Refine
Year of publication
Document Type
- Doctoral Thesis (391)
- Article (185)
- Working Paper (19)
- Book (15)
- Conference Proceedings (10)
- Part of Periodical (5)
- Contribution to a Periodical (4)
- Part of a Book (3)
- Habilitation (3)
- Other (3)
Language
- English (641) (remove)
Keywords
- Stress (27)
- Optimierung (22)
- Modellierung (21)
- Deutschland (20)
- Fernerkundung (18)
- Hydrocortison (13)
- Satellitenfernerkundung (13)
- stress (11)
- Europäische Union (10)
- China (9)
Institute
- Psychologie (108)
- Raum- und Umweltwissenschaften (99)
- Fachbereich 4 (73)
- Fachbereich 2 (50)
- Mathematik (49)
- Fachbereich 6 (45)
- Fachbereich 1 (29)
- Wirtschaftswissenschaften (29)
- Informatik (21)
- Anglistik (15)
In the first overview lecture, we take a look at conceptualizations of water – from the hydrological cycle to socio-political perspectives on water. During the 20th century, water management developed from traditional uses and local industrial schemes to the “hydraulic paradigm” and finally, to the concept of modern water governance at the turn of the millennium. We will raise the question of whether there has truly been a paradigm shift from the natural, science based hydraulic paradigm to water governance and how dual- isms of culture/society and nature are still being reproduced. With this in mind, we will also take an introductory look at the much talked about global water crisis.
This working paper examines the concept of metabolism and its potential as a critical analytical lens to study the contemporary city from a political perspective. The paper illustrates how the metabolism concept has been used historically, both as a metaphor to describe the technological, social, political and economic dimensions of human-environment relations, and as a concrete analytical tool to quantify and better understand how flows of matter and energy shape the territorial and spatial configurations of cityscapes. Drawing on the example of the urban water metabolism of the Greater Accra Metropolitan Area (GAMA), it is argued that contemporary approaches to metabolic analysis should be extended in two ways to increase the integrative potential of the urban water metabolism concept. On the one hand, the paper demonstrates that a political ecology approach is particularly well-suited to illuminate the contested production of urban environments and move beyond a narrow technical, managerial and state- centric focus in research on urban metabolic relations. On the other hand, the paper advocates for an approach to metabolic analysis that views the urban environment not simply as a relatively static exteriority that is produced by dynamic flows of matter, energy and information, but rather as a dynamic, nested and co-evolutionary network of complex biosocial and material relations, which in itself shapes how various metabolisms interact across scales. The paper then concludes by briefly discussing how a combination of metabolic analysis and political ecology research can inform urban water governance. In sum, the paper emphasizes the need for metabolic analysis to remain open to a plurality of different knowledge forms and perspectives, and to remain attentive to the inherently political nature of material and technological phenomena in order to allow for mutually beneficial exchanges between various scholarly communities.
Background
Identifying pain-related response patterns and understanding functional mechanisms of symptom formation and recovery are important for improving treatment.
Objectives
We aimed to replicate pain-related avoidance-endurance response patterns associated with the Fear-Avoidance Model, and its extension, the Avoidance-Endurance Model, and examined their differences in secondary measures of stress, action control (i.e., dispositional action vs. state orientation), coping, and health.
Methods
Latent profile analysis (LPA) was conducted on self-report data from 536 patients with chronic non-specific low back pain at the beginning of an inpatient rehabilitation program. Measures of stress (i.e., pain, life stress) and action control were analyzed as covariates regarding their influence on the formation of different pain response profiles. Measures of coping and health were examined as dependent variables.
Results
Partially in line with our assumptions, we found three pain response profiles of distress-avoidance, eustress-endurance, and low-endurance responses that are depending on the level of perceived stress and action control. Distress-avoidance responders emerged as the most burdened, dysfunctional patient group concerning measures of stress, action control, maladaptive coping, and health. Eustress-endurance responders showed one of the highest levels of action versus state orientation, as well as the highest levels of adaptive coping and physical activity. Low-endurance responders reported lower levels of stress as well as equal levels of action versus state orientation, maladaptive coping, and health compared to eustress-endurance responders; however, equally low levels of adaptive coping and physical activity compared to distress-avoidance responders.
Conclusions
Apart from the partially supported assumptions of the Fear-Avoidance and Avoidance-Endurance Model, perceived stress and dispositional action versus state orientation may play a crucial role in the formation of pain-related avoidance-endurance response patterns that vary in degree of adaptiveness. Results suggest tailoring interventions based on behavioral and functional analysis of pain responses in order to more effectively improve patients quality of life.
The visualization of relational data is at the heart of information visualization. The prevalence of visual representations for this kind of data is based on many real world examples spread over many application domains: protein-protein interaction networks in the field of bioinformatics, hyperlinked documents in the World Wide Web, call graphs in software systems, or co-author networks are just four instances of a rich source of relational datasets. The most common visual metaphor for this kind of data is definitely the node-link approach, which typically suffers from visual clutter caused by many edge crossings. Many sophisticated algorithms have been developed to layout a graph efficiently and with respect to a list of aesthetic graph drawing criteria. Relations between objects normally change over time. Visualizing the dynamics means an additional challenge for graph visualization researchers. Applying the same layout algorithms for static graphs to intermediate states of dynamic graphs may also be a strategy to compute layouts for an animated graph sequence that shows the dynamics. The major drawback of this approach is the high cognitive effort for a viewer of the animation to preserve his mental map. To tackle this problem, a sophisticated layout algorithm has to inspect the whole graph sequence and compute a layout with as little changes as possible between subsequent graphs. The main contribution and ultimate goal of this thesis is the visualization of dynamic compound weighted multi directed graphs as a static image that targets at visual clutter reduction and at mental map preservation. To achieve this goal, we use a radial space-filling visual metaphor to represent the dynamics in relational data. As a side effect the obtained pictures are very aesthetically appealing. In this thesis we firstly describe static graph visualizations for rule sets obtained by extracting knowledge from software archives under version control. In a different work we apply animated node-link diagrams to code-developer relationships to show the dynamics in software systems. An underestimated visualization paradigm is the radial representation of data. Though this kind of data has a long history back to centuries-old statistical graphics, only little efforts have been done to fully explore the benefits of this paradigm. We evaluated a Cartesian and a radial counterpart of a visualization technique for visually encoding transaction sequences and dynamic compound digraphs with both an eyetracking and an online study. We found some interesting phenomena apart from the fact that also laymen in graph theory can understand the novel approach in a short time and apply it to datasets. The thesis is concluded by an aesthetic dimensions framework for dynamic graph drawing, future work, and currently open issues.
In politics and economics, and thus in the official statistics, the precise estimation of indicators for small regions or parts of populations, the so-called Small Areas or domains, is discussed intensively. The design-based estimation methods currently used are mainly based on asymptotic properties and are thus reliable for large sample sizes. With small sample sizes, however, this design based considerations often do not apply, which is why special model-based estimation methods have been developed for this case - the Small Area methods. While these may be biased, they often have a smaller mean squared error (MSE) as the unbiased design based estimators. In this work both classic design-based estimation methods and model-based estimation methods are presented and compared. The focus lies on the suitability of the various methods for their use in official statistics. First theory and algorithms suitable for the required statistical models are presented, which are the basis for the subsequent model-based estimators. Sampling designs are then presented apt for Small Area applications. Based on these fundamentals, both design-based estimators and as well model-based estimation methods are developed. Particular consideration is given in this case to the area-level empirical best predictor for binomial variables. Numerical and Monte Carlo estimation methods are proposed and compared for this analytically unsolvable estimator. Furthermore, MSE estimation methods are proposed and compared. A very popular and flexible resampling method that is widely used in the field of Small Area Statistics, is the parametric bootstrap. One major drawback of this method is its high computational intensity. To mitigate this disadvantage, a variance reduction method for parametric bootstrap is proposed. On the basis of theoretical considerations the enormous potential of this proposal is proved. A Monte Carlo simulation study shows the immense variance reduction that can be achieved with this method in realistic scenarios. This can be up to 90%. This actually enables the use of parametric bootstrap in applications in official statistics. Finally, the presented estimation methods in a large Monte Carlo simulation study in a specific application for the Swiss structural survey are examined. Here problems are discussed, which are of high relevance for official statistics. These are in particular: (a) How small can the areas be without leading to inappropriate or to high precision estimates? (b) Are the accuracy specifications for the Small Area estimators reliable enough to use it for publication? (c) Do very small areas infer in the modeling of the variables of interest? Could they cause thus a deterioration of the estimates of larger and therefore more important areas? (d) How can covariates, which are in different levels of aggregation be used in an appropriate way to improve the estimates. The data basis is the Swiss census of 2001. The main results are that in the author- view, the use of small area estimators for the production of estimates for areas with very small sample sizes is advisable in spite of the modeling effort. The MSE estimates provide a useful measure of precision, but do not reach in all Small Areas the level of reliability of the variance estimates for design-based estimators.
Surveys play a major role in studying social and behavioral phenomena that are difficult to
observe. Survey data provide insights into the determinants and consequences of human
behavior and social interactions. Many domains rely on high quality survey data for decision
making and policy implementation including politics, health, business, and the social
sciences. Given a certain research question in a specific context, finding the most appropriate
survey design to ensure data quality and keep fieldwork costs low at the same time is a
difficult task. The aim of examining survey research methodology is to provide the best
evidence to estimate the costs and errors of different survey design options. The goal of this
thesis is to support and optimize the accumulation and sustainable use of evidence in survey
methodology in four steps:
(1) Identifying the gaps in meta-analytic evidence in survey methodology by a systematic
review of the existing evidence along the dimensions of a central framework in the
field
(2) Filling in these gaps with two meta-analyses in the field of survey methodology, one
on response rates in psychological online surveys, the other on panel conditioning
effects for sensitive items
(3) Assessing the robustness and sufficiency of the results of the two meta-analyses
(4) Proposing a publication format for the accumulation and dissemination of metaanalytic
evidence
Food waste is the origin of major social and environmental issues. In industrial societies, domestic households are the biggest contributors to this problem. But why do people waste food although they buy and value it? Answering this question is mandatory to design effective interventions against food waste. So far, however, many interventions have not been based on theoretical knowledge. Integrating food waste literature and ambivalence research, we propose that domestic food waste can be understood via the concept of ambivalence—the simultaneous presence of positive and negative associations towards the same attitude object. In support of this notion, we demonstrated in three pre-registered experiments that people experienced ambivalence towards non-perishable food products with expired best before dates. The experience of ambivalence was in turn associated with an increased willingness to waste food. However, two informational interventions aiming to prevent people from experiencing ambivalence did not work as intended (Experiment 3). We hope that the outlined conceptualization inspires theory-driven research on why and when people dispose of food and on how to design effective interventions.
People are increasingly concerned about how meat affects the environment, human health, and animal welfare, yet eating and enjoying meat remains a norm. Unsurprisingly, many people are ambivalent about meat—evaluating it as both positive and negative. Here, we propose that meat-related conflict is multidimensional and depends on people’s dietary group: Omnivores’ felt ambivalence relates to multiple negative associations that oppose a predominantly positive attitude towards meat, and veg*ans’ ambivalence relates to various positive associations that oppose a predominantly negative attitude. A qualitative study (N = 235; German) revealed that omnivores and veg*ans experience meat-related ambivalence due to associations with animals, sociability, sustainability, health, and sensory experiences. To quantify felt ambivalence in these domains, we developed the Meat Ambivalence Questionnaire (MAQ). We validated the MAQ in four pre-registered studies using self-report and behavioral data (N = 3,485; German, UK, representative US). Both omnivores and veg*ans reported meat-related ambivalence, but with differences across domains and their consequences for meat consumption. Specifically, ambivalence was associated with less meat consumption in omnivores (especially sensory-/animal-based ambivalence) and more meat consumption in veg*ans (especially sensory-/socially-based ambivalence). Network analyses shed further light on the nomological net of the MAQ while controlling for a comprehensive set of determinants of meat consumption. By introducing the MAQ, we hope to provide researchers with a tool to better understand how ambivalence accompanies behavior change and maintenance.
The cumulative and bidirectional groundwater-surface water (GW-SW) interaction along a stream is defined as hydrological turnover (HT) influencing solute transport and source water composition. However, HT proves to be highly variable, producing spatial exchange patterns influenced by local groundwater, geology, and topography. Hence, identifying factors controlling HT poses a challenge. We studied spatiotemporal HT variability at two reaches of a third order tributary of the river Mosel, Germany. Additionally, we sampled for silica concentrations in the stream and in the near-stream groundwater. Thus, creating snapshots of the boundary layer between ground- and surface water where HT occurs, driven by mixing processes in the hyporheic zone. We utilize an enhanced hydrograph separation method, unveiling reach differences in storage drainage based on aquifer dimension and connectivity. The data shows a site-specific negative correlation of HT with discharge, while hydraulic gradients correlate with HT only at the reach with faster catchment drainage behavior. Examining silica concentrations between stream and wells shows that silica variation increases significantly with the decrease of HT under low flow conditions at the slower draining reach. At the fast draining reach this relationship is seasonal. In Summary, our results show that stream discharge shapes the influence of HT on solute transport. Yet, reach drainage behavior shapes seasonal states of groundwater storages and can be an additional control of HT. Hence, concentration change of pollutants could be masked by HT. Thus, our findings contribute to the understanding of HT variability along streams and its ability of influencing physico-chemical stream water composition.
Although it has been demonstrated that nociceptive processing can be modulated by heterotopically and concurrently applied noxious stimuli, the nature of brain processes involved in this percept modulation in healthy subjects remains elusive. Using functional magnetic resonance imaging (fMRI) we investigated the effect of noxious counter-stimulation on pain processing. FMRI scans (1.5 T; block-design) were performed in 34 healthy subjects (median age: 23.5 years; range: 20-31 yrs.) during combined and single application (duration: 15 s; ISI=36 s incl. 6 s rating time) of noxious interdigital-web pinching (intensity range: 6-15 N) and contact-heat (45-49 -°C) presented in pseudo-randomized order during two runs separated by approx. 15 min with individually adjusted equi-intense stimuli. In order to control for attention artifacts, subjects were instructed to maintain their focus either on the mechanical or on the thermal pain stimulus. Changes in subjective pain intensity were computed as percent differences (∆%) in pain ratings between single and heterotopic stimulation for both fMRI runs, resulting in two subgroups showing a relative pain increase (subgroup P-IN, N=10) vs. decrease (subgroup P-DE, N=12). Second level and Region of Interest analysis conducted for both subgroups separately revealed that during heterotopic noxious counter-stimulation, subjects with relative pain decrease showed stronger and more widespread brain activations compared to subjects with relative pain increase in pain processing regions as well as a fronto-parietal network. Median-split regression analyses revealed a modulatory effect of prefrontal activation on connectivity between the thalamus and midbrain/pons, supporting the proposed involvement of prefrontal cortex regions in pain modulation. Furthermore, the mid-sagittal size of the total corpus callosum and five of its subareas were measured from the in vivo magnetic resonance imaging (MRI) recordings. A significantly larger relative truncus size (P=.04) was identified in participants reporting a relative decrease of subjective pain intensity during counter-stimulation, when compared to subjects experiencing a relative pain increase. The above subgroup differences observed in functional and structural imaging data are discussed with consideration of potential differences in cognitive and emotional aspects of pain modulation.
In her poems, Tawada constructs liminal speaking subjects – voices from the in-between – which disrupt entrenched binary thought processes. Synthesising relevant concepts from theories of such diverse fields as lyricology, performance studies, border studies, cultural and postcolonial studies, I develop ‘voice’ and ‘in-between space’ as the frameworks to approach Tawada’s multifaceted poetic output, from which I have chosen 29 poems and two verse novels for analysis. Based on the body speaking/writing, sensuality is central to Tawada’s use of voice, whereas the in-between space of cultures and languages serves as the basis for the liminal ‘exophonic’ voices in her work. In the context of cultural alterity, Tawada focuses on the function of language, both its effect on the body and its role in subject construction, while her feminist poetry follows the general development of feminist academia from emancipation to embodiment to queer representation. Her response to and transformation of écriture féminine in her verse novels transcends the concept of the body as the basis of identity, moving to literary and linguistic, plural self-construction instead. While few poems are overtly political, the speaker’s personal and contextual involvement in issues of social conflict reveal the poems’ potential to speak of, and to, the multiply identified citizens of a globalised world, who constantly negotiate physical as well as psychological borders.
The work of Japanese-German writer Yoko Tawada (Tawada Yōko) stands out as an example of ‘in-between’ writing. Instead of simply ‘translating’ Japanese into German and vice versa, Tawada blends both languages and cultures, often self-reflexively. As a result, poetic in-between spaces emerge, in which creative work, cultural translation, and social criticism can take place. The texts also construct in-between spaces on a formal level. For instance, the verse novels “Kasa no shitai to watashi no tsuma” (『傘の死体とわたしの妻』, 2006) and “Ein Balkonplatz für flüchtige Abende” (2016) feature both narrative progression and poetic devices (vivid imagery, association, and wordplay), defying categorization either as volumes of poetry or as novels. In addition, the in-between space of genres becomes visible in Tawada’s self-translations, which often amount to rewritings and lead to a change in genre – travel essay to novella, novel to drama, or poem to prose text. An example of this genre-transcending bilingualism as entryway to an in-between space are the texts „Die Orangerie“ (1997) and “Orenji-en nite” (「オレンジ園にて」, 1997/1998), which initially appear as a poem and its (apparently) prose translation. However, a number of textual peculiarities of both pieces point to the mutual influences between versions. Thus, I read all four examples as hybrid forms of poetry, which perform the mixing of genres, languages, and cultures that occurs in today’s world. In their cultural hybridity especially, the poems point to underlying social issues of homo- and xenophobia.
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.
Aggression is one of the most researched topics in psychology. This is understandable, since aggression behavior does a lot of harm to individuals and groups. A lot is known already about the biology of aggression, but one system that seems to be of vital importance in animals has largely been overlooked: the hypothalamic-pituitary-adrenal (HPA) axis. Menno Kruk and Jószef Haller and their research teams developed rodent models of adaptive, normal, and abnormal aggressive behavior. They found the acute HPA axis (re)activity, but also chronic basal levels to be causally relevant in the elicitation and escalation of aggressive behavior. As a mediating variable, changes in the processing of relevant social information is proposed, although this could not be tested in animals. In humans, not a lot of research has been done, but there is evidence for both the association between acute and basal cortisol levels in (abnormal) aggression. However, not many of these studies have been experimental of nature. rnrnOur aim was to add to the understanding of both basal chronic levels of HPA axis activity, as well as acute levels in the formation of aggressive behavior. Therefore, we did two experiments, both with healthy student samples. In both studies we induced aggression with a well validated paradigm from social psychology: the Taylor Aggression Paradigm. Half of the subjects, however, only went through a non-provoking control condition. We measured trait basal levels of HPA axis activity on three days prior. We took several cortisol samples before, during, and after the task. After the induction of aggression, we measured the behavioral and electrophysiological brain response to relevant social stimuli, i.e., emotional facial expressions embedded in an emotional Stroop task. In the second study, we pharmacologically manipulated cortisol levels 60min before the beginning of the experiment. To do that, half of the subjects were administered 20mg of hydrocortisone, which elevates circulating cortisol levels (cortisol group), the other half was administered a placebo (placebo group). Results showed that acute HPA axis activity is indeed relevant for aggressive behavior. We found in Study 1 a difference in cortisol levels after the aggression induction in the provoked group compared to the non-provoked group (i.e., a heightened reactivity of the HPA axis). However, this could not be replicated in Study 2. Furthermore, the pharmacological elevation of cortisol levels led to an increase in aggressive behavior in women compared to the placebo group. There were no effects in men, so that while men were significantly more aggressive than women in the placebo group, they were equally aggressive in the cortisol group. Furthermore, there was an interaction of cortisol treatment with block of the Taylor Aggression Paradigm, in that the cortisol group was significantly more aggressive in the third block of the task. Concerning basal HPA axis activity, we found an effect on aggressive behavior in both studies, albeit more consistently in women and in the provoked and non-provoked groups. However, the effect was not apparent in the cortisol group. After the aggressive encounter, information processing patterns were changed in the provoked compared to the non-provoked group for all facial expressions, especially anger. These results indicate that the HPA axis plays an important role in the formation of aggressive behavior in humans, as well. Importantly, different changes within the system, be it basal or acute, are associated with the same outcome in this task. More studies are needed, however, to better understand the role that each plays in different kinds of aggressive behavior, and the role information processing plays as a possible mediating variable. This extensive knowledge is necessary for better behavioral interventions.
The brain is the central coordinator of the human stress reaction. At the same time, peripheral endocrine and neural stress signals act on the brain modulating brain function. Here, three experimental studies are presented demonstrating this dual role of the brain in stress. Study I shows that centrally acting insulin, an important regulator of energy homeostasis, attenuates the stress related cortisol secretion. Studies II and III show that specific components of the stress reaction modulate learning and memory retrieval, two important aspects of higher-order brain function.
Amphibians globally suffer from emerging infectious diseases like chytridiomycosis caused by the continuously spreading chytrid fungi. One is Batrachochytrium salamandrivorans (Bsal) and its disease ‒ the ‘salamander plague’ ‒ which is lethal to several caudate taxa. Recently introduced into Western Europe, long distance dispersal of Bsal, likely through human mediation, has been reported. Herein we study if Alpine salamanders (Salamandra atra and S. lanzai) are yet affected by the salamander plague in the wild. Members of the genus Salamandra are highly susceptible to Bsal leading to the lethal disease. Moreover, ecological modelling has shown that the Alps and Dinarides, where Alpine salamanders occur, are generally suitable for Bsal. We analysed skin swabs of 818 individuals of Alpine salamanders and syntopic amphibians at 40 sites between 2017 to 2022. Further, we compiled those with published data from 319 individuals from 13 sites concluding that Bsal infections were not detected. Our results suggest that the salamander plague so far is absent from the geographic ranges of Alpine salamanders. That means that there is still a chance to timely implement surveillance strategies. Among others, we recommend prevention measures, citizen science approaches, and ex situ conservation breeding of endemic salamandrid lineages.
Tropospheric ozone (O3) is known to have various detrimental effects on plants, such as visible leaf injury, reduced growth and premature senescence. Flux models offer the determination of the harmful ozone dose entering the plant through the stomata. This dose can then be related to phytotoxic effects mentioned above to obtain dose-response relationships, which are a helpful tool for the formulation of abatement strategies of ozone precursors. rnOzone flux models are dependant on the correct estimation of stomatal conductance (gs). Based on measurements of gs, an ozone flux model for two white clover clones (Trifolium repens L. cv Regal; NC-S (ozone-sensitive) and NC-R (ozone-resistant)) differing in their sensitivity to ozone was developed with the help of artificial neural networks (ANNs). White clover is an important species of various European grassland communities. The clover plants were exposed to ambient air at three sites in the Trier region (West Germany) during five consecutive growing seasons (1997 to 2001). The response parameters visible leaf injury and biomass ratio of NC-S/NC-R clone were regularly assessed. gs-measurements of both clones functioned as output of the ANN-based gs model, while corresponding climate parameters (i.e. temperature, vapour pressure deficit (VPD) and photosynthetic active radiation (PAR)) and various ozone concentration indices were inputs. The development of the model was documented in detail and various model evaluation techniques (e.g. sensitivity analysis) were applied. The resulting gs model was used as a basis for ozone flux calculations, which were related to above mentioned response parameters. rnThe results showed that the ANNs were capable of revealing and learning the complex relationship between gs and key meteorological parameters and ozone concentration indices. The dose-response relationships between ozone fluxes and visible leaf injury were reasonably strong, while those between ozone fluxes and NC-S/NC-R biomass ratio were fairly weak. The results were discussed in detail with respect to the suitability of the chosen experimental methods and model type.
With the advent of highthroughput sequencing (HTS), profiling immunoglobulin (IG) repertoires has become an essential part of immunological research. The dissection of IG repertoires promises to transform our understanding of the adaptive immune system dynamics. Advances in sequencing technology now also allow the use of the Ion Torrent Personal Genome Machine (PGM) to cover the full length of IG mRNA transcripts. The applications of this benchtop scale HTS platform range from identification of new therapeutic antibodies to the deconvolution of malignant B cell tumors. In the context of this thesis, the usability of the PGM is assessed to investigate the IG heavy chain (IGH) repertoires of animal models. First, an innovate bioinformatics approach is presented to identify antigendriven IGH sequences from bulk sequenced bone marrow samples of transgenic humanized rats, expressing a human IG repertoire (OmniRatTM). We show, that these rats mount a convergent IGH CDR3 response towards measles virus hemagglutinin protein and tetanus toxoid, with high similarity to human counterparts. In the future, databases could contain all IGH CDR3 sequences with known specificity to mine IG repertoire datasets for past antigen exposures, ultimately reconstructing the immunological history of an individual. Second, a unique molecular identifier (UID) based HTS approach and network property analysis is used to characterize the CLLlike CD5+ B cell expansion of A20BKO mice overexpressing a natural short splice variant of the CYLD gene (A20BKOsCYLDBOE). We could determine, that in these mice, overexpression of sCYLD leads to unmutated subvariant of CLL (UCLL). Furthermore, we found that this short splice variant is also seen in human CLL patients highlighting it as important target for future investigations. Third, the UID based HTS approach is improved by adapting it to the PGM sequencing technology and applying a custommade data processing pipeline including the ImMunoGeneTics (IMGT) database error detection. Like this, we were able to obtain correct IGH sequences with over 99.5% confidence and correct CDR3 sequences with over 99.9% confidence. Taken together, the results, protocols and sample processing strategies described in this thesis will improve the usability of animal models and the Ion Torrent PGM HTS platform in the field if IG repertoire research.
Die räumliche Entwicklung von Städten und Regionen wird durch Trends wie Klimawandel, demographische Veränderungen und Strukturwandel beeinflusst, welche nicht an Verwaltungsgrenzen aufhören, sondern die Entwicklung großflächiger Gebiete bestimmen. Außerdem weisen Grenzräume häufig funktionale und thematische Verflechtungen auf, die über die nationalen Grenzen hinweg bestehen. Damit verbunden sind ein regelmäßiger Austausch und Abhängigkeiten zwischen Grenzräumen und deren Bewohnern. Daher ist die Koordination der grenzüberschreitenden Raumentwicklung entscheidend für eine zukunftsorientierte und nachhaltige räumliche Entwicklung. Aufgrund seiner hohen Bedeutung wird dieses Thema von europäischen Wissenschaftlern in der ersten Ausgabe der Themenhefte Borders in Perspective aus verschiedenen Perspektiven beleuchtet.
This dissertation includes three research articles on the portfolio risks of private investors. In the first article, we analyze a large data set of private banking portfolios in Switzerland of a major bank with the unique feature that parts of the portfolios were managed by the bank, and parts were advisory portfolios. To correct the heterogeneity of individual investors, we apply a mixture model and a cluster analysis. Our results suggest that there is indeed a substantial group of advised individual investors that outperform the bank managed portfolios, at least after fees. However, a simple passive strategy that invests in the MSCI World and a risk-free asset significantly outperforms both the better advisory and the bank managed portfolios. The new regulation of the EU for financial products (UCITS IV) prescribes Value at Risk (VaR) as the benchmark for assessing the risk of structured products. The second article discusses the limitations of this approach and shows that, in theory, the expected return of structured products can be unbounded while the VaR requirement for the lowest risk class can still be satisfied. Real-life examples of large returns within the lowest risk class are then provided. The results demonstrate that the new regulation could lead to new seemingly safe products that hide large risks. Behavioral investors who choose products based only on their official risk classes and their expected returns will, therefore, invest into suboptimal products. To overcome these limitations, we suggest a new risk-return measure for financial products based on the martingale measure that could erase such loopholes. Under the mean-VaR framework, the third article discusses the impacts of the underlying's first four moments on the structured product. By expanding the expected return and the VaR of a structured product with its underlying moments, it is possible to investigate each moment's impact on them, simultaneously. Results are tested by Monte Carlo simulation and historical simulation. The findings show that for the majority of structured products, underlyings with large positive skewness are preferred. The preferences for variance and for kurtosis are ambiguous.
The complicated human alternative GR promoter region plays a pivotal role in the regulation of GR levels. In this thesis, both genomic and environmental factors linked with GR expression are covered. This research showed that GR promoters were susceptible to silencing by methylation and the activity of the individual promoters was also modulated by SNPs. E2F1 is a major element to drive the expression of GR 1F transcripts and single CpG dinucleotide methylation cannot mediate the inhibition of transcription in vitro. Also, the distribution of GR first exons and 3" splice variants (GRα and GR-P) is expressed throughout the human brain with no region-specific alternative first exon usage. These data mirrored the consistently low levels of methylation in the brain, and the observed homogeneity throughout the studied regions. Taken together, the research presented in this thesis explored several layers of complexity in GR transcriptional regulation.
This thesis considers the general task of computing a partition of a set of given objects such that each set of the partition has a cardinality of at least a fixed number k. Among such kinds of partitions, which we call k-clusters, the objective is to find the k-cluster which minimises a certain cost derived from a given pairwise difference between objects which end up the same set. As a first step, this thesis introduces a general problem, denoted by (||.||,f)-k-cluster, which models the task to find a k-cluster of minimum cost given by an objective function computed with respect to specific choices for the cost functions f and ||.||. In particular this thesis considers three different choices for f and also three different choices for ||.|| which results in a total of nine different variants of the general problem. Especially with the idea to use the concept of parameterised approximation, we first investigate the role of the lower bound on the cluster cardinalities and find that k is not a suitable parameter, due to remaining NP-hardness even for the restriction to the constant 3. The reductions presented to show this hardness yield the even stronger result which states that polynomial time approximations with some constant performance ratio for any of the nine variants of (||.||,f)-k-cluster require a restriction to instances for which the pairwise distance on the objects satisfies the triangle inequality. For this restriction to what we informally refer to as metric instances, constant-factor approximation algorithms for eight of the nine variants of (||.||,f)-k-cluster are presented. While two of these algorithms yield the provably best approximation ratio (assuming P!=NP), others can only guarantee a performance which depends on the lower bound k. With the positive effect of the triangle inequality and applications to facility location in mind, we discuss the further restriction to the setting where the given objects are points in the Euclidean metric space. Considering the effect of computational hardness caused by high dimensionality of the input for other related problems (curse of dimensionality) we check if this is also the source of intractability for (||.||,f)-k-cluster. Remaining NP-hardness for restriction to small constant dimensionality however disproves this theory. We then use parameterisation to develop approximation algorithms for (||.||,f)-k-cluster without restriction to metric instances. In particular, we discuss structural parameters which reflect how much the given input differs from a metric. This idea results in parameterised approximation algorithms with parameters such as the number of conflicts (our name for pairs of objects for which the triangle inequality is violated) or the number of conflict vertices (objects involved in a conflict). The performance ratios of these parameterised approximations are in most cases identical to those of the approximations for metric instances. This shows that for most variants of (||.||,f)-k-cluster efficient and reasonable solutions are also possible for non-metric instances.
Finding behavioral parameterization for a 1-D water balance model by multi-criteria evaluation
(2019)
Evapotranspiration is often estimated by numerical simulation. However, to produce accurate simulations, these models usually require on-site measurements for parameterization or calibration. We have to make sure that the model realistically reproduces both, the temporal patterns of soil moisture and evapotranspiration. In this study, we combine three sources of information: (i) measurements of sap velocities; (ii) soil moisture; and (iii) expert knowledge on local runoff generation and water balance to define constraints for a “behavioral” forest stand water balance model. Aiming for a behavioral model, we adjusted soil moisture at saturation, bulk resistance parameters and the parameters of the water retention curve (WRC). We found that the shape of the WRC influences substantially the behavior of the simulation model. Here, only one model realization could be referred to as “behavioral”. All other realizations failed for a least one of our evaluation criteria: Not only transpiration and soil moisture are simulated consistently with our observations, but also total water balance and runoff generation processes. The introduction of a multi-criteria evaluation scheme for the detection of unrealistic outputs made it possible to identify a well performing parameter set. Our findings indicate that measurement of different fluxes and state variables instead of just one and expert knowledge concerning runoff generation facilitate the parameterization of a hydrological model.
This doctoral thesis includes five studies that deal with the topics work, well-being, and family formation, as well as their interaction. The studies aim to find answers to the following questions: Do workers’ personality traits determine whether they sort into jobs with performance appraisals? Does job insecurity result in lower quality and quantity of sleep? Do public smoking bans affect subjective well-being by changing individuals’ use of leisure time? Can risk preferences help to explain non-traditional family forms? And finally, are differences in out-of-partnership birth rates between East and West Germany driven by cultural characteristics that have evolved in the two separate politico-economic systems? To answer these questions, the following chapters use basic economic subjects such as working conditions, income, and time use, but also employ a range of sociological and psychological concepts such as personality traits and satisfaction measures. Furthermore, all five studies use data from the German Socio-Economic Panel (SOEP), a representative longitudinal panel of private households in Germany, and apply state-of-the-art microeconometric methods. The findings of this doctoral thesis are important for individuals, employers, and policymakers. Workers and employers benefit from knowing the determinants of occupational sorting, as vacancies can be filled more accurately. Moreover, knowing which job-related problems lead to lower well-being and potentially higher sickness absence likely increases efficiency in the workplace. The research on smoking bans and family formation in chapters 4, 5, and 6 is particularly interesting for policymakers. The results on the effects of smoking bans on subjective well-being presented in chapter 4 suggest that the impacts of tobacco control policies could be weighed more carefully. Additionally, understanding why women are willing to take the risks associated with single motherhood can help to improve policies targeting single mothers.
The dissertation includes three published articles on which the development of a theoretical model of motivational and self-regulatory determinants of the intention to comprehensively search for health information is based. The first article focuses on building a solid theoretical foundation as to the nature of a comprehensive search for health information and enabling its integration into a broader conceptual framework. Based on subjective source perceptions, a taxonomy of health information sources was developed. The aim of this taxonomy was to identify most fundamental source characteristics to provide a point of reference when it comes to relating to the target objects of a comprehensive search. Three basic source characteristics were identified: expertise, interaction and accessibility. The second article reports on the development and evaluation of an instrument measuring the goals individuals have when seeking health information: the ‘Goals Associated with Health Information Seeking’ (GAINS) questionnaire. Two goal categories (coping focus and regulatory focus) were theoretically derived, based on which four goals (understanding, action planning, hope and reassurance) were classified. The final version of the questionnaire comprised four scales representing the goals, with four items per scale (sixteen items in total). The psychometric properties of the GAINS were analyzed in three independent samples, and the questionnaire was found to be reliable and sufficiently valid as well as suitable for a patient sample. It was concluded that the GAINS makes it possible to evaluate goals of health information seeking (HIS) which are likely to inform the intention building on how to organize the search for health information. The third article describes the final development and a first empirical evaluation of a model of motivational and self-regulatory determinants of an intentionally comprehensive search for health information. Based on the insights and implications of the previous two articles and an additional rigorous theoretical investigation, the model included approach and avoidance motivation, emotion regulation, HIS self-efficacy, problem and emotion focused coping goals and the intention to seek comprehensively (as outcome variable). The model was analyzed via structural equation modeling in a sample of university students. Model fit was good and hypotheses with regard to specific direct and indirect effects were confirmed. Last, the findings of all three articles are synthesized, the final model is presented and discussed with regard to its strengths and weaknesses, and implications for further research are determined.
Institutional and cultural determinants of speed of government responses during COVID-19 pandemic
(2021)
This article examines institutional and cultural determinants of the speed of government responses during the COVID-19 pandemic. We define the speed as the marginal rate of stringency index change. Based on cross-country data, we find that collectivism is associated with higher speed of government response. We also find a moderating role of trust in government, i.e., the association of individualism-collectivism on speed is stronger in countries with higher levels of trust in government. We do not find significant predictive power of democracy, media freedom and power distance on the speed of government responses.
This dissertation develops a rationale of how to use fossil data in solving biogeographical and ecological problems. It is argued that large amounts of fossil data of high quality can be used to document the evolutionary processes (the origin, development, formation and dynamics) of Arealsystems, which can be divided into six stages in North America: the Refugium Stage (before 15,000 years ago: > 15 ka), the Dispersal Stage (from 8,000 to 15,000 years ago: 8.0 - 15 ka), the Developing Stage (from 3,000 to 8,000 years ago: 3.0 - 8.0 ka), the Transitional Stage (from 1,000 to 3,000 years ago: 1 - 3 ka), the Primitive Stage (from 5,00 to 1,000 years ago: 0.5 - 1 ka) and the Human Disturbing Stage (during the last 500 years: < 0.5 ka). The division into these six stages is based on geostatistical analysis of the FAUNMAP database that contains 43,851 fossil records collected from 1860 to 1994 in North America. Fossil data are one of the best materials to test the glacial refugia theory. Glacial refugia represent areas where flora and fauna were preserved during the glacial period, characterized by richness in species and endemic species at present. This means that these (endemic) species should have distributed purely or primarily in these areas during the glacial period. The refugia can therefore be identified by fossil records of that period. If it is not the case, the richness in (endemic) species may not be the result of the glacial refugia. By exploring where mammals lived during the Refugium Stage (> 15 ka), seven refugia in North America can be identified: the California Refugium, the Mexico Refugium, the Florida Refugium, the Appalachia Refugium, the Great Basin Refugium, the Rocky Mountain Refugium and the Great Lake Refugium. The first five refugia coincide well with De Lattin- dispersal centers recognized by biogeographical methods using data on modern distributions. The individuals of a species are not evenly distributed over its Arealsystem. Brown- Hot Spots Model shows that in most cases there is an enormous variation in abundance within an areal of a species: In a census, zero or only a very few individuals occur at most sample locations, but tens or hundreds are found at a few sample sites. Locations where only a few individuals can be sampled in a survey are called "cool spots", and sites where tens or hundreds of individuals can be observed in a survey are called "hot spots". Many areas within the areal are uninhabited, which are called "holes". This model has direct implications for analyzing fossil data: Hot spots have a much higher local population density than cool spots. The chances to discover fossil individuals of a species are much higher in sediments located in a "hot spot" area than in a "cool spot" area. Therefore much higher MNIs (Minimum Number of Individuals) of the species should be found in fossil localities located in the hot spot than in the cool spot area. There are only a few hot spots but many cool spots within an areal of a single hypothetical species, consequently only a few fossil sites can provide with much high MNIs, whereas most other sites can only provide with very low MNIs. This prediction has been proved to be true by analysis of 70 species in FAUMAP containing over 100 fossil records. The temporal and spatial variation in abundance can be reconstructed from the temporospatial distribution of the MNIs of a species over its Arealsystem. Areas with no fossil records from the last thousands of years may be holes, and sites with much higher MNIs may be hot spots, while locations with low MNIs may be cool spots. Although the hot spots of many species can remain unchanged in an area over thousands of years, our study shows that a large shift of hot spots occurred mainly around 1,500-1,000 years ago. There are three directions of movement: from the west side to the east side of the Rockies, from the East of the USA to the east side of the Rockies and from the west side of the Rockies to the Southwest of the USA. The first two directions of shift are called Lewis and Clark- pattern, which can be verified with the observations mad by Lewis and Clark during their expedition in 1805-1806. The historical process of this pattern may well explain the 200-year-old puzzle why big game then abundant on the east side were rare on the west side of the Rocky Mountains noted by modern ecologists and biogeographers. The third direction of shift is called Bayham- pattern. This pattern can be tested by the model of Late Holocene resource intensification first described by Frank E. Bayham. The historical process creating the Bayham pattern will challenge the classic explanation of the Late Holocene resource intensification. An environmental change model has been proposed to account for the shift of hot spots. Implications of glacial refugia and hot spots areas for wildlife management and effective conservation are discussed. Suggestions for paleontologists and zooarchaeologists regarding how to provide more valuable information in their future excavation and research for other disciplines are given.
Income composition can have a significant impact on workers’ well-being, productivity, and career paths. Wages often include a variety of components, such as unconditional bonuses, profit-sharing payments, and incentives based on the individual performance of employees. Each of these may influence employee labour outcomes differently and the worker composition may matter for managers when designing the salary package. Simultaneously, workers’ employment choices and well-being are influenced by income outside the job, such as inheritances and lottery winnings, as well as by external factors like technological change. This dissertation includes five empirical studies that investigate these issues, yielding new insights on the role of monetary gifts, financial incentives, labour market institutions, and technology disruptions in affecting employees’ labour and well-being outcomes.
Background: Psychoeducation positively influences the psychological components of chronic low back pain (CLBP) in conventional treatments. The digitalization of health care has led to the discussion of virtual reality (VR) interventions. However, CLBP treatments in VR have some limitations due to full immersion. In comparison, augmented reality (AR) supplements the real world with virtual elements involving one’s own body sensory perception and can combine conventional and VR approaches.
Objective: The aim of this study was to review the state of research on the treatment of CLBP through psychoeducation, including immersive technologies, and to formulate suggestions for psychoeducation in AR for CLBP.
Methods: A scoping review following PRISMA (Preferred Reporting Items for Systematic Reviews and Meta-Analyses) guidelines was performed in August 2024 by using Livivo ZB MED, PubMed, Web of Science, American Psychological Association PsycINFO (PsycArticle), and PsyArXiv Preprints databases. A qualitative content analysis of the included studies was conducted based on 4 deductively extracted categories.
Results: We included 12 studies published between 2019 and 2024 referring to conventional and VR-based psychoeducation for CLBP treatment, but no study referred to AR. In these studies, educational programs were combined with physiotherapy, encompassing content on pain biology, psychological education, coping strategies, and relaxation techniques. The key outcomes were pain intensity, kinesiophobia, pain catastrophizing, degree of disability, quality of life, well-being, self-efficacy, depression, attrition rate, and user experience. Passive, active, and gamified strategies were used to promote intrinsic motivation from a psychological point of view. Regarding user experience from a software development perspective, user friendliness, operational support, and application challenges were recommended.
Background and rationale: Changing working conditions demand adaptation, resulting in higher stress levels in employees. In consequence, decreased productivity, increasing rates of sick leave, and cases of early retirement result in higher direct, indirect, and intangible costs. Aims of the Research Project: The aim of the study was to test the usefulness of a novel translational diagnostic tool, Neuropattern, for early detection, prevention, and personalized treatment of stress-related disorders. The trial was designed as a pilot study with a wait list control group. Materials and Methods: In this study, 70 employees of the Forestry Department Rhineland-Palatinate, Germany, were enrolled. Subjects were block-randomized according to the functional group of their career field, and either underwent Neuropattern diagnostics immediately, or after a waiting period of three months. After the diagnostic assessment, their physicians received the Neuropattern Medical Report, including the diagnostic results and treatment recommendations. Participants were informed by the Neuropattern Patient Report, and were eligible to an individualized Neuropattern Online Counseling account. Results: The application of Neuropattern diagnostics significantly improved mental health and health-related behavior, reduced perceived stress, emotional exhaustion, overcommitment and possibly, presenteeism. Additionally, Neuropattern sensitively detected functional changes in stress physiology at an early stage, thus allowing timely personalized interventions to prevent and treat stress pathology. Conclusion: The present study encouraged the application of Neuropattern diagnostics to early intervention in non-clinical populations. However, further research is required to determine the best operating conditions.
The publication of statistical databases is subject to legal regulations, e.g. national statistical offices are only allowed to publish data if the data cannot be attributed to individuals. Achieving this privacy standard requires anonymizing the data prior to publication. However, data anonymization inevitably leads to a loss of information, which should be kept minimal. In this thesis, we analyze the anonymization method SAFE used in the German census in 2011 and we propose a novel integer programming-based anonymization method for nominal data.
In the first part of this thesis, we prove that a fundamental variant of the underlying SAFE optimization problem is NP-hard. This justifies the use of heuristic approaches for large data sets. In the second part, we propose a new anonymization method belonging to microaggregation methods, specifically designed for nominal data. This microaggregation method replaces rows in a microdata set with representative values to achieve k-anonymity, ensuring each data row is identical to at least k − 1 other rows. In addition to the overall dissimilarities of the data rows, the method accounts for errors in resulting frequency tables, which are of high interest for nominal data in practice. The method employs a typical two-step structure: initially partitioning the data set into clusters and subsequently replacing all cluster elements with representative values to achieve k-anonymity. For the partitioning step, we propose a column generation scheme followed by a heuristic to obtain an integer solution, which is based on the dual information. For the aggregation step, we present a mixed-integer problem formulation to find cluster representatives. To this end, we take errors in a subset of frequency tables into account. Furthermore, we show a reformulation of the problem to a minimum edge-weighted maximal clique problem in a multipartite graph, which allows for a different perspective on the problem. Moreover, we formulate a mixed-integer program, which combines the partitioning and the aggregation step and aims to minimize the sum of chi-squared errors in frequency tables.
Finally, an experimental study comparing the methods covered or developed in this work shows particularly strong results for the proposed method with respect to relative criteria, while SAFE shows its strength with respect to the maximum absolute error in frequency tables. We conclude that the inclusion of integer programming in the context of data anonymization is a promising direction to reduce the inevitable information loss inherent in anonymization, particularly for nominal data.
In the last chapter of “De coniecturis”, Cusanus exhorts his friend, Cardinal Giuli ano Cesarini, to get to know himself. This classical philosophical topic is revisited by Cusanus here in an original manner. On the one hand, Cusanus’ perspective reveals the strong influence of Proclus, which deserves to be highlighted. On the other, unlike Proclus, Cusanus asserts that self-knowledge is explicitly linked to the topic of the human being as created ad imaginem and that of the world as the sphere of contraction. Cusanus bases both subjective matters on the triune princi ple. According to him, the Divine Trinity is the exemplar that cannot be reached by an image, and the effort to reach the Trinity constitutes the basic requirement for the conjectural construction of the self. Furthermore, the fact that this under standing of the Trinity implies a distinction in itself makes the Trinity the princi ple of all difference or otherness in plurality. Cusanus concludes that the image can only be constructed relationally, that it is not possible to attain God without a fundamental knowledge of the self as an image, and that no one knows his own self without knowing others at the same time.
Acute social and physical stress interact to influence social behavior: the role of social anxiety
(2018)
Stress is proven to have detrimental effects on physical and mental health. Due to different tasks and study designs, the direct consequences of acute stress have been found to be wide-reaching: while some studies report prosocial effects, others report increases in antisocial behavior, still others report no effect. To control for specific effects of different stressors and to consider the role of social anxiety in stress-related social behavior, we investigated the effects of social versus physical stress on behavior in male participants possessing different levels of social anxiety. In a randomized, controlled two by two design we investigated the impact of social and physical stress on behavior in healthy young men. We found significant influences on various subjective increases in stress by physical and social stress, but no interaction effect. Cortisol was significantly increased by physical stress, and the heart rate was modulated by physical and social stress as well as their combination. Social anxiety modulated the subjective stress response but not the cortisol or heart rate response. With respect to behavior, our results show that social and physical stress interacted to modulate trust, trustworthiness, and sharing. While social stress and physical stress alone reduced prosocial behavior, a combination of the two stressor modalities could restore prosociality. Social stress alone reduced nonsocial risk behavior regardless of physical stress. Social anxiety was associated with higher subjective stress responses and higher levels of trust. As a consequence, future studies will need to investigate further various stressors and clarify their effects on social behavior in health and social anxiety disorders.
During and after application, pesticides enter the atmosphere by volatilisation and by wind erosion of particles on which the pesticide is sorbed. Measurements at application sites revealed that sometimes more than half of the amount applied is lost into the atmosphere within a few days. The atmosphere is an important part of the hydrologic cycle that can transport pesticides from their point of application and deposit them into aquatic and terrestrial ecosystems far from their point of use. In the region of Trier pesticides are widely used. In order to protect crops from pests and increase crop yields in the viniculture, six to eight pesticide applications take place between May and August. The impact that these applications have on the environmental pollution of the region is not yet well understood. The present study was developed to characterize the atmospheric presence, temporal patterns, transport and deposition of a variety of pesticides in the atmosphere of the area of Trier. To this purpose, rain samples were weekly collected at eight sites during the growing seasons 2000, 2001 and 2002, and air samples (gas and particle phases) were collected during the growing season 2002. Multiresidue analysis methods were developed to determine multiple classes of pesticides in rain water, particle- and gas-phase samples. Altogether 24 active ingredients and 3 metabolites were chosen as representative substances, focussing mainly on fungicides. Twenty-four of the 27 measured pesticides were detected in the rain samples; seventeen pesticides were detected in the air samples. The most frequently detected pesticides and at the highest concentrations, both in rain and air, were compounds belonging to the class of fungicides. The insecticide methyl parathion was also detected in several rain samples as well as two substances that are banned in Germany, such as the herbicides atrazine and simazine. Concentration levels varied during the growing season with the highest concentrations being measured in the late spring and summer months, coinciding with application times and warmer months. Concentration levels measured in the rain samples were, generally, in the order of rnng l-1. Though average concentrations for single substances were less than 100 ng l-1, total concentrations were considerable and in some instances well above the EU drinking water quality standard of 500 ng l-1 for total pesticides. Compared to the amounts applied for pest control, the amounts deposited by rain resulted between 0,004% and 0,10% of the maximum application rates. These low pesticide inputs from precipitation to surface-water bodies is not of concern in vinicultural areas where the impact of other sources, such as superficial runoff inputs from the treated areas and cleaning of field crop sprayers, is more important. However, the potential impacts of these aerial pesticide inputs to non-target sites, such as organic crops, and sensitive ecosystems are as yet not known. Concentration levels in the air samples were in the order of ng m-3 at sites close to the fields were pesticides were applied, while lower values, in the order of pg m-3, were detected at the site located further away from fields where applications were performed. The measured air concentration levels found in this study do not represent a concern for human health in terms of acute risk. Inhalation toxicity studies have shown that an acute potential risk only arises at air concentrations in the range of g m-3. Finally, it must be kept in mind that only a small number of chemicals that were applied in the area were analysed for in this study. In order to gain a better evaluation of the local atmospheric load of pesticides, a wider spectrum of applied substances (including metabolites) needs to be investigated.
My study attempts to illustrate the generic development of the family novel in the second half of the twentieth century. At its beginning stands a preliminary classification of the various types of family fiction as they are referred to in secondary literature, which is then followed by a definition of the family novel proper. With its microscopic approach to novels featuring the American family and its (post-)postmodern variations, my study marks a first step into as yet uncharted territory. Assuming that the family novel has emerged as a result of the twentieth century's emphasis on the modern nuclear family, focuses on the family as a gestalt rather than on a single protagonist, and is concerned with issues of social and cultural significance, this study examines how the family, its forms and its conflicts are functionalized for the respective author's cultural critique. From post-war to post-millennium, family novelists have sketched the American family in various precarious conditions, and their texts are critical assessments of contemporary socioeconomic and cultural conditions. My close reading of John Cheever's The Wapshot Chronicle (1957), Don DeLillo's White Noise (1985) and Jonathan Franzen's The Corrections (2001) intends to reveal, shared values as well as significant differences on a formal as well as on a thematic level. As my examination of the respective novel shows, authors react to social and cultural change with new functionalizations of the family in fiction. Unlike the general assumption of literary crticism, family novels do not approach new cultural developments in a conventional or even traditionalist manner. A comparison of White Noise with The Wapshot Chronicle demonstrates that DeLillo's postmodern family novel transcends the rather nostalgic perspective of Cheever's 1950s work. Similarly, Jonathan Franzen's fin de millennium family novel The Corrections holds a post-postmodern position, which can be aptly described by Franzen's own term 'tragical realism'. The significant changes and developments of the family novel in the past five decades demonstrate the need for a continuous reassessment of the genre, and in this respect, my study is merely a beginning.
Objective: Only 20-25% of the variance for the two to four-fold increased risk of developing breast cancer among women with family histories of the disease can be explained by known gene mutations. Other factors must exist. Here, a familial breast cancer model is proposed in which overestimation of risk, general distress, and cancer-specific distress constitute the type of background stress sufficient to increase unrelated acute stress reactivity in women at familial risk for breast cancer. Furthermore, these stress reactions are thought to be associated with central adiposity, an independent well-established risk factor for breast cancer. Hence, stress through its hormonal correlates and possible associations with central adiposity may play a crucial role in the etiology of breast cancer in women at familial risk for the disease. Methods: Participants were 215 healthy working women with first-degree relatives diagnosed before (high familial risk) or after age 50 (low familial risk), or without breast cancer in first-degree relatives (no familial risk). Participants completed self-report measures of perceived lifetime breast cancer risk, intrusive thoughts and avoidance about breast cancer (Impact of Event Scale), negative affect (Profile of Mood States), and general distress (Brief Symptom Inventory). Anthropometric measurements were taken. Urine samples during work, home, and sleep were collected for assessment of cortisol responses in the naturalistic setting where work was conceptualized as the stressful time of the day. Results: A series of analyses indicated a gradient increase of cortisol levels in response to the work environment from no, low, to high familial risk of breast cancer. When adding breast cancer intrusions to the model with familial risk status predicting work cortisol levels, significant intrusion effects emerged rendering the familial risk group non-significant. However, due to a lack of association between intrusions and cortisol in the low and high familial risk group separately, as well as a significant difference between low and high familial risk on intrusions, but not on work cortisol levels, full mediation of familial risk group effects on work cortisol by intrusions could not be established. A separate analysis indicated increased levels of central but not general adiposity in women at high familial risk of breast cancer compared to the low and no risk groups. There were no significant associations between central adiposity and cortisol excretion. Conclusion: A hyperactive hypothalamus-pituitary-adrenal axis with a more pronounced excretion of its end product cortisol, as well as elevated levels of central but not overall adiposity in women at high familial risk for breast cancer may indicate an increased health risk which expands beyond that of increased breast cancer risk for these women.
The startle response in psychophysiological research: modulating effects of contextual parameters
(2014)
Startle reactions are fast, reflexive, and defensive responses which protect the body from injury in the face of imminent danger. The underlying reflex is basic and can be found in many species. Even though it consists of only a few synapses located in the brain stem, the startle reflex offers a valuable research method for human affective, cognitive, and psychological research. This is because of moderating effects of higher mental processes such as attention and emotion on the response magnitude: affective foreground stimulation and directed attention are validated paradigms in startle-related research. This work presents findings from three independent research studies that deal with (1) the application of the established "affective modulation of startle"-paradigm to the novel setting of attractiveness and human mating preferences, (2) the question of how different components of the startle response are affected by a physiological stressor and (3) how startle stimuli affect visual attention towards emotional stimuli. While the first two studies treat the startle response as a dependent variable by measuring its response magnitude, the third study uses startle stimuli as an experimental manipulation and investigates its potential effects on a behavioural measure. The first chapter of this thesis describes the basic mechanisms of the startle response as well as the body of research that sets the foundation of startle research in psychophysiology. It provides the rationale for the presented studies, and offers a short summary of the obtained results. Chapter two to four represent primary research articles that are published or in press. At the beginning of each chapter the contribution of all authors is explained. The references for all chapters are listed at the end of this thesis. The overall scope of this thesis is to show how the human startle response is modulated by a variety of factors, such as the attractiveness of a potential mating partner or the exposure to a stressor. In conclusion, the magnitude of the startle response can serve as a measure for such psychological states and processes. Beyond the involuntary, physiological startle reflex, startle stimuli also affect intentional behavioural responses, which we could demonstrate for eye movements in a visual attention paradigm.
There is a wide range of methodologies for policy evaluation and socio-economic impact assessment. A fundamental distinction can be made between micro and macro approaches. In contrast to micro models, which focus on the micro-unit, macro models are used to analyze aggregate variables. The ability of microsimulation models to capture interactions occurring at the micro-level makes them particularly suitable for modeling complex real-world phenomena. The inclusion of a behavioral component into microsimulation models provides a framework for assessing the behavioral effects of policy changes.
The labor market is a primary area of interest for both economists and policy makers. The projection of labor-related variables is particularly important for assessing economic and social development needs, as it provides insight into the potential trajectory of these variables and can be used to design effective policy responses. As a result, the analysis of labor market behavior is a primary area of application for behavioral microsimulation models. Behavioral microsimulation models allow for the study of second-round effects, including changes in hours worked and participation rates resulting from policy reforms. It is important to note, however, that most microsimulation models do not consider the demand side of the labor market.
The combination of micro and macro models offers a possible solution as it constitutes a promising way to integrate the strengths of both models. Of particular relevance is the combination of microsimulation models with general equilibrium models, especially computable general equilibrium (CGE) models. CGE models are classified as structural macroeconomic models, which are defined by their basis in economic theory. Another important category of macroeconomic models are time series models. This thesis examines the potential for linking micro and macro models. The different types of microsimulation models are presented, with special emphasis on discrete-time dynamic microsimulation models. The concept of behavioral microsimulation is introduced to demonstrate the integration of a behavioral element into microsimulation models. For this reason, the concept of utility is introduced and the random utility approach is described in detail. In addition, a brief overview of macro models is given with a focus on general equilibrium models and time series models. Various approaches for linking micro and macro models, which can either be categorized as sequential approaches or integrated approaches, are presented. Furthermore, the concept of link variables is introduced, which play a central role in combining both models. The focus is on the most complex sequential approach, i.e., the bi-directional linking of behavioral microsimulation models with general equilibrium macro models.
Der digitale Fortschritt der vergangenen Jahrzehnte beruht zu einem großen Teil auf der Innovationskraft junger aufstrebender Unternehmen. Während diese Unternehmen auf der einen Seite ihr hohes Maß an Innovativität eint, entsteht für diese zeitgleich auch ein hoher Bedarf an finanziellen Mitteln, um ihre geplanten Innovations- und Wachstumsziele auch in die Tat umsetzen zu können. Da diese Unternehmen häufig nur wenige bis keine Unternehmenswerte, Umsätze oder auch Profitabilität vorweisen können, gestaltet sich die Aufnahme von externem Kapital häufig schwierig bis unmöglich. Aus diesem Umstand entstand in der Mitte des zwanzigsten Jahrhunderts das Geschäftsmodell der Risikofinanzierung, des sogenannten „Venture Capitals“. Dabei investieren Risikokapitalgeber in aussichtsreiche junge Unternehmen, unterstützen diese in ihrem Wachstum und verkaufen nach einer festgelegten Dauer ihre Unternehmensanteile, im Idealfall zu einem Vielfachen ihres ursprünglichen Wertes. Zahlreiche junge Unternehmen bewerben sich um Investitionen dieser Risikokapitalgeber, doch nur eine sehr geringe Zahl erhält diese auch. Um die aussichtsreichsten Unternehmen zu identifizieren, sichten die Investoren die Bewerbungen anhand verschiedener Kriterien, wodurch bereits im ersten Schritt der Bewerbungsphase zahlreiche Unternehmen aus dem Kreis potenzieller Investmentobjekte ausscheiden. Die bisherige Forschung diskutiert, welche Kriterien Investoren zu einer Investition bewegen. Daran anschließend verfolgt diese Dissertation das Ziel, ein tiefergehendes Verständnis darüber zu erlangen, welche Faktoren die Entscheidungsfindung der Investoren beeinflussen. Dabei wird vor allem auch untersucht, wie sich persönliche Faktoren der Investoren, sowie auch der Unternehmensgründer, auf die Investitionsentscheidung auswirken. Ergänzt werden diese Untersuchungen zudem durch die Analyse der Wirkung des digitalen Auftretens von Unternehmensgründern auf die Entscheidungsfindung von Risikokapitalgebern. Des Weiteren verfolgt diese Dissertation als zweites Ziel einen Erkenntnisgewinn über die Auswirkungen einer erfolgreichen Investition auf den Unternehmensgründer. Insgesamt umfasst diese Dissertation vier Studien, die im Folgenden näher beschrieben werden.
In Kapitel 2 wird untersucht, inwiefern sich bestimmte Humankapitaleigenschaften des Investors auf dessen Entscheidungsverhalten auswirken. Mithilfe vorangegangener Interviews und Literaturrecherchen wurden insgesamt sieben Kriterien identifiziert, die Risikokapitalinvestoren in ihrer Entscheidungsfindung nutzen. Daraufhin nahmen 229 Investoren an einem Conjoint Experiment teil, mithilfe dessen gezeigt werden konnte, wie wichtig die jeweiligen Kriterien im Rahmen der Entscheidung sind. Von besonderem Interesse ist dabei, wie sich die Wichtigkeit der Kriterien in Abhängigkeit der Humankapitaleigenschaften der Investoren unterscheiden. Dabei kann gezeigt werden, dass sich die Wichtigkeit der Kriterien je nach Bildungshintergrund und Erfahrung der Investoren unterscheidet. So legen beispielsweise Investoren mit einem höheren Bildungsabschluss und Investoren mit unternehmerischer Erfahrung deutlich mehr Wert auf die internationale Skalierbarkeit der Unternehmen. Zudem unterscheidet sich die Wichtigkeit der Kriterien auch in Abhängigkeit der fachlichen Ausbildung. So legen etwa Investoren mit einer fachlichen Ausbildung in Naturwissenschaften einen deutlich stärkeren Fokus auf den Mehrwert des Produktes beziehungsweise der Dienstleistung. Zudem kann gezeigt werden, dass Investoren mit mehr Investitionserfahrung die Erfahrung des Managementteams wesentlich wichtiger einschätzen als Investoren mit geringerer Investitionserfahrung. Diese Ergebnisse ermöglichen es Unternehmensgründern ihre Bewerbungen um eine Risikokapitalfinanzierung zielgenauer auszurichten, etwa durch eine Analyse des beruflichen Hintergrunds der potentiellen Investoren und eine damit einhergehende Anpassung der Bewerbungsunterlagen, zum Beispiel durch eine stärkere Schwerpunktsetzung besonders relevanter Kriterien.
Die in Kapitel 3 vorgestellte Studie bedient sich der Daten des gleichen Conjoint Experiments aus Kapitel 2, legt hierbei allerdings einen Fokus auf den Unterschied zwischen Investoren aus den USA und Investoren aus Kontinentaleuropa. Dazu wurden Subsamples kreiert, in denen 128 Experimentteilnehmer in den USA angesiedelt sind und 302 in Kontinentaleuropa. Die Analyse der Daten zeigt, dass US-amerikanische Investoren, im Vergleich zu Investoren in Kontinentaleuropa, einen signifikant stärkeren Fokus auf das Umsatzwachstum der Unternehmen legen. Zudem legen kontinentaleuropäische Investoren einen deutlich stärkeren Fokus auf die internationale Skalierbarkeit der Unternehmen. Um die Ergebnisse der Analyse besser interpretieren zu können, wurden diese im Anschluss mit vier amerikanischen und sieben europäischen Investoren diskutiert. Dabei bestätigen die europäischen Investoren die Wichtigkeit der hohen internationalen Skalierbarkeit aufgrund der teilweise geringen Größe europäischer Länder und dem damit zusammenhängenden Zwang, schnell international skalieren zu können, um so zufriedenstellende Wachstumsraten zu erreichen. Des Weiteren wurde der vergleichsweise geringere Fokus auf das Umsatzwachstum in Europa mit fehlenden Mitteln für eine schnelle Expansion begründet. Gleichzeitig wird der starke Fokus der US-amerikanischen Investoren auf Umsatzwachstum mit der höheren Tendenz zu einem Börsengang in den USA begründet, bei dem hohe Umsätze als Werttreiber dienen. Die Ergebnisse dieses Kapitels versetzen Unternehmensgründer in die Lage, ihre Bewerbung stärker an die wichtigsten Kriterien der potenziellen Investoren auszurichten, um so die Wahrscheinlichkeit einer erfolgreichen Investitionsentscheidung zu erhöhen. Des Weiteren bieten die Ergebnisse des Kapitels Investoren, die sich an grenzüberschreitenden syndizierten Investitionen beteiligen, die Möglichkeit, die Präferenzen der anderen Investoren besser zu verstehen und die Investitionskriterien besser auf potenzielle Partner abzustimmen.
Kapitel 4 untersucht ob bestimmte Charaktereigenschaften des sogenannten Schumpeterschen Entrepreneurs einen Einfluss auf die Wahrscheinlichkeit eines zweiten Risikokapitalinvestments haben. Dazu wurden von Gründern auf Twitter gepostete Nachrichten sowie Information von Investitionsrunden genutzt, die auf der Plattform Crunchbase zur Verfügung stehen. Insgesamt wurden mithilfe einer Textanalysesoftware mehr als zwei Millionen Tweets von 3313 Gründern analysiert. Die Ergebnisse der Studie deuten an, dass einige Eigenschaften, die typisch für Schumpetersche Gründer sind, die Chancen für eine weitere Investition erhöhen, während andere keine oder negative Auswirkungen haben. So erhöhen Gründer, die auf Twitter einen starken Optimismus sowie ihre unternehmerische Vision zur Schau stellen die Chancen auf eine zweite Risikokapitalfinanzierung, gleichzeitig werden diese aber durch ein zu starkes Streben nach Erfolg reduziert. Diese Ergebnisse haben eine hohe praktische Relevanz für Unternehmensgründer, die sich auf der Suche nach Risikokapital befinden. Diese können dadurch ihr virtuelles Auftreten („digital identity“) zielgerichteter steuern, um so die Wahrscheinlichkeit einer weiteren Investition zu erhöhen.
Abschließend wird in Kapitel 5 untersucht, wie sich die digitale Identität der Gründer verändert, nachdem diese eine erfolgreiche Risikokapitalinvestition erhalten haben. Dazu wurden sowohl Twitter-Daten als auch Crunchbase-Daten genutzt, die im Rahmen der Erstellung der Studie in Kapitel 4 erhoben wurden. Mithilfe von Textanalyse und Paneldatenregressionen wurden die Tweets von 2094 Gründern vor und nach Erhalt der Investition untersucht. Dabei kann gezeigt werden, dass der Erhalt einer Risikokapitalinvestition das Selbstvertrauen, die positiven Emotionen, die Professionalisierung und die Führungsqualitäten der Gründer erhöhen. Gleichzeitig verringert sich allerdings die Authentizität der von den Gründern verfassten Nachrichten. Durch die Verwendung von Interaktionseffekten kann zudem gezeigt werden, dass die Steigerung des Selbstvertrauens positiv durch die Reputation des Investors moderiert wird, während die Höhe der Investition die Authentizität negativ moderiert. Investoren haben durch diese Erkenntnisse die Möglichkeit, den Weiterentwicklungsprozess der Gründer nach einer erfolgreichen Investition besser nachvollziehen zu können, wodurch sie in die Lage versetzt werden, die Aktivitäten ihrer Gründer auf Social Media Plattformen besser zu kontrollieren und im Bedarfsfall bei ihrer Anpassung zu unterstützen.
Die in den Kapiteln 2 bis 5 vorgestellten Studien dieser Dissertation tragen damit zu einem besseren Verständnis der Entscheidungsfindung im Venture Capital Prozess bei. Der bisherige Stand der Forschung wird um Erkenntnisse erweitert, die sowohl den Einfluss der Eigenschaften der Investoren als auch der Gründer betreffen. Zudem wird auch gezeigt, wie sich die Investition auf den Gründer selbst auswirken kann. Die Implikationen der Ergebnisse, sowie Limitationen und Möglichkeiten künftiger Forschung werden in Kapitel 6 näher beschrieben. Da die in dieser Dissertation verwendeten Methoden und Daten erst seit wenigen Jahren im Kontext der Venture Capital Forschung genutzt werden, beziehungsweise überhaupt verfügbar sind, bietet sie sich als eine Grundlage für weitere Forschung an.
Stress has been considered one of the most relevant factors promoting aggressive behavior. Animal and human pharmacological studies revealed the stress hormones corticosterone in rodents and cortisol in humans to constitute a particularly important neuroendocrine determinate in facilitating aggression and beyond that, assumedly in its continuation and escalation. Moreover, cortisol-induced alterations of social information processing, as well as of cognitive control processes, have been hypothesized as possible influencing factors in the stress-aggression link. So far, the immediate impact of a preceding stressor and thereby stress-induced rise of cortisol on aggressive behavior as well as higher-order cognitive control processes and social information processing in this context have gone mostly unheeded. The present thesis aimed to extend the hitherto findings of stress and aggression in this regard. For this purpose two psychophysiological studies with healthy adults were carried out, both using the socially evaluated-cold pressor test as an acute stress induction. Additionally to behavioral data and subjective reports, event related potentials were measured and acute levels of salivary cortisol were collected on the basis of which stressed participants were divided into cortisol-responders and "nonresponders. Study 1 examined the impact of acute stress-induced cortisol increase on inhibitory control and its neural correlates. 41 male participants were randomly assigned to the stress procedure or to a non-stressful control condition. Beforehand and afterwards, participants performed a Go Nogo task with visual letters to measure response inhibition. The effect of acute stress-induced cortisol increase on covert and overt aggressive behavior and on the processing of provoking stimuli within the aggressive encounter was investigated in study 2. Moreover, this experiment examined the combined impact of stress and aggression on ensuing affective information processing. 71 male and female participants were either exposed to the stress or to the control condition. Following this, half of each group received high or low levels of provocation during the Taylor Aggression Paradigm. At the end of the experiment, a passive viewing paradigm with affective pictures depicting positive, negative, or aggressive scenes with either humans or objects was realized. The results revealed that men were not affected by a stress-induced rise in cortisol on a behavioral level, showing neither impaired response inhibition nor enhanced aggressive behavior. In contrast, women showed enhanced overt and covert aggressive behavior under a surge of endogenous cortisol, confirming previous results, albeit only in case of high provocation and only up to the level of the control group. Unlike this rather moderate impact on behavior, cortisol showed a distinct impact on neural correlates of information processing throughout inhibitory control, aggression-eliciting stimuli, and emotional pictures for both men and women. At this, stress-induced increase of cortisol resulted in enhanced N2 amplitudes to Go stimuli, whereas P2 amplitudes to both and N2 to Nogo amplitudes retained unchanged, indicating an overcorrection and caution of the response activation in favor of successful inhibitory control. The processing of aggression-eliciting stimuli during the aggressive encounter was complexly altered by stress differently for women and men. Under increased cortisol levels, the frontal or parietal P3 amplitude patterns were either diminished or reversed in the case of high provocation compared to the control group and to cortisol-nonresponders, indicating a desensitization towards aggression-eliciting stimuli in males, but a more elaborate processing of those in women. Moreover, stress-induced cortisol and provocation jointly altered subsequent affective information processing at early as well as later stages of the information processing stream. Again, increased levels of cortisol led opposite directed amplitudes in the case of high provocation relative to the control group and cortisol-nonresponders, with enhanced N2 amplitudes in men and reduced P3 and LPP amplitudes in men and women for all affective pictures, suggesting initially enhanced emotional reactivity in men, but ensuing reduced motivational attention and enhanced emotion regulation in both, men and women. As a result, these present findings confirm the relevance of HPA activity in the elicitation and persistence of human aggressive behavior. Moreover, they reveal the significance of compensatory and emotion regulatory strategies and mechanisms in response to stress and provocation, indorsing the relevance of social information and cognitive control processes. Still, more research is needed to clarify the conditions which lead to the facilitation of aggression and by which compensatory mechanisms this is prevented.
In splitting theory of locally convex spaces we investigate evaluable characterizations of the pairs (E, X) of locally convex spaces such that each exact sequence 0 -> X -> G -> E -> 0 of locally convex spaces splits, i.e. either X -> G has a continuous linear left inverse or G -> E has a continuous linear right inverse. In the thesis at hand we deal with splitting of short exact sequences of so-called PLH spaces, which are defined as projective limits of strongly reduced spectra of strong duals of Fréchet-Hilbert spaces. This class of locally convex spaces contains most of the spaces of interest for application in the theory of partial differential operators as the space of Schwartz distributions , the space of real analytic functions and various spaces of ultradifferentiable functions and ultradistributions. It also contains non-Schwartz spaces as B(2,k,loc)(Ω) and spaces of smooth and square integrable functions that are not covered by the current theory for PLS spaces. We prove a complete characterizations of the above problem in the case of X being a PLH space and E either being a Fréchet-Hilbert space or a strong dual of one by conditions of type (T ). To this end, we establish the full homological toolbox of Yoneda Ext functors in exact categories for the category of PLH spaces including the long exact sequence, which in particular involves a thorough discussion of the proper concept of exactness. Furthermore, we exhibit the connection to the parameter dependence problem via the Hilbert tensor product for hilbertizable locally convex spaces. We show that the Hilbert tensor product of two PLH spaces is again a PLH space which in particular proves the positive answer to Grothendieck- problème des topologies. In addition to that we give a complete characterization of the vanishing of the first derivative of the functor proj for tensorized PLH spectra if one of the PLH spaces E and X meets some nuclearity assumptions. To apply our results to concrete cases we establish sufficient conditions of (DN)-(Ω) type and apply them to the parameter dependence problem for partial differential operators with constant coefficients on B(2,k,loc)(Ω) spaces as well as to the smooth and square integrable parameter dependence problem. Concluding we give a complete solution of all the problems under consideration for PLH spaces of Köthe type.
Chapter 2: Using data from the German Socio-Economic Panel, this study examines the relation-ship between immigrant residential segregation and immigrants" satisfaction with the neighbor-hood. The estimates show that immigrants living in segregated areas are less satisfied with the neighborhood. This is consistent with the hypothesis that housing discrimination rather than self-selection plays an important role in immigrant residential segregation. Our result holds true even when controlling for other influences such as household income and quality of the dwelling. It also holds true in fixed effects estimates that account for unobserved time-invariant influences. Chapter 3: Using survey data from the German Socio-Economic Panel, this study shows that immigrants living in segregated residential areas are more likely to report discrimination because of their ethnic background. This applies to both segregated areas where most neighbors are immigrants from the same country of origin as the surveyed person and segregated areas where most neighbors are immigrants from other countries of origin. The results suggest that housing discrimination rather than self-selection plays an important role in immigrant residential segregation. Chapter 4: Using data from the German Socio-Economic Panel (SOEP) and administrative data from 1996 to 2009, I investigate the question whether or not right-wing extremism of German residents is affected by the ethnic concentration of foreigners living in the same residential area. My results show a positive but insignificant relationship between ethnic concentration at the county level and the probability of extreme right-wing voting behavior for West Germany. However, due to potential endogeneity issues, I additionally instrument the share of foreigners in a county with the share of foreigners in each federal state (following an approach of Dustmann/Preston 2001). I find evidence for the interethnic contact theory, predicting a negative relationship between foreign-ers" share and right-wing voting. Moreover, I analyze the moderating role of education and the influence of cultural traits on this relationship. Chapter 5: Using data from the Socio-Economic Panel from 1998 to 2009 and administrative data on regional ethnic diversity, I show that ethnic diversity inhibits significantly people- political interest and participation in political organizations in West Germany. People seem to isolate themselves from political participation if exposed to more ethnic diversity which is particularly relevant with respect to the ongoing integration process of the European Union and the increasing transfer of legislative power from the national to European level. The results are robust if an instrumental variable strategy suggested by Dustmann and Preston (2001) is used to take into account that ethnic diversity measured on a local spatial level could be endogenous due to residential sorting. Interestingly, participation in non-political organizations is positively affected by ethnic diversity if selection bias is corrected for.
The main achievement of this thesis is an analysis of the accuracy of computations with Loader's algorithm for the binomial density. This analysis in later progress of work could be used for a theorem about the numerical accuracy of algorithms that compute rectangle probabilities for scan statistics of a multinomially distributed random variable. An example that shall illustrate the practical use of probabilities for scan statistics is the following, which arises in epidemiology: Let n patients arrive at a clinic in d = 365 days, each of the patients with probability 1/d at each of these d days and all patients independently from each other. The knowledge of the probability, that there exist 3 adjacent days, in which together more than k patients arrive, helps deciding, after observing data, if there is a cluster which we would not suspect to have occurred randomly but for which we suspect there must be a reason. Formally, this epidemiological example can be described by a multinomial model. As multinomially distributed random variables are examples of Markov increments, which is a fact already used implicitly by Corrado (2011) to compute the distribution function of the multinomial maximum, we can use a generalized version of Corrado's Algorithm to compute the probability described in our example. To compute its result, the algorithm for rectangle probabilities for Markov increments always uses transition probabilities of the corresponding Markov Chain. In the multinomial case, the transition probabilities of the corresponding Markov Chain are binomial probabilities. Therefore, we start an analysis of accuracy of Loader's algorithm for the binomial density, which for example the statistical software R uses. With the help of accuracy bounds for the binomial density we would be able to derive accuracy bounds for the computation of rectangle probabilities for scan statistics of multinomially distributed random variables. To figure out how sharp derived accuracy bounds are, in examples these can be compared to rigorous upper bounds and rigorous lower bounds which we obtain by interval-arithmetical computations.
In the first part of this work we generalize a method of building optimal confidence bounds provided in Buehler (1957) by specializing an exhaustive class of confidence regions inspired by Sterne (1954). The resulting confidence regions, also called Buehlerizations, are valid in general models and depend on a designated statistic'' that can be chosen according to some desired monotonicity behaviour of the confidence region. For a fixed designated statistic, the thus obtained family of confidence regions indexed by their confidence level is nested. Buehlerizations have furthermore the optimality property of being the smallest (w.r.t. set inclusion) confidence regions that are increasing in their designated statistic. The theory is eventually applied to normal, binomial, and exponential samples. The second part deals with the statistical comparison of pairs of diagnostic tests and establishes relations 1. between the sets of lower confidence bounds, 2. between the sets of pairs of comparable lower confidence bounds, and 3. between the sets of admissible lower confidence bounds in various models for diverse parameters of interest.
Knowledge acquisition comprises various processes. Each of those has its dedicated research domain. Two examples are the relations between knowledge types and the influences of person-related variables. Furthermore, the transfer of knowledge is another crucial domain in educational research. I investigated these three processes through secondary analyses in this dissertation. Secondary analyses comply with the broadness of each field and yield the possibility of more general interpretations. The dissertation includes three meta-analyses: The first meta-analysis reports findings on the predictive relations between conceptual and procedural knowledge in mathematics in a cross-lagged panel model. The second meta-analysis focuses on the mediating effects of motivational constructs on the relationship between prior knowledge and knowledge after learning. The third meta-analysis deals with the effect of instructional methods in transfer interventions on knowledge transfer in school students. These three studies provide insights into the determinants and processes of knowledge acquisition and transfer. Knowledge types are interrelated; motivation mediates the relation between prior and later knowledge, and interventions influence knowledge transfer. The results are discussed by examining six key insights that build upon the three studies. Additionally, practical implications, as well as methodological and content-related ideas for further research, are provided.
This thesis examines how Europe sustains its leadership and competitiveness as a global center for foreign direct investment (FDI) and trade between 1991 and 2023. While EU membership historically functioned as the dominant determinant of inward FDI and trade integration, its relative influence has declined as new structural factors, based on trade dynamics and export-platform strategies, have emerged, together with the growing presence of Asian, especially Chinese, investors establishing production hubs in Central and Eastern Europe to serve the wider EU market. Lower trade costs within Europe have reinforced this shift, leading EU investors to focus on vertical FDI, while non-EU investors to adopt export-platform FDI patterns. Chinese investment has moved from infrastructure-focused projects to strategic-sector FDI, highlighting Europe’s exposure to evolving global industrial and geopolitical dynamics.
Chapter 2 examines how traditional determinants of FDI, including EU membership, interact with emerging drivers, such as trade interdependence, export-platform strategies, and Asian influence, to shape investment patterns in Europe. It employs a gravity-based empirical framework augmented with newly developed indicators, comprising the Bilateral Trade Interdependence Index, the Export-Platform Indicator, and Belt and Road Initiative (BRI) participation, together with a functional integration approach, covering over 95% of European countries and their global partners from 2010 to 2023. The findings indicate that trade dependency with non-EU partners grew most rapidly, increasing by 55% between 2011 and 2023. Stronger bilateral trade interdependence is found to significantly predict higher FDI inflows. The BRI analysis and functional classification indicate a shift from infrastructure-focused Chinese investment to strategic sectors, including electric vehicles and semiconductors. Since 2018, export-platform strategies have expanded from Europe’s core economies into Central and Eastern Europe, forming emerging production hubs, and have subsequently moved toward the Western Balkans and Turkey, likely reflecting evolving EU regulations and broader supply-chain realignments.
Chapter 3 expands the FDI analysis to cover a longer timeframe, from 1991 to 2017, focusing on the period when EU membership exerted a strong influence on FDI in Europe, transforming member countries from primarily cost-attractive destinations into global investment centers. Using an augmented gravity model covering 39 host and origin countries, the analysis finds that EU membership increased FDI inflows by 23%, with investments from core EU members expanding into new EU member states, while FDI from non-EU countries decreased. At the same time, EU membership may also be driven by trade, and EEA participation reflects non-FDI motivations. The chapter also highlights that EU accession strengthens both market-seeking (horizontal) and efficiency-seeking (vertical) FDI motives and applies methods to address negative and zero FDI values issues, ensuring robust estimation. The inclusion of lagged and lead variables shows that the EU integration process is phased over time, affecting FDI inflows with lags of up to 10–15 years after accession.
Chapter 4 expands the range of FDI determinants by deriving trade cost indices as a proxy for connectivity and extending the geographic scope of the analysis. In addition to EU members, the sample includes the Western Balkans, Turkey, and new EU candidates and applicants (Moldova, Ukraine, and Georgia) over the period 2000 to 2020, covering approximately 80% of European FDI flows. Trade costs are calculated for each country in the sample with its trade partners, not only within and between European subregions but also with non-EU partners such as China, and are combined with measures of FDI restrictiveness. The results show that China remains among the EU’s top three trading partners in goods and that trade costs significantly influence FDI inflows in Europe. The analysis also highlights that declining trade costs between European countries have reduced market-seeking (horizontal) FDI, while non-European investors, especially China, increasingly pursue export-platform FDI to serve third-country markets. A sharp reduction in trade costs between the Western Balkans and the EU (-45%) and a smaller decline with China (-35%) illustrates how regional integration reduces the need for local horizontal FDI while reinforcing Europe’s role as a hub for global production.
Chapter 5 shows that despite concerns about increasing outside influence, developed European countries remain the dominant source of FDI in the region. The chapter focuses on China’s role, examining FDI patterns across advanced EU members, new member states, and Western Balkan economies between 2000 and 2019, while distinguishing the effects of EU integration and BRI participation on FDI. Chinese influence has expanded primarily through the Belt and Road Initiative, particularly in accession and neighboring countries. Although BRI participation does not significantly increase FDI on its own, reflecting the dominant part of loan-financed infrastructure rather than private investment, it has strengthened physical and digital connectivity, laying the groundwork for future, longer-term FDI. The analysis also shows that intra-EU trade costs declined significantly after the 2004 and 2007 enlargements, while trade costs between the Western Balkans and China have fallen steadily since the launch of the BRI in 2013. As a result, Chinese influence is more pronounced in new EU member states and Western Balkan economies than in Western Europe. Over time, enhanced connectivity and supply-chain integration may support more diversified FDI inflows.
Laboratory landslide experiments enable the observation of specific properties of these natural hazards. However, these observations are limited by traditional techniques: frequently used high-speed video analysis and wired sensors (e.g. displacement). These techniques lead to the drawback that either only the surface and 2D profiles can be observed or wires confine the motion behaviour. In contrast, an unconfined observation of the total spatiotemporal dynamics of landslides is needed for an adequate understanding of these natural hazards.
The present study introduces an autonomous and wireless probe to characterize motion features of single clasts within laboratory-scale landslides. The Smartstone probe is based on an inertial measurement unit (IMU) and records acceleration and rotation at a sampling rate of 100 Hz. The recording ranges are ±16 g (accelerometer) and ±2000∘ s−1 (gyroscope). The plastic tube housing is 55 mm long with a diameter of 10 mm. The probe is controlled, and data are read out via active radio frequency identification (active RFID) technology. Due to this technique, the probe works under low-power conditions, enabling the use of small button cell batteries and minimizing its size.
Using the Smartstone probe, the motion of single clasts (gravel size, median particle diameter d50 of 42 mm) within approx. 520 kg of a uniformly graded pebble material was observed in a laboratory experiment. Single pebbles were equipped with probes and placed embedded and superficially in or on the material. In a first analysis step, the data of one pebble are interpreted qualitatively, allowing for the determination of different transport modes, such as translation, rotation and saltation. In a second step, the motion is quantified by means of derived movement characteristics: the analysed pebble moves mainly in the vertical direction during the first motion phase with a maximal vertical velocity of approx. 1.7 m s−1. A strong acceleration peak of approx. 36 m s−2 is interpreted as a pronounced hit and leads to a complex rotational-motion pattern. In a third step, displacement is derived and amounts to approx. 1.0 m in the vertical direction. The deviation compared to laser distance measurements was approx. −10 %. Furthermore, a full 3D spatiotemporal trajectory of the pebble is reconstructed and visualized supporting the interpretations. Finally, it is demonstrated that multiple pebbles can be analysed simultaneously within one experiment. Compared to other observation methods Smartstone probes allow for the quantification of internal movement characteristics and, consequently, a motion sampling in landslide experiments.
The claim that a thinker concerned with the development of a totalizing metaphysical system can be a literary philosopher may seem hard to justify. For Arthur Schopenhauer, the entire world is the representation or appearance of the will to life, the metaphysical essence of all being. And yet, because this will must always appear and always take form, it is only formally that we can grasp it, only in concrete instances. For this reason, the poet “shows us how the will behaves under the influence of motives and reflection. He presents us this for the most part in the most perfect of its appearances” (WWRII, 310). In this paper, I will argue that Schopenhauer founds a philosophical approach which comes to rest on literary foundations and which alights at key moments on the strength of his literary as well as his philosophical forebears. I will do this by means of looking at how Schopenhauer treats the concept of fate. It is my contention that the fatalism inherent in Schopenhauer’s ethics is a direct result of a fundamentally literary approach to the concept. This enables us to conceive of fate from a literary and not solely from a metaphysical standpoint. I will begin by outlining the place of the literary in Schopenhauer’s philosophy, including a brief account of those writers whose work he incorporates into his analysis, and then I will demonstrate its relation to his fatalism.
The cold pressor test (CPT) elicits strong cardiovascular reactions via activation of the sympathetic nervous system (SNS), yielding subsequent increases in heart rate (HR) and blood pressure (BP). However, little is known on how exposure to the CPT affects cardiac ventricular repolarization. Twenty-eight healthy males underwent both a bilateral feet CPT and a warm water (WW) control condition on two separate days, one week apart. During pre-stress baseline and stress induction cardiovascular signals (ECG lead II, Finometer BP) were monitored continuously. Salivary cortisol and subjective stress ratings were assessed intermittently. Corrected QT (QTc) interval length and T-wave amplitude (TWA) were assessed for each heartbeat and subsequently aggregated individually over baseline and stress phases, respectively. CPT increases QTc interval length and elevates the TWA. Stress-induced changes in cardiac repolarization are only in part and weakly correlated with cardiovascular and cortisol stress-reactivity. Besides its already well-established effects on cardiovascular, endocrine, and subjective responses, CPT also impacts on cardiac repolarization by elongation of QTc interval length and elevation of TWA. CPT effects on cardiac repolarization share little variance with the other indices of stress reactivity, suggesting a potentially incremental value of this parameter for understanding psychobiological adaptation to acute CPT stress.
Present-day air quality is known through dense monitoring and extensive pollu-
tion control mechanisms. In contrast, knowledge of historical pollution,
particularly before the industrial revolution, is accessible only through occasional
reports of singular local events and through natural archives such as ice or
sediment cores that record global-scale pollution. However, the regular local to
regional pollution that most affects human life is hardly known. Historical
sciences have argued both for and against significant air pollution in and around
historic cities and manufacturing sites. For the Roman era, it has been
hypothesized that air quality played a role in several patterns of action of the period.
However, to the author's knowledge, there are no quantitative studies of
Roman emissions. Using the results of modern experimental archaeology, this
study attempts to quantify the emissions from Roman pottery kilns and their
impact on surrounding human settlements. It is shown that although the
pollution did not reach today's limits, it must have approached levels known to cause
adverse health effects. A series of additional test simulations have been
conducted to determine how these first results might be improved in the future.