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The last decades of stress research have yielded substantial advancements highlighting the importance of the phenomenon for basic psychological functions as well as physical health and well-being. Progress in stress research heavily relies on the availability of suitable and well validated laboratory stressors. Appropriate laboratory stressors need to be able to reliably provoke a response in the relevant parameters and be applicable in different research settings or experimental designs. This thesis focuses on the Cold Pressor Test (CPT) as a stress induction technique. Three published experiments are presented that show how the advantages of the CPT can be used to test stress effects on memory processes and how some of its disadvantages can be met by a simple modification that retains its feasibility and validity. The first experiment applies the CPT in a substantial sample to investigate the consolidation effects of post-learning sympathetic arousal. Stressed participants with high increases in heart rate during the CPT showed enhanced memory performance one day after learning compared to both the warm water control group and low heart rate responders. This finding suggests that beta-adrenergic activation elicited shortly after learning enhances memory consolidation and that the CPT induced heart rate response is a predictor for this effect. Moreover, the CPT proved to be an appropriate stressor to test hypothesis about endogenous adrenergic effects on memory processes. The second experiment addresses known practical limitations of the standard dominant hand CPT protocol. A bilateral feet CPT modification is presented, the elicited neuroendocrine stress response assessed and validated against the standard CPT in a within-subjects design. The bilateral feet CPT elicited a substantial neuroendocrine stress response. Moreover, with the exception of blood pressure responses, all stress parameters were enhanced compared to the standard CPT. This shows that the bilateral feet CPT is a valid alternative to the standard CPT. The third experiment further validates the bilateral feet CPT and its corresponding control procedure by employing it in a typical application scenario. Specifically, the bilateral feet CPT was used to modulate retrieval of event files in a distractor-response binding paradigm that required lateralized bimanual responses. Again, the bilateral feet CPT induced significant increases in heart rate, blood pressure and cortisol, no such increases could be observed in the warm water control condition. Moreover, stressed participants showed diminished retrieval compared to controls. These results provide further evidence for the feasibility and validity of the bilateral feet CPT and its warm water control procedure. Together the experiments presented here highlight the usefulness of the CPT as a tool in psychophysiological stress research. It is especially well suited to test hypothesis concerning stress effects on memory processes and its applicability can be further increased by the bilateral feet modification.
The Constitution of Latvia
(2004)
The article offers a concise view on the constitution of the Baltic state of Latvia. After an introduction focusing on constitutional history, the author explores basic principles and human rights in the text of the constitution and explains the main constitutional bodies and their functions in legislative, executive and judiciary. Chapters on citizenship and religious rights round up this introduction to the Latvian Constitution.
Although geographically it belongs to Europe, as far as the constitutionality control of the statutory provisions is concerned, Greece follows the American system. That means that there is no Constitutional Court and, on the contrary, every court (even those of first instance) are entitled, and indeed obliged, to control the constitutionality of the laws (Articles 87 par. 2 and 93 par. 4 of the Greek Constitution). The Greek Courts examine only the substantial and not the formal constitutionality of the statutory provisions. If a court comes to the result of the unconstitutionality, then the statutory provision is not annulled and removed from the legal order, but it is not applied by the court in the relevant court procedure. The only – rather rare – case where a statutory provision is erga omnes annulled is when this is ordered by a decision of the Highest Special Court (Article 100 of the Greek Constitution), following a disagreement between two of the three highest Courts, namely between Symvoulio tis Epikrateias (highest Administrative Court), Areios Pagos (Cassations Court in Civil and Criminal procedures) and Elegtiko Synedrio (Court of Audit).
The presentation is going to examine the origins of the Greek system of the constitutionality control. It will also focus on the advantages and disadvantages of the Greek system and on the scientific and political discussion. Last but not least, the presentation will examine the role of the Council of State, which, although formally not a Constitutional Court, in practice issues the vast majority of the court decisions which accept the unconstitutionality of statutory provisions.
Academic achievement is a central outcome in educational research, both in and outside higher education, has direct effects on individual’s professional and financial prospects and a high individual and public return on investment. Theories comprise cognitive as well as non-cognitive influences on achievement. Two examples frequently investigated in empirical research are knowledge (as a cognitive determinant) and stress (as a non-cognitive determinant) of achievement. However, knowledge and stress are not stable, what raises questions as to how temporal dynamics in knowledge on the one hand and stress on the other contribute to achievement. To study these contributions in the present doctoral dissertation, I used meta-analysis, latent profile transition analysis, and latent state-trait analysis. The results support the idea of knowledge acquisition as a cumulative and long-term process that forms the basis for academic achievement and conceptual change as an important mechanism for the acquisition of knowledge in higher education. Moreover, the findings suggest that students’ stress experiences in higher education are subject to stable, trait-like influences, as well as situational and/or interactional, state-like influences which are differentially related to achievement and health. The results imply that investigating the causal networks between knowledge, stress, and academic achievement is a promising strategy for better understanding academic achievement in higher education. For this purpose, future studies should use longitudinal designs, randomized controlled trials, and meta-analytical techniques. Potential practical applications include taking account of students’ prior knowledge in higher education teaching and decreasing stress among higher education students.
The daily dose of health information: A psychological view on the health information seeking process
(2021)
The search for health information is becoming increasingly important in everyday life, as well as socially and scientifically relevant Previous studies have mainly focused on the design and communication of information. However, the view of the seeker as well as individual
differences in skills and abilities has been a neglected topic so far. A psychological perspective on the process of searching for health information would provide important starting points for promoting the general dissemination of relevant information and thus improving health behaviour and health status. Within the present dissertation, the process of seeking health information was thus divided into sequential stages to identify relevant personality traits and skills. Accordignly, three studies are presented that focus on one stage
of the process respectively and empirically test potential crucial traits and skills: Study I investigates possible determinants of an intention for a comprehensive search for health information. Building an intention is considered as the basic step of the search process.
Motivational dispositions and self-regulatory skills were related to each other in a structural equation model and empirically tested based on theoretical investigations. Model fit showed an overall good fit and specific direct and indirect effects from approach and avoidance
motivation on the intention to seek comprehensively could be found, which supports the theoretical assumptions. The results show that as early as the formation of intention, the psychological perspective reveals influential personality traits and skills. Study II deals with the subsequent step, the selection of information sources. The preference for basic characteristics of information sources (i.e., accessibility, expertise, and interaction) is related to health information literacy as a collective term for relevant skills and intelligence as a personality trait. Furthermore, the study considers the influence of possible over- or underestimation of these characteristics. The results show not only a different predictive
contribution of health literacy and intelligence, but also the relevance of subjective and objective measurement.
Finally, Study III deals with the selection and evaluation of the health information previously found. The phenomenon of selective exposure is analysed, as this can be considered problematic in the health context. For this purpose, an experimental design was implemented in which a varying health threat was suggested to the participants. Relevant information was presented and the selective choice of this information was assessed. Health literacy was tested
as a moderator in a function of the induced threat and perceived vulnerability, triggering defence motives on the degree of bias. Findings show the importance of the consideration of the defence motives, which could cause a bias in the form of selective exposure. Furthermore, health literacy even seems to amplify this effect.
Results of the three studies are synthesized, discussed and general conclusions are drawn and implications for further research are determined.
This dissertation details how Zeami (ca. 1363 - ca.1443) understood his adoption of the heavenly woman dance within the historical conditions of the Muromachi period. He adopted the dance based on performances by the Ōmi troupe player Inuō in order to expand his own troupe’s repertoire to include a divinely powerful, feminine character. In the first chapter, I show how Zeami, informed by his success as a sexualized child in the service of the political elite (chigo), understood the relationship between performer and audience in gendered terms. In his treatises, he describes how a player must create a complementary relationship between patron and performer (feminine/masculine or yin/yang) that escalates to an ecstasy of successful communication between the two poles, resembling sexual union. Next, I look at how Zeami perceived Inuō’s relationships with patrons, the daimyo Sasaki Dōyo in chapter two and shogun Ashikaga Yoshimitsu in chapter three. Inuō was influenced by Dōyo’s masculine penchant for powerful, awe-inspiring art, but Zeami also recognized that Inuō was able to complement Dōyo’s masculinity with feminine elegance (kakari and yūgen). In his relationship with Yoshimitsu, Inuō used the performance of subversion, both in his public persona and in the aesthetic of his performances, to maintain a rebellious reputation appropriate within the climate of conflict among the martial elite. His play “Aoi no ue” draws on the aristocratic literary tradition of the Genji monogatari, giving Yoshimitsu the role of Prince Genji and confronting him with the consequences of betrayal in the form of a demonic, because jilted, Lady Rokujō. This performance challenged Zeami’s early notion that the extreme masculinity of demons and elegant femininity as exemplified by the aristocracy must be kept separate in character creation. In the fourth chapter, I show how Zeami also combined dominance (masculinity) and submission (femininity) in the corporal capacity of a single player when he adopted the heavenly woman dance. The heavenly woman dance thus complemented not only the masculinity of his male patrons with femininity but also the political power of his patrons with another dominant power, which plays featuring the heavenly woman dance label divine rather than masculine.
The catechol-O-methyltransferase gene (COMT) plays a crucial role in the metabolism of catecholamines in the frontal cortex. A single nucleotide polymorphism (Val158Met SNP, rs4680) leads to either methionine (Met) or valine (Val) at codon 158, resulting in a three- to fourfold reduction in COMT activity. The aim of the present study was to assess the COMT Val158Met SNP as a risk factor for attention-deficit/hyperactivity disorder (ADHD), ADHD symptom severity and co-morbid conduct disorder (CD) in 166 children with ADHD. The main finding of the present study is that the Met allele of the COMT Val158Met SNP was associated with ADHD and increased ADHD symptom severity. No association with co-morbid CD was observed. In addition, ADHD symptom severity and early adverse familial environment were positive predictors of lifetime CD. These findings support previous results implicating COMT in ADHD symptom severity and early adverse familial environment as risk factors for co-morbid CD, emphasizing the need for early intervention to prevent aggressive and maladaptive behavior progressing into CD, reducing the overall severity of the disease burden in children with ADHD.
The equity premium (Mehra and Prescott, 1985) is still a puzzle in the sense that there are still no convincing explanations for the size of the equity premium. In this dissertation, we study this long-standing puzzle and several possible behavioral explanations. First, we apply the IRR methodology proposed by Fama and French (1999) to achieve large firm level data on the equity premia for N = 28,256 companies in 54 countries around the world. Second, by using preferences data from the INTRA study (Rieger et. al., 2014), we could test the relevant risk factors together with time cognition to explain the equity premium. We document the failure of the Myopic Loss Aversion hypothesis by Benartzi and Thaler (1995) but provides rigorous empirical evidence to support the behavioral theory of ambiguity aversion to account for the equity premium. The observations shed some light on the new approach of integrating risk and ambiguity (together with time preferences) into a more general model of uncertainty, in which both risk premium and ambiguity premium play roles in asset pricing models.
My study attempts to illustrate the generic development of the family novel in the second half of the twentieth century. At its beginning stands a preliminary classification of the various types of family fiction as they are referred to in secondary literature, which is then followed by a definition of the family novel proper. With its microscopic approach to novels featuring the American family and its (post-)postmodern variations, my study marks a first step into as yet uncharted territory. Assuming that the family novel has emerged as a result of the twentieth century's emphasis on the modern nuclear family, focuses on the family as a gestalt rather than on a single protagonist, and is concerned with issues of social and cultural significance, this study examines how the family, its forms and its conflicts are functionalized for the respective author's cultural critique. From post-war to post-millennium, family novelists have sketched the American family in various precarious conditions, and their texts are critical assessments of contemporary socioeconomic and cultural conditions. My close reading of John Cheever's The Wapshot Chronicle (1957), Don DeLillo's White Noise (1985) and Jonathan Franzen's The Corrections (2001) intends to reveal, shared values as well as significant differences on a formal as well as on a thematic level. As my examination of the respective novel shows, authors react to social and cultural change with new functionalizations of the family in fiction. Unlike the general assumption of literary crticism, family novels do not approach new cultural developments in a conventional or even traditionalist manner. A comparison of White Noise with The Wapshot Chronicle demonstrates that DeLillo's postmodern family novel transcends the rather nostalgic perspective of Cheever's 1950s work. Similarly, Jonathan Franzen's fin de millennium family novel The Corrections holds a post-postmodern position, which can be aptly described by Franzen's own term 'tragical realism'. The significant changes and developments of the family novel in the past five decades demonstrate the need for a continuous reassessment of the genre, and in this respect, my study is merely a beginning.
The Firepower of Work Craving: When Self-Control Is Burning under the Rubble of Self-Regulation
(2017)
Work craving theory addresses how work-addicted individuals direct great emotion-regulatory efforts to weave their addictive web of working. They crave work for two main emotional incentives: to overcompensate low self-worth and to escape (i.e., reduce) negative affect, which is strategically achieved through neurotic perfectionism and compulsive working. Work-addicted individuals" strong persistence and self-discipline with respect to work-related activities suggest strong skills in volitional action control. However, their inability to disconnect from work implies low volitional skills. How can work-addicted individuals have poor and strong volitional skills at the same time? To answer this paradox, we elaborated on the relevance of two different volitional modes in work craving: self-regulation (self-maintenance) and self-control (goal maintenance). Four hypotheses were derived from Wojdylo- work craving theory and Kuhl- self-regulation theory: (H1) Work craving is associated with a combination of low self-regulation and high self-control. (H2) Work craving is associated with symptoms of psychological distress. (H3) Low self-regulation is associated with psychological distress symptoms. (H4) Work craving mediates the relationships between self-regulation deficits and psychological distress symptoms at high levels of self-control. Additionally, we aimed at supporting the discriminant validity of work craving with respect to work engagement by showing their different volitional underpinnings. Results of the two studies confirmed our hypotheses: whereas work craving was predicted by high self-control and low self-regulation and associated with higher psychological distress, work engagement was predicted by high self-regulation and high self-control and associated with lower symptoms of psychological distress. Furthermore, work styles mediated the relationship between volitional skills and symptoms of psychological distress. Based on these new insights, several suggestions for prevention and therapeutic interventions for work-addicted individuals are proposed.
When humans encounter attitude objects (e.g., other people, objects, or constructs), they evaluate them. Often, these evaluations are based on attitudes. Whereas most research focuses on univalent (i.e., only positive or only negative) attitude formation, little research exists on ambivalent (i.e., simultaneously positive and negative) attitude formation. Following a general introduction into ambivalence, I present three original manuscripts investigating ambivalent attitude formation. The first manuscript addresses ambivalent attitude formation from previously univalent attitudes. The results indicate that responding to a univalent attitude object incongruently leads to ambivalence measured via mouse tracking but not ambivalence measured via self-report. The second manuscript addresses whether the same number of positive and negative statements presented block-wise in an impression formation task leads to ambivalence. The third manuscript also used an impression formation task and addresses the question of whether randomly presenting the same number of positive and negative statements leads to ambivalence. Additionally, the effect of block size of the same valent statements is investigated. The results of the last two manuscripts indicate that presenting all statements of one valence and then all statements of the opposite valence leads to ambivalence measured via self-report and mouse tracking. Finally, I discuss implications for attitude theory and research as well as future research directions.
The forward effect of testing refers to the finding that retrieval practice of previously studied information increases retention of subsequently studied other information. It has recently been hypothesized that the forward effect (partly) reflects the result of a reset-of-encoding (ROE) process. The proposal is that encoding efficacy decreases with an increase in study material, but testing of previously studied information resets the encoding process and makes the encoding of the subsequently studied information as effective as the encoding of the previously studied information. The goal of the present study was to verify the ROE hypothesis on an item level basis. An experiment is reported that examined the effects of testing in comparison to restudy on items’ serial position curves. Participants studied three lists of items in each condition. In the testing condition, participants were tested immediately on non-target lists 1 and 2, whereas in the restudy condition, they restudied lists 1 and 2. In both conditions, participants were tested immediately on target list 3. Influences of condition and items’ serial learning position on list 3 recall were analyzed. The results showed the forward effect of testing and furthermore that this effect varies with items’ serial list position. Early target list items at list primacy positions showed a larger enhancement effect than middle and late target list items at non-primacy positions. The results are consistent with the ROE hypothesis on an item level basis. The generalizability of the ROE hypothesis across different experimental tasks, like the list-method directed-forgetting task, is discussed.
The forward testing effect refers to the finding that retrieval practice of previously studied information enhances learning and retention of subsequently studied other information. While most of the previous research on the forward testing effect examined group differences, the present study took an individual differences approach to investigate this effect. Experiment 1 examined whether the forward effect has test-retest reliability between two experimental sessions. Experiment 2 investigated whether the effect is related to participants’ working memory capacity. In both experiments (and each session of Experiment 1), participants studied three lists of items in anticipation of a final cumulative recall test. In the testing condition, participants were tested immediately on lists 1 and 2, whereas in the restudy condition, they restudied lists 1 and 2. In both conditions, participants were tested immediately on list 3. On the group level, the results of both experiments demonstrated a forward testing effect, with interim testing of lists 1 and 2 enhancing immediate recall of list 3. On the individual level, the results of Experiment 1 showed that the forward effect on list 3 recall has moderate test-retest reliability between two experimental sessions. In addition, the results of Experiment 2 showed that the forward effect on list 3 recall does not depend on participants’ working memory capacity. These findings suggest that the forward testing effect is reliable at the individual level and affects learners at a wide range of working memory capacities alike. The theoretical and practical implications of the findings are discussed.
"Culture", in addition to its ethnic signification, can also express various groups' and communities' political and economic situation in society. As well as signifying the accommodation of ethnic diversity, the integration of dissimilar cultures in South Africa has to do with both the former oppressors and the formerly oppressed coming to terms with the oppression of the past, and with the equitable distribution of material means. Constitutional and other legal means have been designed to facilitate a process of integration dealing with the abovementioned issues. Some of these measures will be looked at. The speaker will argue that the integration of different cultures in South Africa cannot and will not be achieved if the law is invoked, in a strong arm fashion, trying to concoct a melting pot. The law can do no more than aiding the facilitation of a process of consolidation as precondition to nation building. Deep-seated, cultural differences among various sections of the population cannot and should not be denied or simply thought away.
Stress represents a significant problem for Western societies inducing costs as high as 3-4 % of the European gross national products, a burden that is continually increasing (WHO Briefing, EUR/04/5047810/B6). The classical stress response system is the hypothalamic-pituitary-adrenal (HPA) axis which acts to restore homeostasis after disturbances. Two major components within the HPA axis system are the glucocorticoid receptor (GR) and the mineralocorticoid receptor (MR). Cortisol, released from the adrenal glands at the end of the HPA axis, binds to MRs and with a 10 fold lower affinity to GRs. Both, impairment of the HPA axis and an imbalance in the MR/GR ratio enhances the risk for infection, inflammation and stress related psychiatric disorders. Major depressive disorder (MDD) is characterised by a variety of symptoms, however, one of the most consistent findings is the hyperactivity of the HPA axis. This may be the result of lower numbers or reduced activity of GRs and MRs. The GR gene consists of multiple alternative first exons resulting in different GR mRNA transcripts whereas for the MR only two first exons are known to date. Both, the human GR promoter 1F and the homologue rat Gr promoter 1.7 seem to be susceptible to methylation during stressful early life events resulting in lower 1F/1.7 transcript levels. It was proposed that this is due to methylation of a NGFI-A binding site in both, the rat promoter 1.7 and the human promoter 1F. The research presented in this thesis was undertaken to determine the differential expression and methylation patterns of GR and MR variants in multiple areas of the limbic brain system in the healthy and depressed human brain. Furthermore, the transcriptional control of the GR transcript 1F was investigated as expression changes of this transcript were associated with MDD, childhood abuse and early life stress. The role of NGFI-A and several other transcription factors on 1F regulation was studied in vitro and the effect of Ngfi-a overexpression on the rat Gr promoter 1.7 in vivo. The susceptibility to epigenetic programming of several GR promoters was investigated in MDD. In addition, changes in methylation levels have been determined in response to a single acute stressor in rodents. Our results showed that GR and MR first exon transcripts are differentially expressed in the human brain, but this is not due to epigenetic programming. We showed that NGFI-A has no effect on endogenous 1F/1.7 expression in vitro and in vivo. We provide evidence that the transcription factor E2F1 is a major element in the transcriptional complex necessary to drive the expression of GR 1F transcripts. In rats, highly individual methylation patterns in the paraventricular nucleus of the hypothalamus (PVN) suggest that this is not related to the stressor but can rather be interpreted as pre-existing differences. In contrast, the hippocampus showed a much more uniform epigenetic status, but still is susceptible to epigenetic modification even after a single acute stress suggesting a differential "state‟ versus "trait‟ regulation of the GR gene in different brain regions. The results of this thesis have given further insight in the complex transcriptional regulation of GR and MR first exons in health and disease. Epigenetic programming of GR promoters seems to be involved in early life stress and acute stress in adult rats; however, the susceptibility to methylation in response to stress seems to vary between brain regions.
This guide is meant to provide some initial bibliographical assistance to those who want to study the historical evolution of ecological thinking in Canada on the basis of poetry. A major theoretical assumption underlying this project is that literature gives privileged access to a nation's cultural memory. Even a cursory survey of Canadian literary history supplies ample evidence for the marked presence of ecological attitudes in Canada's mental history. The origin of these attitudes can be traced back to at least the 18th century. By way of generalising, one could argue that literature reflects, and provides subtle insights into, how both native Canadians and immigrant settlers have responded to their 'eco-sphere'. For many Canadian texts bear witness to a thematic preoccupation with the Canadian oikos-area (oikos signifying 'house' in a narrower sense but also 'habitat' in a wider), to which its inhabitants have established a meaningful relationship. No doubt, even a preliminary attempt to explore ecological attitudes in Canadian literature more systematically would be a multi-facetted and difficult task. One of the major practical problems that poses itself immediately is: Which texts could, and ought to be examined? For there are innumerous references to environmental attitudes and ideas in all literary genres -- also in a great many fictional texts, both traditional and contemporary. For the purpose of research and study it would be extremely helpful indeed, if there were comprehensive bibliographical aids that would enable us to approach, and familiarize ourselves with, all these texts more conveniently. But the challenge of collecting pertinent data of this general kind would have been far beyond my scope and resources. This is why the present guide limits its focus to poetry. The working hypotheses motivating this tentative compilation are: i. Poetry is a more ubiquitous literary genre than fiction and drama. According to available evidence, more writers seem to have tried out their skills on poetry than on fiction and drama. Therefore poetry is likely to mirror a greater variety of voices and sentiments. ii. Poems are still a relatively untapped source in the current discussion about the environment. However, a great many poetic texts lend themselves to supplying relevant arguments that could be used in various fields of action such as environmental ethics, evironmental education and, last but not least, conservation. iii. Apart from smaller pieces of the "nature writing" variety, poems dealing with nature and environmental issues are comparatively short, aiming as they do at a single focus and effect. This is why they can be opened up for critical inspection more easily than selected passages from, say, a novel, which would have to be related to the context of the whole work. iv. This guide attempts to direct the user's attention to poems that are accessible in anthologies. A strong argument for selecting poems from anthologies rather than from individual writers' collections is that the anthology editors are likely to have selected precisely those poems of whose appeal to their respective readerships they must have been thoroughly convinced. Thus the mere fact that a poem has been anthologized suggests that it can be considered an important element in the process of Canadian culture building. Therefore, the very poems that have been frequently anthologized could perhaps serve as special barometers of the Canadian ecological sensibility at a given historical moment.
The thesis studies the question how universal behavior is inherited by the Hadamard product. The type of universality that is considered here is universality by overconvergence; a definition will be given in chapter five. The situation can be described as follows: Let f be a universal function, and let g be a given function. Is the Hadamard product of f and g universal again? This question will be studied in chapter six. Starting with the Hadamard product for power series, a definition for a more general context must be provided. For plane open sets both containing the origin this has already been done. But in order to answer the above question, it becomes necessary to have a Hadamard product for functions that are not holomorphic at the origin. The elaboration of such a Hadamard product and its properties are the second central part of this thesis; chapter three will be concerned with them. The idea of the definition of such a Hadamard product will follow the case already known: The Hadamard product will be defined by a parameter integral. Crucial for this definition is the choice of appropriate integration curves; these will be introduced in chapter two. By means of the Hadamard product- properties it is possible to prove the Hadamard multiplication theorem and the Borel-Okada theorem. A generalization of these theorems will be presented in chapter four.
The harmonic Faber operator
(2018)
P. K. Suetin points out in the beginning of his monograph "Faber Polynomials and Faber Series" that Faber polynomials play an important role in modern approximation theory of a complex variable as they are used in representing analytic functions in simply connected domains, and many theorems on approximation of analytic functions are proved with their help [50]. In 1903, the Faber polynomials were firstly discovered by G. Faber. It was Faber's aim to find a generalisation of Taylor series of holomorphic functions in the open unit disc D in the following way. As any holomorphic function in D has a Taylor series representation f(z)=\sum_{\nu=0}^{\infty}a_{\nu}z^{\nu} (z\in\D) converging locally uniformly inside D, for a simply connected domain G, Faber wanted to determine a system of polynomials (Q_n) such that each function f being holomorphic in G can be expanded into a series
f=\sum_{\nu=0}^{\infty}b_{\nu}Q_{\nu} converging locally uniformly inside G. Having this goal in mind, Faber considered simply connected domains bounded by an analytic Jordan curve. He constructed a system of polynomials (F_n) with this property. These polynomials F_n were named after him as Faber polynomials. In the preface of [50], a detailed summary of results concerning Faber polynomials and results obtained by the aid of them is given. An important application of Faber polynomials is e.g. the transfer of known assertions concerning polynomial approximation of functions belonging to the disc algebra to results of the approximation of functions being continuous on a compact continuum K which contains at least two points and has a connected complement and being holomorphic in the interior of K. In this field, the Faber operator denoted by T turns out to be a powerful tool (for an introduction, see e.g. D. Gaier's monograph). It
assigns a polynomial of degree at most n given in the monomial basis \sum_{\nu=0}^{n}a_{\nu}z^{\nu} with a polynomial of degree at most n given in the basis of Faber polynomials \sum_{\nu=0}^{n}a_{\nu}F_{\nu}. If the Faber operator is continuous with respect to the uniform norms, it has a unique continuous extension to an operator mapping the disc algebra onto the space of functions being continuous on the whole compact continuum and holomorphic in its interior. For all f being element of the disc algebra and all polynomials P, via the obvious estimate for the uniform norms ||T(f)-T(P)||<= ||T|| ||f-P||, it can be seen that the original task of approximating F=T(f) by polynomials is reduced to the polynomial approximation of the function f. Therefore, the question arises under which conditions the Faber operator is continuous and surjective. A fundamental result in this regard was established by J. M. Anderson and J. Clunie who showed that if the compact continuum is bounded by a rectifiable Jordan curve with bounded boundary rotation and free from cusps, then the Faber operator with respect to the uniform norms is a topological isomorphism. Now, let f be a harmonic function in D. Similar as above, we find that f has a uniquely determined representation f=\sum_{\nu=-\infty}^{\infty}a_{\nu}p_{\nu}
converging locally uniformly inside D where p_{n}(z)=z^{n} for n\in\N_{0} and p_{-n}(z)=\overline{z}^{n} for n\in\N}. One may ask whether there is an analogue for harmonic functions on simply connected domains G. Indeed, for a domain G bounded by an analytic Jordan curve, the conjecture that each function f being harmonic in G has a uniquely determined representation f=\sum_{\nu= \infty}^{\infty}b_{\nu}F_{\nu} where F_{-n}(z)=\overline{F_{n}(z\)} for n\inN, converging locally uniformly inside G, holds true. Let now K be a compact continuum containing at least two points and having a connected complement. A main component of this thesis will be the examination of the harmonic Faber operator mapping a harmonic polynomial given in the basis of the harmonic monomials \sum_{\nu=-n}^{n}a_{\nu}p_{\nu} to a harmonic polynomial given as \sum_{\nu=-n}^{n}a_{\nu}F_{\nu}.
If this operator, which is based on an idea of J. Müller, is continuous with respect to the uniform norms, it has a unique continuous extension to an operator mapping the functions being continuous on \partial\D onto the continuous functions on K being
harmonic in the interior of K. Harmonic Faber polynomials and the harmonic Faber operator will be the objects accompanying us throughout
our whole discussion. After having given an overview about notations and certain tools we will use in our consideration in the first chapter, we begin our studies with an introduction to the Faber operator and the harmonic Faber operator. We start modestly and consider domains bounded by an analytic Jordan curve. In Section 2, as a first result, we will show that, for such a domain G, the harmonic Faber operator has a unique continuous extension to an operator mapping the space of the harmonic functions in D onto the space
of the harmonic functions in G, and moreover, the harmonic Faber
operator is an isomorphism with respect to the topologies of locally
uniform convergence. In the further sections of this chapter, we illumine the behaviour of the (harmonic) Faber operator on certain function spaces. In the third chapter, we leave the situation of compact continua bounded by an analytic Jordan curve. Instead we consider closures of domains bounded by Jordan curves having a Dini continuous curvature. With the aid of the concept of compact operators and the Fredholm alternative, we are able to show that the harmonic Faber operator is a topological isomorphism. Since, in particular, the main result of the third chapter holds true for closures K of domains bounded by analytic Jordan curves, we can make use of it to obtain new results concerning the approximation of functions being continuous on K and harmonic in the interior of K by harmonic polynomials. To do so, we develop techniques applied by L. Frerick and J. Müller in [11] and adjust them to our setting. So, we can transfer results about the classic Faber operator to the harmonic Faber operator. In the last chapter, we will use the theory of harmonic Faber polynomials
to solve certain Dirichlet problems in the complex plane. We pursue
two different approaches: First, with a similar philosophy as in [50],
we develop a procedure to compute the coefficients of a series \sum_{\nu=-\infty}^{\infty}c_{\nu}F_{\nu} converging uniformly to the solution of a given Dirichlet problem. Later, we will point out how semi-infinite programming with harmonic Faber polynomials as ansatz functions can be used to get an approximate solution of a given Dirichlet problem. We cover both approaches first from a theoretical point of view before we have a focus on the numerical implementation of concrete examples. As application of the numerical computations, we considerably obtain visualisations of the concerned Dirichlet problems rounding out our discussion about the harmonic Faber polynomials and the harmonic Faber operator.
The skin is continuously challenged by environmental antigens that may penetrate and elicit a skin sensitization, which can develop into allergic contact dermatitis. Medical treatment for allergic contact dermatitis is limited - in fact only acute symptoms can be cured and for secondary prevention of the disease a lifelong avoidance of the allergen(s) is necessary. Therefore, the screening of the sensitization potential of substance used in commercially available products is indispensable to prevent such diseases. Hence, risk assessment is deduced from data obtained by murine local lymph node assay predominantly, but there exists a need to develop methods capable of providing the same information that do not require the use of animals in view of legislative initiatives such as REACH (registration, evaluation, authorization of chemicals) as well as the 7th Amendment to the Cosmetics Directive (2003/15/EC). Therefore, a number of promising in silico and in vitro approaches are being developed to address this need. In vitro test systems using the response of dendritic cells, which are the key player in the elicitation process of contact dermatitis, are established, but, although these novel methods for hazard identification might find application in the context of screening, it is not clear whether these approaches are useful for the purposes of risk assessment and risk management to predict allergic potency. Therefore, it was investigated whether on the one hand in vitro generated dendritic cells from primary blood monocytes (MoDC) and on the other hand a continuous monocytic cell line, the THP-1 cells, suggested as dendritic cell surrogate, react to a presumably weak allergen. Ascaridol, predicted as one of the possible causes for tea tree oil contact dermatitis, was studied and its effects in these two in vitro skin sensitization models were explored. Thus, the surface expression of CD86, HLADR, CD54, and CD40, which are known as activation markers in both in vitro models, were measured via flow cytometry. For MoDC, an augmented CD86 and HLADR surface expression in comparison to untreated cells were determined after 24 h exposure with ascaridol. An increased CD54 and CD40 surface expression were found only in some donors. After long term incubation of 96 h, ascaridol-treated MoDC still up-regulated CD86 and additionally an augmented CD40 expression was measured in all studied donors. An enhanced CD54 expression was determined for 50 percentage of all investigated donors. Furthermore, CD80, CD83 and CD209 protein expression were up-regulated in MoDC after 96 h of ascaridol incubation. In addition, it was determined that after 24 h ascaridol-treated MoDC showed an increased capacity to uptake antigens, whereas after 96 h this capacity got lost and antigen-capturing devices were reduced in comparison to non-treated MoDC. Moreover, the cytokine release of ascaridol-treated MoDC were measured after 24 h. Tumor necrosis factor (TNF)alpha, interleukin (IL)-1beta and IL 6 secretion were determined in some donors. Furthermore, IL-8 release was clearly increased after 24 h ascaridol treatment. By the same token, THP-1 cells were analyzed after ascaridol treatment for several activation markers. We found a similar response pattern as measured in MoDC. Ascaridol induced CD86 expression as well as CD54 after 24 h incubation. Additionally, the impact of ascaridol on phosphorylation of p38 mitogen-activated protein kinase, which had been shown to be involved in increased expression of activation markers like CD86 by others, were studied via Western blot analysis. A phosphorylation of p38 was determined after 15 min of ascaridol stimulation. Moreover, an augmented CD40 and HLADR surface expression were measured in a dose-response manner after 24 h ascaridol treatment. Also similar to MoDC an enhanced IL-8 secretion after ascaridol stimulation was observed in THP-1 cells. Hence, for the first time it was shown that ascaridol has immuno-modulating effects. The obtained data from both in vitro systems, MoDC and THP-1 cells, identified ascaridol as a sensitizer. Although for both systems there remain significant challenges to overcome for potency assessment, ascaridol is presumed to be a weak sensitizer probably. Interestingly, ascaridol treatment of THP-1 cells resulted also in an increased augmentation of CD184 and CCR2, two chemokine receptors expressed on monocyte. Therefore, these data encouraged the exploration of chemokine receptors as tools in skin sensitization prediction. Consequently, the combination of chemical assays with in vitro techniques may provide a useful surrogate to animal testing for skin sensitization. Due to the continuously changing environmental conditions, it is necessary to regularly monitor and update the spectrum of sensitizers that elicit contact dermatitis. Therefore, both debated in vitro test systems will become indispensable tools.
Die vorliegende Arbeit umfasst ein Modell der Zusammenhänge zwischen Führungsverhalten und psychologischen Kontrakten als Einflussfaktoren mitarbeiterbezogener Einstellungen. Auf Seiten der Konsequenzen liegt der Fokus insbesondere auf der Entgeltzufriedenheit der Mitarbeiter. Jede der drei in der Dissertation dargestellten Studien trägt zu dem Verständnis bei, wie sich das Führungsverhalten und psychologische Kontrakte auf die Entgeltzufriedenheit auswirken. Die erste Studie stellt den Zusammenhang zwischen transformationaler Führung und Arbeits- und Entgeltzufriedenheit sowie dem Commitment in den Vordergrund. Zusätzlich wird untersucht, inwiefern der Effekt des Führungsverhaltens durch verschiedene Formen des psychologischen Kontrakts vermittelt wird. Auf Basis dieser Ergebnisse wird in einer zweiten Studie geprüft, inwiefern Entgeltzufriedenheit als multidimensionales Konstrukt betrachtet werden kann. Ferner wird transformationales mit transaktionalem Führungsverhalten kontrastiert, um deren differentielle Effekte zu analysieren. In einer dritten Studie werden die kausalen Beziehungen fokussiert, indem eine Stichprobe von 169 Mitarbeitern aus acht caritativen Unternehmen, in denen leistungsabhängige Vergütungssysteme implementiert wurden, analysiert wird. Zusammenfassend zeigen die Ergebnisse, dass die perzeptuellen Variablen Führung und psychologische Kontrakte als entscheidende Einflussfaktoren der Entgeltzufriedenheit dienen. Eine Diskussion der theoretischen und praktischen Implikationen schließt die Arbeit ab.
As an interface between an individual and its environment, the skin is a major site of direct exposure to exogenous substances. Once absorbed, these substances may interact with different biomolecules within the skin. The aryl hydrocarbon receptor (AhR) signaling pathway is one mechanism whereby the skin responds to exposures, predominantly through the induction or upregulation of metabolizing enzymes. One known physiological role of the AhR in many tissues is its involvement in the control of cell cycle progression. In skin, almost nothing is known about this physiological function. Moreover, the question whether frequently used naturally occurring phenolic derivatives like eugenol and isoeugenol impact on the AhR within the skin has rarely been studied so far. Eugenol and isoeugenol are due to their odour referred to as fragrances. The ubiquitous distribution of eugenol and isoeugenol results in an almost unavoidable contact with these substances in our daily lives. Despite this fact, their molecular mechanisms of action in skin are poorly understood. There is evidence supporting the hypothesis that these substances may impact on the AhR. On the one hand, eugenol is shown to induce cytochrome P450 1A1 (CYP1A1), a well-known target gene of the AhR. On the other hand, their known anti-proliferative properties might also be mediated by the AhR, based on its physiological function. In order to proof this hypothesis, it was investigated whether eugenol and isoeugenol impact on the AhR signaling pathway in skin cells. Results revealed that eugenol as well as isoeugenol impact on the AhR signaling pathway in skin cells. Both substances caused the translocation of the AhR into the nucleus, induced the expression of the well-known AhR target genes CYP1A1 and AhR repressor (AhRR) and exhibited impact on cell cycle progression. Both substances caused an AhR-dependent cell cycle arrest in skin cells, modulated protein levels of several cell cycle regulatory proteins, inhibited DNA synthesis and thereby reduced cell numbers. The comparison of wildtype cells to AhR knockdown cells revealed an influence of the AhR on cell cycle progression in skin cells in the absence of exogenous ligands. AhR knockdown cells exhibited a slower progression through the cell cycle caused by an accumulation of cells in the G0/G1 phase of the cell cycle and a decreased DNA synthesis rate. Modulation of cell cycle regulatory proteins involved in the transition from the G0/G1 to the S phase of the cell cycle was altered in AhR knockdown cells as well. To conclude, eugenol as well as isoeugenol were able to impact on the AhR signaling pathway in skin cells. Their molecular mechanisms of action are similar to those of classical AhR ligands, although their structural characteristics strongly differ from that of these ligands. In the absence of exogenous ligands the AhR promotes cell cycle progression in many tissues and this knowledge could be expanded on skin-derived cells within the scope of this thesis.
The Belt and Road Initiative (BRI) has had a significant impact on China in political, economic, and cultural terms. This study focuses on the cultural domain, especially on scholarship students from the countries that signed bilateral cooperation agreements with China under the BRI. Using an integrated approach combining the difference-in-differences method and the gravity model, we explore the correlation between the BRI and the increasing number of international scholarship students funded by the Chinese government, as well as the determinants of students' decision to study in China. The panel data from 2010 to 2018 show that the launch of BRI has had a positive impact on the number of scholarship students from BRI countries. The number of scholarship recipients from non-BRI countries also increased, but at a much slower rate than those from BRI countries. The sole exception is the United States, which has trended downward for both state-funded and self-funded students.
The present dissertation was developed to emphasize the importance of self-regulatory abilities and to derive novel opportunities to empower self-regulation. From the perspective of PSI (Personality Systems Interactions) theory (Kuhl, 2001), interindividual differences in self-regulation (action vs. state orientation) and their underlying mechanisms are examined in detail. Based on these insights, target-oriented interventions are derived, developed, and scientifically evaluated. The present work comprises a total of four studies which, on the one hand, highlight the advantages of a good self-regulation (e.g., enacting difficult intentions under demands; relation with prosocial power motive enactment and well-being). On the other hand, mental contrasting (Oettingen et al., 2001), an established self-regulation method, is examined from a PSI perspective and evaluated as a method to support individuals that struggle with self-regulatory deficits. Further, derived from PSI theory`s assumptions, I developed and evaluated a novel method (affective shifting) that aims to support individuals in overcoming self-regulatory deficits. Thereby affective shifting supports the decisive changes in positive affect for successful intention enactment (Baumann & Scheffer, 2010). The results of the present dissertation show that self-regulated changes between high and low positive affect are crucial for efficient intention enactment and that methods such as mental contrasting and affective shifting can empower self-regulation to support individuals to successfully close the gap between intention and action.
The fragmentation of landscapes has an important impact on the conservation of biodiversity. The genetic diversity is an important factor for a population- viability, influenced by the landscape structure. However, different species with differing ecological demands react rather differently on the same landscape pattern. To address this feature, we studied ten xerothermophilous butterfly species with differing habitat requirements (habitat specialists with low dispersal power in contrast to habitat generalists with low dispersal power and habitat generalists with higher dispersal power). We analysed allozyme loci for about 10 populations (Ã 40 individuals) of each species in a western German study region with adjoining areas in Luxemburg and north-eastern France. The genetic diversity and genetic differentiation between local populations was discussed under conservation genetic aspects. For generalists we detected a more or less panmictic structure and for species with lower abundance and sedentarily behaviour the effect of isolation by distance. On the other hand, the isolation of specialists was mostly reflected by strong genetic differentiation patterns between the investigated populations. Parameters of genetic diversity were mostly significantly higher in generalists, compared to specialists. Substructures within populations as an answer of low intrapatch migration, low population densities and high population fluctuations could be shown as well. Aspects of landscape history (the historical distribution of habitats resulting of the presence of limestone areas) and the changes of extensive sheep pasturing and the loss of potential habitats in the last few decades (recent fragmentation) are discussed against the gained genetic data-set of the ten butterflies.
The United States insisted that the International Criminal Court would not have jurisdiction to prosecute American nationals. It was to be a court for others, not for them. The Rome Conference insisted on upholding the principle of equal justice for all and consequently rejected American exceptionalism. The Clinton administration nevertheless signed the ICC Statute and remained involved in the post Rome proceedings of the Preparatory Commission for the International Criminal Court. However, when President Bush took office, his administration embarked on a world wide campaign to discredit the ICC. It cancelled the American signing of the ICC Statute, it enacted hostile legislation aimed at frustrating the functioning of the ICC, and it concluded agreements with approximately 50 States that place those States under an obligation not to surrender American nationals for trial in the ICC. The difference of opinion between the United States and the European Union cannot be resolved by diplomatic means since the United States administration is obligated by an American statute to discredit the ICC and to prevent it from operating according to its Statute. The European Union and its Member States will therefore have to embark on a policy of confrontation.
Surveys are commonly tailored to produce estimates of aggregate statistics with a desired level of precision. This may lead to very small sample sizes for subpopulations of interest, defined geographically or by content, which are not incorporated into the survey design. We refer to subpopulations where the sample size is too small to provide direct estimates with adequate precision as small areas or small domains. Despite the small sample sizes, reliable small area estimates are needed for economic and political decision making. Hence, model-based estimation techniques are used which increase the effective sample size by borrowing strength from other areas to provide accurate information for small areas. The paragraph above introduced small area estimation as a field of survey statistics where two conflicting philosophies of statistical inference meet: the design-based and the model-based approach. While the first approach is well suited for the precise estimation of aggregate statistics, the latter approach furnishes reliable small area estimates. In most applications, estimates for both large and small domains based on the same sample are needed. This poses a challenge to the survey planner, as the sampling design has to reflect different and potentially conflicting requirements simultaneously. In order to enable efficient design-based estimates for large domains, the sampling design should incorporate information related to the variables of interest. This may be achieved using stratification or sampling with unequal probabilities. Many model-based small area techniques require an ignorable sampling design such that after conditioning on the covariates the variable of interest does not contain further information about the sample membership. If this condition is not fulfilled, biased model-based estimates may result, as the model which holds for the sample is different from the one valid for the population. Hence, an optimisation of the sampling design without investigating the implications for model-based approaches will not be sufficient. Analogously, disregarding the design altogether and focussing only on the model is prone to failure as well. Instead, a profound knowledge of the interplay between the sample design and statistical modelling is a prerequisite for implementing an effective small area estimation strategy. In this work, we concentrate on two approaches to address this conflict. Our first approach takes the sampling design as given and can be used after the sample has been collected. It amounts to incorporate the survey design into the small area model to avoid biases stemming from informative sampling. Thus, once a model is validated for the sample, we know that it holds for the population as well. We derive such a procedure under a lognormal mixed model, which is a popular choice when the support of the dependent variable is limited to positive values. Besides, we propose a three pillar strategy to select the additional variable accounting for the design, based on a graphical examination of the relationship, a comparison of the predictive accuracy of the choices and a check regarding the normality assumptions.rnrnOur second approach to deal with the conflict is based on the notion that the design should allow applying a wide variety of analyses using the sample data. Thus, if the use of model-based estimation strategies can be anticipated before the sample is drawn, this should be reflected in the design. The same applies for the estimation of national statistics using design-based approaches. Therefore, we propose to construct the design such that the sampling mechanism is non-informative but allows for precise design-based estimates at an aggregate level.
The Islamic State is arguably the most prominent Islamist insurgent group to have attracted increased international attention in recent years, although it first emerged in the late 20th century, and this is largely a result of its significant territorial conquests in Iraq and Syria and the proclamation of its own global caliphate in June 2014 (Tønnessen 2018: 60). While research on the Islamic State's ideology, propaganda, financing, military strategy, recruitment of foreign fighters, and use of the Internet and social media has been conducted extensively in a variety of disciplines, including political science, sociology, media science, criminology, Islamic studies, history, and many others, systematic and in-depth analysis of the Islamic State's rebel governance, though not entirely unexplored, has remained comparatively under-researched.
This thesis builds on the above-mentioned issues and employs existing insights and concepts from Rebel Governance to systematically examine the transformation of the Islamic State’s territorial control into functional governance. In addition, through a comprehensive analysis of Islamic State administrative documents, which are continuously contextualized using secondary literature, this thesis develops a comprehensive portrait of the Islamic State's rebel governance. The following research questions are consequently derived from this approach: in what ways did the Islamic State engage in rebel governance during the height of its territorial control in Iraq and Syria between 2014 and 2017, and how can the utilization of concepts and insights from Rebel Governance, and the qualitative analysis of Islamic State administrative documents, improve our knowledge of the Islamic State's rebel governance and help to generate new insights into it?
People are increasingly concerned about how meat affects the environment, human health, and animal welfare, yet eating and enjoying meat remains a norm. Unsurprisingly, many people are ambivalent about meat—evaluating it as both positive and negative. Here, we propose that meat-related conflict is multidimensional and depends on people’s dietary group: Omnivores’ felt ambivalence relates to multiple negative associations that oppose a predominantly positive attitude towards meat, and veg*ans’ ambivalence relates to various positive associations that oppose a predominantly negative attitude. A qualitative study (N = 235; German) revealed that omnivores and veg*ans experience meat-related ambivalence due to associations with animals, sociability, sustainability, health, and sensory experiences. To quantify felt ambivalence in these domains, we developed the Meat Ambivalence Questionnaire (MAQ). We validated the MAQ in four pre-registered studies using self-report and behavioral data (N = 3,485; German, UK, representative US). Both omnivores and veg*ans reported meat-related ambivalence, but with differences across domains and their consequences for meat consumption. Specifically, ambivalence was associated with less meat consumption in omnivores (especially sensory-/animal-based ambivalence) and more meat consumption in veg*ans (especially sensory-/socially-based ambivalence). Network analyses shed further light on the nomological net of the MAQ while controlling for a comprehensive set of determinants of meat consumption. By introducing the MAQ, we hope to provide researchers with a tool to better understand how ambivalence accompanies behavior change and maintenance.
THE NONLOCAL NEUMANN PROBLEM
(2023)
Instead of presuming only local interaction, we assume nonlocal interactions. By doing so, mass
at a point in space does not only interact with an arbitrarily small neighborhood surrounding it,
but it can also interact with mass somewhere far, far away. Thus, mass jumping from one point to
another is also a possibility we can consider in our models. So, if we consider a region in space, this
region interacts in a local model at most with its closure. While in a nonlocal model this region may
interact with the whole space. Therefore, in the formulation of nonlocal boundary value problems
the enforcement of boundary conditions on the topological boundary may not suffice. Furthermore,
choosing the complement as nonlocal boundary may work for Dirichlet boundary conditions, but
in the case of Neumann boundary conditions this may lead to an overfitted model.
In this thesis, we introduce a nonlocal boundary and study the well-posedness of a nonlocal Neu-
mann problem. We present sufficient assumptions which guarantee the existence of a weak solution.
As in a local model our weak formulation is derived from an integration by parts formula. However,
we also study a different weak formulation where the nonlocal boundary conditions are incorporated
into the nonlocal diffusion-convection operator.
After studying the well-posedness of our nonlocal Neumann problem, we consider some applications
of this problem. For example, we take a look at a system of coupled Neumann problems and analyze
the difference between a local coupled Neumann problems and a nonlocal one. Furthermore, we let
our Neumann problem be the state equation of an optimal control problem which we then study. We
also add a time component to our Neumann problem and analyze this nonlocal parabolic evolution
equation.
As mentioned before, in a local model mass at a point in space only interacts with an arbitrarily
small neighborhood surrounding it. We analyze what happens if we consider a family of nonlocal
models where the interaction shrinks so that, in limit, mass at a point in space only interacts with
an arbitrarily small neighborhood surrounding it.
The economic growth theory analyses which factors affect economic growth and tries to analyze how it can last. A popular neoclassical growth model is the Ramsey-Cass-Koopmans model, which aims to determine how much of its income a nation or an economy should save in order to maximize its welfare. In this thesis, we present and analyze an extended capital accumulation equation of a spatial version of the Ramsey model, balancing diffusive and agglomerative effects. We model the capital mobility in space via a nonlocal diffusion operator which allows for jumps of the capital stock from one location to an other. Moreover, this operator smooths out heterogeneities in the factor distributions slower, which generated a more realistic behavior of capital flows. In addition to that, we introduce an endogenous productivity-production operator which depends on time and on the capital distribution in space. This operator models the technological progress of the economy. The resulting mathematical model is an optimal control problem under a semilinear parabolic integro-differential equation with initial and volume constraints, which are a nonlocal analog to local boundary conditions, and box-constraints on the state and the control variables. In this thesis, we consider this problem on a bounded and unbounded spatial domain, in both cases with a finite time horizon. We derive existence results of weak solutions for the capital accumulation equations in both settings and we proof the existence of a Ramsey equilibrium in the unbounded case. Moreover, we solve the optimal control problem numerically and discuss the results in the economic context.
The present work considers the normal approximation of the binomial distribution and yields estimations of the supremum distance of the distribution functions of the binomial- and the corresponding standardized normal distribution. The type of the estimations correspond to the classical Berry-Esseen theorem, in the special case that all random variables are identically Bernoulli distributed. In this case we state the optimal constant for the Berry-Esseen theorem. In the proof of these estimations several inequalities regarding the density as well as the distribution function of the binomial distribution are presented. Furthermore in the estimations mentioned above the distribution function is replaced by the probability of arbitrary, not only unlimited intervals and in this new situation we also present an upper bound.
In current times, the coronavirus is spreading and taking its toll all over the world. Inspite of having developed into a global pandemic, COVID-19 is oftentimes met with local national(ist) reactions. Many states pursue iso-lationist politics by closing and enforcing borders and by focusing entirely on their own functioning in this mo-ment of crisis. This nationalist/nationally-oriented rebordering politics goes hand in hand with what might be termed ‘linguistic rebordering,’ i.e. the attempts of constructing the disease as something foreign-grown and by apportioning the blame to ‘the other.’ This paper aims at laying bare the interconnectedness of these geopoliti-cal and linguistic/discursive rebordering politics. It questions their efficacy and makes a plea for cross-border solidarity.
Laboratory landslide experiments enable the observation of specific properties of these natural hazards. However, these observations are limited by traditional techniques: frequently used high-speed video analysis and wired sensors (e.g. displacement). These techniques lead to the drawback that either only the surface and 2D profiles can be observed or wires confine the motion behaviour. In contrast, an unconfined observation of the total spatiotemporal dynamics of landslides is needed for an adequate understanding of these natural hazards.
The present study introduces an autonomous and wireless probe to characterize motion features of single clasts within laboratory-scale landslides. The Smartstone probe is based on an inertial measurement unit (IMU) and records acceleration and rotation at a sampling rate of 100 Hz. The recording ranges are ±16 g (accelerometer) and ±2000∘ s−1 (gyroscope). The plastic tube housing is 55 mm long with a diameter of 10 mm. The probe is controlled, and data are read out via active radio frequency identification (active RFID) technology. Due to this technique, the probe works under low-power conditions, enabling the use of small button cell batteries and minimizing its size.
Using the Smartstone probe, the motion of single clasts (gravel size, median particle diameter d50 of 42 mm) within approx. 520 kg of a uniformly graded pebble material was observed in a laboratory experiment. Single pebbles were equipped with probes and placed embedded and superficially in or on the material. In a first analysis step, the data of one pebble are interpreted qualitatively, allowing for the determination of different transport modes, such as translation, rotation and saltation. In a second step, the motion is quantified by means of derived movement characteristics: the analysed pebble moves mainly in the vertical direction during the first motion phase with a maximal vertical velocity of approx. 1.7 m s−1. A strong acceleration peak of approx. 36 m s−2 is interpreted as a pronounced hit and leads to a complex rotational-motion pattern. In a third step, displacement is derived and amounts to approx. 1.0 m in the vertical direction. The deviation compared to laser distance measurements was approx. −10 %. Furthermore, a full 3D spatiotemporal trajectory of the pebble is reconstructed and visualized supporting the interpretations. Finally, it is demonstrated that multiple pebbles can be analysed simultaneously within one experiment. Compared to other observation methods Smartstone probes allow for the quantification of internal movement characteristics and, consequently, a motion sampling in landslide experiments.
This work is concerned with arbitrage bounds for prices of contingent claims under transaction costs, but regardless of other conceivable market frictions. Assumptions on the underlying market are held as weak as convenient for the deduction of meaningful results that make good economic sense. In discrete time we also allow for underlying price processes with uncountable state space. In continuous time the underlying price process is modeled by a semimartingale. For the most part we could avoid any stronger assumptions. The main problems with which we deal in this work are the modelling of (proportional) transaction costs, Fundamental Theorems of Asset Pricing under transaction costs, dual characterizations of arbitrage bounds under transaction costs, Quantile-Hedging under transaction costs, alternatives to the Black-Scholes model in continuous time (under transaction costs). The results apply to stock and currency markets.
Analyzing the role of Germany as a law-exporting nation the essay deals with a very specific aspect of the Rule of Law principle in criminal proceedings. The author describes the division of functions among police, public prosecution and criminal courts within criminal law enforcement in Germany adding some comparative law remarks. He furthermore provides an overview of structure and organization of the public prosecution in Germany. He focuses on the relationship and interaction between public prosecution and police in preliminary proceedings emphazising the importance of both being allocated in different ministries of the executive branch. Thus he points out yet another aspect of the constitutional principle of the Rule of Law: the role of public prosecution as guardian of the law towards the police in criminal proceedings.
Stress has been considered one of the most relevant factors promoting aggressive behavior. Animal and human pharmacological studies revealed the stress hormones corticosterone in rodents and cortisol in humans to constitute a particularly important neuroendocrine determinate in facilitating aggression and beyond that, assumedly in its continuation and escalation. Moreover, cortisol-induced alterations of social information processing, as well as of cognitive control processes, have been hypothesized as possible influencing factors in the stress-aggression link. So far, the immediate impact of a preceding stressor and thereby stress-induced rise of cortisol on aggressive behavior as well as higher-order cognitive control processes and social information processing in this context have gone mostly unheeded. The present thesis aimed to extend the hitherto findings of stress and aggression in this regard. For this purpose two psychophysiological studies with healthy adults were carried out, both using the socially evaluated-cold pressor test as an acute stress induction. Additionally to behavioral data and subjective reports, event related potentials were measured and acute levels of salivary cortisol were collected on the basis of which stressed participants were divided into cortisol-responders and "nonresponders. Study 1 examined the impact of acute stress-induced cortisol increase on inhibitory control and its neural correlates. 41 male participants were randomly assigned to the stress procedure or to a non-stressful control condition. Beforehand and afterwards, participants performed a Go Nogo task with visual letters to measure response inhibition. The effect of acute stress-induced cortisol increase on covert and overt aggressive behavior and on the processing of provoking stimuli within the aggressive encounter was investigated in study 2. Moreover, this experiment examined the combined impact of stress and aggression on ensuing affective information processing. 71 male and female participants were either exposed to the stress or to the control condition. Following this, half of each group received high or low levels of provocation during the Taylor Aggression Paradigm. At the end of the experiment, a passive viewing paradigm with affective pictures depicting positive, negative, or aggressive scenes with either humans or objects was realized. The results revealed that men were not affected by a stress-induced rise in cortisol on a behavioral level, showing neither impaired response inhibition nor enhanced aggressive behavior. In contrast, women showed enhanced overt and covert aggressive behavior under a surge of endogenous cortisol, confirming previous results, albeit only in case of high provocation and only up to the level of the control group. Unlike this rather moderate impact on behavior, cortisol showed a distinct impact on neural correlates of information processing throughout inhibitory control, aggression-eliciting stimuli, and emotional pictures for both men and women. At this, stress-induced increase of cortisol resulted in enhanced N2 amplitudes to Go stimuli, whereas P2 amplitudes to both and N2 to Nogo amplitudes retained unchanged, indicating an overcorrection and caution of the response activation in favor of successful inhibitory control. The processing of aggression-eliciting stimuli during the aggressive encounter was complexly altered by stress differently for women and men. Under increased cortisol levels, the frontal or parietal P3 amplitude patterns were either diminished or reversed in the case of high provocation compared to the control group and to cortisol-nonresponders, indicating a desensitization towards aggression-eliciting stimuli in males, but a more elaborate processing of those in women. Moreover, stress-induced cortisol and provocation jointly altered subsequent affective information processing at early as well as later stages of the information processing stream. Again, increased levels of cortisol led opposite directed amplitudes in the case of high provocation relative to the control group and cortisol-nonresponders, with enhanced N2 amplitudes in men and reduced P3 and LPP amplitudes in men and women for all affective pictures, suggesting initially enhanced emotional reactivity in men, but ensuing reduced motivational attention and enhanced emotion regulation in both, men and women. As a result, these present findings confirm the relevance of HPA activity in the elicitation and persistence of human aggressive behavior. Moreover, they reveal the significance of compensatory and emotion regulatory strategies and mechanisms in response to stress and provocation, indorsing the relevance of social information and cognitive control processes. Still, more research is needed to clarify the conditions which lead to the facilitation of aggression and by which compensatory mechanisms this is prevented.
The Covid-19 pandemic and the related border restrictions have had numerous social, economic and political consequences for border regions. The temporary border closures impacted not only the lives of borderlanders whose everyday practices are embedded in cross-border spaces, but also the func-tioning of institutional actors involved in cross-border activities. The aim here is to investigate the communication surrounding the pandemic and the reactions and (new) strategies of cross-border insti-tutional actors in the context of (re)bordering. Applying the concept of resilience, this paper explores coping mechanisms and modes of adaptation as well as strategies developed to adjust to new circum-stances. Against this backdrop, factors that enhanced or hindered the adaptation process were identi-fied. The German-Polish borderland serves here as a case study, although it will be situated within a wider European context.
The stress hormone cortisol as the end-product of the hypothalamic-pituitary-adrenal (HPA) axis has been found to play a crucial role in the release of aggressive behavior (Kruk et al., 2004; Böhnke et al., 2010). In order to further explore potential mechanisms underlying the relationship between stress and aggression, such as changes in (social) information processing, we conducted two experimental studies that are presented in this thesis. In both studies, acute stress was induced by means of the Socially Evaluated Cold Pressor Test (SECP) designed by Schwabe et al. (2008). Stressed participants were classified as either cortisol responders or nonresponders depending on their rise in cortisol following the stressor. Moreover, basal HPA axis activity was measured prior to the experimental sessions and EEG was recorded throughout the experiments. The first study dealt with the influence of acute stress on cognitive control processes. 41 healthy male participants were assigned to either the stress condition or the non-stressful control procedure of the SECP. Before as well as after the stress induction, all participants performed a cued task-switching paradigm in order to measure cognitive control processes. Results revealed a significant influence of acute and basal cortisol levels, respectively, on the motor preparation of the upcoming behavioral response, that was reflected in changes in the magnitude of the terminal Contingent Negative Variation (CNV). In the second study, the effect of acute stress and subsequent social provocation on approach-avoidance motivation was examined. 72 healthy students (36 males, 36 females) took part in the study. They performed an approach-avoidance task, using emotional facial expressions as stimuli, before as well as after the experimental manipulation of acute stress (again via the SECP) and social provocation realized by means of the Taylor Aggression Paradigm (Taylor, 1967). Additionally to salivary cortisol, testosterone samples were collected at several points in time during the experimental session. Results indicated a positive relationship between acute testosterone levels and the motivation to approach social threat stimuli in highly provoked cortisol responders. Similar results were found when the testosterone-to-cortisol ratio at baseline was taken into account instead of acute testosterone levels. Moreover, brain activity during the approach-avoidance task was significantly influenced by acute stress and social provocation, as reflected in reductions of early (P2) as well as of later (P3) ERP components in highly provoked cortisol responders. This may indicate a less accurate, rapid processing of socially relevant stimuli due to an acute increase in cortisol and subsequent social provocation. In conclusion, the two studies presented in this thesis provide evidence for significant changes in information processing due to acute stress, basal cortisol levels and social provocation, suggesting an enhanced preparation for a rapid behavioral response in the sense of a fight-or-flight reaction. These results confirm the model of Kruk et al. (2004) proposing a mediating role of changed information processes in the stress-aggression-link.
The role of cortisol and cortisol dynamics in patients after aneurysmal subarachnoid hemorrhage
(2011)
Spontaneous aneurysmal subarachnoid hemorrhage (SAH) is a form of stroke which constitutes a severe trauma to the brain and often leads to serious long-term medical and psychosocial sequels which persist for years after the acute event. Recently, adrenocorticotrophic hormone deficiency has been identified as one possible consequence of the bleeding and is assumed to occur in around 20% of all survivors. Additionally, a number of studies report a high prevalence of post-SAH symptoms such as lack of initiative, fatigue, loss of concentration, impaired quality of life and psychiatric symptoms such as depression. The overlap of these symptoms and those of patients with untreated partial or complete hypopituitarism lead to the suggestion that neuroendocrine dysregulations may contribute to the psychosocial sequels of SAH. Therefore, one of the aims of this work is to gain insights into the role of neuroendocrine dysfunction on quality of life and the prevalence of psychiatric sequels in SAH-patients. Additionally, as data on cortisol dynamics after SAH are scarce, diurnal cortisol profiles are investigated in patients in the acute and chronic phase, as well as the cortisol awakening response and feedback sensitivity in the chronic phase after SAH. As a result, it can be shown that some SAH patients exhibit lower serum cortisol levels but at the same time a higher cortisol awakening response in saliva than healthy controls. Also, patients in the chronic phase after SAH do have a stable diurnal cortisol rhythm while there are disturbances in around 50% of all patients in the acute phase, leading to the conclusion that a single baseline measurement of cortisol is of no substantial use for diagnosing cortisol dysregulations in the acute phase after SAH. It is assumed that in SAH patients endocrine changes occur over time and that a combination of adrenal exhaustion and a subsequent downregulation of corticosteroid binding globulin may be the most probable causes for the dissociation of serum cortisol concentrations and salivary cortisol profiles in the investigated SAH patients. These changes may be an emergency response after SAH and, as elevated free cortisol levels are connected to a better psychosocial outcome in patients in the chronic phase after SAH, this reaction may even be adaptive.
DNA methylation, through 5-methyl- and 5-hydroxymethylcytosine (5mC and 5hmC) is considered to be one of the principal interfaces between the genome and our environment and it helps explain phenotypic variations in human populations. Initial reports of large differences in methylation level in genomic regulatory regions, coupled with clear gene expression data in both imprinted genes and malignant diseases provided easily dissected molecular mechanisms for switching genes on or off. However, a more subtle process is becoming evident, where small (<10%) changes to intermediate methylation levels were associated with complex disease phenotypes. This has resulted in two clear methylation paradigms. The latter "subtle change" paradigm is rapidly becoming the epigenetic hallmark of complex disease phenotypes, although we were currently hampered by a lack of data addressing the true biological significance and meaning of these small differences. The initial expectation of rapidly identifying mechanisms linking environmental exposure to a disease phenotype led to numerous observational/association studies being performed. Although this expectation remains unmet, there is now a growing body of literature on specific genes, suggesting wide ranging transcriptional and translational consequences of such subtle methylation changes. Data from the glucocorticoid receptor (NR3C1) has shown that a complex interplay between DNA methylation, extensive 5"UTR splicing and microvariability gives rise to the overall level and relative distribution of total and N-terminal protein isoforms generated. Additionally, the presence of multiple AUG translation initiation codons throughout the complete, processed, mRNA enables translation variability, hereby enhancing the translational isoforms and the resulting protein isoform diversity; providing a clear link between small changes in DNA methylation and significant changes in protein isoforms and cellular locations. Methylation changes in the NR3C1 CpG island, alters the NR3C1 transcription and eventually protein isoforms in the tissues, resulting in subtle but visible physiological variability. Implying external environmental stimuli act through subtle methylation changes, with transcriptional microvariability as the underlying mechanism, to fine-tune the total NR3C1 protein levels. The ubiquitous distribution of genes with similar structure as NR3C1, combined with an increasing number of studies linking subtle methylation changes in specific genes with wide ranging transcriptional and translational consequences, suggested a more genome-wide spread of subtle DNA methylation changes and transcription variability. The subtle methylation paradigm and the biological relevance of such changes were supported by two epigenetic animal models, which linked small methylation changes to either psychopathological or immunological effects. The first model, rats subjected to maternal deprivation, showed long term behavioural and stress response changes. A second model, exposing mice to early life infection with H1N1, illustrated long-term immunological effects. Both models displayed subtle changes within the methylome. Suggesting/Indicating that early life adversity and early life viral infection "programmed" the CNS and innate immune response respectively, via subtle DNA methylation changes genome-wide. The research presented in this thesis investigated the ever-growing roles of DNA methylation; the physiological and functional relevance of subtle small DNA methylation changes genome-wide, in particular for the CNS (MD model) and the immune system (early life viral infection model) ; and the evidence available, particularly from the glucocorticoid of the cascade of events initiated by such subtle methylation changes, as well as addressing the underlying question as to what represents a genuine biologically significant difference in methylation.
The Role of Dopamine and Acetylcholine as Modulators of Selective Attention and Response Speed
(2015)
The principles of top-down and bottom-up processing are essential to cognitive psychology. At their broadest, most general definition, they denote that processing can be driven either by the salience of the stimulus input or by individual goals and strategies. Selective top-down attention, specifically, consists in the deliberate prioritizing of stimuli that are deemed goal-relevant, while selective bottom-up attention relies on the automatic allocation of attention to salient stimuli (Connor, Egeth, & Yantis, 2004; Schneider, Schote, Meyer, & Frings, 2014). Variations within neurotransmitter systems can modulate cognitive performance in a domain-specific fashion (Greenwood, Fossella, & Parasuraman, 2005). Noudoost and Moore (2011a) proposed that the influence of the dopaminergic neurotransmitter system on selective top-down attention might be greater than the influence of this system on selective bottom-up attention; likewise, they assumed that the cholinergic neurotransmitter system might be more important for selective bottom-up than top-down attention. To test this hypothesis, naturally occurring variations within the two neurotransmitter systems were assessed. Five polymorphisms were selected; two of the dopaminergic system (the COMT Val158Met polymorphism and the DAT1 polymorphism) and three of the cholinergic system (the CHRNA4 rs1044396 polymorphism, the CHRNA5 rs3841324 polymorphism, and the CHRNA5 rs16969968 polymorphism). It was tested whether these polymorphisms modulated the performance in tasks of selective top-down attention (a Stroop task and a Negative priming task) and in a task of selective bottom-up attention (a Posner-Cuing task). Indeed, the dopaminergic polymorphisms influenced selective top-down attention, but exerted no effects on bottom-up attention. This aligned with the hypothesis proposed by Noudoost and Moore (2011a). In contrast, the cholinergic polymorphisms were not found to modulate selective bottom-up attention. The three cholinergic polymorphisms, however, affected the general response speed in the Stroop task, Negative priming task, and Posner-Cuing task (irrespective of attentional processing). In sum, the findings of this study provide strong indications that the dopaminergic system modulates selective top-down attention, while the cholinergic system is highly relevant for the general speed of information processing.
Phase-amplitude cross-frequency coupling is a mechanism thought to facilitate communication between neuronal ensembles. The mechanism could underlie the implementation of complex cognitive processes, like executive functions, in the brain. This thesis contributes to answering the question, whether phase-amplitude cross-frequency coupling - assessed via electroencephalography (EEG) - is a mechanism by which executive functioning is implemented in the brain and whether an assumed performance effect of stress on executive functioning is reflected in phase-amplitude coupling strength. A huge body of studies shows that stress can influence executive functioning, in essence having detrimental effects. In two independent studies, each being comprised of two core executive function tasks (flexibility and behavioural inhibition as well as cognitive inhibition and working memory), beta-gamma phase-amplitude coupling was robustly detected in the left and right prefrontal hemispheres. No systematic pattern of coupling strength modulation by either task demands or acute stress was detected. Beta-gamma coupling might also be present in more basic attention processes. This is the first investigation of the relationship between stress, executive functions and phase-amplitude coupling. Therefore, many aspects have not been explored yet. For example, studying phase precision instead of coupling strength as an indicator for phase-amplitude coupling modulations. Furthermore, data was analysed in source space (independent component analysis); comparability to sensor space has still to be determined. These as well as other aspects should be investigated, due to the promising finding of very robust and strong beta-gamma coupling for all executive functions. Additionally, this thesis tested the performance of two widely used phase-amplitude coupling measures (mean vector length and modulation index). Both measures are specific and sensitive to coupling strength and coupling width. The simulation study also drew attention to several confounding factors, which influence phase-amplitude coupling measures (e. g. data length, multimodality).
Attitudes are "the most distinctive and indispensable concept in contemporary social psychology" (Allport, 1935, p. 798). This outstanding position of the attitude concept in social cognitive research is not only reflected in the innumerous studies focusing on this concept but also in the huge number of theoretical approaches that have been put forth since then. Yet, it is still an open question, what attitudes actually are. That is, the question of how attitude objects are represented in memory cannot be unequivocally answered until now (e.g., Barsalou, 1999; Gawronski, 2007; Pratkanis, 1989, Chapter 4). In particular, researchers strongly differ with respect to their assumptions on the content, format and structural nature of attitude representations (Ferguson & Fukukura, 2012). This prevailing uncertainty on what actually constitutes our likes and dislikes is strongly dovetailed with the question of which processes result in the formation of these representations. In recent years, this issue has mainly been addressed in evaluative conditioning research (EC). In a standard EC-paradigm a neutral stimulus (conditioned stimulus, CS) is repeatedly paired with an affective stimulus (unconditioned stimulus, US). The pairing of stimuli then typically results in changes in the evaluation of the CS corresponding to the evaluative response of the US (De Houwer, Baeyens, & Field, 2005). This experimental approach on the formation of attitudes has primarily been concerned with the question of how the representations underlying our attitudes are formed. However, which processes operate on the formation of such an attitude representation is not yet understood (Jones, Olson, & Fazio, 2010; Walther, Nagengast, & Trasselli, 2005). Indeed, there are several ideas on how CS-US pairs might be encoded in memory. Notwithstanding the importance of these theoretical ideas, looking at the existing empirical work within the research area of EC (for reviews see Hofmann, De Houwer, Perugini, Baeyens, & Crombez, 2010; De Houwer, Thomas, & Baeyens, 2001) leaves one with the impression that scientists have skipped the basic processes. Basic processes hereby especially refer to the attentional processes being involved in the encoding of CSs and USs as well as the relation between them. Against the background of this huge gap in current research on attitude formation, the focus of this thesis will be to highlight the contribution of selective attention processes to a better understanding of the representation underlying our likes and dislikes. In particular, the present thesis considers the role of selective attention processes for the solution of the representation issue from three different perspectives. Before illustrating these different perspectives, Chapter 1 is meant to envision the omnipresence of the representation problem in current theoretical as well as empirical work on evaluative conditioning. Likewise, it emphasizes the critical role of selective attention processes for the representation question in classical conditioning and how this knowledge might be used to put forth the uniqueness of evaluative conditioning as compared to classical conditioning. Chapter 2 then considers the differential influence of attentional resources and goal-directed attention on attitude learning. The primary objective of the presented experiment was thereby to investigate whether attentional resources and goal-directed attention exert their influence on EC via changes in the encoding of CS-US relations in memory (i.e., contingency memory). Taking the findings from this experiment into account, Chapter 3 focuses on the selective processing of the US relative to the CS. In particular, the two experiments presented in this chapter were meant to explore the moderating influence of the selective processing of the US in its relation to the CS on EC. In Chapter 4 the important role of the encoding of the US in relation to the CS, as outlined in Chapter 3, is illuminated in the context of different retrieval processes. Against the background of the findings from the two presented experiments, the interplay between the encoding of CS-US contingencies and the moderation of EC via different retrieval processes will be discussed. Finally, a general discussion of the findings, their theoretical implications and future research lines will be outlined in Chapter 5.
Startups are essential agents for the evolution of economies and the creative destruction of established market conditions for the benefit of a more effective and efficient economy. Their significance is manifested in their drive for innovation and technological advancements, their creation of new jobs, their contribution to economic growth, and their impact on increased competition and increased market efficiency. By reason of their attributes of newness and smallness, startups often experience a limitation in accessing external financial resources. Extant research on entrepreneurial finance examines the capital structure of startups, various funding tools, financing environments in certain regions, and investor selection criteria among other topics. My dissertation contributes to this research area by examining the becoming increasingly important funding instrument of venture debt. Prior research on venture debt only investigated the business model of venture debt, the concept of venture debt, the selection criteria of venture debt providers, and the role of patents in the venture debt provider’s selection process. Based on qualitative and quantitative methods, the dissertation outlines the emergence of venture debt in Europe as well as the impact of venture debt on startups to open up a better understanding of venture debt.
The results of the qualitative studies indicate that venture debt was formed based on a ‘Kirznerian’ entrepreneurial opportunity and venture debt impacts startups positive and negative in their development via different impact mechanisms.
Based on these results, the dissertation analyzes the empirical impact of venture debt on a startup’s ability to acquire additional financial resources as well as the role of the reputation of venture debt providers. The results suggest that venture debt increases the likelihood of acquiring additional financial resources via subsequent funding rounds and trade sales. In addition, a higher venture debt provider reputation increases the likelihood of acquiring additional financial resources via IPOs.
Germany as law-exporting nation is a worldwide role model especially for its criminal law and criminal procedure law which has influenced several East Asian countries. The author offers a short historical overview on the establishment of the rule of law in Germany. He describes the role of the German Federal Constitution as source of criminal procedure law by referring to fundamental constitutional principles as well as giving specific case examples. The second part of the essay focuses on the relevance and application of the European Convention on Human Rights. The author points out basic principles of the European Convention on Human Rights and illustrates its influence on German legal practice.
The Second Language Acquisition of English Non-Finite Complement Clauses – A Usage-Based Perspective
(2022)
One of the most essential hypotheses of usage-based theories and many constructionist approaches to language is that language entails the piecemeal learning of constructions on the basis of general cognitive mechanisms and exposure to the target language in use (Ellis 2002; Tomasello 2003). However, there is still a considerable lack of empirical research on the emergence and mental representation of constructions in second language (L2) acquisition. One crucial question that arises, for instance, is whether L2 learners’ knowledge of a construction corresponds to a native-like mapping of form and meaning and, if so, to what extent this representation is shaped by usage. For instance, it is unclear how learners ‘build’ constructional knowledge, i.e. which pieces of frequency-, form- and meaning-related information become relevant for the entrenchment and schematisation of a L2 construction.
To address these issues, the English catenative verb construction was used as a testbed phenomenon. This idiosyncratic complex construction is comprised of a catenative verb and a non-finite complement clause (see Huddleston & Pullum 2002), which is prototypically a gerund-participial (henceforth referred to as ‘target-ing’ construction) or a to-infinitival complement (‘target-to’ construction):
(1) She refused to do her homework.
(2) Laura kept reading love stories.
(3) *He avoids to listen to loud music.
This construction is particularly interesting because learners often show choices of a complement type different from those of native speakers (e.g. Gries & Wulff 2009; Martinez‐Garcia & Wulff 2012) as illustrated in (3) and is commonly claimed to be difficult to be taught by explicit rules (see e.g. Petrovitz 2001).
By triangulating different types of usage data (corpus and elicited production data) and analysing these by multivariate statistical tests, the effects of different usage-related factors (e.g. frequency, proficiency level of the learner, semantic class of verb, etc.) on the representation and development of the catenative verb construction and its subschemas (i.e. target-to and target-ing construction) were examined. In particular, it was assessed whether they can predict a native-like form-meaning pairing of a catenative verb and non-finite complement.
First, all studies were able to show a robust effect of frequency on the complement choice. Frequency does not only lead to the entrenchment of high-frequency exemplars of the construction but is also found to motivate a taxonomic generalisation across related exemplars and the representation of a more abstract schema. Second, the results indicate that the target-to construction, due to its higher type and token frequency, has a high degree of schematicity and productivity than the target-ing construction for the learners, which allows for analogical comparisons and pattern extension with less entrenched exemplars. This schema is likely to be overgeneralised to (less frequent) target-ing verbs because the learners perceive formal and semantic compatibility between the unknown/infrequent verb and this pattern.
Furthermore, the findings present evidence that less advanced learners (A2-B2) make more coarse-grained generalisations, which are centred around high-frequency and prototypical exemplars/low-scope patterns. In the case of high-proficiency learners (C1-C2), not only does the number of native-like complement choices increase but relational information, such as the semantic subclasses of the verb, form-function contingency and other factors, becomes also relevant for a target-like choice. Thus, the results suggests that with increasing usage experience learners gradually develop a more fine-grained, interconnected representation of the catenative verb construction, which gains more resemblance to the form-meaning mappings of native speakers.
Taken together, these insights highlight the importance for language learning and teaching environments to acknowledge that L2 knowledge is represented in the form of highly interconnected form-meaning pairings, i.e. constructions, that can be found on different levels of abstraction and complexity.
The startle response in psychophysiological research: modulating effects of contextual parameters
(2013)
Startle reactions are fast, reflexive, and defensive responses which protect the body from injury in the face of imminent danger. The underlying reflex is basic and can be found in many species. Even though it consists of only a few synapses located in the brain stem, the startle reflex offers a valuable research method for human affective, cognitive, and psychological research. This is because of moderating effects of higher mental processes such as attention and emotion on the response magnitude: affective foreground stimulation and directed attention are validated paradigms in startle-related research. This work presents findings from three independent research studies that deal with (1) the application of the established "affective modulation of startle"-paradigm to the novel setting of attractiveness and human mating preferences, (2) the question of how different components of the startle response are affected by a physiological stressor and (3) how startle stimuli affect visual attention towards emotional stimuli. While the first two studies treat the startle response as a dependent variable by measuring its response magnitude, the third study uses startle stimuli as an experimental manipulation and investigates its potential effects on a behavioural measure. The first chapter of this thesis describes the basic mechanisms of the startle response as well as the body of research that sets the foundation of startle research in psychophysiology. It provides the rationale for the presented studies, and offers a short summary of the obtained results. Chapter two to four represent primary research articles that are published or in press. At the beginning of each chapter the contribution of all authors is explained. The references for all chapters are listed at the end of this thesis. The overall scope of this thesis is to show how the human startle response is modulated by a variety of factors, such as the attractiveness of a potential mating partner or the exposure to a stressor. In conclusion, the magnitude of the startle response can serve as a measure for such psychological states and processes. Beyond the involuntary, physiological startle reflex, startle stimuli also affect intentional behavioural responses, which we could demonstrate for eye movements in a visual attention paradigm.
The main socio-ecological pressures in five wetlands in the Greater Accra Region were first identified and then summarized by reviewing the relevant literature. As a second step, fieldwork in the region was carried out in 2016 to further examine the pressures identified in the literature. Most research on the wetlands in Ghana was published around the year 2000. Yet, similar socio-ecological pressures persist today. Based on both, fieldwork observations and the literature review, these pressures were ranked using the IUCN pressures system analysis framework. It is suggested that further research needs to proceed with uncovering how trade-offs between ecosystem and quality of life can be defined.
As a target for condemnation, the thematic prevalence of racism in African American novels of satire is not surprising. In order to confront this vice in its shifting manifestations, however, the African American satirist has to employ special techniques. This thesis examines some of these devices as they occur in George Schuyler- Black No More, Charles Wright- The Wig, and Percival Everett- Erasure. Given the reciprocity of target and technique in the satiric context, close attention is paid to how the authors under study locate and interrogate racism in their narratives. In this respect, the significance of anti-essentialist Marxist criticism in Schuyler- Black No More and the author- portrayal of the society of his time as capitalist machinery is examined. While Schuyler is concerned with exposing the general socioeconomic workings of the 1920s from a Marxist perspective, Wright offers the reader perspective into how this oppressive machinery psychologically manipulates and corrupts the individual in the historic context of Lyndon B. Johnson- political vision of the Great Society. Everett then elaborates on the epistemological concern which is traceable in Wright- work and addresses the role media representation plays in manufacturing images and rigid categories that shape systematic racism. As such, the present study not only highlights the versatility of satire as a rhetorical secret weapon and thus ventures toward the idiosyncrasies of the African American novel of satire, it also makes an effort to trace the ever-changing face of racial discrimination.
This working paper outlines analytical pathways that could contribute to deepening the understanding of water inequalities in cities of the Global South. It brings together the status quo of research on water inequalities in Accra, the capital of Ghana, and studies on Environmental Justice. In doing so, it argues for the need to analytically distinguish between the terms ‘(in)equality’ and ‘(in)justice’. Studying everyday water practices and per- spectives on water (in)justice of different stakeholders would be a suitable entry point for an in-depth ethnographic study that analytically separates water inequalities and water injustices but considers their interlinkages. The working paper is based on a literature review conducted in 2015 in the scope of the WaterPower project.
The article deals with the untenable overloading of German criminal trial court judges presenting the overloading in detail and analyzing its reasons and consequences. In this context, serious failures by the German federal and state executive and legislative organs as well as undesirable developments of the Federal Constitutional Court's (BVerfG and the Federal Supreme Court of Justice's BGH) case law.
Reptiles belong to a taxonomic group characterized by increasing worldwide population declines. However, it has not been until comparatively recent years that public interest in these taxa has increased, and conservation measures are starting to show results. While many factors contribute to these declines, environmental pollution, especially in form of pesticides, has seen a strong increase in the last few decades, and is nowadays considered a main driver for reptile diversity loss. In light of the above, and given that reptiles are extremely underrepresented in ecotoxicological studies regarding the effects of plant protection products, this thesis aims at studying the impacts of pesticide exposure in reptiles, by using the Common wall lizard (Podarcis muralis) as model species. In a first approach, I evaluated the risk of pesticide exposure for reptile species within the European Union, as a means to detect species with above average exposure probabilities and to detect especially sensitive reptile orders. While helpful to detect species at risk, a risk evaluation is only the first step towards addressing this problem. It is thus indispensable to identify effects of pesticide exposure in wildlife. For this, the use of enzymatic biomarkers has become a popular method to study sub-individual responses, and gain information regarding the mode of action of chemicals. However, current methodologies are very invasive. Thus, in a second step, I explored the use of buccal swabs as a minimally invasive method to detect changes in enzymatic biomarker activity in reptiles, as an indicator for pesticide uptake and effects at the sub-individual level. Finally, the last part of this thesis focuses on field data regarding pesticide exposure and its effects on reptile wildlife. Here, a method to determine pesticide residues in food items of the Common wall lizard was established, as a means to generate data for future dietary risk assessments. Subsequently, a field study was conducted with the aim to describe actual effects of pesticide exposure on reptile populations at different levels.
The vision of a future information and communication society has prompted leading politicians in the United States, the European Union and Japan to influence or even lead the economic and social transition in the context of an active technology policy. The technological development of society, however, is a product of a complex interplay of technological, economic and socio-political constraints. These constraints limit the political decision-making and implementation abilities. Moreover, facts and information are continuously changing during a paradigmatic technological, economic and social shift, which limits political decision-making abilities. This study compares political decision-making to promote computer-mediated communications in the Triad since the beginning of the 1980s, on four levels: the development of a political vision, the long-term aims and strategies, technology policy (e.g. the promotion of technological development and competition policy) and regulatory policy (e.g. universal access, protection of privacy and intellectual property). While technology policy tends to be uncontroversial, during a paradigmatic shift regulatory policy is difficult and lengthy. Nevertheless, the inclusion of interest groups, which rise during this paradigmatic shift and which are close to the technologies and their societal consequences, help to aid decision-making processes. In this context, politics in the United States has been more successful that in the European Union and especially Japan. Although this study predates the rise of eCommerce over the Internet, it addresses many of the themes underlying it. Of these themes, many remain politically unsettled, both on national, supranational and especially international levels. For example, for encryption and secure payments, which are necessary for eCommerce, no international standards do yet exist. The issue of taxation has hardly been opened for discussions. In sum, this study does not only offer a historical overview of the development of the Internet, but it also discusses issues of continuing present concern.
The influence of affect on vocal parameters has been well investigated in speech portrayed by actors, but little is known about affect expression in more natural or authentic speech behavior. This is partly due to the difficulty of generating speech samples that represent authentic expression of speaker affect. The present work investigates the influence of speaker affect on the vocal fundamental frequency (F0) in comparatively authentic speech samples. Three well-documented psychophysiological research methods were applied for the induction of affective states in German native speakers in order to obtain speech samples with authentic affect expression: the Cold Pressor Test (CPT), the Stroop Color-Word Test (SCWT) and the presentation of slides from the International Affective Pictures System (IAPS). The here reported results show that the influence of affect on F0 is differentially modulated by psychophysiological processes as well as socio-cultural influences. They also indicate that this approach may be useful for future research and further to gain a deeper understanding of authentic vocal affect expression. Moreover, F0 may constitute an additional non-invasive, easy to obtain measure for the established psychophysiological research methodology.
Global food security poses large challenges to a fast changing human society and has been a key topic for scientists, agriculturist, and policy makers in the 21st century. The United Nation predicts a total world population of 9.15 billion in 2050 and defines the provision of food security as the second major point in the UN Sustainable Development Goals. As the capacities of both, land and water resources, are finite and locally heavily overused, reducing agriculture’s environmental impact while meeting an increasing demand for food of a constantly growing population is one of the greatest challenges of our century. Therefore, a multifaceted solution is required, including approaches using geospatial data to optimize agricultural food production.
The availability of precise and up-to-date information on vegetation parameters is mandatory to fulfill the requirements of agricultural applications. Direct field measurements of such vegetation parameters are expensive and time-consuming. On the contrary, remote sensing offers a variety of techniques for a cost-effective and non-destructive retrieval of vegetation parameters. Although not widely used, hyperspectral thermal infrared (TIR) remote sensing has demonstrated being a valuable addition to existing remote sensing techniques for the retrieval of vegetation parameters.
This thesis examined the potential of TIR imaging spectroscopy as an important contribution to the growing need of food security. The main scientific question dealt with the extraction of vegetation parameters from imaging TIR spectroscopy. To this end, two studies impressively demonstrated the ability of extracting vegetation related parameters from leaf emissivity spectra: (i) the discrimination of eight plant species based on their emissivity spectra and (ii) the detection of drought stress in potato plants using temperature measures and emissivity spectra.
The datasets used in these studies were collected using the Telops Hyper-Cam LW, a novel imaging spectrometer. Since this FTIR spectrometer presents some particularities, special attention was paid on the development of dedicated experimental data acquisition setups and on data processing chains. The latter include data preprocessing and the development of algorithms for extracting precise surface temperatures, reproducible emissivity spectra and, in the end, vegetation parameters.
The spectrometer’s versatility allows the collection of airborne imaging spectroscopy datasets. Since the general availability of airborne TIR spectrometers is limited, the preprocessing and
data extraction methods are underexplored compared to reflective remote sensing. This counts especially for atmospheric correction (AC) and temperature and emissivity separation (TES) algorithms. Therefore, we implemented a powerful simulation environment for the development of preprocessing algorithms for airborne hyperspectral TIR image data. This simulation tool is designed in a modular way and includes the image data acquisition and processing chain from surface temperature and emissivity to the final at-sensor radiance data. It includes a series of available algorithms for TES, AC as well as combined AC and TES approaches. Using this simulator, one of the most promising algorithms for the preprocessing of airborne TIR data – ARTEMISS – was significantly optimized. The retrieval error of the atmospheric water vapor during the atmospheric characterization was reduced. As a result, this improvement in atmospheric characterization accuracy enhanced the subsequent retrieval of surface temperatures and surface emissivities intensely.
Although, the potential of hyperspectral TIR applications in ecology, agriculture, and biodiversity has been impressively demonstrated, a serious contribution to a global provision of food security requires the retrieval of vegetation related parameters with global coverage, high spatial resolution and at high revisit frequencies.
Emerging from the findings in this thesis, the spectral configuration of a spaceborne TIR spectrometer concept was developed. The sensors spectral configuration aims at the retrieval of precise land surface temperatures and land surface emissivity spectra. Complemented with additional characteristics, i.e. short revisit times and a high spatial resolution, this sensor potentially allows the retrieval of valuable vegetation parameters needed for agricultural optimizations. The technical feasibility of such a sensor concept underlines the potential contribution to the multifaceted solution required for achieving the challenging goal of guaranteeing global food security in a world of increasing population.
In conclusion, thermal remote sensing and more precisely hyperspectral thermal remote sensing has been presented as a valuable technique for a variety of applications contributing to the final goal of a global food security.
Das erste Kapitel "ECOWAS" capability and potential to overcome constraints to growth and poverty reduction of its member states" diskutiert die Analyse wirtschaftlicher und sozialer Barrieren für ökonomisches Wachstum " eine der Hauptelemente für Entwicklungs- und Armutsreduktionsstrategien in Entwicklungsländern. Die Form der länderspezifischen Analyse von Wachstumsbarrieren wurde nach dem Scheitern der auf alle Länder generalisierten Entwicklungsstrategie des Washington Consensus insbesondere durch den Ansatz der "Growth Diagnostics" der Harvard Professoren Hausman, Rodrik und Velasco eingeführt. Es zeigt sich jedoch, dass bisher der Fokus rein auf den länderspezifischen Analysen bzw. Strategieentwicklungen liegt. Diese Arbeit erweiterte die Diskussion auf die regionale Ebene, indem es beispielhaft an der Economic Community of West African States (ECOWAS) die länderspezifischen Wachstumsbarrieren mit den regionalen Wachstumsbarrieren vergleicht. Dies erfolgt mittels einer Darstellung der in Studien und Strategien bereits identifizierten, länderspezifischen Wachstumsbarrieren in den jeweiligen Ländern sowie mit der Auswertung der regionalen Strategien der ECOWAS. Dazu wird ermittelt, inwieweit auf der regionalen Ebene auch messbare Ergebnisse bei der Bekämpfung von Wachstumsbarrieren erzielt werden. Es zeigt sich, dass ,trotz der wirtschaftlichen und sozialen Diversität der Region, die ECOWAS den Großteil der in den Ländern identifizierten Wachstumsbarrieren ebenfalls auflistet und darüber hinaus sogar mit messbaren Ergebnissen dazu beiträgt, Veränderungen des Status Quo zu erreichen. Die Erweiterung des Ansatzes der Growth Diagnostics auf die regionale Ebene sowie die Erweiterung um das vergleichende Element von länderspezifischen und regionalen Wachstumsbarrieren zeigen sich als praktikabler Weg, Entwicklungsstrategien auf regionaler Ebene zu prüfen und subsidiär weiterzuentwickeln. Das zweite Kapitel "Simplifying evaluation of potential causalities in development projects using Qualitative Comparative Analysis (QCA)" diskutiert die Methode der qualitativen komperativen Analyse (QCA) als Evaluierungsmethodik für Projekte der Entwicklungszusammenarbeit. Hierbei stehen die adäquate Messung sowie die verständliche Darstellung der Wirkung von Entwicklungszusammenarbeit im Vordergrund. Dies ist ein Beitrag zu der intensiv geführten Diskussion, wie Wirkung von Hilfe in Entwicklungsländern gemessen und daraus für weitere Projekte gelernt werden kann. Mit der beispielhaften Anwendung der QCA auf einen Datensatz der deutschen Entwicklungszusammenarbeit im Senegal wird erstmalig diese Methode für die Entwicklungszusammenarbeit in der Praxis angewandt. Der Fokus liegt dabei auf der Überprüfung von bestimmten Programmtheorien, d.h. der Annahme bestimmter Zusammenhänge zwischen eingesetzten Mitteln, äußeren Umständen und den Projektergebnissen bei der Implementierung von Projekten. Während solche Programmtheorien in dem Großteil der Projektskizzen der deutschen Entwicklungszusammenarbeit enthalten sind, werden die wenigsten dieser Programmtheorien geprüft. Diese Arbeit zeigt QCA als eine effiziente Methode für diese Überprüfung. Eine eindeutige Bestätigung oder Falsifizierung dieser Theorien ist mittels dieser Methodik möglich. Dazu können die Ergebnisse bei den beiden einfacheren Formen der QCA, der crisp-set sowie der multi-value QCA, leicht nachvollziehbar vermittelt werden. Des Weiteren zeigt die Arbeit, dass QCA ebenfalls die Weiterentwicklung einer Programmtheorie ermöglicht, allerdings ist diese Weiterentwicklung nur begrenzt effizient und stark von den vorliegenden Daten sowie der Datenstruktur abhängig. Die Arbeit zeigt somit das Potential der QCA insbesondere für den Test von Programmtheorien auf und stellt die praktische Anwendung für mögliche Replizierung beispielhaft dar. Das dritte und letzte Kapitel der Doktorarbeit "The regional trade dynamics of Turkey: a panel data gravity model" analysiert den türkischen Handel, um die Veränderungen der letzten Jahrzehnte aufzuzeigen und daran zu diskutieren, inwieweit sich die Türkei als aufstrebendes Schwellenland von den bestehenden Handelsstrukturen loslöst. Diese Arbeit ist ein Beitrag zur Diskussion der sich Verschiebenden Machtkonstellationen durch das wirtschaftliche Aufholen der Schwellenländer. Bei der Türkei ist diese Diskussion zusätzlich interessant, da die Frage, ob die Türkei sich von der westlichen Welt, Nordamerika und Europa, abwendet, berücksichtigt wird. Mittels Dummy-Variablen für verschiedene Regionen in einem Gravitätsmodell werden die türkischen Handelsdaten zuerst insgesamt und nach Sektoren analysiert und die Veränderungen über verschieden Perioden des türkischen Außenhandels betrachtet. Es zeigt sich, dass in den türkischen Handelsbeziehungen eine Regionalisierung und eine Diversifizierung der Handelspartner stattfinden. Allerdings geht dies nicht mit einer Abkehr von westlichen Handelspartnern einher.
Three Kinds of Rising-Falling Contours in German wh-Questions: Evidence From Form and Function
(2022)
The intonational realization of utterances is generally characterized by regional as well as inter- and intra-speaker variability in f0. Category boundaries thus remain “fuzzy” and it is non-trivial how the (continuous) acoustic space maps onto (discrete) pitch accent categories. We focus on three types of rising-falling contours, which differ in the alignment of L(ow) and H(igh) tones with respect to the stressed syllable. Most of the intonational systems on German have described two rising accent categories, e.g., L+H* and L*+H in the German ToBI system. L+H* has a high-pitched stressed syllable and a low leading tone aligned in the pre-tonic syllable; L*+H a low-pitched stressed syllable and a high trailing tone in the post-tonic syllable. There are indications for the existence of a third category which lies between these two categories, with both L and H aligned within the stressed syllable, henceforth termed (LH)*. In the present paper, we empirically investigate the distinctiveness of three rising-falling contours [L+H*, (LH)*, and L*+H, all with a subsequent low boundary tone] in German wh-questions. We employ an approach that addresses both the form and the function of the contours, also taking regional variation into account. In Experiment 1 (form), we used a delayed imitation paradigm to test whether Northern and Southern German speakers can imitate the three rising-falling contours in wh-questions as distinct contours. In Experiment 2 (function), we used a free association task to investigate whether listeners interpret the pragmatic meaning of the three contours differently. Imitation results showed that German speakers—both from the North and the South—reproduced the three contours. There was a small but significant effect of regional variety such that contours produced by speakers from the North were slightly more distinct than those by speakers from the South. In the association task, listeners from both varieties attributed distinct meanings to the (LH)* accent as opposed to the two ToBI accents L+H* and L*+H. Combined evidence from form and function suggests that three distinct contours can be found in the acoustic and perceptual space of German rising-falling contours.
The 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.
Reisen ist zum Spiegelbild einer Welt in Bewegung und ihrer Beschwörung grenzenloser Mobilität geworden. Dabei geht es nicht nur um die konkrete Bewegung zwischen Orten, sondern auch um das damit verbundene Bedeutungsnetzwerk, jene Imaginationen und Narrationen, die die Orte als Heimat und Ferne, Provinzen oder Urlaubsparadiese, Flucht- oder Treffpunkte erst entstehen lassen. Der vorliegende Band bietet einen multiperspektivischen Blick auf diese Topologien des Reisens, die utopische wie dystopische Raum- und Identitätsentwürfe evozieren. Neben geographischen und tourismuswissenschaftlichen Überlegungen zur Gestaltung und Nutzung von konkreten Tourismusräumen versammelt er vor allem kunst- und literaturwissenschaftliche Reflexionen über die Darstellung von Heimat und Fremde in Kunst und Literatur wie auch ethnologische Studien über das Leben spezifischer Personengruppen in der Migration. Häufig werden dabei Fragestellungen aus Postcolonial und Gender Studies zugrunde gelegt, die neben der politischen Dimension des Reisens auch die perspektivische Engführung bisheriger Erklärungsansätze aufzeigen, die beispielsweise in der analytischen Trennung von Reiseformen und Akteursperspektiven sowie in der Ignoranz gegenüber bestimmten Reiseformen ihren Ausdruck fand. rnSo steht der Band nicht nur für die Vielfalt an zeitgenössischen Reiseformen und -imaginationen im Zeitalter von Massentourismus, Migration und Virtualisierung, sondern auch für eine andere, theoretisch wie empirisch kritische Betrachtung eines globalen Phänomens. Inhalt: Alexandra Karentzos, Alma-Elisa Kittner, Julia Reuter Einleitung: Topologien des Reisens Julia Reuter Einleitung: Tourismus und Migration Andreas Ackermann Reisende Kulturen? Das Konzept der Diaspora in den Kulturwissenschaften, illustriert am Beispiel der Yeziden Jacqueline Knörr Vom "Expat Brat" in Afrika zum "Third Culture Kid" in Deutschland Ramona Lenz Migration und Tourismus als Gegenstand wissenschaftlicher und künstlerischer Projekte Alexandra Karentzos, Alma-Elisa Kittner Einführung: Holiday in Art - Kunst und Tourismus Christian Kravagna The Artist as Traveller. Aus den Reisealben der (Post-)Moderne Peter Schneemann "Miles and More". Welterfahrung und Weltentwurf des reisenenden Künstlers in der Gegenwart Hanna Büdenbender Massimo Vitali: Traumstrand versus Touristenmassen Thomas Küpper Einführung: Reisen in die heile Welt Ute Dettmar Berge voll Glück. Literarische Wege ins Reiseparadies Schweiz Christiane Holm Hier und Jetzt. Zur "Heilen Welt" in Reisetagebüchern und Weblogs von Frauen Peter Gendolla Phantome des Südens. Zur utopischen Differenz der Literatur im virtuellen Raum. Karlheinz Wöhler Tourismusräume: Virtualisierung des Realen - Realisierung des Virtuellen Viktoria Schmidt-Linsenhoff, Dorothea Coskun Einführung: Wandernde Objekte. Die Bedeutung der Mobilität der Dinge Gabriele Genge Grand Tour der reisenden Objekte: Performative Strategien in der afrikanischen Gegenwartskunst Jens Baumgarten Transformation asiatischer Artefakte in brasilianischen Kontexten
Die Zweckbestimmung der modernen Clustertheorie liegt in der Analyse regional-sektoraler Verbundsysteme von ökonomischen Aktivitäten. Erst seit kurzem wird der Versuch einer Übertragung auf touristische Destinationen in Entwicklungsländern unternommen. Die vorliegende Dissertation untersucht theoretische, methodische und praktische Implikationen dieser Übertragung anhand des Fallbeispiels der touristischen Clusterentwicklung in der Napo-Provinz Ecuadors. Hierbei stehen insbesondere die Rahmenbedingungen für die Genese wissensbasierter (kompetitiver) Wettbewerbsvorteile als Quelle der Clusterdynamik im Zentrum. Anhand einer quantitativen Methodik wird in diesem Rahmen sowohl ein Nachweis zur Gültigkeit eines vorab abgeleiteten Clusterentwicklungsmodells geführt, als auch auf dieser Grundlage ein Beitrag zur Verbesserung bestehender Diagnosesysteme geleistet.
This working paper examines the concept of metabolism and its potential as a critical analytical lens to study the contemporary city from a political perspective. The paper illustrates how the metabolism concept has been used historically, both as a metaphor to describe the technological, social, political and economic dimensions of human-environment relations, and as a concrete analytical tool to quantify and better understand how flows of matter and energy shape the territorial and spatial configurations of cityscapes. Drawing on the example of the urban water metabolism of the Greater Accra Metropolitan Area (GAMA), it is argued that contemporary approaches to metabolic analysis should be extended in two ways to increase the integrative potential of the urban water metabolism concept. On the one hand, the paper demonstrates that a political ecology approach is particularly well-suited to illuminate the contested production of urban environments and move beyond a narrow technical, managerial and state- centric focus in research on urban metabolic relations. On the other hand, the paper advocates for an approach to metabolic analysis that views the urban environment not simply as a relatively static exteriority that is produced by dynamic flows of matter, energy and information, but rather as a dynamic, nested and co-evolutionary network of complex biosocial and material relations, which in itself shapes how various metabolisms interact across scales. The paper then concludes by briefly discussing how a combination of metabolic analysis and political ecology research can inform urban water governance. In sum, the paper emphasizes the need for metabolic analysis to remain open to a plurality of different knowledge forms and perspectives, and to remain attentive to the inherently political nature of material and technological phenomena in order to allow for mutually beneficial exchanges between various scholarly communities.
This study aims to estimate the cotton yield at the field and regional level via the APSIM/OZCOT crop model, using an optimization-based recalibration approach based on the state variable of the cotton canopy - the leaf area index (LAI), derived from atmospherically corrected Landsat-8 OLI remote sensing images in 2014. First, a local sensitivity and global analysis approach was employed to test the sensitivity of cultivar, soil and agronomic parameters to the dynamics of the LAI. After sensitivity analyses, a series of sensitive parameters were obtained. Then, the APSIM/OZCOT crop model was calibrated by observations over a two-year span (2006-2007) at the Aksu station, combined with these sensitive cultivar parameters and the current understanding of cotton cultivar parameters. Third, the relationship between the observed in-situ LAI and synchronous perpendicular vegetation indices derived from six Landsat-8 OLI images covering the entire growth stage was modelled to generate LAI maps in time and space. Finally, the Particle Swarm Optimization (PSO) and general-purpose optimization approach (based on Nelder-Mead algorithm) were used to recalibrate four sensitive agronomic parameters (row spacing, sowing density per row, irrigation amount and total fertilization) according to the minimization of the root-mean-square deviation (RMSE) between the simulated LAI from the APSIM/OZCOT model and retrieved LAI from Landsat-8 OLI remote sensing images. After the recalibration, the best simulated results compared with observed cotton yield were obtained. The results showed that: (1) FRUDD, FLAI and DDISQ were the major cultivar parameters suitable for calibrating the cotton cultivar. (2) After the calibration, the simulated LAI performed well with an RMSE and mean absolute error (MAE) of 0.45 and 0.33, respectively, in 2006 and 0.46 and 0.41, respectively, in 2007. The coefficient of determination between the observed and simulated LAI was 0.83 and 0.97, respectively, in 2006 and 2007. The Pearson- correlation coefficient was 0.913 and 0.988 in 2006 and 2007, respectively, with a significant positive correlation between the simulated and observed LAI. The difference between the observed and simulated yield was 776.72 kg/ha and 259.98 kg/ha in 2006 and 2007, respectively. (3) Cotton cultivation in 2014 was obtained using three Landsat-8 OLI images - DOY136 (May), DOY 168 (June) and DOY 200 (July) - based on the phenological differences in cotton and other vegetation types. (4) The yield estimation after the assimilation closely approximated the field-observed values, and the coefficient of determination was as high as 0.82, after recalibration of the APSIM/OZCOT model for ten cotton fields. The difference between the observed and assimilated yields for the ten fields ranged from 18.2 to 939.7 kg/ha. The RMSE and MAE between the assimilated and observed yield was 417.5 and 303.1 kg/ha, respectively. These findings provide scientific evidence for the feasibility of coupled remote sensing and APSIM/OZCOT model at the field level. (5) Upscaling from field level to regional level, the assimilation algorithm and scheme are both especially important. Although the PSO method is very efficient, the computational efficiency is also the shortcoming of the assimilation strategy on a regional scale. Comparisons between the PSO and general-purpose optimization method (based on the Nelder-Mead algorithm) were implemented from the RSME, LAI curve and computational time. The general-purpose optimization method (based on the Nelder-Mead algorithm) was used for the regional assimilation between remote sensing and the APSIM/OZCOT model. Meanwhile, the basic unit for regional assimilation was also determined as cotton field rather than pixel. Moreover, the crop growth simulation was also divided into two phases (vegetative growth and reproductive growth) for regional assimilation. (6) The regional assimilation at the vegetative growth stage between the remote sensing derived and APSIM/OZCOT model-simulated LAI was implemented by adjusting two parameters: row spacing and sowing density per row. The results showed that the sowing density of cotton was higher in the southern part than in the northern part of the study area. The spatial pattern of cotton density was also consistent with the reclamation from 2001 to 2013. Cotton fields after early reclamation were mainly located in the southern part while the recent reclamation was located in the northern part. Poor soil quality, lack of irrigation facilities and woodland belts of cotton fields in the northern part caused the low density of cotton. Regarding the row spacing, the northern part was larger than the southern part due to the variation of two agronomic modes from military and private companies. (7) The irrigation and fertilization amount were both used as key parameters to be adjusted for regional assimilation during the reproductive growth period. The result showed that the irrigation per time ranged from 58.14 to 89.99 mm in the study area. The spatial distribution of the irrigation amount is higher in the northern part while lower in southern study area. The application of urea fertilization ranged from 500.35 to 1598.59 kg/ha in the study area. The spatial distribution of fertilization was lower in the northern part and higher in the southern part. More fertilization applied in the southern study area aims to increase the boll weight and number for pursuing higher yields of cotton. The frequency of the RSME during the second assimilation was mainly located in the range of 0.4-0.6 m2/m2. The estimated cotton yield ranged from 1489 to 8895 kg/ha. The spatial distribution of the estimated yield is also higher in the southern part than the northern study area.
Mobile computing poses different requirements on middleware than more traditional desktop systems interconnected by fixed networks. Not only the characteristics of mobile network technologies as for example lower bandwidth and unreliability demand for customized support. Moreover, the devices employed in mobile settings usually are less powerful than their desktop counterparts. Slow processors, a fairly limited amount of memory, and smaller displays are typical properties of mobile equipment, again requiring special treatment. Furthermore, user mobility results in additional requirements on appropriate middleware support. As opposed to the quite static environments dominating the world of desktop computing, dynamic aspects gain more importance. Suitable strategies and techniques for exploring the environment e.g. in order to discover services available locally are only one example. Managing resources in a fault-tolerant manner, reducing the impact ill-behaved clients have on system stability define yet another exemplary prerequisite. Most state of the art middleware has been designed for use in the realm of static, resource rich environments and hence is not immediately applicable in mobile settings as set forth above. The work described throughout this thesis aims at investigating the suitability of different middleware technologies with regard to application design, development, and deployment in the context of mobile networks. Mostly based upon prototypes, shortcomings of those technologies are identified and possible solutions are proposed and evaluated where appropriate. Besides tailoring middleware to specific communication and device characteristics, the cellular structure of current mobile networks may and shall be exploited in favor of more scalable and robust systems. Hence, an additional topic considered within this thesis is to point out and investigate suitable approaches permitting to benefit from such cellular infrastructures. In particular, a system architecture for the development of applications in the context of mobile networks will be proposed. An evaluation of this architecture employing mobile agents as flexible, network-side representatives for mobile terminals is performed, again based upon a prototype application. In summary, this thesis aims at providing several complementary approaches regarding middleware support tailored for mobile, cellular networks, a field considered to be of rising importance in a world where mobile communication and particularly data services emerge rapidly, augmenting the globally interconnecting, wired Internet.
Die Arbeit bietet die erste umfassende und vergleichende kunsthistorische Untersuchung der hoch spannenden und komplexen lokalen Helena-Traditionen von S. Croce in Gerusalemme Rom, der Trierer Kirche mit ihren Sondertraditionen in den Abteien St. Maximin und St. Eucharius/St. Matthias sowie der niederrheinischen Thebäer-Stifte Köln, Bonn und Xanten. Den Hintergrund bildet an jedem der fuenf Orte eine spezifische lokale Tradition, die unter verschiedenen Vorzeichen die Gruendung der jeweiligen Kirche durch die Mutter Konstantins postuliert. In Rom und Trier gilt sie darueber hinaus als Stifterin bedeutender Reliquien und Vorbesitzerin der Gebaeude, in denen die betreffende Kirche eingerichtet wurde. Umso interessanter ist die Frage nach dem Auftraggeber- und Nutzungskontext der untersuchten Helena-Darstellungen des 13. bis 18. Jahrhunderts, vor allem in Trier, wo die Helena-Tradition in einem komplexen Spannungsfeld politischer Legitimationsverhaeltnisse steht.
The complicated human alternative GR promoter region plays a pivotal role in the regulation of GR levels. In this thesis, both genomic and environmental factors linked with GR expression are covered. This research showed that GR promoters were susceptible to silencing by methylation and the activity of the individual promoters was also modulated by SNPs. E2F1 is a major element to drive the expression of GR 1F transcripts and single CpG dinucleotide methylation cannot mediate the inhibition of transcription in vitro. Also, the distribution of GR first exons and 3" splice variants (GRα and GR-P) is expressed throughout the human brain with no region-specific alternative first exon usage. These data mirrored the consistently low levels of methylation in the brain, and the observed homogeneity throughout the studied regions. Taken together, the research presented in this thesis explored several layers of complexity in GR transcriptional regulation.
Transformation of the Organisation of African Unity (OAU): A New Vision for the 21st Century, or Political Rhetoric? The formation of the OAU had three key objectives apart from the fundamental objective of decolonization - Unity, Security, and Development. In none of these objectives did the regional body lived up to expectation. The challenges ushered in by the end of the Cold War compelled African leaders to transform the OAU via the injection of new institutional spirit, which finally led to the creation of the African Union (AU). In the 1990s the institutional engineering resulted in key blueprints such as the Abuja Treaty Establishing the African Economic Community (June 1991), the Mechanism for Conflict Prevention, Management and Resolution (1993), the Constitutive Act of the African Union (CAAU, July 2000), and the New Partnership for African Development (NEPAD, October 2001), among others. This contribution argues that the OAU has been inefficient since its formative years in the early 1960s, especially in crisis intervention as exemplified by the case studies in Chad and Rwanda. The subregional organisations on which it is anchored are also saddled with capacity and functional constraints that make the realization of their objectives difficult. The AU despite its institutional finesse is also devoid of a legal framework that would help ensure coordination, efficiency, and predictability. But at the heart of the matter is that in the past African leaders have engaged the outside world (and even cooperate among themselves) without taking full cognizance of risks and perils there from. Indeed, there is more to lack of political will as a basic reason for assessing the failure of regionalism in Africa. Building on the works of others the contribution constructs a model for Integrated Political Risk Analysis as a tool for understanding the place and role of the regional body in a rapidly changing world of globalization.
Art, seen under the perspective of literature as an independent mode of human articulation, provides decisive motives for Cassirer's Philosophy of Symbolic Forms. The concept of art as a symbolic form opens up two fields of inquiry. On the one hand Cassirer did not actually carry out his intended systematic presentation of art as a symbolic form. On the other hand Cassirer develops his concept of art's autonomy as an indepedent form of grasping the world by conceptually linking (poetic) art with philosophy. The concepts of transformation, reflexion and heterogeneity denote characteristics of the method - not made explicit by Cassirer himself - through the cultural process becomes evident and can be interpreted as a process of becoming as movement toward Being. With the help of Cassirer's line-example it can be shown how this perspective, which manifests itself in the sense-generating force of regarding the world, is already materially given in the mere process of human perception. Language, myth and science, but also art, are different symbolic forms, which in regard to the essential function of perception turn out to be unfaling elements of the whole cultural process. Owing to the ability of the style-function of art to make transparent the performance of the symbol and with that the dynamics of culture, Cassirer in citing Rückert and Kleist can delimit the critical claim from sceptical and dogmatical positions.
In a first step, this paper analyses the emergence of the UN Sustainable Development Goals (SDGs) as new global development framework with regard to key actors, social learning cycles, innovation platforms, fundamental policy changes and transition dynamics towards sustainability. In a second step, it traces the convolution of social, political and environmental dimensions, social power relations and governance paradigms embedded in the drafting process and final framework of the water related SDG 6. This research concludes that the SDGs induced important paradigm and policy changes in addition to rearranging existing power relations.
Transnationale Schulprojekte bieten vielfältige Gelegenheiten, um Schulen zu öffnen und interkulturelle Begegnungen zu ermöglichen. Insbesondere die Großregion mit ihren transnationalen Bezügen und Dynamiken lässt sich als Ort des kulturellen Austauschs und der europäischen Integration „vor der eigenen Haustür“ nutzen.
Traumabewältigung
(2004)
The discretization of optimal control problems governed by partial differential equations typically leads to large-scale optimization problems. We consider flow control involving the time-dependent Navier-Stokes equations as state equation which is stamped by exactly this property. In order to avoid the difficulties of dealing with large-scale (discretized) state equations during the optimization process, a reduction of the number of state variables can be achieved by employing a reduced order modelling technique. Using the snapshot proper orthogonal decomposition method, one obtains a low-dimensional model for the computation of an approximate solution to the state equation. In fact, often a small number of POD basis functions suffices to obtain a satisfactory level of accuracy in the reduced order solution. However, the small number of degrees of freedom in a POD based reduced order model also constitutes its main weakness for optimal control purposes. Since a single reduced order model is based on the solution of the Navier-Stokes equations for a specified control, it might be an inadequate model when the control (and consequently also the actual corresponding flow behaviour) is altered, implying that the range of validity of a reduced order model, in general, is limited. Thus, it is likely to meet unreliable reduced order solutions during a control problem solution based on one single reduced order model. In order to get out of this dilemma, we propose to use a trust-region proper orthogonal decomposition (TRPOD) approach. By embedding the POD based reduced order modelling technique into a trust-region framework with general model functions, we obtain a mechanism for updating the reduced order models during the optimization process, enabling the reduced order models to represent the flow dynamics as altered by the control. In fact, a rigorous convergence theory for the TRPOD method is obtained which justifies this procedure also from a theoretical point of view. Benefiting from the trust-region philosophy, the TRPOD method guarantees to save a lot of computational work during the control problem solution, since the original state equation only has to be solved if we intend to update our model function in the trust-region framework. The optimization process itself is completely based on reduced order information only.
Der Aufsatz analysiert den Film "Karl May" von Hans Jürgen Syberberg, welcher am 18.10.1974 in München uraufgeführt wurde. Der Film bildet den mittleren Teil der Film-Trilogie, die Syberberg mit "Ludwig " Requiem für einen jungfräulichen König" begonnen und mit "Hitler, ein Film aus Deutschland" abgeschlossen hatte. Die Filmbiografie "Karl May", produziert von Bernd Eichinger und finanziert von der TMS Film GmbH (München) sowie Zweites Deutsches Fernsehen (ZDF) (Mainz), stellt den alternden Schriftsteller Karl May, gespielt von Helmut Käutner, in den Mittelpunkt - einen Autor, der sich an seinen eigenen Legenden psychisch abarbeitete und nach literarischer Anerkennung strebte. rn- Der Aufsatz gibt einen Vortrag wieder, der von Annette Deeken auf einer Tagung der Karl May-Gesellschaft am 1. Oktober 1983 in Regensburg gehalten wurde.
This thesis presents a study of tsunami deposits created by the 2004 Indian Ocean tsunami at the Thai Andaman coast. The outcomes of a study are the characteristics of tsunami deposit for paleo-tsunami database, the identification of major sediment layers in tsunami deposit and the reconstructing tsunami run-ups from the characteristics of tsunami deposit for a coastal development program. The investigations of tsunami deposit are made almost 3 years after the event. Field investigations characterize the tsunami deposit as a distinct sediment layer variable in thickness of gray sand deposited with an erosional basis on a pre-existing soil. The best location for the observation of recent tsunami deposit is the area located about 50-200 m inland from the coastline. In most cases, the deposit layer is normally graded. In some cases, the deposit contains rip-up clasts of muddy soils and/or organic matters. The tsunami deposits are compared with three deposits from coastal sub-environments. The mean grain-size and standard deviation of deposits show that the shoreface deposits are fine to very fine sand, poorly to moderately well sorted; the swash zone deposits are coarse to fine sand, poorly to well sorted; the berm/dune deposits are medium to fine sand, poorly to well sorted; and the tsunami deposits are coarse to very fine sand, poorly to moderately well sorted. The plots of deposit mean grain-size versus sorting indicate that the tsunami deposits are composed of shoreface deposits, swash zone deposits and berm/dune deposits as well. The vertical variation of the texture of tsunami deposit shows that the mean grain-size fines upward and fining landward. The analysis and interpretation of the run-up numbers from the characteristics of tsunami deposits get three run-ups for the 2004 Indian Ocean tsunami at the Thai Andaman coast. It corresponds to field observations from the eye-witness reports and local people- affirmations. The total deposition is a major transportation pattern of onshore tsunami sediments. The sediments must fine in the direction of transport. In general, the major origins of the sediment are the swash zone and berm/dune zone where coarse to medium sand is a significant material, the minor origin of tsunami sediment is a shoreface where a significant material is fine to very fine sand. Only at an area with flat slope shorface, the major origin of tsunami sediment is the shoreface. The thicknesses, the mean grain-sizes, and the standard deviations of tsunami deposits are used to evaluate the influences of coastal morphology on the sediment characteristics. The evaluations show that the tsunami affected areas were attacked by the variable energy waves. Wave energies at the direct tsunami wave affected areas are higher than at the indirect tsunami wave affected areas. Tsunami wave energy is highly dissipated at an area with steep slope shoreface. In the same way, tsunami run-up energy is highly dissipated at an area with steep slope onshore. A channel paralleled to the coastline decreases the run-up velocity, slightly dissipates run-up energy. The road and pond highly influence the characteristics of tsunami deposit and tsunami run-up. A road obstructs the run-up velocity, dissipates run-up energy. A pond decreases run-up velocity, dissipates run-up energy. The characteristics of tsunami deposit can be interpreted for reconstructing the characteristics of tsunami run-up such as a run-up height and a flow velocity. Soulsby et al.(2007)- model is applied for reconstructing tsunami run-up at the study areas. The input parameters are sediment grain-size and sediment inundation distance. Ao Kheuy beach and Khuk Khak beach, Phang Nga province, Thailand are the areas listed for reconstructing tsunami run-up. The evaluated run-up heights are 4.2-4.9 m at Ao Kheuy beach, and 5.4-9.4 m at Khuk Khak beach. The evaluated run-up velocities are 12.8-19.2 m/s (maximum) and 0.2-1.9 m/s (mean) at the coastline and onshore, respectively. Hence, a reasonably good agreement between the evaluated and observed run-up is found. Tsunami run-up height and velocity can be used for coastal development and risk management in the tsunami affected areas. The case studies from the Thai Andaman coast suggest that in the area from coastline to about 70-140 m inland was flooded by the high velocity (high energy) run-ups, and those run-up energies were dissipated there. That area ought to be a non-residential area or a physical protection construction area (flood barrier, forest planting, etc.).
Cortisol exhibits typical ultradian and circadian rhythm and disturbances in its secretory pattern have been described in stress-related pathology. The aim of this thesis was to dissect the underlying structure of cortisol pulsatility and to develop tools to investigate the effects of this pulsatility on immune cell trafficking and the responsiveness of the neuroendocrine system and GR target genes to stress. Deconvolution modeling was set up as a tool for investigation of the pulsatile secretion underlying the ultradian cortisol rhythm. This further allowed us to investigate the role of the single cortisol pulses on the immune cell trafficking and the role of induced cortisol pulses on the kinetics of expression of GR target genes. The development of these three tools, would allow to induce and investigate in future the significance of single cortisol pulses for health and disease.
Der vorliegende Bericht basiert auf einer universitätsweiten Online-Umfrage zum Status quo des Forschungsdatenma-nagements an der Universität Trier. Er ist ein erster Schritt, um den aktuellen und zukünftigen Bedarf an zentralen Dienstleistungen zu identifizieren. Neue Handlungsfelder sollen frühzeitig erkannt werden, auch um der Strategie-entwicklung eine Richtung zu weisen.rnDie Befragten befürworten generell die Initiative zur Entwicklung zentraler IT- und Beratungsangebote. Sie sind bereit, die eigenen Forschungsdaten anderen zur Nachnutzung zur Verfügung zu stellen, sofern die geeigneten Instrumente vorhanden, sind die eine solche Arbeitsweise unterstützen. Allerdings wird eine unkommentierte Bereit-stellung von Rohdaten eher kritisch beurteilt. Der Dokumentationsaufwand einer öffentlichen Bereitstellung von Daten wird in einem ungünstigen Kosten-Nutzenverhältnis gesehen. Es fällt auf, dass die Datenarchivierung größ-tenteils in proprietären Formaten erfolgt.
In the modeling context, non-linearities and uncertainty go hand in hand. In fact, the utility function's curvature determines the degree of risk-aversion. This concept is exploited in the first article of this thesis, which incorporates uncertainty into a small-scale DSGE model. More specifically, this is done by a second-order approximation, while carrying out the derivation in great detail and carefully discussing the more formal aspects. Moreover, the consequences of this method are discussed when calibrating the equilibrium condition. The second article of the thesis considers the essential model part of the first paper and focuses on the (forward-looking) data needed to meet the model's requirements. A large number of uncertainty measures are utilized to explain a possible approximation bias. The last article keeps to the same topic but uses statistical distributions instead of actual data. In addition, theoretical (model) and calibrated (data) parameters are used to produce more general statements. In this way, several relationships are revealed with regard to a biased interpretation of this class of models. In this dissertation, the respective approaches are explained in full detail and also how they build on each other.
In summary, the question remains whether the exact interpretation of model equations should play a role in macroeconomics. If we answer this positively, this work shows to what extent the practical use can lead to biased results.
The outbreak of the COVID-19 pandemic has also led to many conspiracy theories. While the origin of the pandemic in China led some, including former US president Donald Trump, to dub the pathogen “Chinese virus” and to support anti-Chinese conspiracy narratives, it caused Chinese state officials to openly support anti-US conspiracy theories about the “true” origin of the virus. In this article, we study whether nationalism, or more precisely uncritical patriotism, is related to belief in conspiracy theories among normal people. We hypothesize based on group identity theory and motivated reasoning that for the particular case of conspiracy theories related to the origin of COVID-19, such a relation should be stronger for Chinese than for Germans. To test this hypothesis, we use survey data from Germany and China, including data from the Chinese community in Germany. We also look at relations to other factors, in particular media consumption and xenophobia.
Understanding the mechanisms that shape access to the fisheries ecosystem service in Tsokomey, Accra
(2019)
Questions of access to ecosystem services remain largely unaddressed. Yet, in the coming decades, addressing access to services and securing them for livelihoods and well-being of people will likely gain importance, especially to guide according policies at the local scale. Through a qualitative approach, this paper addresses the mechanisms that shape access to the fisheries eco- system service in Accra, Ghana. The analysis uses a framework that focuses on access to land, tools and technology, knowledge and information, capital and credit, as well as labor. This research reveals how access is organized across the different categories of this framework and how people’s well-being is shaped. Moreover, it helps to further our understanding of what regulates the access to ecosystem services and how to address future shocks and capacity in terms of production of ecosystem services.
Internet interventions have gained popularity and the idea is to use them to increase the availability of psychological treatment. Research suggests that internet interventions are effective for a number of psychological disorders with effect sizes comparable to those found in face-to-face treatment. However, when provided as an add-on to treatment as usual, internet interventions do not seem to provide additional benefit. Furthermore, adherence and dropout rates vary greatly between studies, limiting the generalizability of the findings. This underlines the need to further investigate differences between internet interventions, participating patients, and their usage of interventions. A stronger focus on the processes of change seems necessary to better understand the varying findings regarding outcome, adherence and dropout in internet interventions. Thus, the aim of this dissertation was to investigate change processes in internet interventions and the factors that impact treatment response. This could help to identify important variables that should be considered in research on internet interventions as well as in clinical settings that make use of internet interventions.
Study I (Chapter 5) investigated early change patterns in participants of an internet intervention targeting depression. Data from 409 participants were analyzed using Growth Mixture Modeling. Specifically a piecewise model was applied to model change from screening to registration (pretreatment) and early change (registration to week four of treatment). Three early change patterns were identified; two were characterized by improvement and one by deterioration. The patterns were predictive of treatment outcome. The results therefore indicated that early change should be closely monitored in internet interventions, as early change may be an important indicator of treatment outcome.
Study II (Chapter 6) picked up on the idea of analyzing change patterns in internet interventions and extended it by using the Muthen-Roy model to identify change-dropout patterns. A sligthly bigger sample of the dataset from Study I was analyzed (N = 483). Four change-dropout patterns emerged; high risk of dropout was associated with rapid improvement and deterioration. These findings indicate that clinicians should consider how dropout may depend on patient characteristics as well as symptom change, as dropout is associated with both deterioration and a good enough dosage of treatment.
Study III (Chapter 7) compared adherence and outcome in different participant groups and investigated the impact of adherence to treatment components on treatment outcome in an internet intervention targeting anxiety symptoms. 50 outpatient participants waiting for face- to-face treatment and 37 self-referred participants were compared regarding adherence to treatment components and outcome. In addition, outpatient participants were compared to a matched sample of outpatients, who had no access to the internet intervention during the waiting period. Adherence to treatment components was investigated as a predictor of treatment outcome. Results suggested that especially adherence may vary depending on participant group. Also using specific measures of adherence such as adherence to treatment components may be crucial to detect change mechanisms in internet interventions. Fostering adherence to treatment components in participants may increase the effectiveness of internet interventions.
Results of the three studies are discussed and general conclusions are drawn.
Implications for future research as well as their utility for clinical practice and decision- making are presented.
Chapter 2: Using data from the German Socio-Economic Panel, this study examines the relation-ship between immigrant residential segregation and immigrants" satisfaction with the neighbor-hood. The estimates show that immigrants living in segregated areas are less satisfied with the neighborhood. This is consistent with the hypothesis that housing discrimination rather than self-selection plays an important role in immigrant residential segregation. Our result holds true even when controlling for other influences such as household income and quality of the dwelling. It also holds true in fixed effects estimates that account for unobserved time-invariant influences. Chapter 3: Using survey data from the German Socio-Economic Panel, this study shows that immigrants living in segregated residential areas are more likely to report discrimination because of their ethnic background. This applies to both segregated areas where most neighbors are immigrants from the same country of origin as the surveyed person and segregated areas where most neighbors are immigrants from other countries of origin. The results suggest that housing discrimination rather than self-selection plays an important role in immigrant residential segregation. Chapter 4: Using data from the German Socio-Economic Panel (SOEP) and administrative data from 1996 to 2009, I investigate the question whether or not right-wing extremism of German residents is affected by the ethnic concentration of foreigners living in the same residential area. My results show a positive but insignificant relationship between ethnic concentration at the county level and the probability of extreme right-wing voting behavior for West Germany. However, due to potential endogeneity issues, I additionally instrument the share of foreigners in a county with the share of foreigners in each federal state (following an approach of Dustmann/Preston 2001). I find evidence for the interethnic contact theory, predicting a negative relationship between foreign-ers" share and right-wing voting. Moreover, I analyze the moderating role of education and the influence of cultural traits on this relationship. Chapter 5: Using data from the Socio-Economic Panel from 1998 to 2009 and administrative data on regional ethnic diversity, I show that ethnic diversity inhibits significantly people- political interest and participation in political organizations in West Germany. People seem to isolate themselves from political participation if exposed to more ethnic diversity which is particularly relevant with respect to the ongoing integration process of the European Union and the increasing transfer of legislative power from the national to European level. The results are robust if an instrumental variable strategy suggested by Dustmann and Preston (2001) is used to take into account that ethnic diversity measured on a local spatial level could be endogenous due to residential sorting. Interestingly, participation in non-political organizations is positively affected by ethnic diversity if selection bias is corrected for.
Diese Arbeit beschäftigt sich mit (frequent) universellen Funktionen bezüglich Differentialoperatoren und gewichteten Shiftoperatoren. Hierbei wird ein Charakteristikum von Funktionen vom Exponentialtyp untersucht, das bisher im Rahmen der Universalität noch nicht betrachtet wurde: Das konjugierte Indikatordiagramm. Dabei handelt es sich um eine kompakte und konvexe Menge, die einer Funktion vom Exponentialtyp zugeordnet ist und gewisse Rückschlüsse über das Wachstum und die mögliche Nullstellenverteilung zulässt. Mittels einer speziellen Transformation werden (frequent) universelle Funktionen vom Exponentialtyp bezüglich verschiedener Differentialoperatoren ineinander überführt. Hierdurch ist eine genaue Lokalisation der konjugierten Indikatordiagramme möglicher (frequent) universeller Funktionen für diese Operatoren ableitbar. Durch Konjugation der Differentiation mit gewichteten Shiftoperatoren über das Hadamardprodukt, wird auch für diese Operatoren eine Lokalisation möglicher konjugierter Indikatordiagramme ihrer (frequent) universellen Funktionen erreicht.
In recent years, the study of dynamical systems has developed into a central research area in mathematics. Actually, in combination with keywords such as "chaos" or "butterfly effect", parts of this theory have been incorporated in other scientific fields, e.g. in physics, biology, meteorology and economics. In general, a discrete dynamical system is given by a set X and a self-map f of X. The set X can be interpreted as the state space of the system and the function f describes the temporal development of the system. If the system is in state x ∈ X at time zero, its state at time n ∈ N is denoted by f^n(x), where f^n stands for the n-th iterate of the map f. Typically, one is interested in the long-time behaviour of the dynamical system, i.e. in the behaviour of the sequence (f^n(x)) for an arbitrary initial state x ∈ X as the time n increases. On the one hand, it is possible that there exist certain states x ∈ X such that the system behaves stably, which means that f^n(x) approaches a state of equilibrium for n→∞. On the other hand, it might be the case that the system runs unstably for some initial states x ∈ X so that the sequence (f^n(x)) somehow shows chaotic behaviour. In case of a non-linear entire function f, the complex plane always decomposes into two disjoint parts, the Fatou set F_f of f and the Julia set J_f of f. These two sets are defined in such a way that the sequence of iterates (f^n) behaves quite "wildly" or "chaotically" on J_f whereas, on the other hand, the behaviour of (f^n) on F_f is rather "nice" and well-understood. However, this nice behaviour of the iterates on the Fatou set can "change dramatically" if we compose the iterates from the left with just one other suitable holomorphic function, i.e. if we consider sequences of the form (g∘f^n) on D, where D is an open subset of F_f with f(D)⊂ D and g is holomorphic on D. The general aim of this work is to study the long-time behaviour of such modified sequences. In particular, we will prove the existence of holomorphic functions g on D having the property that the behaviour of the sequence of compositions (g∘f^n) on the set D becomes quite similarly chaotic as the behaviour of the sequence (f^n) on the Julia set of f. With this approach, we immerse ourselves into the theory of universal families and hypercyclic operators, which itself has developed into an own branch of research. In general, for topological spaces X, Y and a family {T_i: i ∈ I} of continuous functions T_i:X→Y, an element x ∈ X is called universal for the family {T_i: i ∈ I} if the set {T_i(x): i ∈ I} is dense in Y. In case that X is a topological vector space and T is a continuous linear operator on X, a vector x ∈ X is called hypercyclic for T if it is universal for the family {T^n: n ∈ N}. Thus, roughly speaking, universality and hypercyclicity can be described via the following two aspects: There exists a single object which allows us, via simple analytical operations, to approximate every element of a whole class of objects. In the above situation, i.e. for a non-linear entire function f and an open subset D of F_f with f(D)⊂ D, we endow the space H(D) of holomorphic functions on D with the topology of locally uniform convergence and we consider the map C_f:H(D)→H(D), C_f(g):=g∘f|_D, which is called the composition operator with symbol f. The transform C_f is a continuous linear operator on the Fréchet space H(D). In order to show that the above-mentioned "nice" behaviour of the sequence of iterates (f^n) on the set D ⊂ F_f can "change dramatically" if we compose the iterates from the left with another suitable holomorphic function, our aim consists in finding functions g ∈ H(D) which are hypercyclic for C_f. Indeed, for each hypercyclic function g for C_f, the set of compositions {g∘f^n|_D: n ∈ N} is dense in H(D) so that the sequence of compositions (g∘f^n|_D) is kind of "maximally divergent" " meaning that each function in H(D) can be approximated locally uniformly on D via subsequences of (g∘f^n|_D). This kind of behaviour stands in sharp contrast to the fact that the sequence of iterates (f^n) itself converges, behaves like a rotation or shows some "wandering behaviour" on each component of F_f. To put it in a nutshell, this work combines the theory of non-linear complex dynamics in the complex plane with the theory of dynamics of continuous linear operators on spaces of holomorphic functions. As far as the author knows, this approach has not been investigated before.
Die Probleme bezüglich der Existenz universeller Funktionen und die universelle Approximation von Funktionen sind von klassischer Natur und spielen eine zentrale Rolle. Folgende Untersuchungen sind Gegenstand dieser Arbeit: Universelle Funktionen, die durch Lückenreihen dargestellt werden, sog. eingeschränkte Universalitäten, mehrfache Universalitäten sowie die universelle Approximation messbarer Funktionen. In einem letzten Kapitel werden abschließend ganzzahlige Cesaro-Mittel untersucht. Hier zeigt sich, dass alle bewiesenen Ergebnisse dieser Arbeit über universelle Approximation im Komplement des abgeschlossenen Einheitskreises durch Teilsummen einer Potenzreihe vom Konvergenzradius 1 auch auf die jeweiligen ganzzahligen Cesaro-Transformierten der Teilsummen übertragbar sind.
Es wird die Existenz einer Potenzreihe vom Konvergenzradius 1 bewiesen, so dass die mit einer zweifach unendlichen Matrix A (deren komplexe Einträge drei Bedingungen erfüllen müssen) gebildeten A -Transformierten außerhalb des (einfach zusammenhängenden) Holomorphiegebietes der Potenzreihe überkonvergieren. Das Hauptergebnis der Arbeit ist ein Satz über die Existenz einer universellen Potenzreihe vom Konvergenzradius 1, so dass deren A "Transformierte stetige Funktionen auf kompakten, holomorphe Funktionen auf offenen Mengen (in beiden Fällen liegen die Mengen im Komplement des einfach zusammenhängenden Holomorphiegebietes der Potenzreihe) approximieren und sich zusätzlich zur fast-überall-Approximation messbarer Funktionen auf messbaren Mengen (im Komplement des Holomorphiegebietes der Potenzreihe gelegen) eignen. Als wichtige Konsequenz dieses Hauptergebnisses ergibt sich für den Fall, dass das Holomorphiegebietes der Potenzreihe der Einheitskreis ist, die Existenz einer universellen trigonometrischen Reihe, so dass deren A "Transformierte auf dem Rand des Einheitskreises stetige Funktionen approximieren und zusätzlich messbare Funktionen fast-überall auf [0,2π] approximieren
Das erste Beispiel einer so genannten universellen holomorphen Funktion stammt von Birkhoff, welcher im Jahre 1929 die Existenz einer ganzen Funktion beweisen konnte, die gewissermaßen jede ganze Funktion durch geeignete Translationen approximieren kann. In der Folgezeit hat sich der Bereich der "universellen Approximation" zu einem eigenständigen Gebiet innerhalb der komplexen Approximationstheorie entwickelt, und es gibt eine Vielzahl an Ergebnissen über universelle Funktionen. Hierbei wurde sich allerdings fast ausschließlich auf das Studium holomorpher und ganzer Funktionen beschränkt, insbesondere die Klasse der meromorphen Funktionen wurde bisher kaum auf das Phänomen der Universalität hin untersucht. Die vorliegende Arbeit beschäftigt sich mit universeller meromorpher Approximation, und geht der Fragestellung nach, ob meromorphe Funktionen mit gewissen Universalitätseigenschaften existieren, und ob die klassischen Ergebnisse aus der universellen holomorphen Approximation auf den meromorphen Fall erweiterbar sind. Hierbei wird zunächst zwischen Translations- und Streckungsuniversalität unterschieden und bewiesen, dass in beiden Fällen jeweils eine im Raum der meromorphen Funktionen residuale Menge an universellen Funktionen existiert. Weiterhin werden die Eigenschaften dieser Funktionen ausführlich studiert. Anschließend werden meromorphe Funktionen auf Ableitungsuniversalität hin untersucht. Hierbei wird einerseits gezeigt, dass im Allgemeinen keine positiven Ergebnisse möglich sind, während andererseits eine spezielle Klasse meromorpher Funktionen betrachtet wird, für welche universelles Verhalten der sukzessiven Ableitungen nachgewiesen werden kann.
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.
Fachunterricht ist der zentrale Erfahrungsraum im Sozialisationsumfeld Schule. Er prägt schon allein aufgrund seines hohen zeitlichen Anteils im Tagesverlauf und der grundlegenden Funktion von Schule Handeln und Wahrnehmung von Lehrpersonen und Lernenden. Umso wichtiger ist es, ihn in die Gestaltung einer demokratischen Schulkultur einzubeziehen.
Benzodiazepine und Neuroleptika werden in der klinischen Praxis effektiv in der Behandlung verschiedener Angststörungen eingesetzt. Trotz ihrer weiten Verbreitung wurden ihre Effekte auf die physiologische Komponente (v. a. die Hypothalamus-Hypophysen-Nebennierenrinden Achse (HHNA) und das sympatho-adrenomedulläre System (SAM)) der Stress- und Angstreaktion bisher allerdings wenig gut untersucht. Ziel der vorliegenden Untersuchung war es deshalb, die Effekte zweier prominenter anxiolytischer Substanzen, Alprazolam (Benzodiazepin) und Flupentixol (Neuroleptikum), auf die Aktivierung der HHNA und des SAM durch einen reinen psychogenen Stressor, den Trier Sozial Stress Test (TSST), zu untersuchen. Studienteilnehmer waren 69 junge, gesunde Männer, die eine bzw. drei Stunden vor dem TSST entweder 1mg Alprazolam, 0.5mg Flupentixol oder ein entsprechendes Placebo-Präparat oral einnahmen. Vor und nach dem TSST wurden verschiedene Blut- und Speichelproben zur Bestimmung von ACTH, Cortisol, Noradrenalin, Adrenalin, Prolaktin und Wachstumshormon entnommen, zudem wurden Herzfrequenz, Blutdruck und Körpertemperatur erfasst. Über Fragebögen bewerteten die Probanden ihr aktuelles psychisches Wohlbefinden. Nach der Einnahme von Alprazolam war eine deutlich verminderte Aktivierung der HHNA in Reaktion auf den TSST zu beobachten, während Parameter des SAM unbeeinflusst blieben. Auf den entsprechenden Fragebogenskalen schätzten sich die Probanden nach Alprazolam- im Vergleich zur Placebo-Einnahme deutlich müder ein, zudem zeigten sich stimmungsstabilisierende Eigenschaften von Alprazolam, da Probanden nach Alprazolam-Einnahme eine geringere Beeinträchtigung der guten Stimmung durch den TSST erlebten. Nach der Einnahme von Flupentixol vor dem TSST unterschieden sich die Probanden in keinem der erhobenen Parameter signifikant von der Placebo-Kontrollgruppe, lediglich die Blutkonzentrationen der Katecholamine Adrenalin und Noradrenalin waren signifikant erhöht. Diese Daten verdeutlichen rasch einsetzende und auf die verschiedenen Komponenten der Stressreaktion differentiell wirkende Effekte von Alprazolam, während Effekte von Flupentixol auf die physiologischen Komponenten der Stressreaktion möglicherweise erst nach längerer Einnahme zu beobachten sind.
Bei der Mauereidechse (Podarcis muralis, Laurenti 1768) handelt es sich um eine Süd- und mitteleuropäisch verbreitete Art. Sie ist im Süden weitgehend flächendeckend verbreitet, wohingegen sie am Nordrand ihres Verbreitungsgebietes in fragmentierten Populationen vorkommt, deren dauerhaftes Fortbestehen fraglich ist. Das Ziel der vorliegenden Arbeit bestand in der vergleichenden Untersuchung der genetischen Variabilität und Diversität ausgewählter Mauereidechsen-Populationen aus ihrem rezenten mitteleuropäischen Verbreitungsgebiet und ihren Refugialräumen. Weiterhin sollte überprüft werden, ob aus den erhaltenen Daten Rückschlüsse auf eventuell unterschiedliche Einwanderungswege der nördlichen Populationen mittels molekular-genetischer Methoden gezogen werden können. Als Untersuchungsmethode wurde die Mikrosatelliten-DNA Analyse gewählt. Gegenüber der in vorhergehenden Untersuchungen angewandten RAPD-PCR Methode besitzt die Analyse von DNA-Mikrosatelliten den großen Vorteil, über die direkte Bestimmung von Allelfrequenzen wichtige populationsgenetische Daten berechnen zu können. Isoenzymatische Voruntersuchungen an Mauereidechsen erwiesen sich als wenig geeignet. Die SSR-Methode ist besonders gut geeignet, die genetische Diversität und Populationsdifferenzierungen zu ermitteln. Mittels acht spezifischer Mikrosatelliten-Loci wurde die genetische Struktur von sieben Populationen der Mauereidechse untersucht. Als Untersuchungsgebiete wurden Standorte in Italien, Kroatien, Südfrankreich, Nordfrankreich, Rheinland-Pfalz, Nordrhein-Westfalen und Belgien ausgewählt und beprobt. Die untersuchten Loci erwiesen sich alle als polymorph und zum Teil als hoch variabel. Im Rahmen der populationsgenetischen Analysen wurden zahlreiche deskriptive und populationsgenetische Parameter zur Charakterisierung der Populationen verwendet. Wegen unerwarteter Fragmentlängen des Locus A7 wurden exemplarisch einige Allele von etwa 400 bp sequenziert. Dabei konnte zusätzlich außer dem Mikrosatelliten eine etwa 200 bp lange Sequenz nachgewiesen werden, die wahrscheinlich durch eine Insertion entstanden ist. Außerdem wurde ein Basenaustausch (G-C, C-G) beim Vergleich der FOREWARD- und REVERS- Sequenzierung festgestellt. Die Ergebnisse der vorliegenden Arbeit zeigen, dass die Vorkommen der Mauereidechse an ihrem nördlichen Verbreitungsrand teilweise separiert sind. Es konnte gezeigt werden, dass ein Genaustausch der Trierer und der Urfter Tiere untereinander besteht. Eingeschränkt besteht der Genaustausch auch mit den Bitcher Tieren, wohingegen der Genaustausch mit den Belgischen Tieren wohl schon lange eingeschränkt ist oder nur sehr eingeschränkt stattgefunden hat. Die Einwanderung der Mauereidechse in ihr nördliches Verbreitungsgebiet dürfte von den Südfranzösischen Populationen durch das Rhônetal, die Burgundische Pforte, das Rheintal bis zur, in der vorliegenden Arbeit untersuchten Population von Bitche, erfolgt sein. Die Trierer und Urfter Tiere dürften über den Obermoselraum eingewandert sein. Aufgrund der im Verhältnis zu den anderen Populationen stark reduzierten Allelzahl der Population Anhée muss für diesen Standort von einem so genannten bottleneck (Flaschenhals) ausgegangen werden. Der Verdacht, dass sich die zwei Unterarten P. m. brogniardi (Belgien) und P. m. merremia (Nordeifel, Mosel, Bitche) unterscheiden lassen, scheint sich eher zu erhärten, als zu entkräften. Die großen genetischen Unterschiede der Belgischen Population zu den anderen nördlichen Populationen lassen sich am ehesten durch eine Einwanderung über Frankreich an die Maas und einen stark eingeschränkten Genfluss zwischen der Belgischen Population und den restlichen nördlichen Populationen erklären.
Ziel der Studie war es, die Wirksamkeit zweier psychotherapeutischer Mikrointerventionen zur Emotionsregulation und zur progressiven Relaxation und die damit einhergehenden Veränderungen auf psychometrischer und elektrokortikaler Ebene zu untersuchen. Die Stichprobe bestand aus 65 klinischen Versuchspersonen der Warteliste der Poliklinischen Psychotherapieambulanz der Universität Trier. In einer EEG-Erhebung vor und nach den Mikrointerventionen wurden neben dem Ruhe-EEG ereigniskorrelierte Potentiale (EKPs) aufgezeichnet. Im EKP-Paradigma wurden die Probanden instruiert negativ-valente Bilder aus dem IAPS-System entweder anzuschauen oder die gezeigte Situation kognitiv zu einer weniger negativen Interpretation der Bilder umzudeuten. Nach der EEG-Aufzeichnung wurden die Probanden randomisiert einer standardisierten 90-minütigen psychotherapeutischen Intervention zum kognitiven Reframing bzw. zur progressiven Relaxation zugewiesen. Im Anschluss wurde die EEG-Erhebung mit dem Ruhe-EEG und dem EKP mit einem parallelisierten Pool negativ valenter Bilder erneut durchgeführt. Auf psychometrischer Ebene wurde u.a. der positive und negative Affekt mit dem PANAS im Verlauf der Untersuchung zu insgesamt vier Messzeitpunkten erfasst. Neben dem Alpha-Frequenzband des Ruhe-EEGs wurde bei den EKPs die P3 und das Späte Positive Potential (LPP) untersucht. Die Ergebnisse geben Hinweise darauf, dass die psychotherapeutischen Mikrointerventionen zu differentiellen Effekten auf psychometrischer und elektrokortikaler Ebene führten. Auf der psychometrischen Ebene zeigte sich bei den Teilnehmern der Entspannungsintervention direkt nach der Intervention eine Abnahme des negativen Affekts, während sich dies bei den Teilnehmern der Reframing-Intervention erst im Verlauf der zweiten EEG-Messung mit dem Umdeuten der negativ valenten Bilder zeigte. Auf der elektrokortikalen Ebene waren die Ergebnisse weniger einheitlich. Durch die Entspannungs-Intervention konnte im Verlauf der Untersuchung eine Zunahme der P3-Amplituden festgestellt werden, während die Reframing-Teilnehmer über die Messzeitpunkte eine Abnahme der P3-Amplituden aufwiesen. Dies könnte so interpretiert werden, dass durch das Erlernen des Reframings das emotionale Arousal reduziert werden konnte. Bei dem LPP waren hingegen keine differentiellen Effekte der Mikrointerventionen nachweisbar. Bei beiden Interventionen kam es zu einer Zunahme der LPP-Amplituden. Bei der Analyse der Alpha-Aktivität des Ruhe-EEGs wurde bei den Entspannungs-Teilnehmern im Vergleich zu den Reframing-Teilnehmern nach der Mikrointervention eine größere Alpha-Aktivität gefunden. Diese Unterschiede wurden am deutlichsten in der linken Hemisphäre sowie in den zentralen und parietalen Hirnregionen. Eine höhere Alpha-Aktivität geht mit einer niedrigeren kortikalen Aktivität einher, so dass man davon ausgehen kann, dass die Entspannungs-Teilnehmer diese Hirnregionen während der Intervention weniger ausgeprägt nutzten. Zusammenfassend geben die Befunde erste Hinweise auf eine differentielle Wirkung der beiden Mikrointerventionen.
In der vorliegenden Arbeit wurden potentielle Kandidatengene für Periodische Katatonie und Schizophrenie untersucht. Es erfolgte eine strukturelle und funktioneller Promotoranalyse des Megalencephalic leukoencephalopathy with subcortikal cysts 1 (Mlc1/MLC1)-Gens, welches eine Rolle bei der Entwicklung der Megalenzephalen Leukoenzephalopathie spielt und auch für die Ätiogenese der Periodischen Katatonie diskutiert wird. Die in silico Promotoranalyse ergab, daß Bindestellen für wichtige Transkriptionsfaktoren und gängige Promotorelemente wie TATA- und GC-Boxen fehlten. Ebenso konnte in vitro keine Aktivität des Promotors nachgewiesen werden, was vermuten läßt, daß ein noch nicht identifiziertes Enhancer-Element oder einen Ko-Faktor für die Aktivierung des Mlc1-Promotors nötig ist. Als ein weiteres Kandidatengen für die Periodische Katatonie wurde das Gen für die mitotic checkpoint kinase BUB1B auf eine mögliche Ätiologie für die Periodische Katatonie untersucht. Aufgrund fehlender kausativer Mutationen konnte BUB1B als Kandidatengen für die Periodische Katatonie ausgeschlossen werden. Ein weiterer Teil dieser Arbeit umfaßte eine Studie zur Untersuchung der Gene für den nikotinergen Acetylcholinrezeptor (CHRNA7), des D-aminosäure Aktivators (DAOA) und des bromodomain containing protein 1 (BRD1) mit einer Assoziation zur Schizophrenie. Es konnte hierbei eine Assoziation von BRD1 mit Schizophrenie bestätigt werden.
In a number of experiments, emotional pictures elicited a frontal positive slow wave in the event-related potential (ERP). This slow wave was initially interpreted as an indes of affective information processing, but one experiment showed that this component was also elicited by emotional neutral pictures in a cognitiven processing task. The aim of the present work was to reanalyse the functional significance of this slow wave. A first section of this work presents a theoretical examination of visual pathways by the brain. This section is supplemented by an overview of the principals of ERP methodology and a review of methods to correct ocular artifacts in the ERP. A second section describes two experiments. The aim of the first experiment was to examine the hypothesis that the frontal positive slow wave is an artifact of eye movements due to the presentation of visual stimuli. This hypothesis was examined with a paradigm that facilitates a systematic variation of eye movements by the visual presentation of matrices. The aim of the second experiment was to examine the hypothesis that a mere perceptual analysis of pictures does not elicit the frontal positive slow wave, but that a content analysis of the pictures is required to elicit this component. This hypothesis was investigated by a variation of content processing demands while the pictures were presented. The results of both experiments confirmed the main hypotheses.
Gegenstand dieser Studien ist die elektronische Version der Erstausgabe der Deutschen Wörterbuchs von Jacob Grimm und Wilhelm Grimm (=DWB). Auf verschiedenen Ebenen werden dabei die Möglichkeiten einer solchen elektronischen Wörterbuchversion für eine Reihe metalexikographischer Fragestellungen genutzt, und es wir gezeigt, dass vorher unmögliche oder nur mit unvertretbarem Aufwand durchführbare Untersuchungen nun durchführbar werden. Weiterhin wird gezeigt, dass die in der Metalexikographie bisher üblichen Schätzungen und Untersuchungen kleiner Teilabschnitte eines Wörterbuchs, die in der Regel zu Extrapolationen über die Gesamtinhalte von Wörterbüchern dienten, durch die Verfügbarkeit elektronischer Wörterbücher nun durch exaktere Untersuchungen und Ergebnisse ersetzt werden können. Zunächst wird die exakte Anzahl der im DWB aufgenommenen Stichwörter ermittelt - darüber liegen bisher lediglich Schätzungen vor. In einem zweiten Schritt wird der Umfang jedes einzelnen Artikels ds DWB ermittelt. Dies ermöglicht nicht nur Aussagen über die Beschaffenheit von Wörterbüchern und den darin enthaltenen Artikeln, die über einen Vergleich mit anderen Wörterbüchern zu einer ausgewogeneren Darstellung des Wortschatzes in zukünftigen Wörterbüchern führen könnten, sondern ermöglicht auch den gezielten Zugang zu einer bestimmten Gruppe von DWB-Artikeln, die im folgenden Gegenstand der Untersuchung sind - den kurzen Artikeln im DWB. Die systematische metalexikographische Untersuchung einer großen Anzahl von kurzen DWB-Artikeln zeigt schließlich, dass die vielerorts beschworene Heterogenität des DWB zumindest in der Hinsicht zu relativieren ist, indem kurze Artikel größtenteils bestimmten Aufbauprinzipien folgen - und das unabhängig vom Entstehungszeitupunkt des Artikels (Entstehungszeitraum des DWB: über 100 Jahre) - diese Aufbauprinzipien des DWB-Wörterbuchartikels spiegeln sich auch in den umfangreicheren Artikeln, und sie belegen eine Konstante lexikographischer Tätigkeit, die angesichts der immer wieder beschworenen Heterogenität gerade dieses Wörterbuchs (und auch in der gedruckten Version nicht mit vertretbarem Aufwand ermittelbar) bisher nicht wahr genommen worden ist. Den Abschluss der Untersuchungen bildet eine Untersuchung der Gliederungsprinzipien umfangreicher DWB-Artikel. Dabei werden die verschiedenen Bearbeitungsgrundsätze der am DWB beteiligten Lexikographen bei der Artikelgliederung durch Gliederungsmarken offenbar. Die Untersuchungen sollen insgesamt exemplarisch darstellen, welche Möglichkeiten metalexikographischer Untersuchungen sich durch die Verfügbarkeit elektronischer (digitalisierter) Wörterbücher eröffnen.
Vier Untersuchungen anhand eines modifizierten Ersparnisparadigmas zeigten, dass Eigenschaften spontan aus Verhalten erschlossen werden. In zwei der vier Untersuchungen offenbarte sich ein impliziter Einfluss des Altersstereotyps: Es förderte das spontane Erschließen stereotypkongruenter Eigenschaften. Dagegen wurde ein expliziter Einfluss des Altersstereotyps nicht eindeutig aufgezeigt; es ergaben sich jedoch Hinweise auf einen Reproduktionsvorteil zugunsten stereotypkongruenter Eigenschaften. Des Weiteren legten einige Befunde nahe, dass Mitglieder der "in-group" einfacher zu differenzieren sind als Mitglieder der "out-group". Nicht eindeutig geklärt werden konnte, ob die Aktivierung eines relevanten Stereotyps oder der Kontext, in den eine stereotype Information eingebettet ist, das Ausmaß der Stereotypisierung beeinflusst. Das Alter der Versuchspersonen (jüngere studentische Versuchspersonen in den Untersuchungen 1 bis 3 vs. ältere Versuchspersonen (M = 68.30) in der Untersuchung 4) beeinflusste zwar die Reproduktionsleistungen, nicht aber das spontane Erschließen von Eigenschaften oder das Ausmaß der impliziten bzw. expliziten Stereotypisierung.
Because EU water quality policy can result in infrastructure creation or adaptation at the local level across member states, compliance cases are worth examining critically from a sustainable spatial planning perspective. In this study, the 2000 EU Water Framework Directive’s (WFD) reach to local implementation efforts in average towns and cities is shown through the case study of nonconforming household wastewater infrastructure in the German state of Rhineland Palatinate. Seeing wastewater as a socio-technical infrastructure, we ask how the WFD implementation can be understood in the context of local infrastructure development, sustainability, and spatial planning concepts. In particular, this study examines what compliance meant for the centralization or decentralization of local wastewater infrastructure systems—and the sustainability implications for cities
from those choices.
Dry tropical forests undergo massive conversion and degradation processes. This also holds true for the extensive Miombo forests that cover large parts of Southern Africa. While the largest proportional area can be found in Angola, the country still struggles with food shortages, insufficient medical and educational supplies, as well as the ongoing reconstruction of infrastructure after 27 years of civil war. Especially in rural areas, the local population is therefore still heavily dependent on the consumption of natural resources, as well as subsistence agriculture. This leads, on one hand, to large areas of Miombo forests being converted for cultivation purposes, but on the other hand, to degradation processes due to the selective use of forest resources. While forest conversion in south-central rural Angola has already been quantitatively described, information about forest degradation is not yet available. This is due to the history of conflicts and the therewith connected research difficulties, as well as the remote location of this area. We apply an annual time series approach using Landsat data in south-central Angola not only to assess the current degradation status of the Miombo forests, but also to derive past developments reaching back to times of armed conflicts. We use the Disturbance Index based on tasseled cap transformation to exclude external influences like inter-annual variation of rainfall. Based on this time series, linear regression is calculated for forest areas unaffected by conversion, but also for the pre-conversion period of those areas that were used for cultivation purposes during the observation time. Metrics derived from linear regression are used to classify the study area according to their dominant modification processes.rnWe compare our results to MODIS latent integral trends and to further products to derive information on underlying drivers. Around 13% of the Miombo forests are affected by degradation processes, especially along streets, in villages, and close to existing agriculture. However, areas in presumably remote and dense forest areas are also affected to a significant extent. A comparison with MODIS derived fire ignition data shows that they are most likely affected by recurring fires and less by selective timber extraction. We confirm that areas that are used for agriculture are more heavily disturbed by selective use beforehand than those that remain unaffected by conversion. The results can be substantiated by the MODIS latent integral trends and we also show that due to extent and location, the assessment of forest conversion is most likely not sufficient to provide good estimates for the loss of natural resources.
Similarity-based retrieval of semantic graphs is a core task of Process-Oriented Case-Based Reasoning (POCBR) with applications in real-world scenarios, e.g., in smart manufacturing. The involved similarity computation is usually complex and time-consuming, as it requires some kind of inexact graph matching. To tackle these problems, we present an approach to modeling similarity measures based on embedding semantic graphs via Graph Neural Networks (GNNs). Therefore, we first examine how arbitrary semantic graphs, including node and edge types and their knowledge-rich semantic annotations, can be encoded in a numeric format that is usable by GNNs. Given this, the architecture of two generic graph embedding models from the literature is adapted to enable their usage as a similarity measure for similarity-based retrieval. Thereby, one of the two models is more optimized towards fast similarity prediction, while the other model is optimized towards knowledge-intensive, more expressive predictions. The evaluation examines the quality and performance of these models in preselecting retrieval candidates and in approximating the ground-truth similarities of a graph-matching-based similarity measure for two semantic graph domains. The results show the great potential of the approach for use in a retrieval scenario, either as a preselection model or as an approximation of a graph similarity measure.