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This thesis consists of four highly related chapters examining China’s rise in the aluminium industry. The first chapter addresses the conditions that allowed China, which first entered the market in the 1950s, to rise to world leadership in aluminium production. Although China was a latecomer, its re-entry into the market after the oil crises in the 1970s was a success and led to its ascent as the world’s largest aluminium producer by 2001. With an estimated production of 40.4 million tonnes in 2022, China represented almost 60% of the global output. Chapter 1 examines the factors underlying this success, such as the decline of international aluminium cartels, the introduction of innovative technology, the US granting China the MFN tariff status, Chinese-specific factors, and supportive government policies. Chapter 2 develops a mathematical model to analyze firms’ decisions in the short term. It examines how an incumbent with outdated technology and a new entrant with access to a new type of technology make strategic decisions, including the incumbent’s decision whether to deter entry, the production choice of firms, the optimal technology adoption rate of the newcomer, and cartel formation. Chapter 3 focuses on the adoption of new technology by firms upon market entry in four scenarios: firstly, a free market Cournot competition; secondly, a situation in which the government determines technology adoption rates; thirdly, a scenario in which the government controls both technology and production; and finally, a scenario where the government dictates technology adoption rates, production levels, and also the number of market participants. Chapter 4 applies the Spencer and Brander (1983) framework to examine strategic industrial policy. The model assumes that there are two exporting firms in two different countries that sell a product to a third country. We examine how the domestic firm is influenced by government intervention, such as the provision of a fixed-cost subsidy to improve its competitiveness relative to the foreign company. Chapter 4 initially investigates a scenario where only one government offers a fixed-cost subsidy, followed by an analysis of the case when both governments simultaneously provide financial help. Taken together, these chapters provide a comprehensive analysis of the strategic, technological, and political factors contributing to China’s leadership in the global aluminium industry.
Chapter 1: The Rise of China as a Latecomer in the Global Aluminium Industry
This chapter examines China’s remarkable transformation into a global leader in the aluminium industry, a sector in which the country accounted for approximately 58.9% of worldwide production in 2022. We examine how China, a latecomer to the aluminium industry that started off with labor-intensive technology in 1953, grew into the largest aluminium producer with some of the most advanced smelters in the world. This analysis identifies and discusses several opportunities that Chinese aluminium producers took advantage of. The first set of opportunities happened during the 1970s oil crises, which softened international competition and allowed China to acquire innovative smelting technology from Japan. The second set of opportunities started at about the same time when China opened its economy in 1978. The substantial demand for aluminium in China is influenced by both external and internal factors. Externally, the US granted China’s MFN tariff status in 1980 and China entered the World Trade Organization (WTO) in 2001. Both events contributed to a surge in Chinese aluminium consumption. Internally, China’s investment-led growth model boosted further its aluminium demand. Additional factors specific to China, such as low labor costs and the abundance of coal as an energy source, offer Chinese firms competitive advantages against international players. Furthermore, another window of opportunity is due to Chinese governmental policies, including phasing out old technology, providing subsidies, and gradually opening the economy to enhance domestic competition before expanding globally. By describing these elements, the study provides insights into the dynamic interplay of external circumstances and internal strategies that contributed to the success of the Chinese aluminium industry.
Chapter 2: Technological Change and Strategic Choices for Incumbent and New Entrant
This chapter introduces an oligopoly model that includes two actors: an incumbent and a potential entrant, that compete in the same market. We assume that two participants are located in different parts of the market: the incumbent is situated in area 1, whereas the potential entrant may venture into the other region, area 2. The incumbent exists in stage zero, where it can decide whether to deter the newcomer’s entry. A new type of technology exists in period one, when the newcomer may enter the market. In the short term, the incumbent is trapped with the outdated technology, while the new entrant may choose to partially or completely adopt the latest technology. Our results suggest the following: Firstly, the incumbent only tries to deter the new entrant if a condition for entry cost is met. Secondly, the new entrant is only interested in forming a cartel with the incumbent if a function of the ratio of the variable to new technology’s fixed-cost parameters is sufficiently high. Thirdly, if the newcomer asks to form a cartel, the incumbent will always accept this request. Finally, we can obtain the optimal new technology adoption rate for the newcomer.
Chapter 3: Technological Adoption and Welfare in Cournot Oligopoly
This study examines the difference between the optimal technology adoption rates chosen by firms in a homogeneous Cournot oligopoly and that preferred by a benevolent government upon firms’ market entry. To address the question of whether the technology choices of firms and government are similar, we analyze several different scenarios, which differ in the extent of government intervention in the market. Our results suggest a relationship between the number of firms in the market and the impact of government intervention on technology adoption rates. Especially in situations with a low number of firms that are interested in entering the market, greater government influence tends to lead to higher technology adoption rates of firms. Conversely, in scenarios with a higher number of firms and a government that lacks control over the number of market players, the technology adoption rate of firms will be highest when the government plays no role.
Chapter 4: International Technological Innovation and Industrial Strategies
Supporting domestic firms when they first enter the market may be seen as a favorable policy choice by governments around the world thanks to their ability to enhance the competitive advantage of domestic firms in non-cooperative competition against foreign enterprises (infant industry protection argument). This advantage may allow domestic firms to increase their market share and generate higher profits, thereby improving domestic welfare. This chapter utilizes the Spencer and Brander (1983) framework as a theoretical foundation to elucidate the effects of fixed-cost subsidies on firms’ production levels, technological innovations, and social welfare. The analysis examines two firms in different countries, each producing a homogeneous product that is sold in a third, separate country. We first examine the Cournot-Nash equilibrium in the absence of government intervention, followed by analyzing a scenario where just one government provides a financial subsidy for its domestic firm, and finally, we consider a situation where both governments simultaneously provide financial assistance for their respective firms. Our results suggest that governments aim to maximize social welfare by providing fixed-cost subsidies to their respective firms, finding themselves in a Chicken game scenario. Regarding technology innovation, subsidies lead to an increased technological adoption rate for recipient firms, regardless of whether one or both firms in a market receive support, compared to the situation without subsidies. The technology adoption rate of the recipient firm is higher than of its rival when only the recipient firm benefits from the fixed-cost subsidy. The lowest technology adoption rate of a firm occurs when the firm does not receive a fixed-cost subsidy, but its competitor does. Furthermore, global welfare will benefit the most in case when both exporting countries grant fixed-cost subsidies, and this welfare level is higher when only one country subsidizes than when no subsidies are provided by any country.
The target of this essay is to open possible pathways to approach the phenomenon of a self-remodeling of classicist poetry in the 20th and early 21st century by focusing on the process from two different angles rarely perceived as related to each other: first, the remodeling of Chinese lyrical classicism through a strand of modern American poetry harking back to Ezra Pound and currently crystallized in the translations of David Hinton and, second, the transition that modern Chinese poetry written in classical language and conforming to prosodic rules of classical style poetry, sometimes referred to as “old style poetry” jiu ti shi, underwent after its rebirth as “unofficial” poetry online since the beginning of this century. Although there are obviously no direct links between the aforementioned tradition of modern American poetry and neoclassicist cyberpoets like Zeng Shaoli I argue that in both cases the classicist inspiration and poetic drive is motivated by concern with the increasing imbalance between natural, social, and individual resources, on the one hand, and an indomitable desire to accumulate economic and political power on the other. A permanent devaluation of language in the human realm, matched by a permanent devaluation of currencies in the economic sphere, provokes poetic responses in the very interest of humanity. The neoclassicist lyricisms that I draw into comparison display both subtle distinctions and common traits in this response to the starkly different environments of their respective contemporary literary scenes.
Introduction: This study examined the sources and factors of resilience in Russian sexual and gender minorities. We hypothesized that, through their involvement in the lesbian, gay, bisexual, and transgender (LGBT) community (source of resilience), LGBT people establish friendships that provide them with social support (factor of resilience), which in turn should contribute to their mental health.
Method: The study sample consisted of 1,127 young and middle-aged LGBT adults (18 to 50 years) from Russia. We collected the data online and anonymously. Results: Partial mediation could be confirmed. LGBT people who were involved in “their” community reported more social support from friends, which partially mediated the positive association between community involvement and mental health. The mediation remained significant when we controlled for demographics and outness as potential covariates. Additional analyses showed that the present sample reported lower mental health but not less social support than Russian nonminority samples recruited in previous research.
Conclusion: Our study underlines the importance of the LGBT community in times of increasing stigmatization of sexual and gender minorities.
This article considers the evolution of poetic performance on the basis of several Russian poets of the 2010s. The type of performance in question, which originally implied active absorption in the poetic text, occupied an important place in Russian art of the twentieth century – from the first experiments of the historical avant-garde to Moscow Conceptualism (above all, in the their “Collective Actions”). As such, it has always maintained a closeness to the poetic work and was most often practiced by poets who sought to extend their texts beyond the space of the page and into the “external” world. In the 2010s, however, with the development of social media, the opposite trend is noticeable – poets, while declaring their connection to the performative traditions of Moscow Conceptualism, transfer their performative activity into a textual space organized by social media platforms. The central hypothesis of this article is that all of these poets react differently to the methods of discursive organization provided (and enforced) by social networks and strive in different ways to liberate themselves from the censorship of the algorithm: some emphasize the discursive incoherence of the platform, while others, on the contrary, seek to develop a sustainable manner of uniting private discourses into a new totality.
Differential equations yield solutions that necessarily contain a certain amount of regularity and are based on local interactions. There are various natural phenomena that are not well described by local models. An important class of models that describe long-range interactions are the so-called nonlocal models, which are the subject of this work.
The nonlocal operators considered here are integral operators with a finite range of interaction and the resulting models can be applied to anomalous diffusion, mechanics and multiscale problems.
While the range of applications is vast, the applicability of nonlocal models can face problems such as the high computational and algorithmic complexity of fundamental tasks. One of them is the assembly of finite element discretizations of truncated, nonlocal operators.
The first contribution of this thesis is therefore an openly accessible, documented Python code which allows to compute finite element approximations for nonlocal convection-diffusion problems with truncated interaction horizon.
Another difficulty in the solution of nonlocal problems is that the discrete systems may be ill-conditioned which complicates the application of iterative solvers. Thus, the second contribution of this work is the construction and study of a domain decomposition type solver that is inspired by substructuring methods for differential equations. The numerical results are based on the abstract framework of nonlocal subdivisions which is introduced here and which can serve as a guideline for general nonlocal domain decomposition methods.
Anmerkung: Es handelt sich um die 2. überarbeitete Auflage der Dissertation.
1. Auflage siehe:
"https://ubt.opus.hbz-nrw.de/frontdoor/index/index/docId/2083".
Ausgangspunkt der politisch-ikonographischen Untersuchung, in deren
Zentrum zwei Staatsporträts König Maximilians II. von Bayern stehen, ist die Beobachtung, dass diese beiden Bildnisse grundsätzlich unterschiedliche Inszenierungsformen wählen. Das erste von Max Hailer gefertigte Werk zeigt Maximilian II. im vollen bayerischen Krönungsornat und greift eine tradierte Darstellungsweise im Staatsporträt auf. Es entstand zwei Jahre nach Maximilians II. Thronbesteigung und damit nach den revolutionären Unruhen der Jahre 1848/49 im Jahr 1850. Das zweite wurde von Joseph Bernhardt 1857 bis 1858 gemalt und im Jahr 1858 zum zehnjährigen Thronjubiläum des Monarchen erstmals präsentiert. Die Inszenierung ändert sich im zweiten Bildnis: Das bayerische Krönungsornat ist der Generalsuniform gewichen, ebenso weitere Details, die sich noch in der ersten Darstellung finden: Draperie und Wappen fehlen, der übliche bayerisch-königliche Thronsessel ist durch einen anderen ersetzt. In den Hintergrund gedrängt ist die Verfassung, immerhin seit 1818 staatliche Rechtsgrundlage des bayerischen Königreichs. Die beiden Staatsporträts Maximilians II. leiten offensichtlich von den Herrscherbildnissen im vollen bayerischen Krönungsornat seines Großvaters Maximilian I. und Vaters Ludwig I. über zu einer solchen in Uniform mit Krönungsmantel wie sie sich bei Napoleon III. und Friedrich Wilhelm IV. finden und wie sie sein Sohn Ludwig II. weiterführte. Es stellt sich somit die Frage, welche Faktoren zu diesem prägnanten Wandel in der Inszenierung Maximilians II. als König von Bayern führten. Die Arbeit geht der These nach, dass beide Darstellungen grundlegend auf eine reaktionäre, gegen die Revolution 1848/49 gerichtete Politik ausgelegt sind, wobei dieser reaktionäre Charakter in Maximilians II. Bildnis von 1858 noch eine Steigerung im Vergleich zu derjenigen von 1850 erfährt. Zudem wandelt sich die innenpolitisch-historische Ausrichtung des ersten Porträts bei der zweiten Darstellung des bayerischen Monarchen in eine außenpolitisch-progressive. Die Legitimation Maximilians II. begründet sich nicht mehr, wie bei ersterem, in der Geschichte und der Herrschaft der Wittelsbacher, sondern in seinen eigenen Errungenschaften und seiner eigenen Herrschaft. Dieser Wechsel der politischen Bildaussage fußt sowohl auf den politischen Veränderungen und Entwicklungen innerhalb und außerhalb Bayerns als auch auf der Entwicklung des Staatsporträts in der Mitte des 19. Jahrhunderts. Nach nur zehn Jahren wird so eine veränderte Botschaft über Maximilians II. Position und Machtanspruch ausgesendet.
Der zentrale Gegenstand der Untersuchung ist die Rechtsfigur des Indigenats im Kontext der württembergischen und preußischen Staatenlandschaft. Das Indigenat lässt sich als ein Recht bestimmen, das seine potenziellen Rechtsträger maßgeblich über das Abstammungsprinzip definiert und ein Verhältnis zwischen Rechtsträger und einem übergeordneten Rechtssubjekt zum Ausdruck bringt, sei es lehns- oder standes-, staats- oder auch bundes- beziehungsweise reichsrechtlicher Natur. Der zeitliche Schwerpunkt der Betrachtung liegt auf dem 19. Jahrhundert. Es werden jedoch auch Rückblicke in die Frühe Neuzeit geworfen, weil Wandel und Kontinuität in der Entwicklung des Indigenats in einer solch langen Perspektive besonders klar hervortreten können. Die zentrale These dieser Arbeit ist, dass ein enger Zusammenhang zwischen der im 19. Jahrhundert entstehenden und bis heute geläufigen Form der Zuordnung von Menschen zum Staat und den aus diesem Verhältnis entspringenden Rechten einerseits und dem frühneuzeitlichen Indigenat andererseits besteht. Dabei kann gezeigt werden, dass Gesellschaften ihre politischen Machtpositionen gegenüber „fremdstämmigen“, etwa zuwandernden Personen abschirmten, indem sie sich auf indigenatrechtliche, ethnische Bestimmungen beriefen.
Social entrepreneurship is a successful activity to solve social problems and economic challenges. Social entrepreneurship uses for-profit industry techniques and tools to build financially sound businesses that provide nonprofit services. Social entrepreneurial activities also lead to the achievement of sustainable development goals. However, due to the complex, hybrid nature of the business, social entrepreneurial activities are typically supported by macrolevel determinants. To expand our knowledge of how beneficial macro-level determinants can be, this work examines empirical evidence about the impact of macro-level determinants on social entrepreneurship. Another aim of this dissertation is to examine the impact at the micro level, as the growth ambitions of social and commercial entrepreneurs differ. At the beginning, the introductory section is explained in Chapter 1, which contains the motivation for the research, the research question, and the structure of the work.
There is an ongoing debate about the origin and definition of social entrepreneurship. Therefore, the numerous phenomena of social entrepreneurship are examined theoretically in the previous literature. To determine the common consensus on the topic, Chapter 2 presents
the theoretical foundations and definition of social entrepreneurship. The literature shows that a variety of determinants at the micro and macro levels are essential for the emergence of social entrepreneurship as a distinctive business model (Hartog & Hoogendoorn, 2011; Stephan et al., 2015; Hoogendoorn, 2016). It is impossible to create a society based on a social mission without the support of micro and macro-level-level determinants. This work examines the determinants and consequences of social entrepreneurship from different methodological perspectives. The theoretical foundations of the micro- and macro-level determinants influencing social entrepreneurial activities were discussed in Chapter 3. The purpose of reproducibility in research is to confirm previously published results (Hubbard et al., 1998; Aguinis & Solarino, 2019). However, due to the lack of data, lack of transparency of methodology, reluctance to publish, and lack of interest from researchers, there is a lack of promoting replication of the existing research study (Baker, 2016; Hedges & Schauer, 2019a). Promoting replication studies has been regularly emphasized in the business and management literature (Kerr et al., 2016; Camerer et al., 2016). However, studies that provide replicability of the reported results are considered rare in previous research (Burman et al., 2010; Ryan & Tipu, 2022). Based on the research of Köhler and Cortina (2019), an empirical study on this topic is carried out in Chapter 4 of this work.
Given this focus, researchers have published a large body of research on the impact of microand macro-level determinants on social inclusion, although it is still unclear whether these studies accurately reflect reality. It is important to provide conceptual underpinnings to the field through a reassessment of published results (Bettis et al., 2016). The results of their research make it abundantly clear that the macro determinants support social entrepreneurship.
In keeping with the more narrative approach, which is a crucial concern and requires attention, Chapter 5 considered the reproducibility of previous results, particularly on the topic of social entrepreneurship. We replicated the results of Stephan et al. (2015) to establish the trend of reproducibility and validate the specific conclusions they drew. The literal and constructive replication in the dissertation inspired us to explore technical replication research on social entrepreneurship. Chapter 6 evaluates the fundamental characteristics that have proven to be key factors in the growth of social ventures. The current debate reviews and references literature that has specifically focused on the development of social entrepreneurship. An empirical analysis of factors directly related to the ambitious growth of social entrepreneurship is also carried out.
Numerous social entrepreneurial groups have been studied concerning this association. Chapter 6 compares the growth ambitions of social and traditional (commercial) entrepreneurship as consequences at the micro level. This study examined many characteristics of social and commercial entrepreneurs' growth ambitions. Scholars have claimed to some extent that the growth of social entrepreneurship differs from commercial entrepreneurial activities due to objectivity differences (Lumpkin et al., 2013; Garrido-Skurkowicz et al., 2022). Qualitative research has been used in studies to support the evidence on related topics, including Gupta et al (2020) emphasized that research needs to focus on specific concepts of social entrepreneurship for the field to advance. Therefore, this study provides a quantitative, analysis-based assessment of facts and data. For this purpose, a data set from the Global Entrepreneurship Monitor (GEM) 2015 was used, which examined 12,695 entrepreneurs from 38 countries. Furthermore, this work conducted a regression analysis to evaluate the influence of various social and commercial characteristics of entrepreneurship on economic growth in developing countries. Chapter 7 briefly explains future directions and practical/theoretical implications.
In the present study, we tested whether processing information in the context of an ancestral survival scenario enhances episodic memory performance in older adults and in stroke patients. In an online study (Experiment 1), healthy young and older adults rated words according to their relevance to an ancestral survival scenario, and subsequent free recall performance was compared to a pleasantness judgment task and a moving scenario task in a within-subject design. The typical survival processing effect was replicated: Recall rates were highest in the survival task, followed by the moving and the pleasantness judgment task. Although older adults showed overall lower recall rates, there was no evidence for differences between the age groups in the condition effects. Experiment 2 was conducted in a neurological rehabilitation clinic with a sample of patients who had suffered from a stroke within the past 5 months. On the group level, Experiment 2 revealed no significant difference in recall rates between the three conditions. However, when accounting for overall memory abilities and executive function, independently measured in standardized neuropsychological tests, patients showed a significant survival processing effect. Furthermore, only patients with high executive function scores benefitted from the scenario tasks, suggesting that intact executive function may be necessary for a mnemonic benefit. Taken together, our results support the idea that the survival processing task – a well-studied task in the field of experimental psychology – may be incorporated into a strategy to compensate for memory dysfunction.
Older adults who worry about their own cognitive capabilities declining, but who do not show evidence of actual cognitive decline in neuropsychological tests, are at an increased risk of being diagnosed with dementia at a later time. Since neural markers may be more sensitive to early stages of cognitive decline, in the present study we examined whether event-related potential responses
of feedback processing, elicited in a probabilistic learning task, differ between healthy older adults recruited from the community, who either did (subjective cognitive decline/SCD-group) or did not report (No-SCD group) worry about their own cognition declining beyond the normal age-related development. In the absence of group differences in learning from emotionally charged feedback in the probabilistic learning task, the amplitude of the feedback-related negativity (FRN) varied with feedback valence differently in the two groups: In the No-SCD group, the FRN was larger for positive than negative feedback, while in the SCD group, FRN amplitude did not differ between positive and negative feedback. The P3b was enhanced for negative feedback in both groups, and group differences in P3b amplitude were not significant. Altered sensitivity in neural processing of negative versus positive feedback may be a marker of SCD.
Im Rahmen psychologischer Wissenschaftskommunikation werden Plain Language Summaries (PLS, Kerwer et al., 2021) zunehmend bedeutsamer. Es handelt sich hierbei um
zugängliche, überblicksartige Zusammenfassungen, welche das Verständnis von Lai:innen
potenziell unterstützen und ihr Vertrauen in wissenschaftliche Forschung fördern können.
Dies erscheint speziell vor dem Hintergrund der Replikationskrise (Wingen et al., 2019) sowie Fehlinformationen in Online-Kontexten (Swire-Thompson & Lazer, 2020) relevant. Die
positiven Auswirkungen zweier Effekte auf Vertrauen sowie ihre mögliche Interaktion fanden im Kontext von PLS bisher kaum Berücksichtigung: Zum einen die einfache Darstellung von Informationen (Easiness-Effekt, Scharrer et al., 2012), zum anderen ein möglichst wissenschaftlicher Stil (Scientificness-Effekt, Thomm & Bromme, 2012). Diese Dissertation hat zum Ziel, im Kontext psychologischer PLS genauere Bestandteile beider Effekte zu identifizieren und den Einfluss von Einfachheit und Wissenschaftlichkeit auf Vertrauen zu beleuchten. Dazu werden drei Artikel zu präregistrierten Online-Studien mit deutschsprachigen Stichproben vorgestellt.
Im ersten Artikel wurden in zwei Studien verschiedene Textelemente psychologischer PLS systematisch variiert. Es konnte ein signifikanter Einfluss von Fachtermini, Informationen zur
Operationalisierung, Statistiken und dem Grad an Strukturierung auf die von Lai:innen berichtete Einfachheit der PLS beobachtet werden. Darauf aufbauend wurden im zweiten Artikel vier PLS, die von Peer-Review-Arbeiten abgeleitet wurden, in ihrer Einfachheit und
Wissenschaftlichkeit variiert und Lai:innen zu ihrem Vertrauen in die Texte und Autor:innen befragt. Hier ergab sich zunächst nur ein positiver Einfluss von Wissenschaftlichkeit auf
Vertrauen, während der Easiness-Effekt entgegen der Hypothesen ausblieb. Exploratorische Analysen legten jedoch einen positiven Einfluss der von Lai:innen subjektiv wahrgenommenen Einfachheit auf ihr Vertrauen sowie eine signifikante Interaktion mit der
wahrgenommenen Wissenschaftlichkeit nahe. Diese Befunde lassen eine vermittelnde Rolle der subjektiven Wahrnehmung von Lai:innen für beide Effekte vermuten. Im letzten Artikel
wurde diese Hypothese über Mediationsanalysen geprüft. Erneut wurden zwei PLS
präsentiert und sowohl die Wissenschaftlichkeit des Textes als auch die der Autor:in manipuliert. Der Einfluss höherer Wissenschaftlichkeit auf Vertrauen wurde durch die
subjektiv von Lai:innen wahrgenommene Wissenschaftlichkeit mediiert. Zudem konnten
dimensionsübergreifende Mediationseffekte beobachtet werden.
Damit trägt diese Arbeit über bestehende Forschung hinaus zur Klärung von Rahmenbedingungen des Easiness- und Scientificness-Effektes bei. Theoretische
Implikationen zur zukünftigen Definition von Einfachheit und Wissenschaftlichkeit, sowie
praktische Konsequenzen hinsichtlich unterschiedlicher Zielgruppen von
Wissenschaftskommunikation und dem Einfluss von PLS auf die Entscheidungsbildung von
Lai:innen werden diskutiert.
Introduction: Across various cultural contexts, success in goal realization relates to individuals’ well-being. Moreover, commitment to and successful pursuance of goals are crucial when searching for a meaningful identity in adolescence. However, individuals’ goals differ in how much they match their implicit motive dispositions. We hypothesized that successful pursuance of affiliation goals positively relates to commitment-related dimensions of interpersonal identity development (domain: close friends) that, in turn, predict adolescents’ level of well-being. However, we further assumed that the links between goal success and identity commitment are particularly pronounced among adolescents who are characterized by a high implicit affiliation motive.
Methods: To scrutinize the generalizability of the assumed relationships, data were assessed among adolescents in individualistic (Germany) and collectivistic (Zambia) cultural contexts.
Results: Regardless of adolescents’ cultural background, we found that commitment-related dimensions of interpersonal identity development mediate the link between successful attainment of affiliation goals and well-being, particularly among adolescents with a pronounced implicit affiliation motive; that is, the strength of the implicit affiliation motive moderates the association
between goal success and identity commitment.
Conclusion: We discuss findings concerning universal effects of implicit motives on identity commitment and well-being.
Inger Christensen muss vielleicht als die bedeutendste dänische Dichterin der zweiten Hälfte des 20. Jahrhunderts gelten, die auch im deutschsprachigen Raum große Beachtung fand. Ihr Einfluss auf die gegenwärtige deutschsprachige und skandinavische Lyrik wird in diesem Band erstmalig untersucht. Die hier versammelten Beiträge folgen den Spuren Inger Christensens in den lyrischen und essayistischen Arbeiten von Thomas Kling, Nico Bleutge, Herta Müller, Oswald Egger, Pia Tafdrup, Mette Moestrup, Silke Scheuermann, Jan Wagner, Uljana Wolf, Amalie Smith, Birgitta Trotzig und anderen. Dabei widmen sich die Studien sowohl Christensens sprachtheoretischen Reflexionen und den formalen Einflüssen ihres Werks und deren Transformationen in der Gegenwartslyrik als auch den thematischen Gegenständen ihrer Dichtung, insbesondere ihrem Naturkonzept und dessen Adaption in neueren ökokritischen Ansätzen.
This article investigates selected texts and oral performances by two contemporary authors, Nico Bleutge and Mette Moestrup, who adapt or rewrite Christensen’s poems. In the works focused on (Moestrups poems “My Language” and “Hvad betyder det for sommerfuglen”, Bleutge’s speech “Den Wiederholungen folgen” and the poem “fischhaare finden”), translation plays a central role, and animals (especially winged ones) become a motor for transformational movements between languages and authors. Unsettling the semantic and structural level of language, the named birds and butterflies set loose acoustic dynamics that lead us back to Christensen’s reflections on mortality, contingency, and poetics in her essays.
Using validated stimulus material is crucial for ensuring research comparability and replicability. However, many databases rely solely on bidimensional valence ratings, ranging from negative to positive. While this material might be appropriate for certain studies, it does not reflect the complexity of attitudes and therefore might hamper the unambiguous interpretation of some study results. In fact, most databases cannot differentiate between neutral (i.e., neither positive nor negative) and ambivalent (i.e., simultaneously positive and negative) attitudes. Consequently, even presumably univalent (only positive or negative) stimuli cannot be clearly distinguished from ambivalent ones when selected via bipolar rating scales. In the present research, we introduce the Trier Univalence Neutrality Ambivalence (TUNA) database, a database containing 304,262 validation ratings from heterogeneous samples of 3,232 participants and at least 20 (M = 27.3, SD = 4.84) ratings per self-report scale per picture for a variety of attitude objects on split semantic differential scales. As these scales measure positive and negative evaluations independently, the TUNA database allows to distinguish univalence, neutrality, and ambivalence (i.e., potential ambivalence). TUNA also goes beyond previous databases by validating the stimulus materials on affective outcomes such as experiences of conflict (i.e., felt ambivalence), arousal, anger, disgust, and empathy. The TUNA database consists of 796 pictures and is compatible with other popular databases. It sets a focus on food pictures in various forms (e.g., raw vs. cooked, non-processed vs. highly processed), but includes pictures of other objects that are typically used in research to study univalent (e.g., flowers) and ambivalent (e.g., money, cars) attitudes for comparison. Furthermore, to facilitate the stimulus selection the TUNA database has an accompanying desktop app that allows easy stimulus selection via a ultitude of filter options.
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.
Nachdem er in den 1750er und 1760er Jahren graphische Bildsatiren zu aktuellen innen- und außenpolitischen Themen veröffentlich hatte, wurde William Hogarth selbst in zahlreichen Karikaturen verspottet und verleumdet. Ausgehend von dieser Beobachtung fragt die vorliegende Dissertation, welche Haltung sich den politischen Blättern des Künstlers entnehmen lässt und mit welchen künstlerischen Mitteln er dieser Ausdruck verlieh. Durch Analyse der politischen Ikonographie lassen sich die Themen und Akteure beschreiben. Mit der rezeptionsästhetischen Methode unter Hinzunahme der Sprech- und Bildakttheorie und der Propaganda Studies werden ihre tendenziösen Aussagen und manipulative Absichten entschlüsselt.
In ihrer Regierungsaffinität unterscheidet sich Hogarths politische Kunst maßgeblich von der oppositionellen Bildsatire Londons. Die Differenz spiegelt sich v. a. in den persönlichen Angriffen, mit denen zeitgenössische Satiriker Hogarth kritisierten. Als erstes reagierte Paul Sandby („The Painter’s March from Finchly“, 1753) auf Hogarths Darstellung des Jakobitischen Aufstandes 1745, womit er eine Begründung für die von William Augustus, Duke of Cumberland angestrebte Militärreform lieferte („March of the Guards to Finchley“, 1751); Für seine Gin Act-Kampagne („Gin Lane“ und „Beer Street“, 1750/51) erweiterte er die Pro-Gin-Ikonographie der 1730er Jahre (Anonymous: „The lamentable Fall of Madam Geneva”, 1736, Anonymous: „To those melancholly Sufferers the Destillers […] The Funeral Procession of Madam Geneva“, 1751), um sich für die staatliche Reglementierung der Destillen auszusprechen. In seinen Publikationen zum Siebenjährigen Krieg, mit denen er die Politik der jeweiligen Regierungen unter Thomas Pellham-Holles, Duke of Newcastle und William Pitt (the Elder) („The Invasion“, 1756) oder John Stuart, Earl of Bute („The Times Pl. 1“, 1763) unterstützte, zeigt sich Hogarths Opportunismus. Letztlich wurde seine Fürsprache für die unbeliebte Tory-Regierung und seine Kritik an William Pitt Anlass für Hogarths Herabwürdigung durch die Whig-treue Satire. Nach diesem Bruch publizierten beide Seiten verunglimpfende Portraitkarikaturen, die auf Rufmord des Gegners durch Kriminalisierung, Deformation und Dämonisierung setzten (William Hogarth: „John Wilkes Esqr.“, 1763, Anonymous „Tit for Tat“, 1763, Anonymous: „An Answer to the Print of John Wilkes Esqr. by WM Hogarth“, 1763, Anonymous: „Pug the snarling cur chastised Or a Cure for the Mange“, 1763).
Die Bildvergleiche zwischen Hogarths politischen Werken und den Reaktionen, die sie hervorriefen, zeigen, dass der Unterschied nicht im Bildgegenstand oder der politischen Ikonographie liegt, sondern in der Ausrichtung ihrer politischen Einflussnahme. Dabei ist vor allem Hogarths regierungsloyale Haltung hervorzuheben. Folglich muss die Forschungsmeinung von einer grundsätzlich kritischen Haltung Hogarths redigiert werden, da er sich nachweislich konservativ positioniert und dem Regierungshandeln und Machterhalt der Eliten Vorschub leistete.
Das vorliegende Dissertationsvorhaben untersucht die propagandistische Qualität der Werke Hogarths im Vergleich zu den zeitgenössischen Satirikern und macht die unterschiedliche politische Stoßrichtung sichtbar. Aufschluss gibt dabei die Anwendung künstlerischer und karikaturesker Mittel (das „Wie“) zum Zweck der burlesque (Posse/Parodie), des ridicule (Lächerlichmachung/Spott) bis bin zur Agitation, sowohl in Hogarths Werken als auch in den Karikaturen, die gegen ihn gerichtet waren. Da William Hogarth diese Stilmittel maßgeblich prägte und ihre Entwicklung forcierte, werden sie in der vorliegenden Arbeit unter dem Begriff Hogarthian Wit summiert. Mithilfe der Methode und Begriffe der Propaganda Studies lassen sich Intention und Zweck (das „Was“) als Bildakte beschreiben: Während es sich bei den Werken grundsätzlich um bias handelte, die basierend auf einer Ideologie die öffentliche Meinung beeinflusste, nahm ihre Schlagkraft in den 1760er Jahren stark zu; auf verrätselte Stellungnahmen folgte persönliche und offene Kritik an öffentlichen Personen, bis hin zum Rufmord. Dabei rezipierten sich die Künstler gegenseitig und bildeten Thesen und Antithesen aus. Hogarths einseitige Darstellungen wurden korrigiert und ergänzt, seine politische Kunst als Propaganda enttarnt. Schließlich wurden ihm Lügen und üble Nachrede vorgeworfen. Indem sie ihn anklagten oder durch Sekundärstigmatisierung eine Bestrafung in effigie vornahmen, forderten die Werke vom Rezipienten ein strafendes Urteil. Zu den künstlerischen Mitteln, die dabei zur Anwendung kommen, gehören eine politische Ikonographie und stereotype Feindbilder sowie nationale Konstruktionen, rezeptionsästhetische Mittel wie Juxtapositionen, Rezeptions- und Identifikationsfiguren sowie rhetorische und Mittel des Sprechakts, bis hin zu Perlokutionen. Die Werke lassen sich als Propaganda und somit als hierarchische Kommunikation beschreiben, die manipulative Bildstrategien nutzten, welche nicht nur der Beeinflussung der öffentlichen Meinung dienten, sondern politische Handlungen forcierten. Bezeichnend ist, dass beide Seiten dieselben Ikonographie, Stil-, Kompositions- und Kommunikationsmittel anwendeten, unabhängig von ihrer politischen Aussage, wodurch der Hogarthian Wit gefestigt und stetig weiterentwickelt wurde.
The article considers the circulation and the role of the motifs China, the Chinese man/woman and the Chinese as concepts of the other/strange(r), which negatively correspond to the concepts of the self in the work of the Russian poet, writer, artist and producer of performances Dmitrij Prigov. These phenomena and their historical development are of special interest in the present context of the Russian war against Ukraine, the Western sanctions against Russia and the growing political, economic and military approximation of Russia to China. In its analytic design the article discerns in Prigov’s China-text a broader geo-esthetical from a smaller geo-poetical horizon and distinguishes the theme- and sense-orientated phenomenon of stereotype, reducing (the concept of) a culture or a nation to special, often discrediting it, semantic features (as topoi), from the phenomenon of the imagotype, which is orientated to the poetical and/or esthetical construction of an artifact and relates the specialty of the other to certain sounds, intonations, colors, textures. Reconstructing the development of the motifs of China, the Chinese man/woman and the Chinese in Prigov’s China-text from the 1970s up to the posthumously in 2013 published novel “Katia, the Chinese”, the article shows that the evolution of the imagotypes and stereotypes of China, the Chinese man / woman and the Chinese as concepts of the other/alien is correlated with the development of the geopolitical relation of Russia and China.
Sozialunternehmen haben mindestens zwei Ziele: die Erfüllung ihrer sozialen bzw. ökologischen Mission und finanzielle Ziele. Zwischen diesen Zielen können Spannungen entstehen. Wenn sie sich in diesem Spannungsfeld wiederholt zugunsten der finanziellen Ziele entscheiden, kommt es zum Mission Drift. Die Priorisierung der finanziellen Ziele überlagert dabei die soziale Mission. Auch wenn das Phänomen in der Praxis mehrfach beobachtet und in Einzelfallanalysen beschrieben wurde, gibt es bislang wenig Forschung zu Mission Drift. Der Fokus der vorliegenden Arbeit liegt darauf, diese Forschungslücke zu schließen und eigene Erkenntnisse für die Auslöser und Treiber des Mission Drifts von Sozialunternehmen zu ermitteln. Ein Augenmerk liegt auf den verhaltensökonomischen Theorien und der Mixed-Gamble-Logik. Dieser Logik zufolge liegt bei Entscheidungen immer eine Gleichzeitigkeit von Gewinnen und Verlusten vor, sodass Entscheidungsträger die Furcht vor Verlusten gegenüber der Aussicht auf Gewinne abwägen müssen. Das Modell wird genutzt, um eine neue theoretische Betrachtungsweise auf die Abwägung zwischen sozialen und finanziellen Zielen bzw. Mission Drift zu erhalten. Mit einem Conjoint Experiment werden Daten über das Entscheidungsverhalten von Sozialunternehmern generiert. Im Zentrum steht die Abwägung zwischen sozialen und finanziellen Zielen in verschiedenen Szenarien (Krisen- und Wachstumssituationen). Mithilfe einer eigens erstellten Stichprobe von 1.222 Sozialunternehmen aus Deutschland, Österreich und der Schweiz wurden 187 Teilnehmende für die Studie gewonnen. Die Ergebnisse dieser Arbeit zeigen, dass eine Krisensituation Auslöser für Mission Drift von Sozialunternehmen sein kann, weil in diesem Szenario den finanziellen Zielen die größte Bedeutung zugemessen wird. Für eine Wachstumssituation konnten hingegen keine solche Belege gefunden werden. Hinzu kommen weitere Einflussfaktoren, welche die finanzielle Orientierung verstärken können, nämlich die Gründeridentitäten der Sozialunternehmer, eine hohe Innovativität der Unternehmen und bestimmte Stakeholder. Die Arbeit schließt mit einer ausführlichen Diskussion der Ergebnisse. Es werden Empfehlungen gegeben, wie Sozialunternehmen ihren Zielen bestmöglich treu bleiben können. Außerdem werden die Limitationen der Studie und Wege für zukünftige Forschung im Bereich Mission Drift aufgezeigt.
Job crafting is the behavior that employees engage in to create personally better fitting work environments, for example, by increasing challenging job demands. To better understand the driving forces behind employees’ engagement in job crafting, we investigated implicit and explicit power motives. While implicit motives tend to operate at the unconscious, explicit motives operate at the unconscious level. We focused on power motives, as power is an agentic motive characterized by the need to influence your environment. Although power is relevant to job crafting in its entirety, in this study, we link it to increasing challenging job demands due to its relevance to job control, which falls under the umbrella of power. Using a cross-sectional design, we collected survey data from a sample of Lebanese nurses (N = 360) working in 18 different hospitals across the country. In both implicit and explicit power motive measures, we focused on integrative power that enable people to stay calm and integrate opposition. The results showed that explicit power predicted job crafting (H1) and that implicit power amplified this effect (H2). Furthermore, job crafting mediated the relationship between congruently high power motives and positive work-related outcomes (H3) that were interrelated (H4). Our findings unravel the driving forces behind one of the most important dimensions of job crafting and extend the benefits of motive congruence to work-related outcomes.
Des sentiments puissants : Aborder avec les enfants la question des émotions dans les conflits
(2024)
Les émotions sont le reflet de nos besoins personnels. Dans les discussions sur les conflits ou dans la médiation, en particulier, il est important de ne pas se concentrer uniquement sur le moment où un conflit est survenu, mais de déceler aussi les besoins et les émotions qui ont eu un impact sur nos actions, nos réflexions et notre ressenti. Le matériel que nous allons vous présenter vous permettra de découvrir comment aborder, en tant qu’enseignant·e, les émotions et les disputes avec des enfants dans l’enseignement fondamental.
Metaphorical shifts from one subject area to another are a central structural strategy in Inger Christensen’s work. This principle will be demonstrated and discussed in this paper by referring to the poem “Gopler” [“Jellyfish”] from “lys” [“light”], 1962. The Danish contemporary poet Pia Tafdrup, whose work is influenced by Christensen, also makes use of a distinctive, associative imagery in her pentalogy “De fem sanser” [“The Five Senses”] (2014–2022). This paper contrastively explores the ways in which metaphorical shifts function in Christensen’s and Tafdrup’s poetry. Christensen realizes the metaphors’ potential in a radical way through the semantic superimposition of different subject areas. Thus, the regularities of the designed world are solely valid within linguistic structures, opening up new spaces of cognitive experience. In Tafdrup’s work, the texts’ different levels of meaning tend to remain separable. Here, the focus is on an associative technique of erratic and surprising transmissions, often applied to the external and the internal in a way that the cutting conciseness of the poems touch the reader almost sensually.
Introduction: Conventional agricultural land-use may negatively impact biodiversity and the environment due to the increased disturbances to the soil ecosystem by tillage, for example. Cultivation of the perennial grain intermediate wheatgrass (Thinopyrum intermedium, IWG, Kernza®) is a nature-based solution for sustainable agriculture, improving nutrient retention mainly through its extensive root system. Nematodes serve as sensitive bioindicators, detecting early changes in the soil food web, reflecting in changes in their community structure.
Materials and Methods:IWG and annual wheat sites in South France, Belgium and South Sweden were investigated in April 2022 for two depths (5–15 cm; 25–35 cm) to evaluate the difference in nematode community structure among the cropping systems.
Results: Sites with IWG cultivation held an accumulation of structure indicators (c-p 3–5 nematodes) compared to sites with annual wheat cultivation. A generalised linear mixed model revealed significantly more root feeders, especially for the subsoil, under IWG as a result of the perennial cultivation. The maturity index, plant-parasitic index, channel index and structure index were greater for IWG sites. The enrichment index was greater for annual wheat sites due to the dominance of bacterivores and enrichment indicators (c-p 1 nematodes). The nematode community structure (weighted faunal profile analysis) indicates IWG sites as being a generally undisturbed system with efficient nutrient cycling and balanced distribution of feeding types, as well as higher metabolic footprint values for root feeders (including plant-parasitic nematodes) and fungivores. Annual wheat sites, on the other hand, held indicators of a disturbed system with increased occurrence of opportunistic species and a more bacterial driven pathway. The topsoil had an increased occurrence of structure indicators in both cropping systems.
Conclusion: IWG creates favourable conditions for a diverse food web, including improved nutrient cycling and a heterogeneous resource environment, regardless of climatic conditions, establishing it as a stable and resilient agricultural management system.
The viviparous eelpout Zoarces viviparus is a common fish across the North Atlantic and has successfully colonized habitats across environmental gradients. Due to its wide distribution and predictable phenotypic responses to pollution, Z. viviparus is used as an ideal marine bioindicator organism and has been routinely sampled over decades by several countries to monitor marine environmental health. Additionally, this species is a promising model to study adaptive processes related to environmental change, specifically global warming. Here, we report the chromosome-level genome assembly of Z. viviparus, which has a size of 663 Mb and consists of 607 scaffolds (N50 = 26 Mb). The 24 largest represent the 24 chromosomes of the haploid Z. viviparus genome, which harbors 98% of the complete Benchmarking Universal Single-Copy Orthologues defined for ray-finned fish, indicating that the assembly is highly contiguous and complete. Comparative analyses between the Z. viviparus assembly and the chromosome-level genomes of two other eelpout species revealed a high synteny, but also an accumulation of repetitive elements in the Z. viviparus genome. Our reference genome will be an important resource enabling future in-depth genomic analyses of the effects of environmental change on this important bioindicator species.
In the face of uncontrollable complexity, the concept of a rational design of the organization is being replaced by the notion of an open future that is inherently unpredictable and unplanable. In rapidly changing environments, organizations and leaders are confronted with a constant stream of irritations and unexpected developments, that require ongoing attention. This prompts the question of whether the conceptualization of digital transformation as a paradigm shift also implies the need for new forms of leadership. The article analyzes the discourse on digital leadership and assesses the extent to which this concept relativizes leadership in the context of the evolution of leadership theory, which is characterized by a persistent process of modification and relativization of preceding concepts. Leadership concepts are not only responsive to general needs, but also vary according to specific contexts, such as non-profit leadership or leadership in social welfare organizations and meta-organizations. Results of a discourse analysis, which underscore the significance of adopting a complexity theory perspective on digital leadership, will therefore be contrasted with the initial findings of an empirical study on digitization in such meta-organizations. This allows for a discussion of the general findings on the revitalization of leadership, which will serve as a paradigmatic example of the previously developed context. The article concludes with implications for further theory development with the aim of making a specific contribution to organization-sensitive digitization research. The findings of the empirical study indicate the significance of employing informal structures and a heightened emphasis on subjectivity within meta-organizations, as opposed to the formal structures of organizations. The concept of digital leadership does not signify the obsolescence of traditional leadership; rather, it can be conceptualized as an advanced form of unheroic leadership within the context of external and internal complexity.
This thesis contains three parts that are all connected by their contribution to research about the effects of trading apps on investment behavior. The primary motivation for this study is to investigate the previously undetermined consequences and effects of trading apps, which are a new phenomenon in the broker market, on the investment and risk behavior of Neobroker users.
Chapter 2 addresses the characteristics of a typical Neobroker user and a former Neobroker user and the impact of trading apps on the investment and risk behavior of their users. The results show that Neobroker users are significantly more risk tolerant than the general German population and are influenced by trading apps regarding their investment and risk behavior. Low trading fees and the low minimum investment amount are the main reasons for the use of trading apps. Investors who stop using trading apps mostly stop investing altogether. Another worrying result is that financial literacy among all groups is low and most Neobroker users have wrong conceptions about how trading apps earn money. In general, the financial literacy of all groups considered in this chapter is surprisingly low.
The third chapter investigates the effects of trading apps on investment behavior over time and compares the investment and risk behavior of Neobroker users and general investors. By using representative data of German Neobroker users, who were surveyed repeatedly over a 8-month time interval, it becomes possible to determine causal effects of the use of trading apps over time. In total, the financial literacy of Neobroker users increases with the longer use of a trading app. A worrying result is that the risk tolerance of Neobroker users rises significantly over time. Male Neobroker users gain a higher annual return (non-risk-adjusted) than female Neobroker users. In comparison to general investors, Neobroker users are significantly younger, more risk tolerant, more likely to buy derivatives and gain a higher annual return (non-risk-adjusted).
The fourth chapter analyses the impact of personality traits on the investment and risk behavior of Neobroker users. The results show that the BIG-5 personality traits have an impact on the investment behavior of Neobroker users. Two personality traits, openness and conscientiousness, stand out the most, as these two have explanatory power over various aspects of the behavior of Neobroker users. In particular, whether they buy different financial products than planned, the time they inform themselves about financial markets, the variety of financial products owned, and the reasons to use a Neobroker. Surprisingly, the risk tolerance of Neobroker users and the reasons to invest are not connected to any personal dimension. Whether a participant uses a trading app or a traditional broker to invest is respectively influenced by different personality traits.
Income is one of the key indicators to measure regional differences, individual opportunities, and inequalities in society. In Germany, the regional distribution of income is a central concern, especially regarding persistent East-West, North-South, or urban-rural inequalities.
Effective local policies and institutions require reliable data and indicators on
regional inequality. However, its measurement faces severe data limitations: Inconsistencies
in the existing microdata sources yield an inconclusive picture of regional inequality.
While survey data provide a wide range of individual and household information but lack top incomes, tax data contain the most reliable income records but offer a limited range of socio-demographic variables essential for income analysis. In addition, information on the
long-term evolution of the income distribution at the small-scale level is scarce.
In this context, this thesis evaluates regional income inequality in Germany from various perspectives and embeds three self-contained studies in Chapters 3, 4, and 5, which present different data integration approaches. The first chapter motivates this thesis, while the second chapter provides a brief overview of the theoretical and empirical concepts as well
as the datasets, highlighting the need to combine data from different sources.
Chapter 3 tackles the issue of poor coverage of top incomes in surveys, also referred to as the ’missing rich’ problem, which leads to severe underestimation of income inequality. At the regional level this shortcoming is even more eminent due to small regional sample sizes. Based on reconciled tax and survey data, this chapter therefore proposes a new multiple
imputation top income correction approach that, unlike previous research, focuses on the regional rather than the national level. The findings indicate that inequality between and within the regions is much larger than previously understood with the magnitude of the adjustment depending on the federal states’ level of inequality in the tail. To increase the potential of the tax data for income analysis and to overcome the lack
of socio-demographic characteristics, Chapter 4 enriches the tax data with information on education and working time from survey data. For that purpose, a simulation study evaluates missing data methods and performant prediction models, finding that Multinomial
Regression and Random Forest are the most suitable methods for the specific data fusion scenario. The results indicate that data fusion approaches broaden the scope for regional inequality analysis from cross-sectional enhanced tax data.
Shifting from a cross-sectional to a longitudinal perspective on regional income inequality, Chapter 5 contributes to the currently relatively small body of literature dealing with the potential development of regional income disparities over time. Regionalized dynamic microsimulations provide a powerful tool for the study of long-term income developments. Therefore, this chapter extends the microsimulation model MikroSim with an income module
that accounts for the individual, household, and regional context. On this basis, the potential dynamics in gender and migrant income gaps across the districts in Germany are simulated under scenarios of increased full-time employment rates and higher levels
of tertiary education. The results show that the scenarios have regionally differing effects on inequality dynamics, highlighting the considerable potential of dynamic microsimulations for regional evidence-based policies. For the German case, the MikroSim model is well suited to analyze future regional developments and can be flexibly adapted for further specific research questions.
The cold pressor test (CPT) elicits strong cardiovascular reactions via activation of the sympathetic nervous system (SNS), yielding subsequent increases in heart rate (HR) and blood pressure (BP). However, little is known on how exposure to the CPT affects cardiac ventricular repolarization. Twenty-eight healthy males underwent both a bilateral feet CPT and a warm water (WW) control condition on two separate days, one week apart. During pre-stress baseline and stress induction cardiovascular signals (ECG lead II, Finometer BP) were monitored continuously. Salivary cortisol and subjective stress ratings were assessed intermittently. Corrected QT (QTc) interval length and T-wave amplitude (TWA) were assessed for each heartbeat and subsequently aggregated individually over baseline and stress phases, respectively. CPT increases QTc interval length and elevates the TWA. Stress-induced changes in cardiac repolarization are only in part and weakly correlated with cardiovascular and cortisol stress-reactivity. Besides its already well-established effects on cardiovascular, endocrine, and subjective responses, CPT also impacts on cardiac repolarization by elongation of QTc interval length and elevation of TWA. CPT effects on cardiac repolarization share little variance with the other indices of stress reactivity, suggesting a potentially incremental value of this parameter for understanding psychobiological adaptation to acute CPT stress.
Knowledge acquisition comprises various processes. Each of those has its dedicated research domain. Two examples are the relations between knowledge types and the influences of person-related variables. Furthermore, the transfer of knowledge is another crucial domain in educational research. I investigated these three processes through secondary analyses in this dissertation. Secondary analyses comply with the broadness of each field and yield the possibility of more general interpretations. The dissertation includes three meta-analyses: The first meta-analysis reports findings on the predictive relations between conceptual and procedural knowledge in mathematics in a cross-lagged panel model. The second meta-analysis focuses on the mediating effects of motivational constructs on the relationship between prior knowledge and knowledge after learning. The third meta-analysis deals with the effect of instructional methods in transfer interventions on knowledge transfer in school students. These three studies provide insights into the determinants and processes of knowledge acquisition and transfer. Knowledge types are interrelated; motivation mediates the relation between prior and later knowledge, and interventions influence knowledge transfer. The results are discussed by examining six key insights that build upon the three studies. Additionally, practical implications, as well as methodological and content-related ideas for further research, are provided.
The paper focuses on two blogger-poets, Maja Solar and Jelena Savić, who create poetry and conceptualize the relationship between philosophy and politics. Maja Solar is a refugee from Croatia, now living in Serbia, who sometimes mixes Serbian and Croatian language standards. In her poems, she combines the lyrical with the experimental, while in her essays, she critically reflects on neo-liberalism. The authors discuss her dual position(s), as a poet and philosopher active in the Gerusija philosophy collective from Novi Sad. Jelena Savić is a poet of Romani descent, whose poetry takes identity politics as both its point of departure and object of critique. The authors examine how her experimental writing embodies this dual position. More specifically, the paper investigates how Solar and Savić construct themselves online as engaged intellectuals, poets and writers. In the case of Maja Solar, the authors focus on “Ispod crte”, a blog created by the collective “Za kulturne politike: politika kulture”, and the Gerusija collective’s magazine “Stvar”. By using these examples, the authors review her place in the micro-social map of younger critical intellectuals. In her blog “Usernamekaspoetry: Biti žena, Romkinja, pesnikinja”, Jelena Savić discusses her paradoxical position as an almost invisible poet in the national context, and questions the place of minorities within the nationally homogenous Serbian society. In 2017, Savić started writing about problems of education in the regional e-magazine “Proлetter” and her work became more visible in the post-Yugoslav context.
Sowohl national als auch international wird die zunehmende Digitalisierung von Prozessen gefordert. Die Heterogenität und Komplexität der dabei entstehenden Systeme erschwert die Partizipation für reguläre Nutzergruppen, welche zum Beispiel kein Expertenwissen in der Programmierung oder einen informationstechnischen Hintergrund aufweisen. Als Beispiel seien hier Smart Contracts genannt, deren Programmierung komplex ist und bei denen etwaige Fehler unmittelbar mit monetärem Verlust durch die direkte Verknüpfung der darunterliegenden Kryptowährung verbunden sind. Die vorliegende Arbeit stellt ein alternatives Protokoll für cyber-physische Verträge vor, das sich besonders gut für die menschliche Interaktion eignet und auch von regulären Nutzergruppen verstanden werden kann. Hierbei liegt der Fokus auf der Transparenz der Übereinkünfte und es wird weder eine Blockchain noch eine darauf beruhende digitale Währung verwendet. Entsprechend kann das Vertragsmodell der Arbeit als nachvollziehbare Verknüpfung zwischen zwei Parteien verstanden werden, welches die unterschiedlichen Systeme sicher miteinander verbindet und so die Selbstorganisation fördert. Diese Verbindung kann entweder computergestützt automatisch ablaufen, oder auch manuell durchgeführt werden. Im Gegensatz zu Smart Contracts können somit Prozesse Stück für Stück digitalisiert werden. Die Übereinkünfte selbst können zur Kommunikation, aber auch für rechtlich bindende Verträge genutzt werden. Die Arbeit ordnet das neue Konzept in verwandte Strömungen wie Ricardian oder Smart Contracts ein und definiert Ziele für das Protokoll, welche in Form der Referenzimplementierung umgesetzt werden. Sowohl das Protokoll als auch die Implementierung werden im Detail beschrieben und durch eine Erweiterung der Anwendung ergänzt, welche es Nutzenden in Regionen ohne direkte Internetverbindung ermöglicht, an ebenjenen Verträgen teilnehmen zu können. Weiterhin betrachtet die Evaluation die rechtlichen Rahmenbedinungen, die Übertragung des Protokolls auf Smart Contracts und die Performanz der Implementierung.
Amphibians globally suffer from emerging infectious diseases like chytridiomycosis caused by the continuously spreading chytrid fungi. One is Batrachochytrium salamandrivorans (Bsal) and its disease ‒ the ‘salamander plague’ ‒ which is lethal to several caudate taxa. Recently introduced into Western Europe, long distance dispersal of Bsal, likely through human mediation, has been reported. Herein we study if Alpine salamanders (Salamandra atra and S. lanzai) are yet affected by the salamander plague in the wild. Members of the genus Salamandra are highly susceptible to Bsal leading to the lethal disease. Moreover, ecological modelling has shown that the Alps and Dinarides, where Alpine salamanders occur, are generally suitable for Bsal. We analysed skin swabs of 818 individuals of Alpine salamanders and syntopic amphibians at 40 sites between 2017 to 2022. Further, we compiled those with published data from 319 individuals from 13 sites concluding that Bsal infections were not detected. Our results suggest that the salamander plague so far is absent from the geographic ranges of Alpine salamanders. That means that there is still a chance to timely implement surveillance strategies. Among others, we recommend prevention measures, citizen science approaches, and ex situ conservation breeding of endemic salamandrid lineages.
The cumulative and bidirectional groundwater-surface water (GW-SW) interaction along a stream is defined as hydrological turnover (HT) influencing solute transport and source water composition. However, HT proves to be highly variable, producing spatial exchange patterns influenced by local groundwater, geology, and topography. Hence, identifying factors controlling HT poses a challenge. We studied spatiotemporal HT variability at two reaches of a third order tributary of the river Mosel, Germany. Additionally, we sampled for silica concentrations in the stream and in the near-stream groundwater. Thus, creating snapshots of the boundary layer between ground- and surface water where HT occurs, driven by mixing processes in the hyporheic zone. We utilize an enhanced hydrograph separation method, unveiling reach differences in storage drainage based on aquifer dimension and connectivity. The data shows a site-specific negative correlation of HT with discharge, while hydraulic gradients correlate with HT only at the reach with faster catchment drainage behavior. Examining silica concentrations between stream and wells shows that silica variation increases significantly with the decrease of HT under low flow conditions at the slower draining reach. At the fast draining reach this relationship is seasonal. In Summary, our results show that stream discharge shapes the influence of HT on solute transport. Yet, reach drainage behavior shapes seasonal states of groundwater storages and can be an additional control of HT. Hence, concentration change of pollutants could be masked by HT. Thus, our findings contribute to the understanding of HT variability along streams and its ability of influencing physico-chemical stream water composition.
Les conflits sont inévitables. Ils surviennent même au sein d’établissements scolaires empreints d’une culture démocratique. L’instauration d’une culture d’échange constructif sur les questions conflictuelles permet toutefois d’utiliser les litiges comme des opportunités d’apprentissage et de développement personnel et organisationnel.