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Production of biomass feedstock for methanation in Europe has focused on silages of maize and cereals. As ecological awareness has increased in the last several years, more attention is being focused on perennial energy crops (PECs). Studies of specific PECs have shown that their cultivation may enhance agrobiodiversity and increase soil organic carbon stocks while simultaneously providing valuable feedstock for methanation. This study was designed to compare soil quality indicators under annual energy crops (AECs), PECs and permanent grassland (PGL) on the landscape level in south-western Germany. At a total 25 study sites, covering a wide range of parent materials, the cropping systems were found adjacent to each other. Stands were commercially managed, and PECs included different species such as the Cup Plant, Tall Wheatgrass, Giant Knotweed, Miscanthus, Virginia Mallow and Reed Canary Grass. Soil sampling was carried out for the upper 20 cm of soil. Several soil quality indicators, including soil organic carbon (Corg), soil microbial biomass (Cmic), and aggregate stability, showed that PECs were intermediate between AEC and PGL systems. At landscape level, mean Corg content for (on average) 6.1-year-old stands of PEC was 22.37 (±7.53) g kg1, compared to 19.23 (±8.08) and 32.08 (±10.11) for AEC and PGL. Cmic contents were higher in PECs (356 ± 241 lgCg1) compared to AECs (291 ± 145) but significantly lower than under PGL (753 ± 417). The aggregate stability increased by almost 65% in PECs compared to AEC but was still 57% lower than in PGL. Indicator differences among cropping systems were more pronounced when inherent differences in the parent material were accounted for in the comparisons. Overall, these results suggest that the cultivation of PECs has positive effects on soil quality indicators. Thus, PECs may offer potential to make the production of biomass feedstock more sustainable.
Social innovation became a widely discussed topic in politics, research funding programs, and business development. Recent European and US economic and science policies have set aside significant funds to generate and foster social innovation. In view of current challenges such as digitization, Work 4.0, inclusion or migrant integration, the question of how organizations can be empowered to develop new and innovative approaches and service models to social challenges is becoming increasingly urgent. This especially applies to organizations in the fields of education and social services. In education, implementing new ideas and concepts is usually discussed as educational reform, which mostly addresses changes in policy agendas with consequences for national and international education systems. The concept of social innovation however has a different starting point: the source of new ideas and services are identified new, emergent needs in society or re-conceptualized. Such need-based perspectives might bring new impulses to the field of education. Therefore, this paper identifies important existing strands of social innovation research, which need to be considered in the emerging academic discourse on social innovation in education. Looking at social innovation through an education research lens reveals the close relation between learning, creativity, and innovation. Individuals, teams, and even organizations learn, engage in creative problem solving to create new and innovative products and services. From an organizational education perspective, the questions arise, how social innovation emerges and even more important, how the process of developing social innovation can be supported. After a brief introduction in the concept of social innovation, the paper discusses therefore the sites, where social innovation emerges, social innovators, approaches to foster social innovation as well as promoting and hindering factors for social innovation.
Roof and wall slates are fine-grained rocks with slaty cleavage, and it is often difficult to determine their mineral composition. A new norm mineral calculation called slatecalculation allows the determination of a virtual mineral composition based on full chemical analysis, including the amounts of carbon dioxide (CO2), carbon (C), and sulfur (S). Derived norm minerals include feldspars, carbonates, micas, hydro-micas, chlorites, ore-minerals, and quartz. The mineral components of the slate are assessed with superior accuracy compared to the petrographic analysis based on the European Standard EN 12326. The inevitable methodical inaccuracies in the calculations are limited and transparent. In the present paper, slates, shales, and phyllites from worldwide occurrences were examined. This also gives an overview of the rocks used for discontinuous roofing and external cladding.
Climate change is expected to cause mountain species to shift their ranges to higher elevations. Due to the decreasing amounts of habitats with increasing elevation, such shifts are likely to increase their extinction risk. Heterogeneous mountain topography, however, may reduce this risk by providing microclimatic conditions that can buffer macroclimatic warming or provide nearby refugia. As aspect strongly influences the local microclimate, we here assess whether shifts from warm south-exposed aspects to cool north-exposed aspects in response to climate change can compensate for an upward shift into cooler elevations.
Optimal mental workload plays a key role in driving performance. Thus, driver-assisting systems that automatically adapt to a drivers current mental workload via brain–computer interfacing might greatly contribute to traffic safety. To design economic brain computer interfaces that do not compromise driver comfort, it is necessary to identify brain areas that are most sensitive to mental workload changes. In this study, we used functional near-infrared spectroscopy and subjective ratings to measure mental workload in two virtual driving environments with distinct demands. We found that demanding city environments induced both higher subjective workload ratings as well as higher bilateral middle frontal gyrus activation than less demanding country environments. A further analysis with higher spatial resolution revealed a center of activation in the right anterior dorsolateral prefrontal cortex. The area is highly involved in spatial working memory processing. Thus, a main component of drivers’ mental workload in complex surroundings might stem from the fact that large amounts of spatial information about the course of the road as well as other road users has to constantly be upheld, processed and updated. We propose that the right middle frontal gyrus might be a suitable region for the application of powerful small-area brain computer interfaces.
Ausgelotet wird in diesem Aufsatz das Spektrum der ästhetischen und technischen Entwicklung des ältesten Genres, das der Film hervorgebracht hat: der Reisefilm. Schwerpunkt der Analyse ist das Frühe Kino und dessen filmästhetische Besonderheiten. rnNeue experimentelle Formen - wie die "Cartes postales Video" von Robert Cahen und filmkünstlerische Verwandlungen historischer Reisefilme durch die Mailänder Künstler Yervant Gianikian und Angela Ricci Lucchi - greifen zeitgenössisch auf dieses kreative Potential der Frühzeit des Kinos zurück. rn
Der vorliegende Beitrag greift die öffentliche Diskussion um den rechtspolitischen Umgang mit Hass, Hetze und Antisemitismus auf, die insbesondere nach dem Terroranschlag der Hamas am 07.10.2023 an Intensität und Dringlichkeit zugenommen hat. Dabei beleuchtet er einerseits das Straf- und Zivilrecht, legt andererseits einen besonderen Fokus auf öffentlich-rechtliche Konstellationen. Auf jedem dieser Gebiete werden Schwächen und Potenziale des Rechts und der Rechtsprechung aufgezeigt, zugleich aber auch die Grenzen staatlicher Gewalt verdeutlicht. Denn letztlich handelt es sich um ein gesellschaftliches Problem, dem – trotz aller Notwendigkeit staatlichen Handelns – in erster Linie durch Information, und erst in zweiter Linie durch das Recht begegnet werden muss.
Überblicksdarstellung zu deutschen Besuchern der Pariser Nationalbibliothek zwischen ca. 1780-1820 auf Grundlage der in Paris erhaltnenen handschriftlichen Ausleihjournale und gedruckter Reiseberichte.
Background: We evaluated depression and social isolation assessed at time of waitlisting as predictors of survival in heart transplant (HTx) recipients. Methods and Results: Between 2005 and 2006, 318 adult HTx candidates were enrolled in the Waiting for a New Heart Study, and 164 received transplantation. Patients were followed until February 2013. Psychosocial characteristics were assessed by questionnaires. Eurotransplant provided medical data at waitlisting, transplantation dates, and donor characteristics; hospitals reported medical data at HTx and date of death after HTx. During a median followâ€up of 70 months (<1"93 months postâ€HTx), 56 (38%) of 148 transplanted patients with complete data died. Depression scores were unrelated to social isolation, and neither correlated with disease severity. Higher depression scores increased the risk of dying (hazard ratio=1.07, 95% confidence interval, 1.01, 1.15, P=0.032), which was moderated by social isolation scores (significant interaction term; hazard ratio = 0.985, 95% confidence interval, 0.973, 0.998; P=0.022). These findings were maintained in multivariate models controlling for covariates (P values 0.020"0.039). Actuarial 1â€year/5â€year survival was best for patients with low depression who were not socially isolated at waitlisting (86% after 1 year, 79% after 5 years). Survival of those who were either depressed, or socially isolated or both, was lower, especially 5 years posttransplant (56%, 60%, and 62%, respectively). Conclusions: Low depression in conjunction with social integration at time of waitlisting is related to enhanced chances for survival after HTx. Both factors should be considered for inclusion in standardized assessments and interventions for HTx candidates. We evaluated depression and social isolation assessed at time of waitlisting as predictors of survival in heart transplant (HTx) recipients.\r\n\r\nMethods and Results: Between 2005 and 2006, 318 adult HTx candidates were enrolled in the Waiting for a New Heart Study, and 164 received transplantation. Patients were followed until February 2013. Psychosocial characteristics were assessed by questionnaires. Eurotransplant provided medical data at waitlisting, transplantation dates, and donor characteristics; hospitals reported medical data at HTx and date of death after HTx. During a median followâ€up of 70 months (<1"93 months postâ€HTx), 56 (38%) of 148 transplanted patients with complete data died. Depression scores were unrelated to social isolation, and neither correlated with disease severity. Higher depression scores increased the risk of dying (hazard ratio=1.07, 95% confidence interval, 1.01, 1.15, P=0.032), which was moderated by social isolation scores (significant interaction term; hazard ratio = 0.985, 95% confidence interval, 0.973, 0.998; P=0.022). These findings were maintained in multivariate models controlling for covariates (P values 0.020"0.039). Actuarial 1â€year/5â€year survival was best for patients with low depression who were not socially isolated at waitlisting (86% after 1 year, 79% after 5 years). Survival of those who were either depressed, or socially isolated or both, was lower, especially 5 years posttransplant (56%, 60%, and 62%, respectively).
Rezensiert wird das umfangreiche Buch von Matthias Steinle, das die wechselseitige Darstellung der Bundesrepublik Deutschland und der Deutschen Demokratischen Republik in Dokumentarfilmen analysiert. Die Materialauswahl umfasst mehr als 60 Filme, wobei der Begriff von Dokumentarfilm weit gefasst ist und auch Kino-Wochenschauen berücksichtigt werden,
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.
In order to discuss potential sustainability issues of expanding silage maize cultivation in Rhineland-Palatinate, spatially explicit monitoring is necessary. Publicly available statistical records are often not a sufficient basis for extensive research, especially on soil health, where risk factors like erosion and compaction depend on variables that are specific to every site, and hard to generalize for larger administrative aggregates. The focus of this study is to apply established classification algorithms to estimate maize abundance for each independent pixel, while at the same time accounting for their spatial relationship. Therefore, two ways to incorporate spatial autocorrelation of neighboring pixels are combined with three different classification models. The performance of each of these modeling approaches is analyzed and discussed. Finally, one prediction approach is applied to the imagery, and the overall predicted acreage is compared to publicly available data. We were able to show that Support Vector Machine (SVM) classification and Random Forests (RF) were able to distinguish maize pixels reliably, with kappa values well above 0.9 in most cases. The Generalized Linear Model (GLM) performed substantially worse. Furthermore, Regression Kriging (RK) as an approach to integrate spatial autocorrelation into the prediction model is not suitable in use cases with millions of sparsely clustered training pixels. Gaussian Blur is able to improve predictions slightly in these cases, but it is possible that this is only because it smoothes out impurities of the reference data. The overall prediction with RF classification combined with Gaussian Blur performed well, with out of bag error rates of 0.5% in 2009 and 1.3% in 2016. Despite the low error rates, there is a discrepancy between the predicted acreage and the official records, which is 20% in 2009 and 27% in 2016.
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.
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.
Measurements of dust emissions and the modeling of dissipation dynamics and total values are related to great uncertainties. Agricultural activity, especially soil cultivation, may be an essential component to calculate and model local and regional dust dynamics and even connect to the global dust cycle. To budget total dust and to assess the impact of tillage, measurement of mobilized and transported dust is an essential but rare basis. In this study, a simple measurement concept with Modified Wilson and Cook samplers was applied for dust measurements on a small temporal and spatial scale on steep-slope vineyards in the Moselle area. Without mechanical impact, a mean horizontal flux of 0.01 g m2 min−1 was measured, while row tillage produced a mean horizontal flux of 5.92 g m2 min−1 of mobilized material and 4.18 g m2 min−1 emitted dust from site (=soil loss). Compared on this singular-event basis, emissions during tillage operations generated 99.89% of total emitted dust from the site under low mean wind velocities. The results also indicate a differing impact of specific cultivation operations, mulching, and tillage tools as well as the additional influence of environmental conditions, with highest emissions on dry soil and with additional wind impact. The dust source function is strongly associated with cultivation operations, implying highly dynamic but also regular and thus predictable and projectable emission peaks of total suspended particles. Detailed knowledge of the effects of mechanical impulses and reliable quantification of the local dust emission inventory are a basis for analysis of risk potential and choice of adequate management options.
We examined the long-term relationship of psychosocial risk and health behaviors on clinical events in patients awaiting heart transplantation (HTx). Psychosocial characteristics (e.g., depression), health behaviors (e.g., dietary habits, smoking), medical factors (e.g., creatinine), and demographics (e.g., age, sex) were collected at the time of listing in 318 patients (82% male, mean age = 53 years) enrolled in the Waiting for a New Heart Study. Clinical events were death/delisting due to deterioration, high-urgency status transplantation (HU-HTx), elective transplantation, and delisting due to clinical improvement. Within 7 years of follow-up, 92 patients died or were delisted due to deterioration, 121 received HU-HTx, 43 received elective transplantation, and 39 were delisted due to improvement. Adjusting for demographic and medical characteristics, the results indicated that frequent consumption of healthy foods (i.e., foods high in unsaturated fats) and being physically active increased the likelihood of delisting due improvement, while smoking and depressive symptoms were related to death/delisting due to clinical deterioration while awaiting HTx. In conclusion, psychosocial and behavioral characteristics are clearly associated with clinical outcomes in this population. Interventions that target psychosocial risk, smoking, dietary habits, and physical activity may be beneficial for patients with advanced heart failure waiting for a cardiac transplant.
Dysfunctional eating behavior is a major risk factor for developing all sorts of eating disorders. Food craving is a concept that may help to understand better why and how these and other eating disorders become chronic conditions through non homeastatically-driven mechanisms. As obesity affects people worldwide, cultural differences must be acknowledged to apply proper therapeutic strategies. In this work, we adapted the Food Craving Inventory (FCI) to the German population. We performed a factor analysis of an adaptation of the original FCI in a sample of 326 men and women. We could replicate the factor structure of the FCI on a German population.rnThe factor extraction procedure produced a factor solution that reproduces the fourfactors described in the original inventory, the FCI. Our instrument presents high internal consistency, as well as a significant correlation with measures of convergent and discriminant validity. The FCI-Deutsch (FCI-DE) is a valid instrument to assess craving for particular foods in Germany, and it could, therefore, prove useful in the clinical and research practice in the field of obesity and eating behaviors.
Properties Evaluation of Composite Materials Based on Gypsum Plaster and Posidonia Oceanica Fibers
(2023)
Estimating the amount of material without significant losses at the end of hybrid casting is a problem addressed in this study. To minimize manufacturing costs and improve the accuracy of results, a correction factor (CF) was used in the formula to estimate the volume percent of the material in order to reduce material losses during the sample manufacturing stage, allowing for greater confidence between the approved blending plan and the results obtained. In this context, three material mixing schemes of different sizes and shapes (gypsum plaster, sand (0/2), gravel (2/4), and Posidonia oceanica fibers (PO)) were created to verify the efficiency of CF and more precisely study the physico-mechanical effects on the samples. The results show that the use of a CF can reduce mixing loss to almost 0%. The optimal compressive strength of the sample (S1B) with the lowest mixing loss was 7.50 MPa. Under optimal conditions, the addition of PO improves mix volume percent correction (negligible), flexural strength (5.45%), density (18%), and porosity (3.70%) compared with S1B. On the other hand, the addition of PO thermo-chemical treatment by NaOH increases the compressive strength (3.97%) compared with PO due to the removal of impurities on the fiber surface, as shown by scanning electron microscopy. We then determined the optimal mixture ratio (PO divided by a mixture of plaster, sand, and gravel), which equals 0.0321 because Tunisian gypsum contains small amounts of bassanite and calcite, as shown by the X-ray diffraction results.
Academic self-concept (ASC) is comprised of individual perceptions of one- own academic ability. In a cross-sectional quasi-representative sample of 3,779 German elementary school children in grades 1 to 4, we investigated (a) the structure of ASC, (b) ASC profile formation, an aspect of differentiation that is reflected in lower correlations between domain-specific ASCs with increasing grade level, (c) the impact of (internal) dimensional comparisons of one- own ability in different school subjects for profile formation of ASC, and (d) the role played by differences in school grades between subjects for these dimensional comparisons. The nested Marsh/Shavelson model, with general ASC at the apex and math, writing, and reading ASC as specific factors nested under general ASC fitted the data at all grade levels. A first-order factor model with math, writing, reading, and general ASCs as correlated factors provided a good fit, too. ASC profile formation became apparent during the first two to three years of school. Dimensional comparisons across subjects contributed to ASC profile formation. School grades enhanced these comparisons, especially when achievement profiles were uneven. In part, findings depended on the assumed structural model of ASCs. Implications for further research are discussed with special regard to factors influencing and moderating dimensional comparisons.
Soil degradation due to erosion is a significant worldwide problem at different spatial (from pedon to watershed) and temporal scales. All stages and factors in the erosion process must be detected and evaluated to reduce this environmental issue and protect existing fertile soils and natural ecosystems. Laboratory studies using rainfall simulators allow single factors and interactive effects to be investigated under controlled conditions during extreme rainfall events. In this study, three main factors (rainfall intensity, inclination, and rainfall duration) were assessed to obtain empirical data for modeling water erosion during single rainfall events. Each factor was divided into three levels (− 1, 0, + 1), which were applied in different combinations using a rainfall simulator on beds (6 × 1 m) filled with soil from a study plot located in the arid Sistan region, Iran. The rainfall duration levels tested were 3, 5, and 7 min, the rainfall intensity levels were 30, 60, and 90 mm/h, and the inclination levels were 5, 15, and 25%. The results showed that the highest rainfall intensity tested (90 mm/h) for the longest duration (7 min) caused the highest runoff (62 mm3/s) and soil loss (1580 g/m2/h). Based on the empirical results, a quadratic function was the best mathematical model (R2 = 0.90) for predicting runoff (Q) and soil loss. Single-factor analysis revealed that rainfall intensity was more influential for runoff production than changes in time and inclination, while rainfall duration was the most influential single factor for soil loss. Modeling and three-dimensional depictions of the data revealed that sediment production was high and runoff production lower at the beginning of the experiment, but this trend was reversed over time as the soil became saturated. These results indicate that avoiding the initial stage of erosion is critical, so all soil protection measures should be taken to reduce the impact at this stage. The final stages of erosion appeared too complicated to be modeled, because different factors showed differing effects on erosion.
Das Judenschutzprivileg Karls d. Gr. setzte voraus, daß den Juden eine die Königsherrschaft bzw. den Staat stützende Funktion zugedacht war. Damit vollzog der Kaiser eine Wende um 1800 gegenüber den antiken Herrschern, die in den Juden eine Gefahr für ihren zentralisierten Einheitsstaat erblickt hatten. Unter dem Dach des von Kaiser Karl begründeten Judenschutzes lebte das traditionelle politische Motiv einer sich in zahlreichen Repressionen bis hin zu Verfolgungen und Vertreibungen äußernden Judenfeindschaft im nordalpinen Raum weiter, modifiziert infolge geänderter Voraussetzungen. Die Juden fanden sich hinfort in einem politischen Spannungsfeld zwischen Judenschutz und Anfeindung eingebunden und zwar innerhalb eines sich horizontal zunächst bipolar (Rivalität Kaiser/König - Papst), dann auch multipolar ausweitenden Herrschaftsbereiches mit zum Teil rivalitätsbedingten Übergriffen bis hin zu Verfolgungen.- Wegen der Beteiligung anderer Gewalten neben dem König an der Herrschaft über die Juden und damit an der Ausübung des Judenschutzes wurden die Juden oftmals Leidtragende separater materieller und politischer Konflikte, weil sie politisch als Stütze konkurrierender bzw. einander verfeindeter Herrschaftsträger wahrgenommen wurden, womit eine der Modifikationen des traditionellen Motivs faßbar wird - die Gefährdung eigener Herrschaftspositionen durch den politischen Widersacher. Folgt man dem Ritter und Ministerialen Johann von Rinberg als Leitfigur - 1298 wird er dann definitiv zur Hauptfigur -, erschließt sich ein neuer bisher in der Forschung vernachlässigter Täterkreis - die Rolle der Ministerialen bei Judenverfolgungen gerät in den Focus der Aufmerksamkeit und nicht der Mob, die blind wütende, die Juden mit oder ohne pseudoreligiösem Bezug kriminalisierende und lynchende Masse, sondern vielmehr die Frage nach den Drahtziehern bzw. Strippenziehern im Hintergrund, den Hintermännern der stereotyp wiederkehrenden Standardbeschuldigungen (Brunnen- vergiftung, Hostienfrevel, Ritualmord,...). Der im Rheingau gelegene Salhof Lorch entpuppte sich als das Zentrum ministerialischer Opposition unter Führung des Rheingrafen gegen den Ausbau der Landesherrschaft des Mainzer Erzbischofs. Hier in Lorch selbst veranlaßten die Ministerialen während eines "Krieges" gegen den Erzbischof Werner von Mainz ihre erste Judenverfolgung im Jahre 1274/5, worin auch die Familie der Rinbergs involviert war. In den Verhandlungen eines Schiedsgerichts wird die von den Ministerialen eingeschlagene Taktik erkennbar, ihre Verantwortung und Mitschuld zu verschleiern und die Schuld ausschließlich den eigentlichen Judenschlägern anzulasten, was freilich nicht ganz gelingt, da der Erzbischof auf vollem Schadenersatz bestand, den die ärmeren Judenschläger selbst nicht zu leisten vermochten. Mit dem Sieg des Erzbischofs 1279 in der Schlacht bei Gensingen gegen die Ministerialität unter Führung des Rheingrafen und seinem Sieg auch in der sich anschließenden "Sponheimer Fehde" des Jahres 1281 kam die Wende auch für die Truchsessenfamilie von Rinberg. Ihre und des Rheingrafen Burg Rheinberg im Wispertal wurde 1281 erobert und zerstört und das Truchsessenamt ihnen entzogen. Sigfrid von Rinberg und sein Sohn Johann gerieten nicht wie der Rheingraf und dessen Sohn in Gefangenschaft, sie konnten sich ihr durch die Flucht entziehen, unterwarfen sich nicht und wurden von nun an ausdrücklich als "Feinde" des Erzbischofs und der Mainzer Kirche bezeichnet. Der Rheingraf wurde aus dem Rheingau verdrängt und mußte sich verpflichten, keine konspirativen Kontakte zu diesen Feinden aufzunehmen bzw. zu pflegen, sie nicht zu beherbergen. Gleiches galt natürlich auch für die unterworfene Ministerialität. Indizien legen den Schluß nahe, daß sich Johann von Rinberg zwischen 1281 und 1292 in Reichweite des Salhofes Lorch aber dennoch an einem sicheren Ort aufhielt, in der Reichsstadt Oberwesel. Von hier aus ließen sich durch ihn als erklärtem Feind des Erzbischofs hervorragend konspirativ Verbindungen knüpfen und koordinieren. Die Ministerialenopposition lebte im Verborgenen wieder auf. Gesucht wurde nach Wegen, scheinlegal im Zusammenspiel mit dem verbündeten Mainzer Stadtrat gegen Positionen des Erzbischofs - hier gegen dessen Juden - vorzugehen. So kann es nicht verwundern, daß diesesmal der nächste Vorstoß gegen die Juden 1282/3 nicht von Lorch her sondern von Olm aus erfolgte durch den Ritter und Ministerialen Herbord Ring von Olm, der bezeichnenderweise enge Verbindungen zum Salhof Lorch unterhielt, der jetzt in Begleitung weiterer Ministerialen vor der Stadt Mainz erschien, um wegen der Ermordung angeblich seines Neffen und angeblich durch Juden der Stadt Mainz Einlaß zu begehren und eine ordentliche Gerichtsverhandlung zu verlangen. Das Komplott des Herbord im Zusammenspiel mit dem Mainzer Stadtrat, der danach trachtete, den Judenschutz und die Gerichtsbarkeit über die Juden zu gewinnen, wurde von Erzbischof Werner von Anfang an durchschaut. Eine "kleine", vom Stadtrat kontrollierte und beendete Judenverfolgung wurde wie schon 1281 zugelassen, um so das Unvermögen des Judenschutzes durch den Erzbischof offenkundig zu machen. 1287 transportierten Ministerialen den zu Oberwesel angeblich von dortigen Juden ermordeten "Guten Werner" per Schiff gen Mainz, um so das Schauspiel des Herbord von Olm aus dem Jahre 1282/3 zu wiederholen. Eine Koordination muß der Übernahme vorausgegangen sein, eingefädelt wurde der Fall sehr wahrscheinlich durch ihren externen Komplizen Johann von Rinberg, der sich hier in Oberwesel aufgehalten haben dürfte. Etwas Unvorhergesehenes durchkreuzte den Plan der Ministerialen und zwang sie zur vorzeitigen Anlandung in Bacharach. Von Standesgenossen des Salhofes Lorch gewarnt und an Land gewunken erfuhren sie, daß König Rudolf soeben in Mainz eingetroffen war, der hier die Mainzer Bürgerschaft wegen der vorausgegangenen Judenverfolgung des Jahres 1286 zu einer Geldstrafe verurteilte. Die inszenierte Verfolgungswelle des "Guten Werner" ließ sich indes hierdurch nicht aufhalten,die von den Ministerialen und speziell von Johann von Rinberg auf die Weinbau betreibende Bevölkerung der Rheingegend zugeschnittene Märtyrergeschichte des "Guten Werner" fand ihren Zuspruch. König Adolf nahm Johann von Rinberg als bewährten Feind des Mainzer Erzbischofs 1294 in seinen Dienst als Folge des Zerwürfnisses mit Erzbischof Gerhard. Johann wurde zum königlichen Vogt des Speyergaues ernannt. Zu Beginn des Thronstreites zwischen König Adolf von Nassau und Herzog Albrecht von Österreich und noch vor dem ersten Auftritt Johanns von Rinberg zu Röttingen als Judenverfolger namens Rindfleisch (20.04.) setzte in den Kreisen des königstreuen Adels Schwabens und auch Frankens eine gegen die Juden gerichtete Bewegung ein - von einem "heftigen Geschrei" gegen die dem Erzbischof von Mainz und damit einem der Hauptgegner König Adolfs unterstehenden Juden der Region ist die Rede. Konkretisiert wird das "Geschrei" in einem Fall,einer Standardbeschuldigung: Die Juden hätten den Sohn eines mächtigen Adligen erdrosselt. Die wahren Hintergründe erhellen sich am Verhalten eines dieser Adligen, des Kraft von Hohenlohe, Herrn von Weikersheim und auch Röttingens. Wegen des reichspolitischen Konflikts und der Gegnerschaft des Mainzer Erzbischofs als dem Herrn der Juden wittern sie die Möglichkeit, sich ihrer Schulden bei den Juden durch deren Vernichtung zu entledigen. Aber man ist sich des Risikos politischer Wechselfälle bewußt. - So erlangt der Erzbischof von Mainz nach dem Sieg über König Adolf vom neuen König Albrecht von Habsburg das Privileg, daß ihm die Schuldforderungen der getöteten Juden, welche keine Erben haben, zufallen sollen.- Risikobewußt und zögerlich verhält sich Kraft von Hohenlohe, der zunächst Rücksprache mit dem Bischof von Würzburg hält, um danach gegen die Juden seiner Herrschaft vorgehen zu können und sich so seiner Schulden zu entledigen, was in Weikersheim auch geschah, wohingegen er die Verfolgung in Röttingen Rindfleisch überließ. Der Adel hielt Ausschau nach einem erfolgversprechenden Exekutor, hinter dem man sich verstecken konnte. Man fand ihn in der Person des Speyerer Landvogtes Johann von Rinberg, eines allseits bekannten Feindes des Mainzer Erzbischofs und zugleich eines Judenfeindes, der mit Conrad Rindfleisch einen namentlich ausgewiesenen Judenverfolger zu seinem Stellvertreter ernannt hatte. "Iussu et consensu superiorum" verfolgte Johann von Rinberg die Juden, wie die "Historiae memorabiles" bezeugen, und zwar unter einer jetzt auch beim einfachen Volk, den "arme(n) lude(n)", zugkräftigen Parole: Die Juden hätten dem Heer König Adolfs vergiftetes Rindfleisch geliefert und seien die Verursacher der sich auf Landgebiete ausbreitenden Seuche.- Während der mit dem Schlachtentod König Adolfs in Göllheim endenden Kämpfe um die Krone brach im Heer des Königs eine Seuche aus, die sich auch auf Breisach und weitere Landgebiete ausweitete. Man schrieb dies dem Genuß verdorbenen Rindfleisches zu.Johann von Rinberg machte sich dies zunutze, setzte über den Rhein , begab sich in die königsnahe Landschaft Schwabens und Frankens, um hier gegen die Juden als angeblichen Verursachern der Seuche zu hetzen. Wegen seiner Parole gab man ihm den Namen "Rindfleisch". Begrüßt vom Adel der königsnahen Landschaften und mit Zulauf aus den ärmeren Bevölkerungskreisen zogen seine Scharen die Juden mordend über das Land. Vor Würzburg scheiterte er zunächst allerdings am Widerstand des dortigen Stadtrates. In den Speyergau zurückgekehrt, schloß er sich dem jetzt linksrheinisch operierenden Heer König Adolfs an, kämpfte in der Schlacht bei Göllheim, wurde gefangengenommen, dann aber von dem neuen König Albrecht I. von Habsburg vorzeitig unter Bedingungen entlassen, mit einer Sondermission betraut, die sich inzwischen verselbständigten Judenverfolgungen in Franken kraft seines Einflusses als "capitaneus" und "rex Rintfleisch" auf diese Scharen der Judenverfolger zu beenden. In Würzburg mit seiner Mannschaft angekommen, brach Johann von Rinberg seinen dem König geleisteten Eid, wurde rückfällig, ließ die Juden der Stadt unter Beihilfe einer Bürgeropposition ermorden und startete von hier aus eine neue Verfolgungswelle. Anschließend befreite er mit einem tollkühnen Handstreich den Sohn des getöteten Königs Adolf von Nassau aus der Gefangenschaft Erzbischof Gerhards von Mainz und begab sich daraufhin in Dienst und Schutz des Nassauer Grafenhauses und Erzbischof Dieters von Trier, der ihn zu seinen "Freunden" zählte. Die Identifizierung des berüchtigten Judenverfolgers Rindfleisch des Jahres 1298 setzte bei den Quellen an, die ihn als Edelmann mit Namen de Rinberch nennen. Es konnte geklärt werden, wieso man den Edelmann de Rinberch/Rinberg auch "Rindfleisch" nannte und zwar über Ermittlungen zum Reichslandvogt im Speyergau, Johann von Rinberg und dessen Stellvertreter mit Namen Conrad Rindfleisch angesichts einer sich in der Nachbarschaft und im Operationsgebiet des königlichen Heeres ausbreitenden Seuche, die man auf den Genuß des Rindfleisches zurückführte. Die im Quellenhorizont der Wende des 13. zum 14. Jahrhundert ermittelten Träger dieses Namens wurden überprüft mit dem Ergebnis, daß nur Johann von Rinberg dieser Judenverfolger gewesen sein konnte. Die Hypothese, es könne schließlich noch weitere Rinbergs gegeben haben, die als Täter in Frage kämen, disqualifiziert sich vor diesem Hintergrund als "argumentum ex silentio"! Zu seinem "Täterprofil" paßt sein Motivationshintergrund, sein engeres familiäres und weiteres soziales und politisches Umfeld mit der Anbindung von Judenverfolgungen an die Kämpfe der Ministerialen mit ihrem Landesherrn sowie weitere Ermittlungen - keine Hypothesen sondern Indizien: Vereinbarkeit der Itinerarien Rindfleischs und Johanns von Rinberg / der Name des Stellvertreters Johanns von Rinberg im Speyergau, Conrad Rindfleisch : keine Zufälligkeit sondern Vorbildfunktion / der Vorname des nach Koblenz verzogenen Rindfleisch : Johannes / Rinbergs Mission im Auftrag König Albrechts von Habsburg gegen die Scharen der Judenverfolger und sein Rückfall, seine Konversion : nur Johann von Rinberg kam in Königsnähe hierfür in Frage, zumal sein Name in der Kombination Rint-berg Zeugnis ablegt von der Kenntnis seiner Identität als Rintfleisch (Rintfleisch / Rinberg).
The process of land degradation needs to be understood at various spatial and temporal scales in order to protect ecosystem services and communities directly dependent on it. This is especially true for regions in sub-Saharan Africa, where socio economic and political factors exacerbate ecological degradation. This study identifies spatially explicit land change dynamics in the Copperbelt province of Zambia in a local context using satellite vegetation index time series derived from the MODIS sensor. Three sets of parameters, namely, monthly series, annual peaking magnitude, and annual mean growing season were developed for the period 2000 to 2019. Trend was estimated by applying harmonic regression on monthly series and linear least square regression on annually aggregated series. Estimated spatial trends were further used as a basis to map endemic land change processes. Our observations were as follows: (a) 15% of the study area dominant in the east showed positive trends, (b) 3% of the study area dominant in the west showed negative trends, (c) natural regeneration in mosaic landscapes (post shifting cultivation) and land management in forest reserves were chiefly responsible for positive trends, and (d) degradation over intact miombo woodland and cultivation areas contributed to negative trends. Additionally, lower productivity over areas with semi-permanent agriculture and shift of new encroachment into woodlands from east to west of Copperbelt was observed. Pivot agriculture was not a main driver in land change. Although overall greening trends prevailed across the study site, the risk of intact woodlands being exposed to various disturbances remains high. The outcome of this study can provide insights about natural and assisted landscape restoration specifically addressing the miombo ecoregion.
Phylogeographic analyses point to long-term survival on the spot in micro-endemic Lycian salamanders
(2020)
Lycian salamanders (genus Lyciasalamandra) constitute an exceptional case of microendemism of an amphibian species on the Asian Minor mainland. These viviparous salamanders are confined to karstic limestone formations along the southern Anatolian coast and some islands. We here study the genetic differentiation within and among 118 populations of all seven Lyciasalamandra species across the entire genus’ distribution. Based on circa 900 base pairs of fragments of the mitochondrial 16SrDNA and ATPase genes, we analysed the spatial haplotype distribution as well as the genetic structure and demographic history of populations. We used 253 geo-referenced populations and CHELSA climate data to infer species distribution models which we projected on climatic conditions of the Last Glacial Maximum (LGM). Within all but one species, distinct phyloclades were identified, which only in parts matched current taxonomy. Most haplotypes (78%) were private to single populations. Sometimes population genetic parameters showed contradicting results, although in several cases they indicated recent population expansion of phyloclades. Climatic suitability of localities currently inhabited by salamanders was significantly lower during the LGM compared to recent climate. All data indicated a strong degree of isolation among Lyciasalamandra populations, even within phyloclades. Given the sometimes high degree of haplotype differentiation between adjacent populations, they must have survived periods of deteriorated climates during the Quaternary on the spot. However, the alternative explanation of male biased dispersal combined with a pronounced female philopatry can only be excluded if independent nuclear data confirm this result.
Currently, new business models created in the sharing economy differ considerably and they differ in the formation of trust as well. If and how trust can be created is shown by a comparison of two examples which diverge in their founding philosophy. The chosen example of community-based economy, Community Supported Agriculture (CSA), no longer trusts the capitalist system and therefore distances itself and creates its own environment including a new business model. It is implemented within rather small groups where trust is created by personal relations and face-to-face communication. On the contrary, the example of a platform economy, the accommodation-provider company Airbnb, shows trust in the system and pushes technological innovations through the use of platform applications. It promotes trust and confidence in the progress of technology. For the conceptual analysis, the distinction between personal trust and system trust defined by Niklas Luhmann is adopted. The analysis describes two different modes of trust formation and how they push distrust or improve trust. Grounded on these analyses, assumptions on the process of trust formation within varying models of the sharing economy are formulated as well as a hypothesis about possible developments is introduced for further research.
Perseus kristallîner schilt
(1976)
We use a novel sea-ice lead climatology for the winters of 2002/03 to 2020/21 based on satellite observations with 1 km2 spatial resolution to identify predominant patterns in Arctic wintertime sea-ice leads. The causes for the observed spatial and temporal variabilities are investigated using ocean surface current velocities and eddy kinetic energies from an ocean model (Finite Element Sea Ice–Ice-Shelf–Ocean Model, FESOM) and winds from a regional climate model (CCLM) and ERA5 reanalysis, respectively. The presented investigation provides evidence for an influence of ocean bathymetry and associated currents on the mechanic weakening of sea ice and the accompanying occurrence of sea-ice leads with their characteristic spatial patterns. While the driving mechanisms for this observation are not yet understood in detail, the presented results can contribute to opening new hypotheses on ocean–sea-ice interactions. The individual contribution of ocean and atmosphere to regional lead dynamics is complex, and a deeper insight requires detailed mechanistic investigations in combination with considerations of coastal geometries. While the ocean influence on lead dynamics seems to act on a rather long-term scale (seasonal to interannual), the influence of wind appears to trigger sea-ice lead dynamics on shorter timescales of weeks to months and is largely controlled by individual events causing increased divergence. No significant pan-Arctic trends in wintertime leads can be observed.
Digitalization primarily takes place in and through organizations. Despite this prominent role, however, the importance of organizational structure-building processes in the digital transformation is still underexposed in discourse. The fact that ongoing digitalization is linked to an established phenomenon and its own logic, is regularly not addressed due to the attraction potential of the semantics of the digital revolution. Digital revolution and the reordering of societal relationships, though, manifest themselves primarily in processes of reorganization. Structural automation processes in the ongoing digital transformation are limiting the scope for action, necessitating forms of structural structurelessness in organizations that cultivate opportunities for chance. Since organizations realize their operations as a dual of structure and individual, and the principle of organization is therefore based on the complementarity of structural formality and unpredictable informality. The paper discusses the topicality of the classical form of modern organization in the digital age and reflects on approaches to a contemporary design of spaces of opportunity. The reflexive handling of future openness is the central task of management and leadership in order to enable variation and innovation in organizations.
Diese Arbeit gibt einen Überblick über Open Source-basierte Bibliotheksverwaltungssysteme (Stand Mai 2005). Deren Entwicklungsstand und Leistungsfähigkeit wurden untersucht und bewertet. Ein wichtiger Vergleichspunkt sind die Kosten bei einem Einsatz kommerzieller Systeme (Vergleichsmaßstab ALEPH 500) und einem Einsatz von Open Source-basierten Systemen und deren Weiterentwicklung.
The parameterization of ocean/sea-ice/atmosphere interaction processes is a challenge for regional climate models (RCMs) of the Arctic, particularly for wintertime conditions, when small fractions of thin ice or open water cause strong modifications of the boundary layer. Thus, the treatment of sea ice and sub-grid flux parameterizations in RCMs is of crucial importance. However, verification data sets over sea ice for wintertime conditions are rare. In the present paper, data of the ship-based experiment Transarktika 2019 during the end of the Arctic winter for thick one-year ice conditions are presented. The data are used for the verification of the regional climate model COSMO-CLM (CCLM). In addition, Moderate Resolution Imaging Spectroradiometer (MODIS) data are used for the comparison of ice surface temperature (IST) simulations of the CCLM sea ice model. CCLM is used in a forecast mode (nested in ERA5) for the Norwegian and Barents Seas with 5 km resolution and is run with different configurations of the sea ice model and sub-grid flux parameterizations. The use of a new set of parameterizations yields improved results for the comparisons with in-situ data. Comparisons with MODIS IST allow for a verification over large areas and show also a good performance of CCLM. The comparison with twice-daily radiosonde ascents during Transarktika 2019, hourly microwave water vapor measurements of first 5 km in the atmosphere and hourly temperature profiler data show a very good representation of the temperature, humidity and wind structure of the whole troposphere for CCLM.
Weiße und Nicht-Weiße werden in den visuellen Medien unterschiedlich dargestellt. Unterschiede werden erzeugt durch Narrativik und Technik, insbesondere durch die in Hollywood entwickelte Lichtregie am Set. Weiße stellen üblicherweise die Norm dar. Die US-amerikanische Sitcom SEX AND THE CITY mit ihrem ausschließlich weißen Cast ist ein Beispiel für die Normierung von Whiteness. In der Episode "No Ifs, Ands or Buts" wird die normalerweise unsichtbare Whiteness dem Publikum durch den Auftritt von Afroamerikanern bewusst gemacht. Weiß wird schwarz sowohl ästhetisch, durch die Beleuchtungsdramaturgie, als auch narrativ, durch die Diskussionen über Rassismus, gegenüber gestellt.
Mental processes are filters which intervene in the literary presentation of nature. This article will take you on a journey through literary landscapes, starting from Joseph Furphy and end-ing with Gerald Murnane. It will try to show the development of Australian literary landscape depiction. The investigation of this extensive topic will show that the perception of the Aus-tralian landscape as foreign and threatening is a coded expression of the protagonists" crisis of identity due to their estrangement from European cultural roots. Only a feeling of being at home enables the characters to perceive landscapes in a positive way and allows the author to depict intimate and familiar views of nature. This topic will be investigated with a range of novels to reveal the development of this theme from the turn of the nineteenth century (the time of Furphy- novel Such is Life) up to the present (i.e. novels by Malouf, Foster, Hall, Murnane).
Background
In light of the current biodiversity crisis, DNA barcoding is developing into an essential tool to quantify state shifts in global ecosystems. Current barcoding protocols often rely on short amplicon sequences, which yield accurate identification of biological entities in a community but provide limited phylogenetic resolution across broad taxonomic scales. However, the phylogenetic structure of communities is an essential component of biodiversity. Consequently, a barcoding approach is required that unites robust taxonomic assignment power and high phylogenetic utility. A possible solution is offered by sequencing long ribosomal DNA (rDNA) amplicons on the MinION platform (Oxford Nanopore Technologies).
Findings
Using a dataset of various animal and plant species, with a focus on arthropods, we assemble a pipeline for long rDNA barcode analysis and introduce a new software (MiniBar) to demultiplex dual indexed Nanopore reads. We find excellent phylogenetic and taxonomic resolution offered by long rDNA sequences across broad taxonomic scales. We highlight the simplicity of our approach by field barcoding with a miniaturized, mobile laboratory in a remote rainforest. We also test the utility of long rDNA amplicons for analysis of community diversity through metabarcoding and find that they recover highly skewed diversity estimates.
Conclusions
Sequencing dual indexed, long rDNA amplicons on the MinION platform is a straightforward, cost-effective, portable, and universal approach for eukaryote DNA barcoding. Although bulk community analyses using long-amplicon approaches may introduce biases, the long rDNA amplicons approach signifies a powerful tool for enabling the accurate recovery of taxonomic and phylogenetic diversity across biological communities.
Objective: Attunement is a novel measure of nonverbal synchrony reflecting the duration of the present moment shared by two interaction partners. This study examined its association with early change in outpatient psychotherapy.
Methods: Automated video analysis based on motion energy analysis (MEA) and cross-correlation of the movement time-series of patient and therapist was conducted to calculate movement synchrony for N = 161 outpatients. Movement-based attunement was defined as the range of connected time lags with significant synchrony. Latent change classes in the HSCL-11 were identified with growth mixture modeling (GMM) and predicted by pre-treatment covariates and attunement using multilevel multinomial regression.
Results: GMM identified four latent classes: high impairment, no change (Class 1); high impairment, early response (Class 2); moderate impairment (Class 3); and low impairment (Class 4). Class 2 showed the strongest attunement, the largest early response, and the best outcome. Stronger attunement was associated with a higher likelihood of membership in Class 2 (b = 0.313, p = .007), Class 3 (b = 0.251, p = .033), and Class 4 (b = 0.275, p = .043) compared to Class 1. For highly impaired patients, the probability of no early change (Class 1) decreased and the probability of early response (Class 2) increased as a function of attunement.
Conclusions: Among patients with high impairment, stronger patient-therapist attunement was associated with early response, which predicted a better treatment outcome. Video-based assessment of attunement might provide new information for therapists not available from self-report questionnaires and support therapists in their clinical decision-making.