos überlieferten Rechnungsbücher der Stadt Luxemburg mit dem Ziel der Analyse spezifisch urbaner Lexik. Bei der Analyse wurde schließlich eine dreifache Zielsetzung verfolgt: Einerseits die Untersuchung der Lexik mit Blick auf die Verteilung von types und tokens in als spezifisch urban definierten Domänen, andererseits die Anlage eines Glossars, das als textphilologisches Werkzeug als Hilfsmittel bei der Erschließung der Rechnungsbücher dienen soll. Daneben wurde ebenfalls auf die geschichtswissenschaftlichen Erkenntnisgewinne eingegangen, die durch die jeweilige Wortschatzanalyse realisiert werden konnten.
Determining the exact position of a forest inventory plot—and hence the position of the sampled trees—is often hampered by a poor Global Navigation Satellite System (GNSS) signal quality beneath the forest canopy. Inaccurate geo-references hamper the performance of models that aim to retrieve useful information from spatially high remote sensing data (e.g., species classification or timber volume estimation). This restriction is even more severe on the level of individual trees. The objective of this study was to develop a post-processing strategy to improve the positional accuracy of GNSS-measured sample-plot centers and to develop a method to automatically match trees within a terrestrial sample plot to aerial detected trees. We propose a new method which uses a random forest classifier to estimate the matching probability of each terrestrial-reference and aerial detected tree pair, which gives the opportunity to assess the reliability of the results. We investigated 133 sample plots of the Third German National Forest Inventory (BWI, 2011"2012) within the German federal state of Rhineland-Palatinate. For training and objective validation, synthetic forest stands have been modeled using the Waldplaner 2.0 software. Our method has achieved an overall accuracy of 82.7% for co-registration and 89.1% for tree matching. With our method, 60% of the investigated plots could be successfully relocated. The probabilities provided by the algorithm are an objective indicator of the reliability of a specific result which could be incorporated into quantitative models to increase the performance of forest attribute estimations.
Why do some people become entrepreneurs while others stay in paid employment? Searching for a distinctive set of entrepreneurial skills that matches the profile of the entrepreneurial task, Lazear introduced a theoretical model featuring skill variety for entrepreneurs. He argues that because entrepreneurs perform many different tasks, they should be multi-skilled in various areas. First, this dissertation provides the reader with an overview of previous relevant research results on skill variety with regard to entrepreneurship. The majority of the studies discussed focus on the effects of skill variety. Most studies come to the conclusion that skill variety mainly affects the decision to become self-employed. Skill variety also favors entrepreneurial intentions. Less clear are the results with regard to the influence of skill variety on the entrepreneurial success. Measured on the basis of income and survival of the company, a negative or U-shaped correlation is shown. Within the empirical part of this dissertation three research goals are tackled. First, this dissertation investigates whether a variety of early interests and activities in adolescence predicts subsequent variety in skills and knowledge. Second, the determinants of skill variety and variety of early interests and activities are investigated. Third, skill variety is tested as a mediator of the gender gap in entrepreneurial intentions. This dissertation employs structural equation modeling (SEM) using longitudinal data collected over ten years from Finnish secondary school students aged 16 to 26. As indicator for skill variety the number of functional areas in which the participant had prior educational or work experience is used. The results of the study suggest that a variety of early interests and activities lead to skill variety, which in turn leads to entrepreneurial intentions. Furthermore, the study shows that an early variety is predicted by openness and an entrepreneurial personality profile. Skill variety is also encouraged by an entrepreneurial personality profile. From a gender perspective, there is indeed a gap in entrepreneurial intentions. While a positive correlation has been found between the early variety of subjects and being female, there are negative correlations between the other two variables, education and work related Skill variety, and being female. The negative effect of work-related skill variety is the strongest. The results of this dissertation are relevant for research, politics, educational institutions and special entrepreneurship education programs. The results are also important for self-employed parents that plan the succession of the family business. Educational programs promoting entrepreneurship can be optimized on the basis of the results of this dissertation by making the transmission of a variety of skills a central goal. A focus on teenagers could also increase the success as well as a preselection based on the personality profile of the participants. Regarding the gender gap, state policies should aim to provide women with more incentives to acquire skill variety. For this purpose, education programs can be tailored specifically to women and self-employment can be presented as an attractive alternative to dependent employment.