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Repeatedly encountering a stimulus biases the observer’s affective response and evaluation of the stimuli. Here we provide evidence for a causal link between mere exposure to fictitious news reports and subsequent voting behavior. In four pre-registered online experiments, participants browsed through newspaper webpages and were tacitly exposed to names of fictitious politicians. Exposure predicted voting behavior in a subsequent mock election, with a consistent preference for frequent over infrequent names, except when news items were decidedly negative. Follow-up analyses indicated that mere media presence fuels implicit personality theories regarding a candidate’s vigor in political contexts. News outlets should therefore be mindful to cover political candidates as evenly as possible.
The benefits of prosocial power motivation in leadership: Action orientation fosters a win-win
(2023)
Power motivation is considered a key component of successful leadership. Based on its dualistic nature, the need for power (nPower) can be expressed in a dominant or a prosocial manner. Whereas dominant motivation is associated with antisocial behaviors, prosocial motivation is characterized by more benevolent actions (e.g., helping, guiding). Prosocial enactment of the power motive has been linked to a wide range of beneficial outcomes, yet less has been investigated what determines a prosocial enactment of the power motive. According to Personality Systems Interactions (PSI) theory, action orientation (i.e., the ability to self-regulate affect) promotes prosocial enactment of the implicit power motive and initial findings within student samples verify this assumption. In the present study, we verified the role of action orientation as an antecedent for prosocial power enactment in a leadership sample (N = 383). Additionally, we found that leaders personally benefited from a prosocial enactment strategy. Results show that action orientation through prosocial power motivation leads to reduced power-related anxiety and, in turn, to greater leader well-being. The integration of motivation and self-regulation research reveals why leaders enact their power motive in a certain way and helps to understand how to establish a win-win situation for both followers and leaders.
COVID-19 was a harsh reminder that diseases are an aspect of human existence and mortality. It was also a live experiment in the formation and alteration of disease-related attitudes. Not only are these attitudes relevant to an individual’s self-protective behavior, but they also seem to be associated with social and political attitudes more broadly. One of these attitudes is Social Darwinism, which holds that a pandemic benefits society by enabling nature “to weed out the weak”. In two countries (N = 300, N = 533), we introduce and provide evidence for the reliability, validity, and usefulness of the Disease-Related Social Darwinism (DRSD) Short Scale measuring this concept. Results indicate that DRSD is meaningful related to other central political attitudes like Social Dominance Orientation, Authoritarianism and neoliberalism. Importantly, the scale significantly predicted people’s protective behavior during the Pandemic over and above general social Darwinism. Moreover, it significantly predicted conservative attitudes, even after controlling for Social Dominance Orientation.
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.
Objective: Attunement is a novel measure of nonverbal synchrony reflecting the duration of the present moment shared by two interaction partners. This study examined its association with early change in outpatient psychotherapy.
Methods: Automated video analysis based on motion energy analysis (MEA) and cross-correlation of the movement time-series of patient and therapist was conducted to calculate movement synchrony for N = 161 outpatients. Movement-based attunement was defined as the range of connected time lags with significant synchrony. Latent change classes in the HSCL-11 were identified with growth mixture modeling (GMM) and predicted by pre-treatment covariates and attunement using multilevel multinomial regression.
Results: GMM identified four latent classes: high impairment, no change (Class 1); high impairment, early response (Class 2); moderate impairment (Class 3); and low impairment (Class 4). Class 2 showed the strongest attunement, the largest early response, and the best outcome. Stronger attunement was associated with a higher likelihood of membership in Class 2 (b = 0.313, p = .007), Class 3 (b = 0.251, p = .033), and Class 4 (b = 0.275, p = .043) compared to Class 1. For highly impaired patients, the probability of no early change (Class 1) decreased and the probability of early response (Class 2) increased as a function of attunement.
Conclusions: Among patients with high impairment, stronger patient-therapist attunement was associated with early response, which predicted a better treatment outcome. Video-based assessment of attunement might provide new information for therapists not available from self-report questionnaires and support therapists in their clinical decision-making.
List-method directed forgetting (LMDF) is the demonstration that people can intentionally forget previously studied information when they are asked to forget what they have previously learned and remember new information instead. In addition, recent research demonstrated that people can selectively forget when cued to forget only a subset of the previously studied information. Both forms of forgetting are typically observed in recall tests, in which the to-be-forgotten and to-be-remembered information is tested independent of original cuing. Thereby, both LMDF and selective directed forgetting (SDF) have been studied mostly with unrelated item materials (e.g., word lists). The present study examined whether LMDF and SDF generalize to prose material. Participants learned three prose passages, which they were cued to remember or forget after the study of each passage. At the time of testing, participants were asked to recall the three prose passages regardless of original cuing. The results showed no significant differences in recall of the three lists as a function of cuing condition. The findings suggest that LMDF and SDF do not occur with prose material. Future research is needed to replicate and extend these findings with (other) complex and meaningful materials before drawing firm conclusions. If the null effect proves to be robust, this would have implications regarding the ecological validity and generalizability of current LMDF and SDF findings.
The forward testing effect is an indirect benefit of retrieval practice. It refers to the finding that retrieval practice of previously studied information enhances learning and retention of subsequently studied other information in episodic memory tasks. Here, two experiments were conducted that investigated whether retrieval practice influences participants’ performance in other tasks, i.e., arithmetic tasks. Participants studied three lists of words in anticipation of a final recall test. In the testing condition, participants were immediately tested on lists 1 and 2 after study of each list, whereas in the restudy condition, they restudied lists 1 and 2 after initial study. Before and after study of list 3, participants did an arithmetic task. Finally, participants were tested on list 3, list 2, and list 1. Different arithmetic tasks were used in the two experiments. Participants did a modular arithmetic task in Experiment 1a and a single-digit multiplication task in Experiment 1b. The results of both experiments showed a forward testing effect with interim testing of lists 1 and 2 enhancing list 3 recall in the list 3 recall test, but no effects of recall testing of lists 1 and 2 for participants’ performance in the arithmetic tasks. The findings are discussed with respect to cognitive load theory and current theories of the forward testing effect.
Advances in eye tracking technology have enabled the development of interactive experimental setups to study social attention. Since these setups differ substantially from the eye tracker manufacturer’s test conditions, validation is essential with regard to the quality of gaze data and other factors potentially threatening the validity of this signal. In this study, we evaluated the impact of accuracy and areas of interest (AOIs) size on the classification of simulated gaze (fixation) data. We defined AOIs of different sizes using the Limited-Radius Voronoi-Tessellation (LRVT) method, and simulated gaze data for facial target points with varying accuracy. As hypothesized, we found that accuracy and AOI size had strong effects on gaze classification. In addition, these effects were not independent and differed in falsely classified gaze inside AOIs (Type I errors; false alarms) and falsely classified gaze outside the predefined AOIs (Type II errors; misses). Our results indicate that smaller AOIs generally minimize false classifications as long as accuracy is good enough. For studies with lower accuracy, Type II errors can still be compensated to some extent by using larger AOIs, but at the cost of more probable Type I errors. Proper estimation of accuracy is therefore essential for making informed decisions regarding the size of AOIs in eye tracking research.
The temporal stability of psychological test scores is one prerequisite for their practical usability. This is especially true for intelligence test scores. In educational contexts, high stakes decisions with long-term consequences, such as placement in special education programs, are often based on intelligence test results. There are four different types of temporal stability: mean-level change, individual-level change, differential continuity, and ipsative continuity. We present statistical methods for investigating each type of stability. Where necessary, the methods were adapted for the specific challenges posed by intelligence research (e.g., controlling for general intelligence in lower order test scores). We provide step-by-step guidance for the application of the statistical methods and apply them to a real data set of 114 gifted students tested twice with a test-retest interval of 6 months.
• Four different types of stability need to be investigated for a full picture of temporal stability in psychological research
• Selection and adaption of the methods for the use in intelligence research
• Complete protocol of the implementation
The present study examined associations between fathers’ masculinity orientation and their anticipated reaction toward their child’s coming out as lesbian or gay (LG). Participants were 134 German fathers (28 to 60years) of a minor child. They were asked how they would personally react if, one day, their child disclosed their LG identity to them. As hypothesized, fathers with a stronger masculinity orientation (i.e., adherence to traditional male gender norms, such as independence, assertiveness, and physical strength) reported that they would be more likely to reject their LG child. This association was serially mediated by two factors: fathers’ general anti-LG attitudes (i.e., level of homophobia) and their emotional distress due to their child’s coming out (e.g., feelings of anger, shame, or sadness). The result pattern was independent of the child’s gender or age. The discussion centers on the problematic role of traditional masculinity when it comes to fathers’ acceptance of their non-heterosexual child.
Background: The body-oriented therapeutic approach Somatic Experiencing® (SE) treats posttraumatic symptoms by changing the interoceptive and proprioceptive sensations associated with the traumatic experience. Filling a gap in the landscape of trauma treatments, SE has attracted growing interest in research and therapeutic practice, recently.
Objective: To date, there is no literature review of the effectiveness and key factors of SE. This review aims to summarize initial findings on the effectiveness of SE and to outline methodspecific key factors of SE.
Method: To gain a first overview of the literature, we conducted a scoping review including studies until 13 August 2020. We identified 83 articles of which 16 fit inclusion criteria and were systematically analysed.
Results: Findings provide preliminary evidence for positive effects of SE on PTSD-related symptoms. Moreover, initial evidence suggests that SE has a positive impact on affective and somatic symptoms and measures of well-being in both traumatized and non-traumatized
samples. Practitioners and clients identified resource-orientation and use of touch as methodspecific key factors of SE. Yet, an overall studies quality assessment as well as a Cochrane analysis of risk of bias indicate that the overall study quality is mixed.
Conclusions: The results concerning effectiveness and method-specific key factors of SE are promising; yet, require more support from unbiased RCT-research. Future research should focus on filling this gap.
This intervention study explored the effects of a newly developed intergenerational encounter program on cross-generational age stereotyping (CGAS). Based on a biographical-narrative approach, participants (secondary school students and nursing home residents) were invited to share ideas about existential questions of life (e.g., about one’s core experiences, future plans, and personal values). Therefore, the dyadic Life Story Interview (LSI) had been translated into a group format (the Life Story Encounter Program, LSEP), consisting of 10 90-min sessions. Analyses verified that LSEP participants of both generations showed more favorable CGAS immediately after, but also 3 months after the program end. Such change in CGAS was absent in a control group (no LSEP participation). The LSEP-driven short- and long-term effects on CGAS could be partially explained by two program benefits, the feeling of comfort with and the experience of learning from the other generation.
Food waste is the origin of major social and environmental issues. In industrial societies, domestic households are the biggest contributors to this problem. But why do people waste food although they buy and value it? Answering this question is mandatory to design effective interventions against food waste. So far, however, many interventions have not been based on theoretical knowledge. Integrating food waste literature and ambivalence research, we propose that domestic food waste can be understood via the concept of ambivalence—the simultaneous presence of positive and negative associations towards the same attitude object. In support of this notion, we demonstrated in three pre-registered experiments that people experienced ambivalence towards non-perishable food products with expired best before dates. The experience of ambivalence was in turn associated with an increased willingness to waste food. However, two informational interventions aiming to prevent people from experiencing ambivalence did not work as intended (Experiment 3). We hope that the outlined conceptualization inspires theory-driven research on why and when people dispose of food and on how to design effective interventions.
Background
Identifying pain-related response patterns and understanding functional mechanisms of symptom formation and recovery are important for improving treatment.
Objectives
We aimed to replicate pain-related avoidance-endurance response patterns associated with the Fear-Avoidance Model, and its extension, the Avoidance-Endurance Model, and examined their differences in secondary measures of stress, action control (i.e., dispositional action vs. state orientation), coping, and health.
Methods
Latent profile analysis (LPA) was conducted on self-report data from 536 patients with chronic non-specific low back pain at the beginning of an inpatient rehabilitation program. Measures of stress (i.e., pain, life stress) and action control were analyzed as covariates regarding their influence on the formation of different pain response profiles. Measures of coping and health were examined as dependent variables.
Results
Partially in line with our assumptions, we found three pain response profiles of distress-avoidance, eustress-endurance, and low-endurance responses that are depending on the level of perceived stress and action control. Distress-avoidance responders emerged as the most burdened, dysfunctional patient group concerning measures of stress, action control, maladaptive coping, and health. Eustress-endurance responders showed one of the highest levels of action versus state orientation, as well as the highest levels of adaptive coping and physical activity. Low-endurance responders reported lower levels of stress as well as equal levels of action versus state orientation, maladaptive coping, and health compared to eustress-endurance responders; however, equally low levels of adaptive coping and physical activity compared to distress-avoidance responders.
Conclusions
Apart from the partially supported assumptions of the Fear-Avoidance and Avoidance-Endurance Model, perceived stress and dispositional action versus state orientation may play a crucial role in the formation of pain-related avoidance-endurance response patterns that vary in degree of adaptiveness. Results suggest tailoring interventions based on behavioral and functional analysis of pain responses in order to more effectively improve patients quality of life.
Evaluation of an eye tracking setup for studying visual attention in face-to-face conversations
(2021)
Many eye tracking studies use facial stimuli presented on a display to investigate attentional processing of social stimuli. To introduce a more realistic approach that allows interaction between two real people, we evaluated a new eye tracking setup in three independent studies in terms of data quality, short-term reliability and feasibility. Study 1 measured the robustness, precision and accuracy for calibration stimuli compared to a classical display-based setup. Study 2 used the identical measures with an independent study sample to compare the data quality for a photograph of a face (2D) and the face of the real person (3D). Study 3 evaluated data quality over the course of a real face-to-face conversation and examined the gaze behavior on the facial features of the conversation partner. Study 1 provides evidence that quality indices for the scene-based setup were comparable to those of a classical display-based setup. Average accuracy was better than 0.4° visual angle. Study 2 demonstrates that eye tracking quality is sufficient for 3D stimuli and robust against short interruptions without re-calibration. Study 3 confirms the long-term stability of tracking accuracy during a face-to-face interaction and demonstrates typical gaze patterns for facial features. Thus, the eye tracking setup presented here seems feasible for studying gaze behavior in dyadic face-to-face interactions. Eye tracking data obtained with this setup achieves an accuracy that is sufficient for investigating behavior such as eye contact in social interactions in a range of populations including clinical conditions, such as autism spectrum and social phobia.
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.
Primary focal hyperhidrosis (PFH, OMIM %144110) is a genetically influenced condition characterised by excessive sweating. Prevalence varies between 1.0–6.1% in the general population, dependent on ethnicity. The aetiology of PFH remains unclear but an autosomal dominant mode of inheritance, incomplete penetrance and variable phenotypes have been reported. In our study, nine pedigrees (50 affected, 53 non-affected individuals) were included. Clinical characterisation was performed at the German Hyperhidrosis Centre, Munich, by using physiological and psychological questionnaires. Genome-wide parametric linkage analysis with GeneHunter was performed based on the Illumina genome-wide SNP arrays. Haplotypes were constructed using easyLINKAGE and visualised via HaploPainter. Whole-exome sequencing (WES) with 100x coverage in 31 selected members (24 affected, 7 non-affected) from our pedigrees was achieved by next generation sequencing. We identified four genome-wide significant loci, 1q41-1q42.3, 2p14-2p13.3, 2q21.2-2q23.3 and 15q26.3-15q26.3 for PFH. Three pedigrees map to a shared locus at 2q21.2-2q23.3, with a genome-wide significant LOD score of 3.45. The chromosomal region identified here overlaps with a locus at chromosome 2q22.1-2q31.1 reported previously. Three families support 1q41-1q42.3 (LOD = 3.69), two families share a region identical by descent at 2p14-2p13.3 (LOD = 3.15) and another two families at 15q26.3 (LOD = 3.01). Thus, our results point to considerable genetic heterogeneity. WES did not reveal any causative variants, suggesting that variants or mutations located outside the coding regions might be involved in the molecular pathogenesis of PFH. We suggest a strategy based on whole-genome or targeted next generation sequencing to identify causative genes or variants for PFH.
A lack of ability to inhibit prepotent responses, or more generally a lack of impulse control, is associated with several disorders such as attention-deficit/hyperactivity disorder and schizophrenia as well as general damage to the prefrontal cortex. A stop-signal task (SST) is a reliable and established measure of response inhibition. However, using the SST as an objective assessment in diagnostic or research-focused settings places significant stress on participants as the task itself requires concentration and cognitive effort and is not particularly engaging. This can lead to decreased motivation to follow task instructions and poor data quality, which can affect assessment efficacy and might increase drop-out rates. Gamification—the application of game-based elements in nongame settings—has shown to improve engaged attention to a cognitive task, thus increasing participant motivation and data quality.
Ability self-concept (SC) and self-efficacy (SE) are central competence-related self-perceptions that affect students’ success in educational settings. Both constructs show conceptual differences but their empirical differentiation in higher education has not been sufficiently demonstrated. In the present study, we investigated the empirical differentiation of SC and SE in higher education with N = 1,243 German psychology students (81% female; age M = 23.62 years), taking into account central methodological requirements that, in part, have been neglected in prior studies. SC and SE were assessed at the same level of specificity, only cognitive SC items were used, and multiple academic domains were considered. We modeled the structure of SC and SE taking into account a multidimensional and/or hierarchical structure and investigated the empirical differentiation of both constructs on different levels of generality (i.e., domain-specific and domain-general). Results supported the empirical differentiation of SC and SE with medium-sized positive latent correlations (range r = .57 - .68) between SC and SE on different levels of generality. The knowledge about the internal structure of students’ SC and SE and the differentiation of both constructs can help us to develop construct-specific and domain-specific intervention strategies. Future empirical comparisons of the predictive power of SC and SE can provide further evidence that both represent empirical different constructs.
This study investigated correlative, factorial, and structural relationships between scores for ability emotional intelligence in the workplace (measured with the Geneva Emotional Competence Test), as well as fluid and crystallized abilities (measured with the Intelligence Structure Battery), carried out by a 188-participant student sample. Confirming existing research, recognition, understanding, and management of emotions were related primarily to crystallized ability tests measuring general knowledge, verbal fluency, and knowledge of word meaning. Meanwhile, emotion regulation was the least correlated with any other cognitive or emotional ability. In line with research on the trainability of emotional intelligence, these results may support the notion that emotional abilities are subject to acquired knowledge, where situational (i.e., workplace-specific) emotional intelligence may depend on accumulating relevant experiences.
Chronische primäre Schmerzen im Kindes- und Jugendalter sind weit verbreitet. Das Risiko für die Chronifizierung von kindlichen Schmerzen erhöht sich, wenn die Eltern selbst unter chronischen Schmerzen leiden. Elterliche kognitiv-affektive und verhaltensbezogene Reaktionen auf die kindlichen Schmerzen spielen eine zentrale Rolle in der Chronifizierung und familialen Transmission der Schmerzen. Welche spezifischen Faktoren die elterlichen Reaktionen auf die kindlichen Schmerzen modulieren, ist bis dato allerdings unklar. Ziel der vorliegenden Dissertation ist daher die Analyse des elterlichen schmerzbezogenen Verhaltens (maladaptive Reaktionen wie Katastrophisieren und Zuwendung) hinsichtlich möglicher modulierender Faktoren sowohl auf Eltern- (top-down-Variablen) als auch auf Kindebene (bottom-up-Variablen). Dafür wurden differenzierende Stichproben generiert und mit Hilfe von validierten Fragebögen befragt. In Studie 1 wurde eine Stichprobe von N = 105 schmerzfreien Elternteilen aus der Allgemeinbevölkerung und N = 80 Elternteilen aus der Allgemeinbevölkerung mit selbstberichteten chronischen Schmerzen erhoben. Die Stichprobe von Studie 2 umfasste N = 118 Elternteile mit chronischen Schmerzen, Angstsymptomen oder beidem sowie deren N = 190 Kinder, in Studie 3 wurden N = 63 Mütter, Väter und Kinder (Eltern-Kind-Triaden mit jeweils N = 21 Müttern, Vätern und Kindern mit der Diagnose einer chronischen Schmerzstörung) befragt. Nach der Überprüfung der Einsetzbarkeit der zentralen Erhebungsinstrumente auch in nicht-klinischen Samples wurden in Studie 1 die Reaktionen von schmerzfreien Eltern und Eltern mit selbstberichteten chronischen Schmerzen auf die Schmerzen ihrer Kinder mit anderen Stichproben sowie untereinander verglichen. Die Analyse der Einflüsse von top-down- und bottom-up-Variablen (elterliche und kindliche Schmerz- und Angstsymptomatik, elterliche und kindliche Somatisierung bzw. schmerzbezogene Beeinträchtigung sowie Alter und Geschlecht von Eltern und Kindern) auf die elterlichen
maladaptiven Reaktionen wurde in Studie 2 und Studie 3 mit Hilfe von hierarchisch linearen Modellen durchgeführt. Die Ergebnisse zeigen, dass Eltern von Kindern mit chronischen
Schmerzen grundsätzlich stärker katastrophisierten als Eltern von gesunden Kindern. Außerdem zeigte sich, dass insbesondere top-down-Variablen wie elterliche Angst das Katastrophisieren und die Zuwendung der Eltern verstärken. Bottom-up-Variablen erwiesen sich ausschließlich in der Interaktion von kindlicher Schmerz- und Angstsymptomatik als verstärkender Faktor für die Katastrophisierungsneigung der Eltern. Demnach scheinen zentrale modulierende Faktoren für kognitiv-affektive und verhaltensbezogene elterliche Reaktionen im Kontext der Chronifizierung von kindlichen chronischen Schmerzen vor allem top-down-Variabeln wie die elterliche Katastrophisierungsneigung und Angstsymptomatik zu sein. Als potentielle Risikogruppen für die Entwicklung von chronischen Schmerzen lassen sich so neben Kindern von Eltern mit eigenen chronischen Schmerzen auch Kinder von Eltern mit Angststörungen und erhöhter Katastrophisierungsneigung benennen. Daher sollte die Elternrolle in Therapien von Erwachsenen eine ausreichende Berücksichtigung finden, um eine Reduktion der maladaptiven Reaktionen auf die Kinder zu erreichen und so einer Entwicklung von chronischen Schmerzen vorzubeugen. Auch die psychoedukative Einbindung der Eltern in die kindliche Schmerztherapie erscheint aufgrund der vorliegenden Ergebnisse unabdingbar, vor allem wenn die Kinder neben den chronischen Schmerzen auch unter komorbiden psychischen Störungen wie beispielsweise Angststörungen leiden.
Vor dem Hintergrund eines fachlichen und gesellschaftlichen Interesses an psychologischen Forschungsthemen wurde der Einsatz von Topic Modeling zu deren automatisierten und validen Identifikation erprobt und mit einem traditionellen Ansatz verglichen, der auf Klassifikationskategorien von Fachdatenbanken beruht. Kern der Arbeit sind drei Studien mit unterschiedlichen Anwendungsszenarien: (1) Die Ermittlung psychologischer Brennpunktthemen, (2) das Verhältnis zwischen gesellschaftlichen Herausforderungen und Themen der psychologischen Fachliteratur sowie (3) die Forschungsinteressen von Psychologinnen und Psychologen. In jeder dieser Studien wurden sukzessive neue methodische Schwerpunkte gesetzt. Die Erkenntnisse daraus flossen in die Entwicklung einer nutzerfreundlichen App zur Exploration und Analyse von psychologischen Forschungsthemen ein. Im Vergleich mit dem klassifikationsbasierten Ansatz erwies sich Topic Modeling als Methode der Wahl zur automatisierten und differenzierten Identifikation psychologischer Forschungsthemen. Zur externen Validierung der Themeninhalte stellte sich ein Klassifikationssystem für psychologische Fachliteratur jedoch als geeignet heraus. Einschränkungen, Implikationen für weitere Forschung sowie Folgerungen für die Weiterentwicklung digitaler Produkte von forschungsbasierten Infrastruktureinrichtungen in der Psychologie werden diskutiert. Abschließend wird eine Entscheidungsheuristik zur Auswahl geeigneter Topic-Modeling-Varianten im Kontext von Forschungsthemen vorgelegt.
Salivary alpha-amylase (sAA) influences the perception of taste and texture, features both relevant in acquiring food liking and, with time, food preference. However, no studies have yet investigated the relationship between basal activity levels of sAA and food preference. We collected saliva from 57 volunteers (63% women) who we assessed in terms of their preference for different food items. These items were grouped into four categories according to their nutritional properties: high in starch, high in sugar, high glycaemic index, and high glycaemic load. Anthropometric markers of cardiovascular risk were also calculated. Our findings suggest that sAA influences food
preference and body composition in women. Regression analysis showed that basal sAA activity is inversely associated with subjective but not self-reported behavioural preference for foods high in sugar. Additionally, sAA and subjective preference are associated with anthropometric markers of cardiovascular risk. We believe that this pilot study points to this enzyme as an interesting candidate to consider among the physiological factors that modulate eating behaviour.
Acute social and physical stress interact to influence social behavior: the role of social anxiety
(2018)
Stress is proven to have detrimental effects on physical and mental health. Due to different tasks and study designs, the direct consequences of acute stress have been found to be wide-reaching: while some studies report prosocial effects, others report increases in antisocial behavior, still others report no effect. To control for specific effects of different stressors and to consider the role of social anxiety in stress-related social behavior, we investigated the effects of social versus physical stress on behavior in male participants possessing different levels of social anxiety. In a randomized, controlled two by two design we investigated the impact of social and physical stress on behavior in healthy young men. We found significant influences on various subjective increases in stress by physical and social stress, but no interaction effect. Cortisol was significantly increased by physical stress, and the heart rate was modulated by physical and social stress as well as their combination. Social anxiety modulated the subjective stress response but not the cortisol or heart rate response. With respect to behavior, our results show that social and physical stress interacted to modulate trust, trustworthiness, and sharing. While social stress and physical stress alone reduced prosocial behavior, a combination of the two stressor modalities could restore prosociality. Social stress alone reduced nonsocial risk behavior regardless of physical stress. Social anxiety was associated with higher subjective stress responses and higher levels of trust. As a consequence, future studies will need to investigate further various stressors and clarify their effects on social behavior in health and social anxiety disorders.
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.
Theoretischer Hintergrund: Essstörungen sind schwere psychische Störungen, welche aufgrund ihrer Komplexität, der hohen Mortalitätsrate sowie häufiger Chronifizierungen zu den Herausforderungen für Therapie und Forschung zählen. Die Herzratenvariabilität, als Indikator autonomer Regulation, scheint insbesondere bei Anorexie-Patientinnen zu Gunsten einer höheren parasympathischen Aktivität verschoben. Dieser Befund lässt sich anhand des Model Of Neurovisceral Integration erklären: Gemäß dieses Modells stellt eine erhöhte Herzratenvariabilität einen Hinweis für erfolgreiche Selbstregulation dar. Letztere scheint für restriktives Essverhalten essentiell, während sie bei impulsiven Verhaltensweisen wie Essanfälle und Erb-rechen reduziert sein sollte. Die bisherige Studienlage zur Herzratenvariabilität bei Essstörungen ist aufgrund der begrenzten Anzahl der Studien, der geringen Stichprobengrößen und Nicht- Berücksichtigung sinnvoller Drittvariablen jedoch noch inkonsistent und oftmals widersprüchlich. Neben der physiologischen Komponente werden in der Essstörungssymptomatik Veränderungen im kognitiven und emotionalen Erleben beschrieben. Zur Untersuchung beider Konstrukte erweisen sich Methoden des Ecological Momentary Assessment als aufschlussreich, da hierbei das Verhalten im Alltag der Patienten erhoben wird. Die bisherige Literatur zeigte bislang eine gute Anwendbarkeit der Methodik bei Essstörungspatienten, wobei die Anzahl der Studien gering ist. So fehlen bislang Studien, welche Emotionen und Kognitionen in Bezug zu Mahlzeiten und Sättigungsempfindungen setzen, obgleich solche Zusammenhänge in der kognitiven Verhaltenstherapie als zentral angesehen werden. Methode: Zu Beginn einer stationären psychosomatischen Behandlung wurden bei N=51 Probandinnen (Anorexia Nervosa: 19, Bulimia Nervosa: 15, gesunde Kontrollgruppe: 17) zeit- und frequenzanalytische Parameter der Herzratenvariabilität unter Berücksichtigung des Alters und des BMI in einer standardisierten fünfminütigen Laboruntersuchung untersucht. Am selben Tag fand außerdem eine stündliche Erhebung von Essverhalten, essstörungsspezifischen Kognitionen und negativen Emotionen mittels Smartphone statt. Am Ende der Behandlung wurde die Untersuchung wiederholt. Allgemein lineare Modelle wurden ebenso wie Mehrebenenmodelle zur statistischen Überprüfung der Hypothesen eingesetzt. Ergebnisse: Anorexie-Patientinnen zeigten tendenziell eine höhere parasympathische Aktivität als gesunde Probandinnen. Im Vergleich zu den beiden anderen Gruppen wiesen Bulimie-Patientinnen die niedrigste HRV auf. Antidepressiva führten zu einer Verringerung der HRV, genauso wie bei Anorexie-Patientinnen die Krankheitsdauer. Zusammenhänge mit erlebten Essanfällen konnten nicht festgestellt werden. Im Therapieverlauf zeigte sich, dass sich bei Anorexie-Patientinnen die HRV nach erfolgreicher Gewichtszunahme signifikant verringerte. Des Weiteren zeigten Essstörungspatientinnen höhere Ausprägungen in essstörungsspezifischen Kognitionen und negativen Emotionen während des Messtages. Mahlzeiten führten zu einer Verschlechterung der Stimmung, insbesondere bei restriktiven Anorexie-Patientinnen. Das Sättigungsempfinden einer Mahlzeit hatte einen signifikanten Einfluss auf die Bewertung dieser bei der klinischen Stichprobe, nicht jedoch bei gesunden Probandinnen. Am Ende der psychosomatischen Behandlung zeigte sich eine deutliche Verbesserung der essstörungsspezifischen Kognitionen und Mahlzeit-Bewertungen. Mahlzeiten hatten überdies einen geringeren Einfluss auf die Stimmung als zu Behandlungsbeginn. Diskussion: Die Auffälligkeiten im psychischen und physiologischen Bereich bei Essstörungspatientinnen sind Ausdruck eines vielschichtigen Krankheitsbildes, welches jedoch durch intensive Therapieangebote veränderbar ist. Das Hinzuziehen sinnvoller Drittvariablen erscheint bei Untersuchungen zur Herzratenvariabilität bei Essstörungspatienten essentiell. Darüber hin-aus zeigt die vorliegende Studie erstmals Zusammenhänge zwischen Mahlzeiten, Sättigungsempfinden und Essstörungssymptomatik mittels Ecological Momentary Assessment. Diese Methodik bietet einen inkrementellen Nutzen in der Erhebung verhaltensnaher Therapieerfolge. Resultierende Therapieansätze und Implikationen der Studie werden aufgezeigt.
Fostering positive and realistic self-concepts of individuals is a major goal in education worldwide (Trautwein & Möller, 2016). Individuals spend most of their childhood and adolescence in school. Thus, schools are important contexts for individuals to develop positive self-perceptions such as self-concepts. In order to enhance positive self-concepts in educational settings and in general, it is indispensable to have a comprehensive knowledge about the development and structure of self-concepts and their determinants. To date, extensive empirical and theoretical work on antecedents and change processes of self-concept has been conducted. However, several research gaps still exist, and several of these are the focus of the present dissertation. Specifically, these research gaps encompass (a) the development of multiple self-concepts from multiple perspectives regarding stability and change, (b) the direction of longitudinal interplay between self-concept facets over the entire time period from childhood to late adolescence, and (c) the evidence that a recently developed structural model of academic self-concept (nested Marsh/Shavelson model [Brunner et al., 2010]) fits the data in elementary school students, (d) the investigation of structural changes in academic self-concept profile formation within this model, (e) the investigation of dimensional comparison processes as determinants of academic self-concept profile formation in elementary school students within the internal/external frame of reference model (I/E model; Marsh, 1986), (f) the test of moderating variables for dimensional comparison processes in elementary school, (g) the test of the key assumptions of the I/E model that effects of dimensional comparisons depend to a large degree on the existence of achievement differences between subjects, and (h) the generalizability of the findings regarding the I/E model over different statistical analytic methods. Thus, the aim of the present dissertation is to contribute to close these gaps with three studies. Thereby, data from German students enrolled in elementary school to secondary school education were gathered in three projects comprising the developmental time span from childhood to adolescence (ages 6 to 20). Three vital self-concept areas in childhood and adolescence were in-vestigated: general self-concept (i.e., self-esteem), academic self-concepts (general, math, reading, writing, native language), and social self-concepts (of acceptance and assertion). In all studies, data were analyzed within a latent variable framework. Findings are discussed with respect to the research aims of acquiring more comprehensive knowledge on the structure and development of significant self-concept in childhood and adolescence and their determinants. In addition, theoretical and practical implications derived from the findings of the present studies are outlined. Strengths and limitations of the present dissertation are discussed. Finally, an outlook for future research on self-concepts is given.
Die folgende Arbeit thematisiert die Konzeptualisierung des psychischen Phänomens der Internalisierten Homonegativität (IH; Shidlo, 1994). Dieses bezeichnet die Verinnerlichung negativer Einstellungen und Verhaltensweisen gegenüber Homosexualität seitens einer gleichgeschlechtlich orientierten Person, wobei die Konstrukte von Heteronormativität und Homonegativität als Grundlage der Introjektion anzusehen sind. Bereits bestehende, in Art und Anzahl ihrer Dimensionen divergierende Begriffsbestimmungen werden zu einer neuen Arbeitsdefinition integriert. In diesem Sinne wird das Konstrukt der IH durch die Faktoren Internalisierter Homonegativität und Internalisierter Homopositivität mit je einer selbstbezogenen und globalen Subkomponente definiert. Ihre Antezedenzien und Konsequenzen, im Sinne psychischen Leidens oder stressbezogenen Selbstwachstums werden unter Einbezug ihrer Korrelate im Rahmen des Minoritätenstress-Modells (Meyer, 1995) reflektiert. Auch werden bereits existierende explizite und implizite diagnostische Messinstrumente zur Erfassung von IH bezüglich ihrer psychometrischen Qualität analysiert sowie konzeptuelle Ideen eines solchen für den deutschsprachigen Raum aufgezeigt.
Background and rationale: Changing working conditions demand adaptation, resulting in higher stress levels in employees. In consequence, decreased productivity, increasing rates of sick leave, and cases of early retirement result in higher direct, indirect, and intangible costs. Aims of the Research Project: The aim of the study was to test the usefulness of a novel translational diagnostic tool, Neuropattern, for early detection, prevention, and personalized treatment of stress-related disorders. The trial was designed as a pilot study with a wait list control group. Materials and Methods: In this study, 70 employees of the Forestry Department Rhineland-Palatinate, Germany, were enrolled. Subjects were block-randomized according to the functional group of their career field, and either underwent Neuropattern diagnostics immediately, or after a waiting period of three months. After the diagnostic assessment, their physicians received the Neuropattern Medical Report, including the diagnostic results and treatment recommendations. Participants were informed by the Neuropattern Patient Report, and were eligible to an individualized Neuropattern Online Counseling account. Results: The application of Neuropattern diagnostics significantly improved mental health and health-related behavior, reduced perceived stress, emotional exhaustion, overcommitment and possibly, presenteeism. Additionally, Neuropattern sensitively detected functional changes in stress physiology at an early stage, thus allowing timely personalized interventions to prevent and treat stress pathology. Conclusion: The present study encouraged the application of Neuropattern diagnostics to early intervention in non-clinical populations. However, further research is required to determine the best operating conditions.
Die patienten-fokussierte Psychotherapieforschung hat das Ziel, den Erfolg von Psychotherapie durch die kontinuierliche Messung und Rückmeldung von Prozessvariablen zu verbessern. Es konnte bereits gezeigt werden, dass nicht nur Patienten-spezifische Charakterisitika, wie die Symptomreduktion, sondern auch dyadische Merkmale, wie die therapeutische Beziehung, indikativ sind. Ein vielversprechender neuer Ansatz bzgl. der Messung dyadischer Charakteristika ist nonverbale Synchronie, die definiert ist als Bewegungskoordination zwischen Interaktionspartnern. Nonverbale Synchronie kann inzwischen objektiv und automatisch in Therapievidoes gemessen werden, was die Methodik frei von Biases wie selektiver Wahrnehmung oder sozialer Erwünschtheit macht. Frühe Studien aus der Sozial- und Entwicklungspsychologie konnten Zusammenhänge mit sozialer Bindung und Sympathie finden. Erste Studien aus der Psychotherapieforschung weisen auf Zusammenhänge zwischen nonverbaler Synchronie und der Therapiebeziehung sowie dem Therapieerfolg hin und geben erste Hinweise darauf, dass nonverbale Synchronie eine zusätzliche Informationsquelle für dyadische Aspekte sein kann, mit der man zukünftig frühzeitig Therapieerfolge vorhersagen könnte. Die vorliegende Arbeit beinhaltet drei Studien zu nonverbaler Synchronie in der ambulanten Psychotherapie und Zusammenhängen mit therapeutischen Prozessen. In Studie 1 wurde nonverbale Synchronie in einer diagnose-heterogenen Stichprobe von N=143 Patienten zu Therapiebeginn gemessen. Mittels Mehrebenenanalysen konnte die Validität der Messmethodik bestätigt werden. Des weiteren wurden Zusammenhänge mit bestimmten Artes des Therapieerfolgs gefunden: Patienten, die unverändert die Therapie abbrachen zeigten das niedrigste Level an Synchronie, während Patienten, die unverändert die Therapie zu Ende führten das höchste Level hatte und Patienten mit einer reliablen Symptomreduktion ein mittleres Level an nonverbaler Synchrony aufwiesen (auch unter Kontrolle der Therapiebeziehung). In Studie 2 wurden nonverbale Synchronie und die Bewegungsmenge zu Therapiebeginn und zum Therapieende erfasst und in zwei Stichproben von Patienten mit Depression (N=68) und Patienten mit Angststörungen (N=25) verglichen. Mehrebenenanalysen zeigten weniger Bewegungsmenge und Synchronie bei Dyaden mit depressiven Patienten, wobei sich beide Gruppen zum Therapieende nicht mehr in der nonverbalen Synchronie unterschieden. In Studie 3 wurde nonverbale Synchronie in einer Stichprobe von N=111 Patienten mit Sozialer Phobie zu vier Zeitpunkten im Therapieverlauf gemessen (N=346 Videos). Mehrebenenanalysen zeigten einen kontinuierlich sinkenden Verlauf der Synchronie und einen Moderationseffekt auf den Zusammenhang zwischen frühen Verbesserungen und dem Therapieerfolg.
There are large health, societal, and economic costs associated with attrition from psychological services. The recently emerged, innovative statistical tool of complex network analysis was used in the present proof-of-concept study to improve the prediction of attrition. Fifty-eight patients undergoing psychological treatment for mood or anxiety disorders were assessed using Ecological Momentary Assessments four times a day for two weeks before treatment (3,248 measurements). Multilevel vector autoregressive models were employed to compute dynamic symptom networks. Intake variables and network parameters (centrality measures) were used as predictors for dropout using machine-learning algorithms. Networks for patients differed significantly between completers and dropouts. Among intake variables, initial impairment and sex predicted dropout explaining 6% of the variance. The network analysis identified four additional predictors: Expected force of being excited, outstrength of experiencing social support, betweenness of feeling nervous, and instrength of being active. The final model with the two intake and four network variables explained 32% of variance in dropout and identified 47 out of 58 patients correctly. The findings indicate that patients" dynamic network structures may improve the prediction of dropout. When implemented in routine care, such prediction models could identify patients at risk for attrition and inform personalized treatment recommendations.
At any given moment, our senses are assaulted with a flood of information from the environment around us. We need to pick our way through all this information in order to be able to effectively respond to that what is relevant to us. In most cases we are usually able to select information relevant to our intentions from what is not relevant. However, what happens to the information that is not relevant to us? Is this irrelevant information completely ignored so that it does not affect our actions? The literature suggests that even though we mayrnignore an irrelevant stimulus, it may still interfere with our actions. One of the ways in which irrelevant stimuli can affect actions is by retrieving a response with which it was associated. An irrelevant stimulus that is presented in close temporal contiguity with a relevant stimulus can be associated with the response made to the relevant stimulus " an observation termed distractor-response binding (Rothermund, Wentura, & De Houwer, 2005). The studies presented in this work take a closer look at such distractor-response bindings, and therncircumstances in which they occur. Specifically, the study reported in chapter 6 examined whether only an exact repetition of the distractor can retrieve the response with which it was associated, or whether even similar distractors may cause retrieval. The results suggested that even repeating a similar distractor caused retrieval, albeit less than an exact repetition. In chapter 7, the existence of bindings between a distractor and a response were tested beyond arnperceptual level, to see whether they exist at an (abstract) conceptual level. Similar to perceptual repetition, distractor-based retrieval of the response was observed for the repetition of concepts. The study reported in chapter 8 of this work examined the influence of attention on the feature-response binding of irrelevant features. The results pointed towards a stronger binding effects when attention was directed towards the irrelevant feature compared to whenrnit was not. The study in chapter 9 presented here looked at the processes underlying distractor-based retrieval and distractor inhibition. The data suggest that motor processes underlie distractor-based retrieval and cognitive process underlie distractor inhibition. Finally, the findings of all four studies are also discussed in the context of learning.
Educational researchers have intensively investigated students" academic self-concept (ASC) and self-efficacy (SE). Both constructs are part of the competence-related self-perceptions of students and are considered to support students" academic success and their career development in a positive manner (e.g., Abele-Brehm & Stief, 2004; Richardson, Abraham, & Bond, 2012; Schneider & Preckel, 2017). However, there is a lack of basic research on ASC and SE in higher education in general, and in undergraduate psychology courses in particular. Therefore, according to the within-network and between-network approaches of construct validation (Byrne, 1984), the present dissertation comprises three empirical studies examining the structure (research question 1), measurement (research question 2), correlates (research question 3), and differentiation (research question 4) of ASC and SE in a total sample of N = 1243 psychology students. Concerning research question 1, results of confirmatory factor analysis (CFAs) implied that students" ASC and SE are domain-specific in the sense of multidimensionality, but they are also hierarchically structured, with a general factor at the apex according to the nested Marsh/Shavelson model (NMS model, Brunner et al., 2010). Additionally, psychology students" SE to master specific psychological tasks in different areas of psychological application could be described by a 2-dimensional model with six factors according to the Multitrait-Multimethod (MTMM)-approach (Campbell & Fiske, 1959). With regard to research question 2, results revealed that the internal structure of ASC and SE could be validly assessed. However, the assessment of psychology students" SE should follow a task-specific measurement strategy. Results of research question 3 further showed that both constructs of psychology students" competence-related self-perceptions were positively correlated to achievement in undergraduate psychology courses if predictor (ASC, SE) corresponded to measurement specificity of the criterion (achievement). Overall, ASC provided substantially stronger relations to achievement compared to SE. Moreover, there was evidence for negative paths (contrast effects) from achievement in one psychological domain on ASC of another psychological domain as postulated by the internal/external frame of reference (I/E) model (Marsh, 1986). Finally, building on research questions 1 to 3 (structure, measurement, and correlates of ASC and SE), psychology students" ASC and SE were be differentiated on an empirical level (research question 4). Implications for future research practices are discussed. Furthermore, practical implications for enhancing ASC and SE in higher education are proposed to support academic achievement and the career development of psychology students.
The search for relevant determinants of knowledge acquisition has a long tradition in educational research, with systematic analyses having started over a century ago. To date, a variety of relevant environmental and learner-related characteristics have been identified, providing a wide body of empirical evidence. However, there are still some gaps in the literature, which are highlighted in the current dissertation. The dissertation includes two meta-analyses summarizing the evidence on the effectiveness of electrical brain stimulation and the effects of prior knowledge on later learning outcomes and one empirical study employing latent profile transition analysis to investigate the changes in conceptual knowledge over time. The results from the three studies demonstrate how learning outcomes can be advanced by input from the environment and that they are highly related to the students" level of prior knowledge. It is concluded that the effects of environmental and learner-related variables impact both the biological and cognitive processes underlying knowledge acquisition. Based on the findings from the three studies, methodological and practical implications are provided, followed by an outline of four recommendations for future research on knowledge acquisition.
Erschöpfung ist ein prominentes, unspezifisches Symptom mit vielfältigen Begleitsymptomen (z. B. Schmerzen, Schlafstörungen, Reizbarkeit, Niedergeschlagenheit). Gängige Konzepte erschöpfungsbezogener Erkrankungen und Syndrome werden häufig in Bezug auf ihre Differenzierungskraft oder Struktur kritisiert. Die Ursachen für die Entstehung von Erschöpfung sind vielfältig und die Behandlung kann nur mit gründlicher Differentialdiagnostik erfolgen. Anhand adaptionsbezogener Stressmodelle kann die Entstehung von Erschöpfung beschrieben und in drei Formen eingeteilt werden (I: reversibel, II: prädispositioniert und III: emotional-dysregulativ). Poststress-Symptome (z. B. "Wochenend-Migräne", "UrlaubsInfekte") stellen möglicherweise eine Erschöpfungsform dar, welche durch eine zentrale Entleerung der Noradrenalin-Spiegel bedingt ist. In der vorliegenden Arbeit wurden die Verlässlichkeit der Neuropattern-Erschöpfungsskala, sowie der Zusammenhang von Erschöpfung, Stress, dem Langzeit-Gesundheitsstatus und Poststress-Symptomen geprüft. Hierzu wurden Daten ambulanter und stationärer Patienten und Mitarbeitern verwendet, die an einer randomisierten klinischen Studie zur Neuropattern-Diagnostik teilnahmen. Zusätzlich wurden Daten von gesunden Personen zur Erhebung einer Normstichprobe verwendet. Die Neuropattern-Erschöpfungsskala zeigte sich als reliables und valides Maß. Sie war Indikator für direkte, indirekte und intangible Gesundheitskosten (z. B. erhöhte Arzt-, Therapeutenbesuche, Medikamenteneinnahme und Arbeitsunfähigkeit, reduziertes psychisches und physisches Wohlbefinden). Es zeigte sich, dass sowohl Stress, als auch Erschöpfung den Gesundheitszustand über den Verlauf von zwölf Monaten vorhersagt. Bemerkenswert ist, dass der Zusammenhang zwischen Stress und dem Langzeit-Gesundheitszustand vornehmlich durch Erschöpfung vermittelt wurde. Schließlich wurde die Prävalenz von Poststress-Symptomen bei gesunden Personen (2.9%), ambulanten (20%) und stationären Patienten (34,7%) bestimmt. Auch hier war nicht Stress der stärkste Prädiktor für das Auftreten von Poststress-Symptomen, sondern Erschöpfung. Modelle der psychophysiologischen Stressreaktion können die Entstehung von Erschöpfung erklären und die Diagnostik und Behandlung stressbezogener Gesundheitsstörungen verbessern. Die vorgestellte Neuropattern-Erschöpfungsskala ist dabei ein verlässliches und für die Praxis gut geeignetes Instrument, welches zur Indikation und Validierung präventiver und therapeutischer Maßnahmen eingesetzt werden kann. Je nach Erschöpfungsform bieten sich verschiedene Maßnahmen des regenerativen, instrumentellen oder kognitiven Stressmanagements, Nahrungsergänzungsmittel und Pharmakotherapie an.
Pränatal, postnatal und aktuell auftretende chronische Stressbelastung sind bedeutsame Risikofaktoren für mentale und körperliche Beeinträchtigungen im Erwachsenenalter. Ziel dieser Dissertationsschrift ist es, den Einfluss von Stress im Lebenslauf (pränatale, postnatale, aktuelle Stressbelastung) auf verschiedene Erschöpfungsvariablen und Depressivität zu analysieren und mögliche Mediatoreffekte von aktuell auftretendem Stress auf Assoziationen zwischen pränatalem bzw. postnatalem Stress und Erschöpfung bzw. Depressivität zu bestimmen. Zur Prüfung dieser Fragestellung wurden Daten von chronisch gestressten Lehrpersonen (N = 186; 67,70% weiblich) ohne Diagnose für eine psychische Erkrankung sowie von Hausarzt- (N = 473; 59% weiblich) und Klinikpatienten (N = 284; 63,7% weiblich) mit mindestens einer stressbezogenen mentalen Gesundheitsstörung erhoben. Prä-postnataler Stress, subjektive Erschöpfung und Depressivität wurden in allen Stichproben erfasst, aktuelle Stressbelastung und Poststresssymptome in den Patientenstichproben. Zusätzlich wurden konzeptuelle Endophänotypen als psychobiologisches Erschöpfungsmaß in beiden Patientenstichproben sowie Übernachtaktivität des parasympathischen Nervensystems als Maß vagaler Erholung in der Hausarztstichprobe operationalisiert. Bei den Lehrpersonen wurde anhand univariater Varianzanalysen analysiert, ob Lehrkräfte mit frühkindlicher Belastung unterschiedliche Erschöpfungs- bzw. Depressionswerte aufwiesen im Vergleich zu Lehrkräften ohne frühkindliche Belastung. In den Patientenstichproben wurden multiple und binärlogistische Regressionsmodelle verwendet, um Assoziationen zwischen pränatalem, postnatalem sowie aktuellem Stress mit Erschöpfung, Depressivität, den konzeptuellen Endophänotypen der Neuropattern-Diagnostik sowie Übernachtaktivität des parasympathischen Nervensystems (nur bei Hausarztpatienten) zu prüfen. Mögliche Mediatoreffekte aktueller Stressbelastung auf Assoziationen zwischen pränatalem und postnatalem Stress mit Erschöpfung, Depressivität, der konzeptuellen Endophänotypen bzw. der Übernachtaktivität des parasympathischen Nervensystems (nur bei Hausarztpatienten) wurden bestimmt. Ad hoc wurde mittels zusätzlich ein möglicher Moderatoreffekt von pränatalem Stress auf die Assoziation zwischen aktuellem Stress und der Übernachtherzrate getestet. Pränataler Stress war bei sonst gesunden Lehrkräften mit einer stärker ausgeprägten Gratifikationskrise und höherer emotionaler Erschöpfung assoziiert. Postnataler Stress ging mit höheren Werten für Depressivität, Anstrengungs-Belohnungs-Ungleichgewicht, der MBI Gesamtskala, emotionaler Erschöpfung und vitaler Erschöpfung einher. Sowohl bei Hausarzt- als auch bei Klinikpatienten waren aktuelle psychosoziale Belastung und aktuelle Beeinträchtigung durch Lebensereignisse mit Depressivität, Erschöpfung und Poststress assoziiert. Bei Hausarztpatienten sagte aktuelle Stressbelastung eine erhöhte Odds Ratio der Noradrenalin-Hypoaktivität sowie Serotonin-Hyperreaktivität vorher; bei Klinikpatienten für Noradrenalin-Hypoaktivität. Des Weiteren zeigten Hausarztpatienten mit starker psychosozialer Belastung erhöhte parasympathische Aktivität über Nacht. Bei Hausarztpatienten ist hoher pränataler Stress assoziiert mit wahrgenommener psychosozialer Belastung, aktuellen Lebensereignissen und Poststresssymptomen. Pränataler Stress ging mit einer verringerten vagalen Aktivität einher. Weiter ist postnataler Stress assoziiert mit Depressivität, wahrgenommener psychosozialer Belastung, aktuellen Lebensereignissen, Erschöpfung und Poststresssymptomen sowie einem erhöhten Odds Ratio für die Noradrenalin-Hypoaktivität sowie mit CRH-Hyperaktivität. Die Assoziationen zwischen pränatalem bzw. postnatalem Stress und Poststress, Erschöpfung, Depressivität und Noradrenalin-Hypoaktivität wurden signifikant durch aktuelle Stressbelastung mediiert. Die Assoziation zwischen aktuellem Stress und parasympathischer Aktivität über Nacht wurde durch pränatalen Stress moderiert: Bei geringer bis mittlerer nicht aber bei hoher pränataler Belastung ging eine hohe psychosoziale Belastung mit erhöhter Übernachtaktivität des parasympathischen Nervensystems einher. Bei Klinikpatienten zeigten sich keine signifikanten Zusammenhänge zwischen pränatalem bzw. postnatalem Stress und Erschöpfung bzw. Depressivität. Pränataler Stress kann trophotrope Funktionen beeinträchtigen und damit die Vulnerabilität für Erschöpfung und Depressivität erhöhen. Fortgesetzte postnatale und aktuelle Stressbelastung erhöhen den kumulativen Stress im Lebenslauf einer Person und tragen zu psychobiologischen Dysfunktionen sowie Erschöpfung und Depressivität bei.
Interaction between the Hypothalamic-Pituitary-Adrenal Axis and the Circadian Clock System in Humans
(2017)
Rotation of the Earth creates day and night cycles of 24 h. The endogenous circadian clocks sense these light/dark rhythms and the master pacemaker situated in the suprachiasmatic nucleus of the hypothalamus entrains the physical activities according to this information. The circadian machinery is built from the transcriptional/translational feedback loops generating the oscillations in all nucleated cells of the body. In addition, unexpected environmental changes, called stressors, also challenge living systems. A response to these stimuli is provided immediately via the autonomic-nervous system and slowly via the hypothalamus"pituitary"adrenal (HPA) axis. When the HPA axis is activated, circulating glucocorticoids are elevated and regulate organ activities in order to maintain survival of the organism. Both the clock and the stress systems are essential for continuity and interact with each other to keep internal homeostasis. The physiological interactions between the HPA axis and the circadian clock system are mainly addressed in animal studies, which focus on the effects of stress and circadian disturbances on cardiovascular, psychiatric and metabolic disorders. Although these studies give opportunity to test in whole body, apply unwelcome techniques, control and manipulate the parameters at the high level, generalization of the results to humans is still a debate. On the other hand, studies established with cell lines cannot really reflect the conditions occurring in a living organism. Thus, human studies are absolutely necessary to investigate mechanisms involved in stress and circadian responses. The studies presented in this thesis were intended to determine the effects of cortisol as an end-product of the HPA axis on PERIOD (PER1, PER2 and PER3) transcripts as circadian clock genes in healthy humans. The expression levels of PERIOD genes were measured under baseline conditions and after stress in whole blood. The results demonstrated here have given better understanding of transcriptional programming regulated by pulsatile cortisol at standard conditions and short-term effects of cortisol increase on circadian clocks after acute stress. These findings also draw attention to inter-individual variations in stress response as well as non-circadian functions of PERIOD genes in the periphery, which need to be examined in details in the future.
Long-Term Memory Updating: The Reset-of-Encoding Hypothesis in List-Method Directed Forgetting
(2017)
People- memory for new information can be enhanced by cuing them to forget older information, as is shown in list-method directed forgetting (LMDF). In this task, people are cued to forget a previously studied list of items (list 1) and to learn a new list of items (list 2) instead. Such cuing typically enhances memory for the list 2 items and reduces memory for the list 1 items, which reflects effective long-term memory updating. This review focuses on the reset-of-encoding (ROE) hypothesis as a theoretical explanation of the list 2 enhancement effect in LMDF. The ROE hypothesis is based on the finding that encoding efficacy typically decreases with number of encoded items and assumes that providing a forget cue after study of some items (e.g., list 1) resets the encoding process and makes encoding of subsequent items (e.g., early list 2 items) as effective as encoding of previously studied (e.g., early list 1) items. The review provides an overview of current evidence for the ROE hypothesis. The evidence arose from recent behavioral, neuroscientific, and modeling studies that examined LMDF on both an item and a list level basis. The findings support the view that ROE plays a critical role for the list 2 enhancement effect in LMDF. Alternative explanations of the effect and the generalizability of ROE to other experimental tasks are discussed.
Background: We evaluated depression and social isolation assessed at time of waitlisting as predictors of survival in heart transplant (HTx) recipients. Methods and Results: Between 2005 and 2006, 318 adult HTx candidates were enrolled in the Waiting for a New Heart Study, and 164 received transplantation. Patients were followed until February 2013. Psychosocial characteristics were assessed by questionnaires. Eurotransplant provided medical data at waitlisting, transplantation dates, and donor characteristics; hospitals reported medical data at HTx and date of death after HTx. During a median followâ€up of 70 months (<1"93 months postâ€HTx), 56 (38%) of 148 transplanted patients with complete data died. Depression scores were unrelated to social isolation, and neither correlated with disease severity. Higher depression scores increased the risk of dying (hazard ratio=1.07, 95% confidence interval, 1.01, 1.15, P=0.032), which was moderated by social isolation scores (significant interaction term; hazard ratio = 0.985, 95% confidence interval, 0.973, 0.998; P=0.022). These findings were maintained in multivariate models controlling for covariates (P values 0.020"0.039). Actuarial 1â€year/5â€year survival was best for patients with low depression who were not socially isolated at waitlisting (86% after 1 year, 79% after 5 years). Survival of those who were either depressed, or socially isolated or both, was lower, especially 5 years posttransplant (56%, 60%, and 62%, respectively). Conclusions: Low depression in conjunction with social integration at time of waitlisting is related to enhanced chances for survival after HTx. Both factors should be considered for inclusion in standardized assessments and interventions for HTx candidates. We evaluated depression and social isolation assessed at time of waitlisting as predictors of survival in heart transplant (HTx) recipients.\r\n\r\nMethods and Results: Between 2005 and 2006, 318 adult HTx candidates were enrolled in the Waiting for a New Heart Study, and 164 received transplantation. Patients were followed until February 2013. Psychosocial characteristics were assessed by questionnaires. Eurotransplant provided medical data at waitlisting, transplantation dates, and donor characteristics; hospitals reported medical data at HTx and date of death after HTx. During a median followâ€up of 70 months (<1"93 months postâ€HTx), 56 (38%) of 148 transplanted patients with complete data died. Depression scores were unrelated to social isolation, and neither correlated with disease severity. Higher depression scores increased the risk of dying (hazard ratio=1.07, 95% confidence interval, 1.01, 1.15, P=0.032), which was moderated by social isolation scores (significant interaction term; hazard ratio = 0.985, 95% confidence interval, 0.973, 0.998; P=0.022). These findings were maintained in multivariate models controlling for covariates (P values 0.020"0.039). Actuarial 1â€year/5â€year survival was best for patients with low depression who were not socially isolated at waitlisting (86% after 1 year, 79% after 5 years). Survival of those who were either depressed, or socially isolated or both, was lower, especially 5 years posttransplant (56%, 60%, and 62%, respectively).
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.
Background: Psychotherapy is successful for the majority of patients , but not for every patient. Hence, further knowledge is needed on how treatments should be adapted for those who do not profit or deteriorate. In the last years prediction tools as well as feedback interventions were part of a trend to more personalized approaches in psychotherapy. Research on psychometric prediction and feedback into ongoing treatment has the potential to enhance treatment outcomes, especially for patients with an increased risk of treatment failure or drop-out.rnMethods/design: The research project investigates in a randomized controlled trial the effectiveness as well as moderating and mediating factors of psychometric feedback to therapists. In the intended study a total of 423 patients, who applied for a cognitive-behavioral therapy at the psychotherapy clinic of the University Trier and suffer from a depressive and/or an anxietyrndisorder (SCID interviews), will be included. The patients will be randomly assigned either to one therapist as well as to one of two intervention groups (CG, IG2). An additional intervention group (IG1) will be generated from an existing archival data set via propensity score matching. Patients of the control group (CG; n = 85) will be monitored concerning psychological impairment but therapists will not be provided with any feedback about the patients assessments. In both intervention groups (IG1: n = 169; IG2: n = 169) the therapists are provided with feedback about the patients self-evaluation in a computerized feedback portal. Therapists of the IG2 will additionally be provided with clinical support tools, which will be developed in thisrnproject, on the basis of existing systems. Therapists will also be provided with a personalized treatment recommendation based on similar patients (Nearest Neighbors) at the beginning of treatment. Besides the general effectiveness of feedback and the clinical support tools for negatively developing patients, further mediating and moderating variables on this feedback effectrnshould be examined: treatment length, frequency of feedback use, therapist effects, therapist- experience, attitude towards feedback as well as congruence of therapist-andpatient- evaluation concerning the progress. Additional procedures will be implemented to assess treatment adherence as well as the reliability of diagnosis and to include it into the analyses.rnDiscussion: The current trial tests a comprehensive feedback system which combines precision mental health predictions with routine outcome monitoring and feedback tools in routine outpatient psychotherapy. It also adds to previous feedback research a stricter design by investigating another repeated measurement CG as well as a stricter control of treatment integrity. It also includes a structured clinical interview (SCID) and controls for comorbidity (within depression and anxiety). This study also investigates moderators (attitudes towards, use of the feedback system, diagnoses) and mediators (therapists" awareness of negative change and treatment length) in one study.
Numerous RCTs demonstrate that cognitive behavioral therapy (CBT) for depression is effective. However, these findings are not necessarily representative of CBT under routine care conditions. Routine care studies are not usually subjected to comparable standardizations, e.g. often therapists may not follow treatment manuals and patients are less homogeneous with regard to their diagnoses and sociodemographic variables. Results on the transferability of findings from clinical trials to routine care are sparse and point in different directions. As RCT samples are selective due to a stringent application of inclusion/exclusion criteria, comparisons between routine care and clinical trials must be based on a consistent analytic strategy. The present work demonstrates the merits of propensity score matching (PSM), which offers solutions to reduce bias by balancing two samples based on a range of pretreatment differences. The objective of this dissertation is the investigation of the transferability of findings from RCTs to routine care settings.
Studien zeigen, dass sowohl die genetische Prädisposition als auch Umweltfaktoren zu häufigen Erkrankungen - wie Schmerzerkrankungen oder psychiatrischen Störungen - beitragen. Molekulargenetische Studien legen nahe, dass ein Teil der Erblichkeit in häufigen genetischen Varianten zu finden ist. Die Untersuchung des Zusammenwirkens dieser Faktoren kann das Verständnis der Ätiologie dieser Erkrankungen erweitern, und neue Präventions- und Behandlungsansätze hervorbringen. In der vorliegenden Arbeit werden vier Studien präsentiert, in denen Umwelt- und genetische Risikofaktoren für psychische Erkrankungen und Schmerz untersucht wurden: In der ersten Studie (Kapitel II) wurden mögliche Wirkmechanismen von etablierten Risikofaktoren für psychiatrische Störungen " das Aufwachsen und Leben in städtischer Umgebung " mit bildgebenden Verfahren untersucht. Einen möglichen Mechanismus stellt der erhöhte soziale Stress in städtischer Umgebung dar. In dieser Studie unterliefen zwei Stichproben von gesunden Probanden zwei verschiedene soziale Stressparadigmen für die Anwendung im fMRT, wovon eines im Rahmen dieser Doktorarbeit entwickelt wurde (ScanSTRESS). Hierbei zeigte sich eine erhöhte Amygdalaaktivität bei Probanden, welche aktuell in der Stadt lebten, während die Aktivität des perigenualen anterioren Cingulums mit dem Aufwachsen in der Stadt assoziiert war. Diese Befunde legen nahe, dass die akute Stressverarbeitung durch Umweltfaktoren in sensiblen Phasen der Entwicklung des Nervensystems beeinflusst wird. In der zweiten Studie (Kapitel III), wurde die Modulierung des Einflusses der städtischen Umwelt auf die Stressverarbeitung durch eine Einzelnukleotid-Polymorphismus (SNP; rs324981) im Gen, welches für den Neuropeptid S (NPS) Rezeptor kodiert (NPSR1), untersucht. In einer Stichprobe, welche das ScanSTRESS-Paradigma absolvierte, konnte gezeigt werden, dass rs324981 " in Interaktion mit städtischem Aufwachsen " die Aktivität der rechten Amygdala beeinflusste. Diese Resultate legen nahe, dass das NPS-System in der menschlichen Stressreaktion involviert ist, und diese in Interaktion mit Umweltfaktoren beeinflusst. In der dritten Studie (Kapitel IV), wurde der Effekt der genetischen Variation von NPSR1 auf die zentralnervöse und endokrine Stressverarbeitung weitergehend untersucht. Da sowohl die Stressregulation, als auch psychiatrische Störungen stark geschlechtsspezifische Ausprägungen aufweisen, wurde die Interaktion von genetischer Variation in NPSR1 mit dem Geschlecht berücksichtigt. Hierfür wurde eine Stichprobe von 277 Probanden mit dem Trierer Sozialen Stresstest (TSST) und eine Stichprobe von 65 Probanden mit dem ScanSTRESS-Paradigma untersucht. Die Analyse zeigte die geschlechtsspezifische Assoziation einer Allel-Kombination (Haplotyp) von drei funktionalen SNPs (rs2530547, rs324981 und rs727162) mit der Cortisolantwort auf den TSST, und einen geschlechtsspezifischen Effekt von rs324981 auf die zentralnervösen Aktivierungsmuster. Diese Ergebnisse legen nahe, dass das Geschlecht die Effekte von genetischer Variation im NPS-System auf die Stressregulation moduliert. In der vierten Studie (Kapitel V), wurde der Einfluss der genetischen Prädisposition und Umweltfaktoren auf chronischen Schmerz nach einer Amputation untersucht. Hierfür wurde eine Studie an 122 Individuen durchgeführt, bei welchen zwei Gliedmaßen amputiert wurden. Das Auftreten und die Intensität von sowohl Phantom- als auch Stumpfschmerzen zeigten einen starken Zusammenhang mit der Ausprägung des selben Schmerztyps zwischen den beiden amputierten Körpergliedern, es waren aber nur moderate Zusammenhänge zwischen den beiden Schmerzarten zu beobachten. Dieses Ergebnis legt den Einfluss von sowohl spezifischen, als auch gemeinsamen (potentiell genetischen) Risikofaktoren für beide Schmerztypen nahe.
Epistemologische Überzeugungen sind Annahmen über die Struktur und Richtigkeit von Wissen sowie den Prozess des Wissenserwerbs. Der Autor stellt diesbezüglich Zusammenhänge von psychologischen und philosophischen Konzepten her und argumentiert dabei vom Standpunkt des kritischen Realismus. Außerdem werden, aufgrund empirisch gewonnener Hinweise, die Variabilität wissenschaftstheoretischer und epistemologischer Überzeugungen sowie deren Zusammenhänge zu Leistungsmotivation, Lernzielen und Lernstrategien bei Studenten beschrieben.
Academic self-concept (ASC) is comprised of individual perceptions of one- own academic ability. In a cross-sectional quasi-representative sample of 3,779 German elementary school children in grades 1 to 4, we investigated (a) the structure of ASC, (b) ASC profile formation, an aspect of differentiation that is reflected in lower correlations between domain-specific ASCs with increasing grade level, (c) the impact of (internal) dimensional comparisons of one- own ability in different school subjects for profile formation of ASC, and (d) the role played by differences in school grades between subjects for these dimensional comparisons. The nested Marsh/Shavelson model, with general ASC at the apex and math, writing, and reading ASC as specific factors nested under general ASC fitted the data at all grade levels. A first-order factor model with math, writing, reading, and general ASCs as correlated factors provided a good fit, too. ASC profile formation became apparent during the first two to three years of school. Dimensional comparisons across subjects contributed to ASC profile formation. School grades enhanced these comparisons, especially when achievement profiles were uneven. In part, findings depended on the assumed structural model of ASCs. Implications for further research are discussed with special regard to factors influencing and moderating dimensional comparisons.
Dysfunctional eating behavior is a major risk factor for developing all sorts of eating disorders. Food craving is a concept that may help to understand better why and how these and other eating disorders become chronic conditions through non homeastatically-driven mechanisms. As obesity affects people worldwide, cultural differences must be acknowledged to apply proper therapeutic strategies. In this work, we adapted the Food Craving Inventory (FCI) to the German population. We performed a factor analysis of an adaptation of the original FCI in a sample of 326 men and women. We could replicate the factor structure of the FCI on a German population.rnThe factor extraction procedure produced a factor solution that reproduces the fourfactors described in the original inventory, the FCI. Our instrument presents high internal consistency, as well as a significant correlation with measures of convergent and discriminant validity. The FCI-Deutsch (FCI-DE) is a valid instrument to assess craving for particular foods in Germany, and it could, therefore, prove useful in the clinical and research practice in the field of obesity and eating behaviors.
Educational assessment tends to rely on more or less standardized tests, teacher judgments, and observations. Although teachers spend approximately half of their professional conduct in assessment-related activities, most of them enter their professional life unprepared, as classroom assessment is often not part of their educational training. Since teacher judgments matter for the educational development of students, the judgments should be up to a high standard. The present dissertation comprises three studies focusing on accuracy of teacher judgments (Study 1), consequences of (mis-)judgment regarding teacher nomination for gifted programming (Study 2) and teacher recommendations for secondary school tracks (Study 3), and individual student characteristics that impact and potentially bias teacher judgment (Studies 1 through 3). All studies were designed to contribute to a further understanding of classroom assessment skills of teachers. Overall, the results implied that, teacher judgment of cognitive ability was an important constant for teacher nominations and recommendations but lacked accuracy. Furthermore, teacher judgments of various traits and school achievement were substantially related to social background variables, especially the parents" educational background. However, multivariate analysis showed social background variables to impact nomination and recommendation only marginally if at all. All results indicated differentiated but potentially biased teacher judgments to impact their far-reaching referral decisions directly, while the influence of social background on the referral decisions itself seems mediated. Implications regarding further research practices and educational assessment strategies are discussed. The implications on the needs of teachers to be educated on judgment and educational assessment are of particular interest and importance.
Psychotherapie hat sich in der Behandlung psychischer Störungen als wirksam erwiesen. Im Rahmen der klinisch-psychologischen Forschung und der Psychotherapieforschung sind die Erforschung von Ursachen und Mechanismen psychischer Störungen sowie die Identifikation von Wirkmechanismen von Psychotherapie von zentraler Bedeutung. Wichtiges Element in der Psychotherapie ist die Sprache, sodass die Betrachtung von Sprache bereits sehr früh Eingang in die Forschung fand. Beschäftigten sich frühe Forschungsarbeiten jedoch hauptsächlich mit der sehr zeitaufwendigen qualitativen Auswertung von Sprache, ermöglichen Entwicklungen im Bereich der Computer neue Ansätze wie beispielsweise die quantitative Sprachanalyse mittels Programmen wie dem Linguistic Inquiry and Word Count (LIWC). Dieses wörterbuchbasierte Auswertungsprogramm fand Anwendung in den unterschiedlichsten Bereichen wie beispielsweise der Erforschung von Motiven, Gruppenprozessen, Sprache in sozialen Netzwerken und ersten subklinischen Untersuchungen psychischer Störungen. Eine systematische Anwendung auf die Sprache von Patienten und Therapeuten im Rahmen vollständiger Therapiesitzung ist bislang jedoch nicht bekannt. Ziel der vorliegenden Arbeit war es deshalb in drei Projekten die Anwendbarkeit des Programmes in der klinisch-psychologischen Forschung und Psychotherapieforschung zu untersuchen. Das erste Projekt beschäftigte sich mit der Psychometrie von mittels LIWC ausgewerteter Sprache und fand, dass die Erkennungsraten des Wörterbuchs für die Sprache in Therapiesitzungen über den in der Literatur für das deutsche LIWC berichteten Erkennungsraten jedoch unter denen der aktuellsten englischen Versionen lag. Außerdem wurde angenommen, dass Sprache sowohl eine zeitlich stabile Komponente im Sinne eines Persönlichkeitsmerkmals als auch eine situative Komponente besitzt. Dies ist insbesondere vor dem Hintergrund relevant in der Psychotherapieforschung sowohl Patientenmerkmale als auch Veränderungen abbilden zu wollen. Die Arbeit ging davon aus, dass insbesondere Funktionsworte, also Worte, die Sprache strukturieren jedoch keine inhaltliche Bedeutung besitzen, eher individuell stabil sind, als Inhaltsworte. Entsprechend konnten für einige Wortkategorien ein Bifaktor-Modell mit einem Personen- sowie einem Zeitfaktor und adäquate Omega-Werte als Maß der Messgenauigkeit gefunden werden, für andere Kategorien zeigte sich dies nicht. Hypothesenkonform zeigten die Modelle bessere Passungen für Funktionsworte. Bezüglich der Frage nach der benötigten Länge von Sprachausschnitten aus Therapiesitzung erwies sich die Verwendung der gesamten Sitzung als beste Lösung. Im zweiten Projekt wurden Unterschiede in der Verwendung von Sprache zwischen depressiven Patienten, Patienten mit Angststörung und solchen mit beiden Störungsbildern untersucht. Es zeigten sich Unterschiede in Bezug auf Worte im Zusammenhang mit Traurigkeit und Worte im Zusammenhang mit Angst. Die Unterschiede zeigten sich derart, dass Depressive vermehrt mit Traurigkeit assoziierte Worte verwendeten, wohingegen Angstpatienten verstärkt Worte aus dem Bereich Angst verwendeten. Dies spricht für eine unterschiedliche inhaltliche Orientierung der beiden Störungsbilder. Darüber hinaus zeigten sich bei dimensionaler Betrachtung negative Zusammenhänge zwischen der Gesamtbelastung und Optimismus, positive Zusammenhänge Depression und Pronomengebrauch sowie negative Zusammenhänge zwischen Angst und unterschiedlichen Kategorien sozialer Worte. Im dritten Projekt wurden unterschiedliche weitere Fragestellungen der Psychotherapieforschung wie beispielsweise die Prädiktion von Therapieerfolgt mittels Sprache oder Zusammenhänge zwischen sprachlicher Synchronizität und der therapeutischen Beziehung untersucht. Es zeigten sich einzelne Zusammenhänge allerdings ergab sich kein einheitliches Muster. Die vorliegende Arbeit kommt zusammenfassend zu dem Schluss, dass quantitative Sprachanalyse eine Bereicherung der Psychotherapieforschung darstellt und Sprache als Datenquelle Berücksichtigung finden sollte. Allerdings bedarf es der Weiterentwicklung des LIWC sowie der Erprobung weiterer Verfahren und eine routinemäßige Erhebung von Sprache wird voraussichtlich erst im Zuge neuerer Entwicklungen im Bereich der automatischen Spracherkennung möglich werden.
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.
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).