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Pastoral serves as a keyword when understanding Seamus Heaney’s literary production, both in terms of stylistic features and imagery. Although critical attention has focused on the connection between his pastoral works and contemporary Irish politics, the growth of ecocritical scholarship in the last few decades has made evident the importance of broadening such an analytical scope to relationships between humans and the environment while studying this genre. In this alignment, the present essay offers an ecocritical reading of some selected pastoral poems by Heaney, with a specific focus on his revival of the eclogue through the collection “Electric Light” (2001). Precisely, the poems “Virgil: Eclogue IX,” “Bann Valley Eclogue,” and “Glanmore Eclogue” will be read through the innovative perspective offered by the recent engagement of affect theory with ecocriticism: by doing so, I argue that Heaney’s poems can be understood as valuable nature narratives that stress the connectedness between the human and the nonhuman, while resonating with the urgencies posed by the current environmental crisis to re-think more ethical forms of relationships between them. Furthermore, through the lens of econarratology, attention will be paid to the ecological potentials expressed by the formal features of the eclogue: this observation considers, on the one hand, the notion of ‘relationality’ within the practice of the shepherds’ dialogue/singing and, on the other hand, how this literary form stresses the attachment between the human and the environment, both in the real world and in the storyworld. Hence, when exceeding a strictly politically oriented critical analysis of his work, Heaney’s eclogues become visible as compelling ecocritical accounts that favor investigating the role of (pastoral) literature in fostering critical discussions about human/nonhuman ethics as a way to respond to the challenges of the Anthropocene.
Despite its predominantly maritime subjects, the work of the German-speaking Luxembourgish poet Jean Krier presents itself from its debut (“Breton Islands,” 1994) as a deconstruction of classical nature poetry. Jean Krier’s poems thus stand in a tradition that goes back to Schiller and extends to the aesthetic theory of Theodor W. Adorno in ratifying the state of man’s separation from nature. Krier’s aesthetic procedure is based on the deconstruction of linguistic material that is subjected to states of play (mots-valises, homophonies, polyphonies, word lists, etc.). His poetry thus becomes a modern form of literary criticism in which disparate flotsam and junk-language reflect each other.
This paper investigates how and to what extent the literary genre of the idyll lives on as part of the ‘new nature poetry.’ Following a conceptual, historical, and generic classification of the idyll, Thomas Kling’s „geschrebertes idyll, für mike feser“ is read to show, on the one hand, how skillfully and knowledgeably he unpacks the tradition. He not only plays in extenso with the genre’s characteristic features but also, on the other hand, includes in his “allotment garden idyll,” which can be read as an early example of Anthropocene poetry, astute and sharp-tongued ecological, social, medial, and historical critique. Despite his critical sensitivity to socially relevant themes, however, Kling presents a decidedly patriarchal self image, which today’s readers would probably find less readily acceptable and which distinguishes him from the most recent contemporary poetry.
Loreley, a natural-born femme fatale from German mythology, has inspired poets since Romanticism. From a contemporary perspective, however, this character has simply lost her magical qualities and, at the same time, been transformed into a gatekeeper and an advocate for nature under threat in the Anthropocene. This article concerns the poetics surrounding Loreley – including the use of irony, role report, metamorphosis, and inspiration – in Franz Josef Czernin’s sonnet, „nach loreley“, Ulla Hahn’s „Ars poetica“ and „Meine Loreley“, Uwe Kolbe’s „Halle-Lureley“, and Peter Rühmkorf’s „Hochseil“. Loreley’s broken modernity does not only re veal her own abused nature. She is also promoted to a postmodern ‚Zudichterin‘ (Ernst Robert Curtius), reading the book of nature through semiotics rather than in terms of originality and creation.
This article will examine how and to what extent the ancient tradition of the didactic poem exerts an influence on contemporary German nature poetry. It will focus in particular on Raoul Schrott’s „Tropen“ and Marion Poschmann’s „Geliehene Landschaften“, which, while different from each other, both offer clues to possible lines of influence. Although there is a long tradition of didascalic poems in the German literature of the Renaissance and of the Enlightenment, my point of reference will be the ancient didactic poem, as it was shaped by Lucretius in his “De rerum natura”, because of its masterful intertwining of knowledge and poetry and its wholly secular view of nature, creation, and evolution, as well as the fact that it stresses the idea that life is accidental. These are the aspects of ancient didactic poetry that I will investigate in the aforementioned German poets and works, with particular attention to the relationship between the knowledge of nature and the language of poetry. Both Schrott and Poschmann openly use the word ‚Lehrgedicht‘ [didactic poem] in order to define their poems, in which the didactic parts function as a knowledge of “nature after nature.” As a consequence, their poetry revolves around the impossibility of an all-encompassing explanation of the world and takes as its theme the rupture that divides human beings from nature in the modern age. Consciousness of the intrinsic constructedness of the way we experience nature is, on the other hand, a condition for both its aesthetic perception and scientific enquiry. At the center of both Schrott’s and Poschmann’s poetry collections, albeit in different ways and with different emphases, we thereby find an understanding of nature as a void that can only be approached (but never overcome) by means of language. Herein lies the main difference between these contemporary poets and the ancient tradition.
This article investigates the relation between nature, ethics, and poetics in the work of Paul Celan, using „Engführung“ [“Stretto”] as a starting point. The readings from Celan’s library testify to his careful rethinking of what “reality” means. Applying the terminology and research of geology, physics, and, in particular, quantum mechanics, opens up an interpretative horizon for Celan’s poetry that can be configured according to the laws of entanglement as well as the form of a multidimensional ‚Raumgitter‘. The human and ethical elements of intentionality and being-in-the-world are not obliterated but rather subordinated to the natural itself. Celan goes beyond the idea of a subject-observer of the world-as-object and offers us a perspective in which language, as well as humanity and intentionality (poetic and otherwise), is merely one cosmic manifestation – part of nature itself. Language, like nature, shows different and changing states of being. It can be metamorphic but also sedimentary; conglomerate but also fluid like the elements present in nature. It is not a metaphorical analogy but a changing material state. It is non-local, dynamic, and provisional, like the relationality of quantum aggregations. Writing ‚nach der Natur‘ is, for Celan, who makes the knowledge and vocabulary of the natural sciences his own, to recover this metamorphic, provisional dimension of language – inside and outside time, probabilistic, invisible at a macroscopic level. By writing in and as nature in this way, poetry resists the destruction of what “happened” [geschehen] at the camps in the most devastating way.
This essay puts forth a definition of poetry rooted in experience. In following Eugenio Montale, it analyzes two of his poems – “I limoni” and “Notizie dall’Amiata” – to show how the poet, rather than constructing discrete poetic worlds, aims at a poetry revealing the world and nature to a concrete reader, unforeseeable for the poet. Poetry thus aims at imbuing this reader’s life with an ephemeral poetic form, rather than evoking its own self-sufficient aesthetics. In doing so, chance and flaws in the social and cultural construction of reality act as co-authors of his “poesia”.
Am 22. und 23. Oktober 2019 fand an der Universität Bergamo ein “Convegno internazionale” über „Europäische Naturlyrik nach 1945“ mit Forscher:innen aus Italien und Deutschland statt. Bei freundlichem Herbstwetter wurden „Gespräche über Bäume“ unternommen, die von Brechts bekanntem Vers über Celans Naturlyrik bis zur Legitimation eines solchen „Gesprächs“ reichten. Der Horizont der Diskussion wurde komparatistisch ausgezogen und erstreckte sich auf die französische, die luxemburgische, die englische, die italienische und die deutsche Naturdichtung. Angesichts der Ideenfülle der Beiträge entschieden sich die Initiator:innen der Tagung dazu, die Beiträge auf zwei Bände zu verteilen: auf einen Themenband über Bäume in der zeitgenössischen Naturlyrik1 und den vorliegenden Band, in den die über das Baum-Motiv hinauswachsenden Beiträge der Tagung Eingang gefunden haben. Die Konferenz sowie die beiden daraus hervorgegangenen Bände sind ein Ergebnis der Zusammenarbeit von Amelia Valtolina (Bergamo) und Michael Braun (Berlin) mit der an der Universität Trier angesiedelten DFG-Kolleg-Forschungsgruppe 2603 „Russischsprachige Lyrik in Transition. Poetische Formen des Umgangs mit Grenzen der Gattung, Sprache, Kultur und Gesellschaft zwischen Europa, Asien und Amerika“.
Die Vorträge dieser Konferenz nahmen das Wechselspiel von Geschichte und Natur im poetischen Wort, die Dialektik von Romantisierung und Dämonisierung der Natur sowie die Doppelfunktion von Modernekritik und Zivilisationsmüdigkeit im Naturgedicht in den Blick. Es ging um die Fort- oder Neuschreibung von Traditionen und Genres sowie um die Poetik und Ästhetik des Naturgedichts im kulturellen und historischen Wandel. Entsprechend rückt der Titel des vorliegenden Bandes das immer wieder in der Diskussion unter den Vortra genden hervorgehobene Transitorische des Naturbegriffes ins Zentrum.
Auch wenn die Natur im Gedicht nach 1945 ihre poetische Unschuld verloren hat, so behält doch das Sprechen über Naturphänomene und Naturkatastrophen seine inspirierende Wirkung auf den Dichter. Im Gespräch zwischen Gedichten, vom Gedicht zum Leser stiftet Naturdichtung weiterhin Erkenntnis, politisch und weltanschaulich. Dabei spielt auch die Transition der poetischen Formen, die jahrhundertlang das Bild der Natur gestaltet haben, eine aufschlussreiche Rolle: Das Naturgedicht nach 1945 schöpft immer wieder aus dem rhetorischen Reservoir der Gattung, sei es aus dem lukrezischen Lehrgedicht oder sei es aus dem Idyll der klassischen Tradition. Und die neuere Naturdichtung stellt unser Anthropozän in Frage, jenseits von Lyrismus und von wohlfeilem ecocriticizm. Aus verschiedenen Perspektiven untersuchen die Beiträge des Bandes von IZfK diese Transitionen und Transformationen der Natur im europäischen Naturgedicht nach 1945. Wie kann man poetisch – und im weiteren Sinne dann auch politisch – über Natur sprechen angesichts ihrer ökologischen „Todesarten“ im 21. Jahrhundert? Welchen Einfluss haben die Naturwissenschaften auf new nature writing? Mit welchen Mitteln werden klassische Genres der Naturpoesie wie Pastorale, Bukolik, Elementar- und Lehrgedicht umgeschrieben?
Nicolaus Cusanus presents a subtle theory of alterity. We will show why Cusanus does not consistently assign humans a position superior to other living beings, even when strong anthropocentric arguments seem to be present. Kazuhiko Yamaki (2017: 280), e.g., has recently pointed out that the attribution of a privileged position to humans in the world already fails logically, because the complicatio-explicatio scheme applies to all creatures. I would like to follow up on Yamaki’s argument that Cusanus at this point is rather concerned with describing a specific relationship between God and the creatures or the world. If this argument is extended to the question of humans and animals in Cusanus as a whole, the way in which these relations are to be figured becomes the focus of consideration. Just as Cusanus, in cosmology and anthropology, examines the perspectivity of knowledge and the decentralization of the Earth (as a noble star among other stars) without falling into pure perspectivism or decentralism, so traits of this reflective and (figuratively) ‘living’ thinking must also apply to the description of the relationship of living beings to one another or in relation to their Creator.
In the so-called Anthropocene, we pose anew the question of what man is. If humankind wants to face present challenges, the preconditions of our “Weltanschauung” come into view. Whereas in the past one used to link cultures by factors such as geography or national identity, today it seems necessary to expand the parameters of cultural comparison. Therefore, different forms of consciousness have had to be analysed as different cultural types. Aiming to describe these forms, the 15th century view is of relevance because it sets the course for the modern reflexive form of consciousness and its sciences – but also its alternatives. With that in mind, this article will focus on the example of Nicholas of Cusa. It shows that art and technology can be understood as manifestations of two different types of consciousness. One type, concerning technology and science, refers to the “anima sensibilis”, including a discursive capacity oriented towards sensual perception. The other type legitimizes and guarantees the first and consists in judging; this pure, mental process has to be actively generated. Cusanus named this type of consciousness as “viva imago”, which forms itself towards a “viva substantia”.
This article argues that Nicholas of Cusa, in contrast to the scholastic tradition and in consensus with the humanists of his time, develops a high esteem for Artes Me chanicae, placing it on an equal level with Artes Liberales. A close reading of the relevant passages in Cusa’s work reveals that although his early philosophical writings present the old scholastic position, in the Idiota-writings (1450), he shifts his stance toward the Artes Mechanicae and significantly elevates it. Influenced by his encounter with the Italian humanists in Rome, he maintains this approach throughout his late works and late sermons. This positive reweighting of Artes Mechanicae is consistent with Cusanus’ view of the immanence of God and leads him to revaluate his world view.
Nicholas of Cusa’s “De genesi”, which begins as a commentary on the Book of Genesis, offers a reflection on the unfolding of the Divine into the world. It primarily considers how the One, the principium that sets and determines everything, can be a basis from which the Other (diversitas) and multiplicity can emerge. The pivotal point is identifying the “Self” that is God and what He transposes outside of Himself such that the transposed is also a “Self”. Thus, it addresses an old problem, directly linked to monotheistic thinking, which preoccupied Platonism and especially Plotinus. In fact, Cusanus takes up Neoplatonic lines of thought, but he transforms them with recourse to Trinitarian ideas. From Plotinus’s “returning” of the creature released by the One into the world to view the One and Divine, he develops the idea of a responding resemblance (assimilatio) to God on the part of the creature, which in turn is a “Self” but also an Other, which the creature in its process of resemblance “sublevates” in reference to God. This not yet fully thought-through or convincing concept leads to the more conclusive explanations given by Cusanus in later texts.
The concept of art is a lens through which one can explore the thought of Nicho las of Cusa. He uses this notion throughout his work in order to address the pro ductive dynamism of the divine mind as well as the human mind. With a focus on the human arts as likenesses of the divine art, this paper studies the relationship between the art of the word and the illiterate manual arts. Firstly, we examine the ars coniecturalis as a human art form that Cusanus presents for the first time in extenso in “De coniecturis”. Secondly, we address the power of the art of the word through the production of its most precious form, the spoken word. Thirdly, and finally, we inquire into the power of the manual arts through the example of the idiota’s making of wooden spoons in the “De mente” in order to show the relationship between this art and the art of the word.
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.
Alongside the relationship between philosophy and painting, in the fifteenth and sixteenth centuries, a speculative interest emerged in the concept of three-dimensional vision in Cusa, Jan van Eyck, Marsilio Ficino, and Giorgione da Castelfranco. The visio circularis theme becomes a central metaphor for a new way of thinking and seeing the world, which culminates in Leonardo da Vinci’s studies on perspective. In this context, the mirror forms a dominant theme in the development of the studies and applications of perspective, which becomes increasingly sensitive to sculptural relief.
Vorwort
(2021)
"Kunst und Technik bei Nikolaus von Kues" is the German translation of a conference that could not take place in Buenos Aires in March 2020 due to the pandemic. However, we have decided to present some of the contributions in print.
“Art and Technology in Nicholas of Cusa” discusses a basic assumption of the Central European ‘Weltanschauung’ since the early modern period. The two terms and their relationship to each other represent formative parameters that extend up to the present, in the so-called Anthropocene. An exemplary relevance of these terms can be found in Nicholas of Cusa. It comes to light in the development of art and technique between Cusanus and Leonardo da Vinci (G. Cuzzo). In Cusa’s philosophy, conjectural thinking forms the systematic core of this approach (C. D'Amico and J. González Rios). This thinking points in two directions, in that art and thought in Cusanus’ reception of Neoplatonism and its independent appropriation lead to scientia aenigmatica , which at the same time manifests itself in technical images. (W.C. Schneider). Thereby, the liberal and the mechanical arts experience the same high esteem (K. Yamaki). For Nicholas, technology proves to be a form of expression of the “viva imago Dei” and its creative art; thus, Cusa characterizes two different forms of consciousness: the reflexive self-consciousness of science and technology as well as the creative consciousness of spiritual self-development (H. Schwaetzer). Cusa applied this concept also to humans and animals, and hence to nature in general (K. Zeyer).
The present volume not only contributes to research on Cusanus but also provides a specimen for comparative studies of different forms of consciousness.
This paper explores the presence of the poetic word in contemporary urban settings: from “Poetry in Motion,” displayed in the New York City subway at the very place where one usually finds ads, to fluid xenon light projections of huge verse on the exterior of buildings in Basel or Zurich by visual artist Jenny Holzer, who presents poems of the Nobel Laureate Wisława Szymborska together with her own short “Truisms.” Or from single poems permanently written on walls – e.g. a much-discussed concrete poem by Eugen Gomringer at the facade of a Berlin college of education – to the technically enhanced spoken word, audible from far away as a side effect of gigantic poetry slam events in stadiums, e.g. the Trabrennbahn (race-course) in Hamburg and even performative events such as Ulrike Almut Sandig’s „augenpost“ in which poems are ‘published’ on posters, flyers and free postcards in the urban space of Leipzig or declaimed on public squares in Indian metropolises through a megaphone. Such presentations of poetry in urban space are still uncommon, thus creating an aesthetic experience that differs strongly from reception in private settings or even in readings or public poetry festivals, as the poem relates to its urban surroundings.
This essay applies a Cultural Studies-approach to the multi-facetted relationship between poetry and advertisement as it emerged in the first half of the 20th century in the United States and as it became visible on billboards by the roadside. Somewhat paradoxically, public poetry in advertising appeared all across the United States (predominantly along highways in rural areas) around the time that much of modernist American poetry was being declared a highly elitist and urban centric affair in the orbit of new criticism-scholarship at universities. My first case study addresses the iconic Burma-Shave Billboard Poetry Campaign (1929-1963) and its long-lasting influence on American (popular) culture – in literature, music, visual art. Prior to this campaign as well as on the heels of it, billboards and billboard poetry were taken up to a minor extent in poetry circles and literary criticism (where they continued to be mostly viewed with disdain) and to a larger extent by conceptual artists who used billboard aesthetics, slogans, and short (poetic) texts in installations mimicking and critiquing consumer culture. One of the most aesthetically innovative recent ‘returns’ of billboard poetry, however, is the one employed intra-diegetically in the Hollywood film “Three Billboards Outside of Ebbing, Missouri” (2017), my second case study. Here, the writing on the billboard-walls make those aspects explicit that have been submerged in the earlier rhymes by the roadside: While the playful, optimistic lines of advertisement imply, time and again, a happy white middle-class American family with a sober and well-shaved patriarch behind the wheel and thus gloss over the disavowed underside of mobility, the film makes the latent manifest and points to systemic / structural violence, such as a pervasive American rape ‘culture’ which is linked to the car and the mobility it offers. The film uses the billboard and its inscription as foil and as catalyst to address and to protest this and other forms of violence and thus presents an activist intervention in order to ask for more than merely poetic justice.
In this article, I analyze the most recent Russian video poetry as an amplification and semantic enrichment of the classic literature paradigm. My thesis is that new visual poetry produces a subtle, polysemous – but at the same time striking – political message within a synthetic artistic framework. I show how recent Russian social (also to be called political) poetry is developing what I call the aesthetics of environmental non-division. I focus on the art collective “The Group of Esfir’ Shub,” which was founded in 2017 by the artist and designer Polina Zaslavskaia. The group’s synthetic method of working with poems generates a “tropic connection between the text and the video,” which correlates or even confronts direct and figurative sign meanings of different media with each other. “Esfir’ Shub” emphasizes one of the essential features of new social poetry ‒ the problematization of corporeality as a phenomenon belonging to organic, living material, which affects the very character of subjectivity. The project “Esfir’ Shub” is situated on the border between visual eco-art and social poetry. What is more important, it represents new trends in Russian engaged aesthetics, which I call biopoetics ‒ a notion which has been intensely discussed in the last two decades.
Internet poetry clips are a multimedial hybrid form that comingles features of different literary genres, such as lyric, epic, and drama; different modal categories, such as spoken language, writing, gestures, and facial expressions; and medial modes, such as text, performance, video clip, and documentary. This paper deals with the central features of three selected internet poetry clips: “A Brown Girl’s Guide to Gender” by Aranya Johar, “Water” by Koleka Putuma, and „Ohne mich“ by Sandra Da Vina. The focus is on the media-specific forms of personal union between author and performer in each of these works.
This essay identifies a shared response to news media in poetry written over the past three decades by writers working in Chinese, Russian, and English. These poets often directly incorporate texts and images from news media into their work. Some scholars have argued that this tendency towards the collaging of texts derived from news and social media reflects a shift in poetic subjectivity. However, when seen from a comparative perspective, these and other cut-ups of news and social media are better understood as, on the one hand, an extension of a much longer tradition of literary and artistic responses to the news and, on the other, a renewal of that tradition in response to the intensification of the intertwined pressures of new media and globalization since the end of the Cold War and the rise of the Internet. The article identifies this shared response to media and globalization among a variety of examples in Chinese, Russian, and English, including Kirill Medvedev’s «Текст, посвященный трагическим событиям 11 сентября в Нью-Йорке» (“Text Devoted to the Tragic Events of September 11 in New York”); Stanislav Lvovsky’s «Чужими словами» (“In Other Words”); Dmitri Prigov’s «По материалам прессы» (“Based on Material from the Press”) and “ru.sofob (50 x 50)”; Lin Yaode’s 林燿德 “Er erba” 《二二八》(“February 28”), Hsia Yü 夏宇 and her collaborators’ group project “Huadiao huadiao huadiao” 《劃掉劃掉劃掉》 (“Cross It Out, Cross It Out, Cross It Out”), Yan Jun’s 顏峻 2003 multi-media video performance “Fan dui yiqie you zuzhi de qipian” 《反对一切有组织的欺骗》 (“Against All Organized Deception”); online video poetry produced in response to the 2008 Sichuan earthquake; and Brian Kim Stefans’s mashup of “New York Times” articles with texts from the Situationist International. On the one hand, these texts operate between various media and art forms: between poetry and contemporary art, music, journalism, and social media, between the print newspaper and digital file, between the webpage and live performance, and between image and text. But on the other hand, and inextricably, they also operate within global information networks. They are better understood as addressing not the transformation of the poetic subject but the undoing of the boundaries of poetry and of the concept of a nationally defined literature.
In the article, I will discuss the relationship between ‘book poetry’ and ‘digital poetry.’ I examine the differences, as well as the similarities, between poetry as presented in these two media. Research on the transition from book poetry to digital poetry has mainly focussed on the significant changes in genre and work concepts as well as in the author and reader roles. However, several trends within the tradition of poetry have intensified and have further developed since the emergence of the digital media. The focus in this paper will thus be on four key features, which were founded in book poetry as far back as early Modernism and the avant-garde movements, but, to a great extent, those features have unfolded in digital poetry. The four features are the multimodality, the montage form, the network structure, and the serial form. The artistic opportunities offered by digital poetry are not only due to technological opportunities in the new media. Such opportunities are just as much due to the innovations in multimodality, montages, network structures, and seriality realized by avant-garde and symbolist poets like Mallarmé, Apollinaire, Schwitters, Eliot, and Pound in early modernism. My article concludes with an example of how the four features form the basis for a work of digital poetry, namely Johannes Heldén’s “The Primary Directive” (2008).
The article offers a preliminary investigation of the phenomenon of female-authored ‘poetry theater’ (shige juchang)1 in the People’s Republic of China. It discusses cross-genre explorations by a group of female poets, theater directors and artists who are all associated with the movement of ‘women’s poetry’ (nüxing shige) that emerged in the 1980s in China. The discussion focuses on two performances based on female-authored poems, “Riding a Roller Coaster Flying Toward the Future” (2011) and “Roaming the Fuchun Mountains with Huang Gongwang” (2016), which resulted from the joint efforts of four women: the poet Zhai Yongming, the poet-scholar Zhou Zan, and the theater directors Cao Kefei and Chen Si’an. Their avant-garde experiments with poetical theater document the different ways in which poetry is being translated into images, sounds, or bodily movements on stage. The paper argues that poetic exploration of writing and reciting practices has gained new momentum from emerging intermedial, visual-verbal experiments. Furthermore, it claims that interest in ‘poetry theater’ is also driven by the search for new forms of cross-genre stage performances that could be different from the previously politicized or commercialized ones.
This paper is focused on a relatively new phenomenon: joint performances by poets and avant-garde (primarily electronic) musicians in contemporary Russia. In part, these performances are reminiscent of performances by American and Western European poets with jazz ensembles in the 1960s and 1970s. At that time in the Soviet Union, this practice was almost unheard of: when intermedial experiments did take place, poets – particularly the so-called “official” poets – turned not to music but to theatre. The most important elements of these performances were their emphases on virtuosic improvisation, the theatrical immediacy of what was taking place, and creating a community around the performer. In contrast, contemporary collaborations between poets and musicians largely demonstrate the non-self-sufficiency of their respective media and, in doing so, deconstruct the. very premise of the poetic (lyric) subject. My contention is that intermediality as such – in this case, the interaction between music and poetry – could thus be the most important tool available for creating a “poetry without a subject.” Moreover, in practice, it has acquired a salient social and political meaning in modern Russia: depicting culture as a space of individualized dialogues and polylogues.
The following contribution seeks to understand poetry as a genre situated between written text and performance. First, it presents instances of the systematic differences between performed and written poems, defining ‘performed poetry’ in a decidedly broad sense. The metaphor of ‘aggregate states’ is tested and critically discussed in order to describe poetry as a genre that not only is received in a state of exception but that in its very essence plays between substantially different media and forms. Due to the dearth of critical work addressing poetry as a performative art, a set of terms and tools for the analysis of performed poetry is proposed. After these brief theoretical remarks, two poems are examined, both of which are accessible as performance and as a written text. Their differences are considered in order to show the potential value of separating and comparing performative and written elements for individual analysis as well as for further conceptual discussion.
Nora Gomringer’s „Dichtertreffen“ is presented by the author in the style of a classical reading (‚Wasserglaslesung‘), in which the artist, however, utilizes a full repertoire of performative channels and codes. As a result, the semantics of this performed variant differ significantly from those of the written text. The use of the body, objects, space, and voice alter the meaning of the poem even in a reading that, at first glance, does not conspicuously refer to performative art forms at all.
Martina Hefter’s poem about the physical condition of lying („liegen“) focuses on the dance-like handling of body and space in its performed version, which has little in common with a classical reading.
The discussion of two poems, written and performed, reveals the importance of considering both ‘aggregate states’ of the poem when working with texts and engaging in the recent debates of lyricology
Starting from the imperative to not just read, but to speak lyric poems out loud, this paper considers ways in which poems change depending on who utters them. Beyond the familiar distinction between the poem’s author and the lyrical ‘I’ – the voice in which the poet chooses to utter the poem – any performer who speaks a poem also impersonates the text. Reading is the first act of interpretation; others follow. Sound is an indispensable constitutive aspect of the lyric poem, too often neglected. Each reading of a poem can turn into a momentary ec-stasis.
This contribution analyses two complex examples of the generic extension of lyric poetry in recent British literature. Tony Harrison’s film poem “The Shadow of Hiroshima” (1995) expands the lyric text into the visual dimension; Glyn Maxwell’s collection “The Sugar Mile” (2005) arranges a large number of individual lyric poems into a dramatic scenario. In both cases the generic transition is coupled with a further generic extension – the elaboration of a distinctly narrative sequentiality. In two important aspects the generic extension of these examples affects the rendering of a particular experience, namely the perception of and reaction to massive violence and destruction. One aspect concerns the organization of speech situation and perspective, especially the relation between a superordinate authorial voice and possible subordinate voices, the other aspect pertains to the status of the represented experience in the ambiguity between factuality and fictionality, characteristic of the stance of the lyric utterance in various periods throughout the history of poetry. In both respects the generic expansion in Harrison’s “The Shadow of Hiroshima” and in Maxwell‘s “The Sugar Mile” can be shown to utilize the representational potentials of lyric poetry in distinctly alternative directions.
A new genre has emerged in contemporary literature: the ‘novel in poems.’ This genre hybridizes the novel and poetry in order to construct characters and a plot through relatively autonomous poems in series. The ‘novel in poems’ appears in different subtypes, which can be categorized according to the following criteria: (1) the presence of one speaker versus several speakers, (2) the presence of a speaker as lyric protagonist and/or narrator, and (3) the presence of a blend of distinct modes of lyric, narrative, and dramatic representation in various forms of combination. Specific characteristics of the ‘novel in poems’ are: 1) variation of constituent poetic forms with different degrees of semantic autonomy and brevity; 2) hyper-structuring through symmetries, holism, and equivalences; 3) a tendency to differentiate mediating instances within the text; 4) the reduction or elimination of the narrator or of narrative principles and the use of an omnipresent textual subject; 5) the presence of metapoetic reflections on topics such as poetry and creativity; 6) an emphasis on voice, person, and subjectivity; 7) episodic plot construction through montage techniques and a tendency toward chronological order; 8) the predominance of present speech and action; 9) contradictions between the speaker as subject and addresser, via the lyric fiction of performativity, and the function of narration; 10) a necessity imposed upon the reader to reconstruct the plot and characters. This essay establishes three subtypes within the proposed genre: a lyric ‘novel in poems’ with one speaker (Irina Ermakova), a polyphonically narrative ‘novel in poems’ that combines third-person narration with several alterior speakers (Lana Hechtman Ayers), and, finally, a dramatic ‘novel in poems’ with shifting primary speakers (Glyn Maxwell).
This contribution examines the question of how contemporary lyric poetry expands upon established generic concepts by considering the work of Monika Rinck, one of the most striking voices among a generation of exceedingly talented poets who made their debut in the 2000s. In her poetry, we find numerous examples of how the expectations of lyric are deliberately undermined: among them, formal features reminiscent of prose, such as her tendency to use extremely long lines and prose-typical abbreviations, as well as her explicit interest in the discursive exploration of ‘concepts.’ As her essays suggest, this interest manifests itself most readily in Rinck’s efforts to avoid the totalizing economization of society (as well as art and language) and has, as a result, motivated the development of her own style within experimental language poetry. However, while Rinck has played a leading role in expanding the contemporary concept of poetry, the poetic principles to which she refers in her theoretical writings and poems are by no means new. In this article, her poem „Augenfühlerfisch“ (“eye-tentacle fish”) serves not only to illustrate her tendency to expand poetry into discursive prose but demonstrates how it is rooted in a long-standing philosophical tradition. The terminology used in the poem can be traced back to early modern epistemology and particularly to the foundation of scientific aesthetics by Alexander Gottlieb Baumgarten. In referring to Baumgarten’s definition of poetry as “fully sensuous speech” [„vollkommen sinnliche Rede“] (as well as the specific deployment of this definition by Johann Adolf Schlegel), it becomes clear that Rinck reactivates an epistemological potential in lyric that had been hidden by the paradigm of Erlebnislyrik [experiential lyric]. Moreover, Rinck is able to relax the Erlebnislyrik’s pretense to sincerity in part thanks to the same prose features, such as the multiplication of voices, already mentioned above.
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.
This article asks what “world lyric in transition” could mean to literary scholarship by clarifying the terms “lyric,” “world lyric,” and “transition.”
More than any other literary form, contemporary poetry is in transition: interspersed with narrative and dramatic genres, combining prose and verse, and even incorporating other media, such as visual arts, music, film, and digital technology. It shifts the borders between public and private spheres, aesthetic and discursive approaches, and producer and recipient. On the basis of case studies, this issue addresses the challenges of poetry in transition and stimulates new approaches in lyric theory and methodology.
More than any other literary form, contemporary poetry is in transition: intermingling with narrative and dramatic genres, combining prose and verse, and even incorporating other media, such as visual art, music, film and digital technology, shifting the borders between public and private spheres, aesthetic and discursive approaches, and producer and recipient. On the basis of case studies, this issue addresses the challenges of poetry in transition and stimulates new approaches in lyric theory and methodology.
The unrestrainable evolution of medical science and technology is drastically changing health-care, enabling new medical procedures and remedies, which are increasingly intertwined with moral principles. Although a uniform European approach on assisted suicide is lacking, a common trend is developing: the boundary between euthanasia, assisted suicide and end-of-life care and the frontiers of legitimate medicine are becoming increasingly blurred. In Italy, a ruling of the Constitutional Court, no. 242/2019, declared the partial unconstitutionality of article 580 of the Italian Criminal Code, which prohibited assistance in suicide.
Specifically, article 580 excluded the criminal liability for the person who, in the manner provided for in Articles 1 and 2 of the law 22 December 2017, no. 219, “facilitates the execution of intention of suicide, autonomously and freely formed, of one person kept alive by life-sustaining treatments and suffering from an irreversible pathology, source of physical or psychological suffering that he/she deems intolerable, but fully capable of making free aware decisions, provided that such conditions and methods of execution have been verified by a public structure of the national health service, following the opinion of the territorially competent ethics committee.” The present paper analyzes the legal regime of assisted suicide in Italy, the role of the rule of law, and the crucial boundary between the branches of government with regard to this delicate issue, and investigates current legal challenges and potential future legal tracks.
Die vorliegende Arbeit untersucht erstmals systematisch die Intonation des Luxemburgischen, mit dem Ziel, ein Inventar der gängigsten Intonationskonturen sowie deren Funktion zu erstellen und damit Vergleiche mit Intonationssystemen anderer Sprachen zu ermöglichen. Datengrundlage für diese formale sowie funktionale Analyse bildet sowohl geskriptetes als auch ungeskriptetes Sprachmaterial von zwölf luxemburgischen Muttersprachlern in monologischer und dialogischer Form. Insgesamt können sechs verschiedene Konturen ermittelt werden, wobei vier davon in mehr als einer Funktion vorkommen. Auf diesem Ergebnis basierend werden die Unterschiede bzw. Ähnlichkeiten zu den Intonationssystemen der beiden weiteren Landessprachen in Luxemburg – Deutsch und Französisch – erarbeitet. Die kontrastive Analyse zeigt, dass sich beide Systeme substanziell von dem des Luxemburgischen unterscheiden, auch wenn die Unterschiede zum Deutschen aufgrund ähnlicherer prosodischer Strukturen leichter zu vergleichen und damit eindeutiger sind. In einem weiteren Schritt wird der Transfer luxemburgischer Strukturen in die beiden Fremdsprachen untersucht, um mögliche Interferenzen aufzeigen zu können. Die Ergebnisse zeigen, dass die Sprecher häufig muttersprachliche Konturen in die Fremdsprachen importieren.
In spite of the wide agreement among linguists as to the significance of spoken language data, actual speech data have not formed the basis of empirical work on English as much as one would think. The present paper is intended to contribute to changing this situation, on a theoretical and on a practical level. On a theoretical level, we discuss different research traditions within (English) linguistics. Whereas speech data have become increasingly important in various linguistic disciplines, major corpora of English developed within the corpus-linguistic community, carefully sampled to be representative of language usage, are usually restricted to orthographic transcriptions of spoken language. As a result, phonological phenomena have remained conspicuously understudied within traditional corpus linguistics. At the same time, work with current speech corpora often requires a considerable level of specialist knowledge and tailor-made solutions. On a practical level, we present a new feature of BNCweb (Hoffmann et al. 2008), a user-friendly interface to the British National Corpus, which gives users access to audio and phonemic transcriptions of more than five million words of spontaneous speech. With the help of a pilot study on the variability of intrusive r we illustrate the scope of the new possibilities.
This thesis focus on threats as an experience of stress. Threats are distinguished from challenges and hindrances as another dimension of stress in challenge-hindrance models (CHM) of work stress (Tuckey et al., 2015). Multiple disciplines of psychology (e.g. stereotype, Fingerhut & Abdou, 2017; identity, Petriglieri, 2011) provide a variety of possible events that can trigger threats (e.g., failure expe-riences, social devaluation; Leary et al., 2009). However, systematic consideration of triggers and thus, an overview of when does the danger of threats arises, has been lacking to date. The explanation why events are appraised as threats is related to frustrated needs (e.g., Quested et al., 2011; Semmer et al., 2007), but empirical evidence is rare and needs can cover a wide range of content (e.g., relatedness, competence, power), depending on need approaches (e.g., Deci & Ryan, 2000; McClelland, 1961). This thesis aims to shed light on triggers (when) and the need-based mechanism (why) of threats.
In the introduction, I introduce threats as a dimension of stress experience (cf. Tuckey et al., 2015) and give insights into the diverse field of threat triggers (the when of threats). Further, I explain threats in terms of a frustrated need for positive self-view, before presenting specific needs as possible deter-minants in the threat mechanism (the why of threats). Study 1 represents a literature review based on 122 papers from interdisciplinary threat research and provides a classification of five triggers and five needs identified in explanations and operationalizations of threats. In Study 2, the five triggers and needs are ecologically validated in interviews with police officers (n = 20), paramedics (n = 10), teach-ers (n = 10), and employees of the German federal employment agency (n = 8). The mediating role of needs in the relationship between triggers and threats is confirmed in a correlative survey design (N = 101 Leaders working part-time, Study 3) and in a controlled laboratory experiment (N = 60 two-person student teams, Study 4). The thesis ends with a general discussion of the results of the four studies, providing theoretical and practical implications.
Mit vorliegendem Dokument sollen Überlegungen zur Rolle der Ausbildung auf dem grenzüberschreitenden
Arbeitsmarkt angestellt werden. Hierfür werden gleichzeitig die durch die verschiedenen Hefte der Großregion, als auch die bei der am 1. Dezember 2020 organisierten Online-Podiumsdiskussion zum Thema „Mismatches, Kompetenzen, Ausbildung… Welche Passverhältnisse für den grenzüberschreitenden Arbeitsmarkt?“ angeregten Diskussionen herangezogen. Konkreter ausgedrückt beabsichtigt dieser Beitrag, eine Antwort auf folgende Frage zu geben: wie können die Ausbildung und deren unterschiedliche Praxismaßnahmen in den beruflichen Bereichen, aber auch in schulischen und universitären Bereichen dazu beitragen, die Ungleichgewichte abzumildern, die auf dem Arbeitsmarkt der Großregion zu beobachten sind? Insofern liefert das Dokument einige Denkanstöße für die grenzüberschreitende Zusammenarbeit im Ausbildungsbereich.
The temporal stability of psychological test scores is one prerequisite for their practical usability. This is especially true for intelligence test scores. In educational contexts, high stakes decisions with long-term consequences, such as placement in special education programs, are often based on intelligence test results. There are four different types of temporal stability: mean-level change, individual-level change, differential continuity, and ipsative continuity. We present statistical methods for investigating each type of stability. Where necessary, the methods were adapted for the specific challenges posed by intelligence research (e.g., controlling for general intelligence in lower order test scores). We provide step-by-step guidance for the application of the statistical methods and apply them to a real data set of 114 gifted students tested twice with a test-retest interval of 6 months.
• Four different types of stability need to be investigated for a full picture of temporal stability in psychological research
• Selection and adaption of the methods for the use in intelligence research
• Complete protocol of the implementation
We examined the long-term relationship of psychosocial risk and health behaviors on clinical events in patients awaiting heart transplantation (HTx). Psychosocial characteristics (e.g., depression), health behaviors (e.g., dietary habits, smoking), medical factors (e.g., creatinine), and demographics (e.g., age, sex) were collected at the time of listing in 318 patients (82% male, mean age = 53 years) enrolled in the Waiting for a New Heart Study. Clinical events were death/delisting due to deterioration, high-urgency status transplantation (HU-HTx), elective transplantation, and delisting due to clinical improvement. Within 7 years of follow-up, 92 patients died or were delisted due to deterioration, 121 received HU-HTx, 43 received elective transplantation, and 39 were delisted due to improvement. Adjusting for demographic and medical characteristics, the results indicated that frequent consumption of healthy foods (i.e., foods high in unsaturated fats) and being physically active increased the likelihood of delisting due improvement, while smoking and depressive symptoms were related to death/delisting due to clinical deterioration while awaiting HTx. In conclusion, psychosocial and behavioral characteristics are clearly associated with clinical outcomes in this population. Interventions that target psychosocial risk, smoking, dietary habits, and physical activity may be beneficial for patients with advanced heart failure waiting for a cardiac transplant.
Algorithmen als Richter
(2021)
Die menschliche Entscheidungsgewalt wird durch algorithmische
Entscheidungssysteme herausgefordert. Verfassungsrechtlich besonders
problematisch ist dies in Bereichen, die das staatliche Handeln betreffen.
Eine herausgehobene Stellung nimmt durch den besonderen Schutz der
Art. 92 ff. GG die rechtsprechende Gewalt ein. Lydia Wolff fragt daher danach, welche Antworten das Grundgesetz auf digitale Veränderungen in diesem Bereich bereithält und wie sich ein Eigenwert menschlicher Entscheidungen in der Rechtsprechung angesichts technischen Wandels darstellen lässt.
Das Werk erörtert hierzu einen Beitrag zum verfassungsrechtlichen
Richterbegriff und stellt diesen etablierten Begriff in einen Kontext neuer digitaler Herausforderungen durch algorithmische Konkurrenz.
Low-level jets (LLJs) are climatological features in polar regions. It is well known that katabatic winds over the slopes of the Antarctic ice sheet are associated with strong LLJs. Barrier winds occurring, e.g., along the Antarctic Peninsula may also show LLJ structures. A few observational studies show that LLJs occur over sea ice regions. We present a model-based climatology of the wind field, of low-level inversions and of LLJs in the Weddell Sea region of the Antarctic for the period 2002–2016. The sensitivity of the LLJ detection on the selection of the wind speed maximum is investigated. The common criterion of an anomaly of at least 2 m/s is extended to a relative criterion of wind speed decrease above and below the LLJ. The frequencies of LLJs are sensitive to the choice of the relative criterion, i.e., if the value for the relative decrease exceeds 15%. The LLJs are evaluated with respect to the frequency distributions of height, speed, directional shear and stability for different regions. LLJs are most frequent in the katabatic wind regime over the ice sheet and in barrier wind regions. During winter, katabatic LLJs occur with frequencies of more than 70% in many areas. Katabatic LLJs show a narrow range of heights (mostly below 200 m) and speeds (typically 10–20 m/s), while LLJs over the sea ice cover a broad range of speeds and heights. LLJs are associated with surface inversions or low-level lifted inversions. LLJs in the katabatic wind and barrier wind regions can last several days during winter. The duration of LLJs is sensitive to the LLJ definition criteria. We propose to use only the absolute criterion for model studies.
Digital technologies have become central to social interaction and accessing goods and services. Development strategies and approaches to governance have increasingly deployed self-labelled ‘smart’ technologies and systems at various spatial scales, often promoted as rectifying social and geographic inequalities and increasing economic and environmental efficiencies. These have also been accompanied with similarly digitalized commercial and non-profit offers, particularly within the sharing economy. Concern has grown, however, over possible inequalities linked to their introduction. In this paper we critically analyse the role of sharing economies’ contribution to more inclusive, socially equitable
and spatially just transitions. Conceptually, this paper brings together literature on sharing economies, smart urbanism
and just transitions. Drawing on an explorative database of sharing initiatives within the cross-border region of Luxembourg and Germany, we discuss aspects of sustainability as they relate to distributive justice through spatial accessibility, intended benefits, and their operationalization. The regional analysis shows the diversity of sharing models, how they are appropriated in different ways and how intent and operationalization matter in terms of potential benefits.
Results emphasize the need for more fine-grained, qualitative research revealing who is, and is not, participating and
benefitting from sharing economies.
The present study examined associations between fathers’ masculinity orientation and their anticipated reaction toward their child’s coming out as lesbian or gay (LG). Participants were 134 German fathers (28 to 60years) of a minor child. They were asked how they would personally react if, one day, their child disclosed their LG identity to them. As hypothesized, fathers with a stronger masculinity orientation (i.e., adherence to traditional male gender norms, such as independence, assertiveness, and physical strength) reported that they would be more likely to reject their LG child. This association was serially mediated by two factors: fathers’ general anti-LG attitudes (i.e., level of homophobia) and their emotional distress due to their child’s coming out (e.g., feelings of anger, shame, or sadness). The result pattern was independent of the child’s gender or age. The discussion centers on the problematic role of traditional masculinity when it comes to fathers’ acceptance of their non-heterosexual child.
Amphibian diversity in the Amazonian floating meadows: a Hanski core-satellite species system
(2021)
The Amazon catchment is the largest river basin on earth, and up to 30% of its waters flow across floodplains. In its open waters, floating plants known as floating meadows abound. They can act as vectors of dispersal for their associated fauna and, therefore, can be important for the spatial structure of communities. Here, we focus on amphibian diversity in the Amazonian floating meadows over large spatial scales. We recorded 50 amphibian species over 57 sites, covering around 7000 km along river courses. Using multi-site generalised dissimilarity modelling of zeta diversity, we tested Hanski's core-satellite hypothesis and identified the existence of two functional groups of species operating under different ecological processes in the floating meadows. ‘Core' species are associated with floating meadows, while ‘satellite' species are associated with adjacent environments, being only occasional or accidental occupants of the floating vegetation. At large scales, amphibian diversity in floating meadows is mostly determined by stochastic (i.e. random/neutral) processes, whereas at regional scales, climate and deterministic (i.e. niche-based) processes are central drivers. Compared with the turnover of ‘core' species, the turnover of ‘satellite' species increases much faster with distances and is also controlled by a wider range of climatic features. Distance is not a limiting factor for ‘core' species, suggesting that they have a stronger dispersal ability even over large distances. This is probably related to the existence of passive long-distance dispersal of individuals along rivers via vegetation rafts. In this sense, Amazonian rivers can facilitate dispersal, and this effect should be stronger for species associated with riverine habitats such as floating meadows.
Background
The morphology of anuran larvae is suggested to differ between species with tadpoles living in standing (lentic) and running (lotic) waters. To explore which character combinations within the general tadpole morphospace are associated with these habitats, we studied categorical and metric larval data of 123 (one third of which from lotic environments) Madagascan anurans.
Results
Using univariate and multivariate statistics, we found that certain combinations of fin height, body musculature and eye size prevail either in larvae from lentic or lotic environments.
Conclusion
Evidence for adaptation to lotic conditions in larvae of Madagascan anurans is presented. While lentic tadpoles typically show narrow to moderate oral discs, small to medium sized eyes, convex or moderately low fins and non-robust tail muscles, tadpoles from lotic environments typically show moderate to broad oral discs, medium to big sized eyes, low fins and a robust tail muscle.
The endemic argan tree (Argania spinosa) populations in southern Morocco are highly degraded due to overbrowsing, illegal firewood extraction and the expansion of intensive agriculture. Bare areas between the isolated trees increase due to limited regrowth; however, it is unknown if the trees influence the soil of the intertree areas. Hypothetically, spatial differences in soil parameters of the intertree area should result from the translocation of litter or soil particles (by runoff and erosion or wind drift) from canopy-covered areas to the intertree areas. In total, 385 soil samples were taken around the tree from the trunk along the tree drip line (within and outside the tree area) and the intertree area between two trees in four directions (upslope, downslope and in both directions parallel to the slope) up to 50 m distance from the tree. They were analysed for gravimetric soil water content, pH, electrical conductivity, percolation stability, total nitrogen content (TN), content of soil organic carbon (SOC) and C/N ratio. A total of 74 tension disc infiltrometer experiments were performed near the tree drip line, within and outside the tree area, to measure the unsaturated hydraulic conductivity. We found that the tree influence on its surrounding intertree area is limited, with, e.g., SOC and TN content decreasing significantly from tree trunk (4.4 % SOC and 0.3 % TN) to tree drip line (2.0 % SOC and 0.2 % TN). However, intertree areas near the tree drip line (1.3 % SOC and 0.2 % TN) differed significantly from intertree areas between two trees (1.0 % SOC and 0.1 % TN) yet only with a small effect. Trends for spatial patterns could be found in eastern and downslope directions due to wind drift and slope wash. Soil water content was highest in the north due to shade from the midday sun; the influence extended to the intertree areas. The unsaturated hydraulic conductivity also showed significant differences between areas within and outside the tree area near the tree drip line. This was the case on sites under different land usages (silvopastoral and agricultural), slope gradients or tree densities. Although only limited influence of the tree on its intertree area was found, the spatial pattern around the tree suggests that reforestation measures should be aimed around tree shelters in northern or eastern directions with higher soil water content or TN or SOC content to ensure seedling survival, along with measures to prevent overgrazing.
This paper mainly studies two topics: linear complementarity problems for modeling electricity market equilibria and optimization under uncertainty. We consider both perfectly competitive and Nash–Cournot models of electricity markets and study their robustifications using strict robustness and the -approach. For three out of the four combinations of economic competition and robustification, we derive algorithmically tractable convex optimization counterparts that have a clear-cut economic interpretation. In the case of perfect competition, this result corresponds to the two classic welfare theorems, which also apply in both considered robust cases that again yield convex robustified problems. Using the mentioned counterparts, we can also prove the existence and, in some cases, uniqueness of robust equilibria. Surprisingly, it turns out that there is no such economic sensible counterpart for the case of -robustifications of Nash–Cournot models. Thus, an analog of the welfare theorems does not hold in this case. Finally, we provide a computational case study that illustrates the different effects of the combination of economic competition and uncertainty modeling.
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.
The state-of-the-art finite element software Plaxis 3D was applied in a real-world study site of the Turaida castle mound to investigate the slope stability of the mound and understand the mechanisms triggering landslides there. During the simulation, the stability of the castle mound was analysed and the most landslide-susceptible zones of hillslopes were determined. The 3D finite-element stability analysis has significant advantages over conventional 2D limit-equilibrium methods where locations of 2D stability sections are arbitrarily selected. Two modelling scenarios of the slope stability were elaborated considering deep-seated slides in bedrock and shallow landslides in the colluvial material of slopes. The model shows that shallow slides in colluvium are more probable. In the finite-element model, slope failure occurs along the weakest zone in colluvium, similarly to the situation observed in previous landslides in the study site. The physical basis of the model allows results to be obtained very close to natural conditions and delivers valuable insight in triggering mechanisms of landslides.
Background: The body-oriented therapeutic approach Somatic Experiencing® (SE) treats posttraumatic symptoms by changing the interoceptive and proprioceptive sensations associated with the traumatic experience. Filling a gap in the landscape of trauma treatments, SE has attracted growing interest in research and therapeutic practice, recently.
Objective: To date, there is no literature review of the effectiveness and key factors of SE. This review aims to summarize initial findings on the effectiveness of SE and to outline methodspecific key factors of SE.
Method: To gain a first overview of the literature, we conducted a scoping review including studies until 13 August 2020. We identified 83 articles of which 16 fit inclusion criteria and were systematically analysed.
Results: Findings provide preliminary evidence for positive effects of SE on PTSD-related symptoms. Moreover, initial evidence suggests that SE has a positive impact on affective and somatic symptoms and measures of well-being in both traumatized and non-traumatized
samples. Practitioners and clients identified resource-orientation and use of touch as methodspecific key factors of SE. Yet, an overall studies quality assessment as well as a Cochrane analysis of risk of bias indicate that the overall study quality is mixed.
Conclusions: The results concerning effectiveness and method-specific key factors of SE are promising; yet, require more support from unbiased RCT-research. Future research should focus on filling this gap.
Intense, southward low-level winds are common in Nares Strait, between Ellesmere Island and northern Greenland. The steep topography along Nares Strait leads to channelling effects, resulting in an along-strait flow. This research study presents a 30-year climatology of the flow regime from simulations of the COSMO-CLM climate model. The simulations are available for the winter periods (November–April) 1987/88 to 2016/17, and thus, cover a period long enough to give robust long-term characteristics of Nares Strait. The horizontal resolution of 15 km is high enough to represent the complex terrain and the meteorological conditions realistically. The 30-year climatology shows that LLJs associated with gap flows are a climatological feature of Nares Strait. The maximum of the mean 10-m wind speed is around 12 m s-1 and is located at the southern exit of Smith Sound. The wind speed is strongly related to the pressure gradient. Single events reach wind speeds of 40 m s-1 in the daily mean. The LLJs are associated with gap flows within the narrowest parts of the strait under stably stratified conditions, with the main LLJ occurring at 100–250 m height. With increasing mountain Froude number, the LLJ wind speed and height increase. The frequency of strong wind events (>20 m s-1 in the daily mean) for the 10 m wind shows a strong interannual variability with an average of 15 events per winter. Channelled winds have a strong impact on the formation of the North Water polynya.
Introduction:In patients with common variable immunodeficiency (CVID),immunological response is compromised. Knowledge about COVID‐19 in CVIDpatients is sparse. We, here, synthesize current research addressing the level ofthreat COVID‐19posestoCVIDpatientsandthebest‐known treatments.
Method:Review of 14 publications.
Results:The number of CVID patients with moderate to severe (~29%) andcritical infection courses (~10%), and the number of fatal cases (~13%), areincreased compared to the general picture of COVID‐19 infection. However,this might be an overestimate. Systematic cohort‐wide studies are lacking, andasymptomatic or mild cases among CVID patients occur that can easily remainunnoticed. Regular immunoglobulin replacement therapy was administered inalmost all patients, potentially explaining why the numbers of critical and fatalcases were not higher. In addition, the application of convalescent plasma wasdemonstrated to have positive effects.
Conclusions:COVID‐19 poses an elevated threat to CVID patients. However,only systematic studies can provide robust information on the extent of thisthreat. Regular immunoglobulin replacement therapy is beneficial to combatCOVID‐19 in CVID patients, and best treatment after infection includes theuse of convalescent plasma in addition to common medication.
This intervention study explored the effects of a newly developed intergenerational encounter program on cross-generational age stereotyping (CGAS). Based on a biographical-narrative approach, participants (secondary school students and nursing home residents) were invited to share ideas about existential questions of life (e.g., about one’s core experiences, future plans, and personal values). Therefore, the dyadic Life Story Interview (LSI) had been translated into a group format (the Life Story Encounter Program, LSEP), consisting of 10 90-min sessions. Analyses verified that LSEP participants of both generations showed more favorable CGAS immediately after, but also 3 months after the program end. Such change in CGAS was absent in a control group (no LSEP participation). The LSEP-driven short- and long-term effects on CGAS could be partially explained by two program benefits, the feeling of comfort with and the experience of learning from the other generation.
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.
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.
Evaluation of an eye tracking setup for studying visual attention in face-to-face conversations
(2021)
Many eye tracking studies use facial stimuli presented on a display to investigate attentional processing of social stimuli. To introduce a more realistic approach that allows interaction between two real people, we evaluated a new eye tracking setup in three independent studies in terms of data quality, short-term reliability and feasibility. Study 1 measured the robustness, precision and accuracy for calibration stimuli compared to a classical display-based setup. Study 2 used the identical measures with an independent study sample to compare the data quality for a photograph of a face (2D) and the face of the real person (3D). Study 3 evaluated data quality over the course of a real face-to-face conversation and examined the gaze behavior on the facial features of the conversation partner. Study 1 provides evidence that quality indices for the scene-based setup were comparable to those of a classical display-based setup. Average accuracy was better than 0.4° visual angle. Study 2 demonstrates that eye tracking quality is sufficient for 3D stimuli and robust against short interruptions without re-calibration. Study 3 confirms the long-term stability of tracking accuracy during a face-to-face interaction and demonstrates typical gaze patterns for facial features. Thus, the eye tracking setup presented here seems feasible for studying gaze behavior in dyadic face-to-face interactions. Eye tracking data obtained with this setup achieves an accuracy that is sufficient for investigating behavior such as eye contact in social interactions in a range of populations including clinical conditions, such as autism spectrum and social phobia.
Optimal mental workload plays a key role in driving performance. Thus, driver-assisting systems that automatically adapt to a drivers current mental workload via brain–computer interfacing might greatly contribute to traffic safety. To design economic brain computer interfaces that do not compromise driver comfort, it is necessary to identify brain areas that are most sensitive to mental workload changes. In this study, we used functional near-infrared spectroscopy and subjective ratings to measure mental workload in two virtual driving environments with distinct demands. We found that demanding city environments induced both higher subjective workload ratings as well as higher bilateral middle frontal gyrus activation than less demanding country environments. A further analysis with higher spatial resolution revealed a center of activation in the right anterior dorsolateral prefrontal cortex. The area is highly involved in spatial working memory processing. Thus, a main component of drivers’ mental workload in complex surroundings might stem from the fact that large amounts of spatial information about the course of the road as well as other road users has to constantly be upheld, processed and updated. We propose that the right middle frontal gyrus might be a suitable region for the application of powerful small-area brain computer interfaces.
Detection of Preferential Water Flow by Electrical Resistivity Tomography and Self-Potential Method
(2021)
This study explores the hydrogeological conditions of a landslide-prone hillslope in the Upper Mosel valley, Luxembourg. The investigation program included the monitoring of piezometer wells, hydrogeological field tests, analysis of drillcore records, and geophysical surveys. Monitoring and field testing in some of the observation wells indicated very pronounced preferential flow. Electrical resistivity tomography (ERT) and self-potential geophysical methods were employed in the study area for exploration of the morphology of preferential flowpaths. Possible signals associated with flowing groundwater in the subsurface were detected; however, they were diffusively spread over a relatively large zone, which did not allow for the determination of an exact morphology of the conduit. Analysis of drillcore records indicated that flowpaths are caused by the dissolution of thin gypsum interlayers in marls. For better understanding of the site’s hydrogeological settings, a 3D hydrogeological model was compiled. By applying different subsurface flow mechanisms, a hydrogeological model with thin, laterally extending flowpaths embedded in a porous media matrix showed the best correspondence with field observations. Simulated groundwater heads in a preferential flow conduit exactly corresponded with the observed heads in the piezometer wells. This study illustrates how hydrogeological monitoring and geophysical surveys in conjunction with the newest hydrogeological models allow for better conceptualization and parametrization of preferential flow.
Using a dendrochronological approach, we determined the resistance, recovery and resilience of the radial stem increment towards episodes of growth decline, and the accompanying variation of 13C discrimination against atmospheric CO2 (Δ13C) in tree rings of two palaeotropical pine species. These species co-occur in the mountain ranges of south–central Vietnam (1500–1600 m a.s.l.), but differ largely in their areas of distribution (Pinus kesiya from northeast India to the Philippines; P. dalatensis only in south and central Vietnam and in some isolated populations in Laos). For P. dalatensis, a robust growth chronology covering the past 290 years could be set up for the first time in the study region. For P. kesiya, the 140-year chronology constructed was the longest that could be established to date in that region for this species. In the first 40 years of the trees’ lives, the stem diameter increment was significantly larger in P. kesiya, but levelled off and even decreased after 100 years, whereas P. dalatensis exhibited a continuous growth up to an age of almost 300 years. Tree-ring growth of P. kesiya was negatively related to temperature in the wet months and season of the current year and in October (humid transition period) of the preceding year and to precipitation in August (monsoon season), but positively to precipitation in December (dry season) of the current year. The P. dalatensis chronologies exhibited no significant correlation with temperature or precipitation. Negative correlations between BAI and Δ13C indicate a lack of growth impairment by drought in both species. Regression analyses revealed a lower resilience of P. dalatensis upon episodes of growth decline compared to P. kesiya, but, contrary to our hypothesis, mean values of the three sensitivity parameters did not differ significantly between these species. Nevertheless, the vigorous growth of P. kesiya, which does not fall behind that of P. dalatensis even at the margin of its distribution area under below-optimum edaphic conditions, is indicative of a relatively high plasticity of this species towards environmental factors compared to P. dalatensis, which, in tendency, is less resilient upon environmental stress even in the “core” region of its occurrence.
In 2014/2015 a one-year field campaign at the Tiksi observatory in the Laptev Sea area was carried out using Sound Detection and Ranging/Radio Acoustic Sounding System (SODAR/RASS) measurements to investigate the atmospheric boundary layer (ABL) with a focus on low-level jets (LLJ) during the winter season. In addition to SODAR/RASS-derived vertical profiles of temperature, wind speed and direction, a suite of complementary measurements at the Tiksi observatory was available. Data of a regional atmospheric model were used to put the local data into the synoptic context. Two case studies of LLJ events are presented. The statistics of LLJs for six months show that in about 23% of all profiles LLJs were present with a mean jet speed and height of about 7 m/s and 240 m, respectively. In 3.4% of all profiles LLJs exceeding 10 m/s occurred. The main driving mechanism for LLJs seems to be the baroclinicity, since no inertial oscillations were found. LLJs with heights below 200 m are likely influenced by local topography.
Perennial energy crops (PECs) are increasingly used as feedstock to produce energy in an environmental friendly way. Compared to traditional conversion strategies like thermal use, sophisticated technologies such as biomethanation defined different re-quirements of the feedstock. Whereas the first concept relies on dry, woody mate-rial, biomethanation requires a moist feedstock. Thus, over time, the spectrum of species used as PECs has widened. Moreover, harvest dates were adjusted to pro-vide the feedstock at suitable moisture contents. It is well known that perennial, lignocellulose- based energy crops, compared to annual, sugar- and starch- based ones, offer ecological advantages such as, inter alia, improving biodiversity in landscape, protecting soil against erosion, and protecting groundwater from nutrient inputs. However, one of the main arguments for PEC cultivation was their undemanding nature concerning external inputs. With respect to the broader spectrum of PEC spe-cies and changed harvest dates, the question arises whether the concept of PECs being low- input energy crops is still valid. This also implies the question of suitable grow-ing conditions and sustainable management. The aims of this opinion paper were to classify different PECs according to their life- form strategy, compare nutrient exports when harvested in different maturation stages, and to discuss the results in the context of sustainable PEC cultivation on marginal land. This study revealed that nutrient exports with yield biomass of PECs harvested in green state are in the same range than those of annual energy crops and therewith several times higher than those of PECs harvested in brown state or of woody short rotation coppices. Thus, PECs can-not universally be claimed as low- input energy crops. These results also imply the consequences of cultivation of PECs on marginal land. Finally, the question has to be raised whether the term PECs should prospectively be better specified in written and spoken words.
Natural hazards are diverse and uneven in time and space, therefore, understanding its complexity is key to save human lives and conserve natural ecosystems. Reducing the outputs obtained after each modelling analysis is key to present the results for stakeholders, land managers and policymakers. So, the main goal of this survey was to present a method to synthesize three natural hazards in one multi-hazard map and its evaluation for hazard management and land use planning. To test this methodology, we took as study area the Gorganrood Watershed, located in the Golestan Province (Iran). First, an inventory map of three different types of hazards including flood, landslides, and gullies was prepared using field surveys and different official reports. To generate the susceptibility maps, a total of 17 geo-environmental factors were selected as predictors using the MaxEnt (Maximum Entropy) machine learning technique. The accuracy of the predictive models was evaluated by drawing receiver operating characteristic-ROC curves and calculating the area under the ROC curve-AUCROC. The MaxEnt model not only implemented superbly in the degree of fitting, but also obtained significant results in predictive performance. Variables importance of the three studied types of hazards showed that river density, distance from streams, and elevation were the most important factors for flood, respectively. Lithological units, elevation, and annual mean rainfall were relevant for detecting landslides. On the other hand, annual mean rainfall, elevation, and lithological units were used for gully erosion mapping in this study area. Finally, by combining the flood, landslides, and gully erosion susceptibility maps, an integrated multi-hazard map was created. The results demonstrated that 60% of the area is subjected to hazards, reaching a proportion of landslides up to 21.2% in the whole territory. We conclude that using this type of multi-hazard map may be a useful tool for local administrators to identify areas susceptible to hazards at large scales as we demonstrated in this research.
In der vorliegenden Arbeit wurden die Einsatzmöglichkeiten von Carbon Footprints in Großküchen untersucht. Dabei wurden sowohl methodische Aspekte und Herausforderungen ihrer Erhebung untersucht als auch mögliche Kennzeichnungsformate (Label) evaluiert.
Zunächst wurde am Beispiel Hochschulgastronomie eine vollständige Carbon Footprint Studie nach DIN 14067 für sechs exemplarische Gerichte (PCF) sowie angelehnt an DIN 14064 für den Mensabetrieb (CCF) durchgeführt. Es zeigte sich, dass die gewichteten durchschnittlichen Emissionen pro Teller, unter Einbezug der verwendeten Rohstoffe und des Energiebedarfs, 1,8 kg CO2eq pro Teller betragen (Mgew=1,78 kg CO2eq; [0,22-3,36]). Zur Vereinfachung des Erhebungsprozesses wurden anknüpfend an diese Ergebnisse Pauschalisierungsansätze zur vereinfachten Emissionsallokation im Gastrosektor evaluiert und in Form eines appgestützten Berechnungstools umgesetzt. Es konnte verifiziert werden, dass der Energiebedarf und die daraus resultierenden Emissionen unabhängig von der Beschaffenheit der Gerichte auf die Anzahl produzierter Gerichte alloziert werden können und die Ausgabewerte dennoch hinreichend belastbar sind (Abweichung <10 %).
In dieser Studie konnte gezeigt werden, dass am untersuchten Standort Skaleneffekte hinsichtlich der Anzahl produzierter Gerichte und Strombedarf pro Gericht auftreten. Beide Faktoren korrelieren stark negativ miteinander (r=-.78; p<.05). Zur Verifikation der Ergebnisse wurde eine Datenabfrage unter allen deutschen Studierendenwerken (N=57) hinsichtlich des Energiebedarfs und der Produktionsmengen in Hochschulmensen durchgeführt. Aus den Daten von 42 Standorten konnten für das Jahr 2018 prognostizierte Gesamtemissionen in Höhe von 174.275 Tonnen CO2eq, verursacht durch etwa 98 Millionen verkaufte Gerichte, ermittelt werden. Im Gegensatz zur durchgeführten Standort-Studie konnten die Skaleneffekte, d.h. sinkender Strombedarf pro Teller bei steigender Produktionszahl, bei der deutschlandweiten Datenerhebung statistisch nicht nachgewiesen werden
(r=-.29; p=.074).
Im Anschluss wurden mögliche Label-Formate für Carbon Footprints evaluiert, indem vier vorbereitete Label unterschiedlicher Beschaffenheit (absolute Zahlen, einordnend, vergleichend und wertend) in sechs Fokusgruppen mit insgesamt 17 Teilnehmer:innen im Alter zwischen 20 und 31 Jahren (M=25,12; SD=3,31) diskutiert wurden. Im Ergebnis zeigte sich, dass bei den Teilnehmer:innen ein breiter Wunsch nach der Ausweisung absoluter Zahlen bestand. Zur besseren Einordnung sollte ein Label zudem einordnende Elemente enthalten. Wertende Label in Form von Ampelsymbolen oder Smileys mit unterschiedlichen Emotionen wurden überwiegend abgelehnt. Ableitend aus den Erkenntnissen konnten zwei synthetisierende Label-Vorschläge entwickelt werden.
Teamwork is ubiquitous in the modern workplace. However, it is still unclear whether various behavioral economic factors de- or increase team performance. Therefore, Chapters 2 to 4 of this thesis aim to shed light on three research questions that address different determinants of team performance.
Chapter 2 investigates the idea of an honest workplace environment as a positive determinant of performance. In a work group, two out of three co-workers can obtain a bonus in a dice game. By misreporting a secret die roll, cheating without exposure is an option in the game. Contrary to claims on the importance of honesty at work, we do not observe a reduction in the third co-worker's performance, who is an uninvolved bystander when cheating takes place.
Chapter 3 analyzes the effect of team size on performance in a workplace environment in which either two or three individuals perform a real-effort task. Our main result shows that the difference in team size is not harmful to task performance on average. In our discussion of potential mechanisms, we provide evidence on ongoing peer effects. It appears that peers are able to alleviate the potential free-rider problem emerging out of working in a larger team.
In Chapter 4, the role of perceived co-worker attractiveness for performance is analyzed. The results show that task performance is lower, the higher the perceived attractiveness of co-workers, but only in opposite-sex constellations.
The following Chapter 5 analyzes the effect of offering an additional payment option in a fundraising context. Chapter 6 focuses on privacy concerns of research participants.
In Chapter 5, we conduct a field experiment in which, participants have the opportunity to donate for the continuation of an art exhibition by either cash or cash and an additional cashless payment option (CPO). The treatment manipulation is completed by framing the act of giving either as a donation or pay-what-you-want contribution. Our results show that donors shy away from using the CPO in all treatment conditions. Despite that, there is no negative effect of the CPO on the frequency of financial support and its magnitude.
In Chapter 6, I conduct an experiment to test whether increased transparency of data processing affects data disclosure and whether the results change if it is indicated that the implementation of the GDPR happened involuntarily. I find that increased transparency raises the number of participants who do not disclose personal data by 21 percent. However, this is not the case in the involuntary-signal treatment, where the share of non-disclosures is relatively high in both conditions.
This thesis contributes to the economic literature on India and specifically focuses on investment project (IP) location choice. I study three topics that naturally arise in sequence: geographic concentration of investment projects, the determinants of the location choices, and the impact these choices have on project success.
In Chapter 2, I provide the analysis of geographic concentration of IPs. I find that investments were concentrated over the period of observation (1996–2015), although the degree of concentration was decreasing. Additionally, I analyze different subsamples of the data set by ownership (Indian private, Indian public and foreign) and project status (completed or dropped). Foreign projects in all industries are more concentrated than private and public, while for the latter categories I identify only minor differences in concentration levels. Additionally, I find that the location patterns of completed and dropped investments are similar to that of the overall distribution and the distributions of their respective industries with completed IPs being somewhat more concentrated.
In Chapter 3, I study the determinants of project location choices with the focus on an important highway upgrade, the Golden Quadrilateral (GQ). In line with the existing literature, the GQ construction is connected to higher levels of investment in the affected non-nodal GQ districts in 2002–2016. I also provide suggestive evidence on changes in firm behavior after the GQ construction: Firms located in the non-nodal GQ districts became less likely to invest in their neighbor districts after the GQ completion compared to firms located in districts unaffected by the GQ construction.
Finally, in Chapter 4, I investigate the characteristics of IPs that may contribute to discontinuation of their implementation by comparing completed investments to dropped ones, defined as abandoned, shelved, and stalled investments as identified on the date of the data download. Controlling for local and business cycle conditions, as well as various investor and project characteristics, I show that projects located in close proximity to the investor offices (i.e., in the same district) are more likely to achieve the completion stage than more remote projects.
While women's evolving contribution to entrepreneurship is irrefutable, in almost all nations, gender disparity is an existing reality of entrepreneurship. Social and economic outcomes make women entrepreneurship an important area for scholars and governments. In attempts to find reasons for this gender disparity, academic scholars evaluated various factors and recognised perceptual variables as having outstanding explanatory value in understanding women's entrepreneurship. To advance our knowledge of gender disparity in entrepreneurship, the present study explores the influence of entrepreneurial perceptual variables on women's entrepreneurship and considers the critical role of country-level institutional contexts on the women's entrepreneurial propensity. Therefore, this study examines the impact of perceptual variables in different nations. It also offers connections between entrepreneurial perceptions, women entrepreneurship, and institutional contexts as a critical topic for future studies.
Drawing on the importance of perceptual factors, this dissertation investigates whether and how their perception of entrepreneurial networks influences the individuals' decision to initiate a new venture. Prior scholars considered exposure to entrepreneurial role models as one of the most influential factors on the women's inclination towards entrepreneurship; thus, a systemized analysis makes it possible to identify existing research gaps related to this perception. Hence, to draw a clear picture of the relationship between entrepreneurial role models and entrepreneurship, this dissertation provides a systemized overview of prior studies. Subsequently, Chapter 2 structures the existing literature on entrepreneurial role models and reveals that past literature has focused on the different types of role models, the stage of life at which the exposure to role models occurs, and the context of the exposure. Current discourse argues that the women's lower access to entrepreneurial role models negatively influences their inclination towards entrepreneurship.
Additionally, although the research on women entrepreneurship has proliferated in recent years, little is known about how entrepreneurial perceptual variables form women's propensity towards entrepreneurship in various institutional contexts. The work of Koellinger et al. (2013), hereafter KMS, is one of the most influential papers that investigated the influence of perceptual variables, and it showed that a lower rate of women entrepreneurship is associated with a lower level of their entrepreneurial network, perceived entrepreneurial capability, and opportunity evaluation and with a higher fear of entrepreneurial failure. Thus, this dissertation replicates the work of KMS. Chapter 3 explicitly investigates the influence of the above perceptions on women's entrepreneurial propensity. This research has drawn data from the Global Entrepreneurship Monitor, a cross-national individual-level data set (2001-2006) covering 236,556 individuals across 17 countries. The results of this chapter suggest that gender disparities in entrepreneurial propensity are conditioned by differences in entrepreneurial perceptual variables. Women's lower levels of perceived entrepreneurial capability, entrepreneurial role models and opportunity evaluation and their higher fear of failure lead to lower entrepreneurial propensity.
To extend and generalise the relationship between perceptions and women's entrepreneurial propensity, in Chapter 4, two studies are conducted based on replicated research. Extension 1 generalises the results of KMS by using the same analysis on more recent data. Accordingly, this research implemented the same analysis on 372,069 individuals across the same countries (2011-2016). The recent data show that although gender disparity became significantly weaker, the gender gap is still in men's favour. However, similarly to the replicated study, this research revealed that perceptual factors explain a larger part of the gender disparity. To strengthen prior empirical evidence, in extension 2, utilising a sample of 1,029,863 individuals from 71 countries (2011-2016), the study conducted the same measures and analysis in a more global setting. By including developing countries, gender disparity in entrepreneurial propensity decreased significantly. The study revealed that the relative significance of the influences of perceptions' differs significantly across nations; however, perceptions have a worldwide effect. Moreover, this research found that the ratio of nascent women entrepreneurs in less developed countries to those in more developed nations is 2. More precisely, a higher level of economic development negatively influences the impact of perceptions on women's entrepreneurial propensity.
Whereas prior scholars increasingly underlined the importance of perceptions in explaining a large part of gender disparities in entrepreneurship, most of the prior investigations focused on nascent (early-stage) entrepreneurship, and evidence on the relationship between perceptions and other types of self-employment, such as innovative entrepreneurship, is scant. Innovation is a confirmed key driver of a firm's sustainability, higher competitive capability, and growth. Therefore, Chapter 5 investigates the influence of perceptions on women's innovative entrepreneurship. The chapter points out that entrepreneurial perceptions are the main determinants of the women's decision to offer a new product or service. This chapter also finds that women's innovative entrepreneurship is associated with the country's specific economic setting.
Overall, by underlining the critical role of institutional contexts, this dissertation provides considerable insights into the interaction between perceptions and women entrepreneurship, and its results have implications for policymakers and practitioners, who may find it helpful to consider women entrepreneurship in systemized challenges. Formal and informal barriers affect women's entrepreneurial perceptions and can differ from one country to the other. In this sense, it is crucial to design operational plans to mitigate formal and stereotypical challenges, and thus, more women will be able to start a business, particularly in developing countries in which women significantly comprise a smaller portion of the labour markets. This type of policy could write the "rules of the game" such that these rules enhance the women's propensity towards entrepreneurship.
In vielen Branchen und vor allem in großen Unternehmen gehört eine Unterstützung von Geschäftsprozessen durch Workflow-Management-Systeme zum gelebten Alltag. Im Zentrum steht dabei die Steuerung kontrollflussorientierter Abläufe, während Prozesse mit einem Schwerpunkt auf Daten, Informationen und Wissen meist außen vor bleiben. Solche wissensintensive Prozesse (engl.: knowledge intensive processes) (KiPs) sind Untersuchungsgegenstand in vielen aktuellen Studien, welche ein derzeit aktives Forschungsgebiet formen.
Im Vordergrund solcher KiPs steht dabei das durch die mitwirkenden Personen eingebrachte Wissen, welches in einem wesentlichen Maß die Prozessausführung beeinflusst, hierdurch jedoch die Bearbeitung komplexer und meist hoch volatiler Prozesse ermöglicht. Hierbei handelt es sich zumeist um entscheidungsintensive Prozesse, Prozesse zur Wissensakquisition oder Prozesse, die zu einer Vielzahl unterschiedlicher Prozessabläufe führen können.
Im Rahmen dieser Arbeit wird ein Ansatz entwickelt und vorgestellt, der sich der Modellierung, Visualisierung und Ausführung wissensintensiver Prozesse unter Verwendung Semantischer Technologien widmet. Hierzu werden als die zentralen Anforderungen zur Ausführung von KiPs Flexibilität, Adaptivität und Zielorientierung definiert. Daran anknüpfend werden drei zentrale Grundprinzipien der Prozessmodellierung identifiziert, welche in der ersten Forschungsfrage aufgegriffen werden: „Können die drei Grundprinzipien in einem einheitlichen datenzentrierten, deklarativen, semantischen Ansatz (welcher mit ODD-BP bezeichnet wird) kombiniert werden und können damit die zentralen Anforderungen von KiPs erfüllt werden?”
Die Grundlage für ODD-BP bildet ein Metamodell, welches als Sprachkonstrukt fungiert und die Definition der angestrebten Prozessmodelle erlaubt. Darauf aufbauend wird mit Hilfe von Inferenzierungsregeln ein Verfahren entwickelt, welches das Schlussfolgern von Prozesszuständen ermöglicht und somit eine klassische Workflow-Engine überflüssig macht. Zudem wird eine Methodik eingeführt, die für jede in einem Prozess mitwirkende Person eine maßgeschneiderte, adaptive Prozessvisualisierung ermöglicht, um neben dem Freiheitsgrad der Flexibilität auch eine fundierte Prozessunterstützung bei der Ausführung von KiPs leisten zu können. All dies erfolgt innerhalb einer einheitlichen Wissensbasis, die zum einen die Grundlage für eine vollständige semantische Prozessmodellierung bildet und zum anderen die Möglichkeit zur Integration von Expertenwissen eröffnet. Dieses Expertenwissen kann einen expliziten Beitrag bei der Ausführung wissensintensiver Prozesse leisten und somit die Kollaboration von Mensch und Maschine durch Technologien der symbolischen KI ermöglichen. Die zweite Forschungsfrage greift diesen Aspekt auf: „Kann in dem ODD-BP Ansatz ontologisches Wissen so integriert werden, dass dieses in einer Prozessausführung einen Beitrag leistet?”
Das Metamodell sowie die entwickelten Methoden und Verfahren werden in einem prototypischen, generischen System realisiert, welches grundsätzlich für alle Anwendungsgebiete mit KiPs geeignet ist. Zur Validierung des ODD-BP Ansatzes erfolgt eine Ausrichtung auf den Anwendungsfall einer Notrufabfrage aus dem Leitstellenumfeld. Im Zuge der Evaluation wird gezeigt, wie dieser wissensintensive Ablauf von einer flexiblen, adaptiven und zielorientierten Prozessausführung profitiert. Darüber hinaus wird medizinisches Expertenwissen in den Prozessablauf integriert und es wird nachgewiesen, wie dieses zu verbesserten Prozessergebnissen beiträgt.
Wissensintensive Prozesse stellen Unternehmen und Organisationen in allen Branchen und Anwendungsfällen derzeit vor große Herausforderungen und die Wissenschaft und Forschung widmet sich der Suche nach praxistauglichen Lösungen. Diese Arbeit präsentiert mit ODD-BP einen vielversprechenden Ansatz, indem die Möglichkeiten Semantischer Technologien dazu genutzt werden, eine eng verzahnte Zusammenarbeit zwischen Mensch und Maschine bei der Ausführung von KiPs zu ermöglichen. Die zur Evaluation fokussierte Notrufabfrage innerhalb von Leitstellen stellt zudem einen höchst relevanten Anwendungsfall dar, da in einem akuten Notfall in kürzester Zeit Entscheidungen getroffen werden müssen, um weitreichenden Schaden abwenden und Leben retten zu können. Durch die Berücksichtigung umfassender Datenmengen und das Ausnutzen verfügbaren Expertenwissens kann so eine schnelle Lagebewertung mit Hilfe der maschinellen Unterstützung erreicht und der Mensch beim Treffen von richtigen Entscheidungen unterstützt werden.
Les Journées de la démocratie ou les semaines thématiques consacrées à un projet offrent une bonne occasion d’essayer des macro-méthodes d’éducation à la citoyenneté. Dans l’action simulée, les processus politiques peuvent être vécus du point de vue d’un acteur. Une approche remarquable de ce type d’apprentissage pratique de la démocratie est proposée par « Schule als Staat » (l’École en tant qu’État).
Les Journées de la démocratie offrent la possibilité de réfléchir aux principes et prérequis du vivre-ensemble démocratique, d’examiner le statu quo, les intérêts de chacun·e et les défis actuels de la démocratie - à l’école, dans la société et dans le monde entier - et de renforcer les développements démocratiques. En tant que césure dans la vie scolaire quotidienne, ils peuvent être une célébration, une occasion de réflexion et un moteur pour une culture scolaire démocratique.
Une Journée de la démocratie offre l’occasion de prendre du recul par rapport au développement de l’éducation à la démocratie en milieu scolaire, de réfléchir à l’état actuel des possibilités de participation, des groupes de travail et des comités, ainsi que de lancer conjointement de nouveaux plans et projets et de les façonner pour la communauté scolaire.
Les Journées de la démocratie offrent l’opportunité de discuter des défis sociaux actuels et des bases du vivre-ensemble démocratique en dehors de la classe, tout en impliquant plusieurs disciplines et différents groupes d’apprentissage. Cela s’applique tout autant aux écoles primaires que secondaires.
Comment organise-t-on les Journées de la démocratie dans la Grande Région ? Nous avons parlé à des représentant·e·s des ministères de l’éducation et de l’administration scolaire et les avons interrogé·e·s sur la signification des Journées de la démocratie, les orientations de la politique éducative, les objectifs, les souhaits et les mesures de soutien.
Les carnets paraissent deux fois par an et offrent aux dirigeant(e)s des écoles ainsi qu’au personnel des fondements théoriques et du matériel pratique pour la mise en oeuvre d’un développement scolaire démocratique. Chaque publication traite d’une méthode de l’éducation à la démocratie ou d’une question stratégique du développement scolaire. Les carnets en langue allemande sont mis à la disposition des écoles luxembourgeoises en version imprimée. L’ensemble du matériel ainsi que la version en langue française sont disponibles en ligne.
The present work explores how theories of motivation can be used to enhance video game research. Currently, Flow-Theory and Self-Determination Theory are the most common approaches in the field of Human-Computer Interaction. The dissertation provides an in-depth look into Motive Disposition Theory and how to utilize it to explain interindividual differences in motivation. Different players have different preferences and make different choices when playing games, and not every player experiences the same outcomes when playing the same game. I provide a short overview of the current state of the research on motivation to play video games. Next, Motive Disposition Theory is applied in the context of digital games in four different research papers, featuring seven studies, totaling 1197 participants. The constructs of explicit and implicit motives are explained in detail while focusing on the two social motives (i.e., affiliation and power). As dependent variables, behaviour, preferences, choices, and experiences are used in different game environments (i.e., Minecraft, League of Legends, and Pokémon). The four papers are followed by a general discussion about the seven studies and Motive Disposition Theory in general. Finally, a short overview is provided about other theories of motivation and how they could be used to further our understanding of the motivation to play digital games in the future. This thesis proposes that 1) Motive Disposition Theory represents a valuable approach to understand individual motivations within the context of digital games; 2) there is a variety of motivational theories that can and should be utilized by researchers in the field of Human-Computer Interaction to broaden the currently one-sided perspective on human motivation; 3) researchers should aim to align their choice of motivational theory with their research goals by choosing the theory that best describes the phenomenon in question and by carefully adjusting each study design to the theoretical assumptions of that theory.
Heterogenität ist Teil des (Schul-)Alltags, was sich in den Lerngruppen widerspiegelt, die Lehrkräfte in der Schule vorfinden. Unterschiedlichen Bedürfnissen auf Seiten der Schüler/-innenschaft soll – und das ist in zahlreichen der Öffentlichkeit zugänglichen Dokumenten, wie Schulgesetzen, Schulordnungen und Standards für die Lehrerbildung festgeschrieben – in Form von Differenzierung begegnet werden. Innerhalb dieser Dissertation wird untersucht, wie Binnendifferenzierung auf Mikroebene in der Schulpraxis implementiert wird. Dabei werden die Einsatzhäufigkeit binnendifferenzierender Maßnahmen und Kontextvariablen von Binnendifferenzierung untersucht. Anhand einer Stichprobe von N = 295 Lehrkräften verschiedener Schulformen, die die Fächer Deutsch und/oder Englisch unterrichten, wurde u.a. gezeigt, dass Binnendifferenzierung allgemein nicht (sehr) häufig eingesetzt wird, dass manche Maßnahmen häufiger Einsatz finden als andere, dass an Gymnasien Binnendifferenzierung nicht so häufig eingesetzt wird, wie an anderen Schulformen und dass die Einsatzhäufigkeit bedingende Kontextfaktoren bspw. kollegiale Zusammenarbeit bei der Unterrichtsplanung und -durchführung, die wahrgenommene Qualität der Lehramtsausbildung hinsichtlich des Umgangs mit Heterogenität und die Bereitschaft zur Implementation von Binnendifferenzierung sind und auch Einstellungen zu Binnendifferenzierung und (Lehrer/-innen)Selbstwirksamkeitserwartungen in Zusammenhang mit dem Maßnahmeneinsatz stehen. Die durchgeführte Post-hoc Analyse zeigte bzgl. Einsatzhäufigkeit weiterhin Zusammenhänge zwischen der Persönlichkeit der Lehrkräfte und der Schulform, an der diese unterrichten. Die Ergebnisse entstammen der Schulpraxis und liefern deshalb praktische Implikationen, wie bspw. Hinweise zur Steigerung der Qualität der Lehramtsausbildung, die neben zukünftigen Forschungsansätzen im Rahmen dieser Arbeit expliziert werden.
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.
With the ongoing trend towards deep learning in the remote sensing community, classical pixel based algorithms are often outperformed by convolution based image segmentation algorithms. This performance was mostly validated spatially, by splitting training and validation pixels for a given year. Though generalizing models temporally is potentially more difficult, it has been a recent trend to transfer models from one year to another, and therefore to validate temporally. The study argues that it is always important to check both, in order to generate models that are useful beyond the scope of the training data. It shows that convolutional neural networks have potential to generalize better than pixel based models, since they do not rely on phenological development alone, but can also consider object geometry and texture. The UNET classifier was able to achieve the highest F1 scores, averaging 0.61 in temporal validation samples, and 0.77 in spatial validation samples. The theoretical potential for overfitting geometry and just memorizing the shape of fields that are maize has been shown to be insignificant in practical applications. In conclusion, kernel based convolutions can offer a large contribution in making agricultural classification models more transferable, both to other regions and to other years.
Many people are aware of the negative consequences of plastic use on the environment. Nevertheless, they use plastic due to its functionality. In the present paper, we hypothesized that this leads to the experience of ambivalence—the simultaneous existence of positive and negative evaluations of plastic. In two studies, we found that participants showed greater ambivalence toward plastic packed food than unpacked food. Moreover, they rated plastic packed food less favorably than unpacked food in response evaluations. In Study 2, we tested whether one-sided (only positive vs. only negative) information interventions could effectively influence ambivalence. Results showed that ambivalence is resistant to (social) influence. Directions for future research were discussed.
Energy transition strategies in Germany have led to an expansion of energy crop cultivation in landscape, with silage maize as most valuable feedstock. The changes in the traditional cropping systems, with increasing shares of maize, raised concerns about the sustainability of agricultural feedstock production regarding threats to soil health. However, spatially explicit data about silage maize cultivation are missing; thus, implications for soil cannot be estimated in a precise way. With this study, we firstly aimed to track the fields cultivated with maize based on remote sensing data. Secondly, available soil data were target-specifically processed to determine the site-specific vulnerability of the soils for erosion and compaction. The generated, spatially-explicit data served as basis for a differentiated analysis of the development of the agricultural biogas sector, associated maize cultivation and its implications for soil health. In the study area, located in a low mountain range region in Western Germany, the number and capacity of biogas producing units increased by 25 installations and 10,163 kW from 2009 to 2016. The remote sensing-based classification approach showed that the maize cultivation area was expanded by 16% from 7305 to 8447 hectares. Thus, maize cultivation accounted for about 20% of the arable land use; however, with distinct local differences. Significant shares of about 30% of the maize cultivation was done on fields that show at least high potentials for soil erosion exceeding 25 t soil ha−1 a−1. Furthermore, about 10% of the maize cultivation was done on fields that pedogenetically show an elevated risk for soil compaction. In order to reach more sustainable cultivation systems of feedstock for anaerobic digestion, changes in cultivated crops and management strategies are urgently required, particularly against first signs of climate change. The presented approach can regionally be modified in order to develop site-adapted, sustainable bioenergy cropping systems.
The parameterization of ocean/sea-ice/atmosphere interaction processes is a challenge for regional climate models (RCMs) of the Arctic, particularly for wintertime conditions, when small fractions of thin ice or open water cause strong modifications of the boundary layer. Thus, the treatment of sea ice and sub-grid flux parameterizations in RCMs is of crucial importance. However, verification data sets over sea ice for wintertime conditions are rare. In the present paper, data of the ship-based experiment Transarktika 2019 during the end of the Arctic winter for thick one-year ice conditions are presented. The data are used for the verification of the regional climate model COSMO-CLM (CCLM). In addition, Moderate Resolution Imaging Spectroradiometer (MODIS) data are used for the comparison of ice surface temperature (IST) simulations of the CCLM sea ice model. CCLM is used in a forecast mode (nested in ERA5) for the Norwegian and Barents Seas with 5 km resolution and is run with different configurations of the sea ice model and sub-grid flux parameterizations. The use of a new set of parameterizations yields improved results for the comparisons with in-situ data. Comparisons with MODIS IST allow for a verification over large areas and show also a good performance of CCLM. The comparison with twice-daily radiosonde ascents during Transarktika 2019, hourly microwave water vapor measurements of first 5 km in the atmosphere and hourly temperature profiler data show a very good representation of the temperature, humidity and wind structure of the whole troposphere for CCLM.
Social innovation became a widely discussed topic in politics, research funding programs, and business development. Recent European and US economic and science policies have set aside significant funds to generate and foster social innovation. In view of current challenges such as digitization, Work 4.0, inclusion or migrant integration, the question of how organizations can be empowered to develop new and innovative approaches and service models to social challenges is becoming increasingly urgent. This especially applies to organizations in the fields of education and social services. In education, implementing new ideas and concepts is usually discussed as educational reform, which mostly addresses changes in policy agendas with consequences for national and international education systems. The concept of social innovation however has a different starting point: the source of new ideas and services are identified new, emergent needs in society or re-conceptualized. Such need-based perspectives might bring new impulses to the field of education. Therefore, this paper identifies important existing strands of social innovation research, which need to be considered in the emerging academic discourse on social innovation in education. Looking at social innovation through an education research lens reveals the close relation between learning, creativity, and innovation. Individuals, teams, and even organizations learn, engage in creative problem solving to create new and innovative products and services. From an organizational education perspective, the questions arise, how social innovation emerges and even more important, how the process of developing social innovation can be supported. After a brief introduction in the concept of social innovation, the paper discusses therefore the sites, where social innovation emerges, social innovators, approaches to foster social innovation as well as promoting and hindering factors for social innovation.
Digitalization primarily takes place in and through organizations. Despite this prominent role, however, the importance of organizational structure-building processes in the digital transformation is still underexposed in discourse. The fact that ongoing digitalization is linked to an established phenomenon and its own logic, is regularly not addressed due to the attraction potential of the semantics of the digital revolution. Digital revolution and the reordering of societal relationships, though, manifest themselves primarily in processes of reorganization. Structural automation processes in the ongoing digital transformation are limiting the scope for action, necessitating forms of structural structurelessness in organizations that cultivate opportunities for chance. Since organizations realize their operations as a dual of structure and individual, and the principle of organization is therefore based on the complementarity of structural formality and unpredictable informality. The paper discusses the topicality of the classical form of modern organization in the digital age and reflects on approaches to a contemporary design of spaces of opportunity. The reflexive handling of future openness is the central task of management and leadership in order to enable variation and innovation in organizations.
Gewährleistung 4.0
(2021)
Ist das bestehende Rechtssystem auf technischen Fortschritt vorbereitet?
Gunnar Schilling untersucht diese Frage mit Blick auf die automatisierte Abwicklung von Gewährleistungsrechten. Er nimmt eine Analyse des geltenden Rechtsrahmens vor und schlägt schließlich ein separates Regelungsregime
für automatisierte Kaufverträge vor.
Demokratietage oder Projektwochen bieten eine gute Gelegenheit, Makromethoden politischer Bildung zu erproben. Im simulativen Handeln können politische Prozesse aus der Akteursperspektive erlebt werden. Einen bemerkenswerten Ansatz eines derart praktischen Demokratie-Lernens bietet „Schule als Staat“.
Ein Demokratietag bietet die Möglichkeit, die demokratiepädagogische Schulentwicklung in den Blick zu nehmen, den aktuellen Stand der Partizipationsmöglichkeiten, Arbeitsgruppen und Gremien zu reflektieren und gemeinsam neue Vorhaben und Projekte anzustoßen und für die Schulgemeinschaft zu gestalten.
Demokratietage bieten die Chance, Grundsätze und Voraussetzungen demokratischen Zusammenlebens zu vergegenwärtigen, den Status quo, eigene Interessen und aktuelle Herausforderungen der Demokratie – in Schule, Gesellschaft und weltweit – in den Blick zu nehmen und demokratische Entwicklungen zu stärken. Als Zäsur im Schulalltag können sie Feier, Reflexionsanlass und Motor demokratischer Schulkultur sein.
Die Praxishefte Demokratische Schulkultur erscheinen halbjährlich und bieten Schulleitungen und Schulpersonal theoretische Grundlagen und praxisorientierte Anleitungen zur demokratiepädagogischen Schulentwicklung. Jedes Themenheft ist jeweils einer demokratiepädagogischen Bauform oder strategischen Frage der Schulentwicklung gewidmet. Die Praxishefte werden allen Luxemburger Schulen als Printausgabe zur Verfügung gestellt und online mit zusätzlichen Materialien und in französischer Fassung vorgehalten.
In order to classify smooth foliated manifolds, which are smooth maifolds equipped with a smooth foliation, we introduce the de Rham cohomologies of smooth foliated manifolds. These cohomologies are build in a similar way as the de Rham cohomologies of smooth manifolds. We develop some tools to compute these cohomologies. For example we proof a Mayer Vietoris theorem for foliated de Rham cohomology and show that these cohomologys are invariant under integrable homotopy. A generalization of a known Künneth formula, which relates the cohomologies of a product foliation with its factors, is discussed. In particular, this envolves a splitting theory of sequences between Frechet spaces and a theory of projective spectrums. We also prove, that the foliated de Rham cohomology is isomorphic to the Cech-de Rham cohomology and the Cech cohomology of leafwise constant functions of an underlying so called good cover.
Rückkehrprozesse aus Genderperspektive: remigrierte (Spät-)Aussiedler-Ehepaare in Westsibirien
(2021)
Die Studie untersucht die Rückkehrprozesse von (Spät-)Aussiedler-Ehepaaren aus Deutschland nach Westsibirien. Ein besonderes Augenmerk wird auf die Sichtweisen der Frauen und Männer hinsichtlich ihrer gemachten Erfahrung der Remigration gelegt. Darüber hinaus analysiert die Studie einerseits die Gemeinsamkeiten und Unterschiede beider Geschlechter im Hinblick auf die Rückkehrmotive, die Zufriedenheit mit der Wiederanpassung in Russland sowie die Einstellung hinsichtlich einer erneuten Migration nach Deutschland. Andererseits fokussiert die Arbeit auf die Geschlechterverhältnisse unter den Ehegatten im Prozess der Entscheidungsfindung zur Remigration. Die Studie folgt einem qualitativen methodischen Ansatz und verbindet verschiedene Forschungsrichtungen, genauer (Re)Migrations-, Familien-, (Spät-)AussiedlerInnen- und Geschlechterforschung.
Au départ de la base de données de l’enquête Luxmobil 2017, cet article présente les principaux résultats relatifs aux distributions spatiales de l’emploi et des choix modaux liés aux déplacements domicile-travail des travailleurs actifs au Grand-Duché de Luxembourg, tant résidents que frontaliers. Cette analyse permet de mettre en évidence les importantes disparités quant à ces répartitions, la dépendance à la voiture prédominante et les conditions requises pour atteindre une part modale élevée en transports en commun. Face au défi européen de décarbonation d’ici 2050 et tenant compte des documents stratégiques nationaux et suprarégionaux, dans l’optique de coordonner l’urbanisation avec l'offre en transport en commun, une politique transfrontalière volontariste de type transit-oriented development apparait nécessaire.