@phdthesis{Bormann2017, author = {Bormann, Kai Uwe}, title = {Erziehung in der Bundeswehr}, series = {Beitr{\"a}ge zur Milit{\"a}rgeschichte}, journal = {Beitr{\"a}ge zur Milit{\"a}rgeschichte}, number = {79}, publisher = {De Gruyter Oldenbourg}, address = {Berlin}, isbn = {978-3-11-073481-2}, school = {Universit{\"a}t Potsdam}, pages = {VII, 377}, year = {2017}, abstract = {Das Milit{\"a}r galt in Deutschland seit dem 19. Jahrhundert als »Schule der Nation«. Auch die 1955 aufgestellte Bundeswehr musste sich mit diesem Anspruch auseinandersetzen. Die Erziehung der erwachsenen Soldaten sollte im Zeichen der Inneren F{\"u}hrung nun jedoch deutlich anders erfolgen als in Kaiserreich, Weimarer Republik und NS-Staat. Ein bedeutender Teil der jungen B{\"u}rger der Bundesrepublik sollte einer Erziehung unterzogen werden, deren Ziel der »Staatsb{\"u}rger in Uniform« war. Kai-Uwe Bormann, Referent beim Kommando des Heeres der Bundeswehr, Deutschland.}, language = {de} } @phdthesis{Weise2017, author = {Weise, Katja}, title = {Gez{\"a}hmte Kleider, geb{\"a}ndigte K{\"o}rper?}, doi = {10.25932/publishup-43986}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-439868}, school = {Universit{\"a}t Potsdam}, pages = {270}, year = {2017}, abstract = {Gegenstand der Dissertation ist die Pr{\"a}sentation von Kleidermode in ihr gewidmeten Sonderausstellungen, die in zunehmender Zahl seit den 1990er Jahren in musealen und musems{\"a}hnlichen Kontexten veranstaltet werden. Es geht darum, wie Modek{\"o}rper und vestiment{\"a}re Artefakte in diesen Ausstellungen gezeigt werden und welche {\"a}sthetischen Erfahrungen sich f{\"u}r die RezipientInnen aus der jeweiligen Konstellation von vestiment{\"a}rem Objekt und Inszenierungsmittel ergeben k{\"o}nnen. Das Augenmerk liegt auf der Spannung zwischen dem visuellen Imperativ musealer Zeigepraktiken und den multisensorischen Qualit{\"a}ten der Kleidermode, v. a. jener hautsinnlichen, die sich aus dem unmittelbaren Kontakt zwischen K{\"o}rper und Kleid ergeben. Die zentrale These ist, dass sich das Hautsinnliche der Kleidermode trotz des Ber{\"u}hrungsverbots in vielen Ausstellungsinszenierungen zeigen kann. D. h., dass - entgegen h{\"a}ufig wiederholter Behauptungen - ‚der K{\"o}rper', das Tragen und die Bewegung nicht per se oder komplett aus den Kleidern gewichen sind, werden diese musealisiert und ausgestellt. Es findet eine Verschiebung des K{\"o}rperlichen und Hautsinnlichen, wie das Anfassen, Tragen und Bewegen, in visuelle Darstellungsformen statt. Hautsinnliche Qualit{\"a}ten der vestiment{\"a}ren Exponate k{\"o}nnen, auch in Abh{\"a}ngigkeit von den jeweils verwendeten Pr{\"a}sentationsmitteln, von den BesucherInnen in unterschiedlichen Abstufungen sehend oder buchst{\"a}blich gesp{\"u}rt werden. An konkreten Beispielen wird zum einen das Verh{\"a}ltnis von ausgestelltem Kleid und Pr{\"a}sentationsmittel(n) in den Displays untersucht. Dabei stehen folgende Mittel im Fokus, mit deren Hilfe die vestiment{\"a}ren Exponate zur Schau gestellt werden: Vitrinen, Podeste, Ersatzk{\"o}rper wie Mannequins, optische Hilfsmittel wie Lupen, Bildmedien oder (bewegte) Installationen. Zum anderen wird analysiert, welche Wirkungen die Arrangements jeweils erzielen oder verhindern k{\"o}nnen, und zwar in Hinblick auf m{\"o}gliche {\"a}sthetische Erfahrungen, die taktilen, haptischen und kin{\"a}sthetischen Qualit{\"a}ten der Exponate als BesucherIn sehend oder buchst{\"a}blich zu f{\"u}hlen oder zu sp{\"u}ren. Ob als Identifikation, Projektion, Haptic Vision - es handelt sich um {\"a}sthetische Erfahrungen, die sich aus den modischen Kompetenzen der BetrachterInnen speisen und bei denen sich Visuelles und Hautsinnliches oft {\"u}berlagern. In der Untersuchung wird eine vernachl{\"a}ssigte, wenn nicht gar unerw{\"u}nschte Rezeptionsweise diskutiert, die von den AkteurInnen der spezifischen Debatte bspw. als konsumptives Sehen abgewertet wird. Die von mir vorgeschlagene, st{\"a}rker differenzierende Perspektive ist zugleich eine Kritik an dem bisherigen Diskurs und seinem eng gefassten, teilweise elit{\"a}ren Verst{\"a}ndnis von Museum, Bildung und Wissen, mit dem sich AkteurInnen und Institutionen abgrenzen. Der Spezialdiskurs {\"u}ber musealisierte und exponierte Kleidermode steht zudem exemplarisch f{\"u}r die Diskussion, was das Museum, verstanden als Institution, sein kann und soll(te) und ob (und wenn ja, wie) es sich {\"u}berhaupt noch von anderen Orten und R{\"a}umen klar abgrenzen l{\"a}sst.}, language = {de} } @phdthesis{Mueller2017, author = {M{\"u}ller, Eduard Rudolf}, title = {Architektur und Kunst im lyrischen Werk Johannes Bobrowskis}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-461-6}, doi = {10.25932/publishup-42711}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-427113}, school = {Universit{\"a}t Potsdam}, pages = {538}, year = {2017}, abstract = {Bobrowski had expressed the intention to study art history after graduation, but war and captivity thwarted his plans: As a member of the German Armed Forces, he was only released from military service for a semester in winter 1941/1942. Bobrowski was particularly impressed by the lectures on German Art in the Age of Goethe by the departmental chair Wilhelm Pinder. However, despite this fundamental influence Pinder's ideological background never become manifest in Bobrowski's poems. After returning from Soviet captivity during Christmas 1949, university studies were out of the question for the thirty-two-year-old. However, his lifelong intermedial engagement with fine art in his work can be interpreted as an expression of his diverse cultural and historical interests and inclinations. The poet's life phases correlate with the thematic development of his poems on visual art: The inviolable aesthetics of significant works of art helped him to overcome the horror of the last years of the war and the privations of Soviet captivity. Didactic moral aims initially shaped the poems Bobrowski created in the years after his return home before he was able to distance himself in terms of content and form from this type of poetry and began to write poems that take up cultural-historical aspects and juxtapose historical, mythological, biblical and religious-philosophical themes spanning epochs. His poems about the artists Jawlensky and Calder also touch simultaneously on aspects of the cultural landscape. In the last decade of his life, Bobrowski became increasingly interested in twentieth-century art, while modern architecture was absent from his work. Bobrowski devoted himself in an entire series of poems to Classicist and Romanticist painting and thus to works that were written during the Age of Goethe and about which Wilhelm Pinder may have given lectures during his "German Art in the Age of Goethe" course attended by Bobrowski. Architecture is a leitmotif in Bobrowski's lyrical works. The significance conveyed of the particular sacred and profane buildings referred to in the poems as well as the urban and village ensembles and individual parts of buildings changes several times over the years. Starting from traditional, juxtaposed juvenile poems in iambic versification, in which architectural elements form part of an awareness that fades out everything outside of the aesthetic, the significance of the sacred and secular buildings in Bobrowski's lyrical works changes for the first time during the years he spent in Russia during the war as part of the German military. In the odes Bobrowski wrote at the time, the architectural relics testify to suffering, death and destruction. What is still absent, however, is the central idea of guilt, which later becomes the focus of poems he writes after his return from captivity until his early death. Towards the end of the war and during his years of captivity, Bobrowski reflects on the theme of his homeland again, and the architecture in his poems becomes an aesthetically charged projection for his yearning for East Prussia and the Memel area. The aspect of the sublime first appears in his poems, both in relation to painting and architecture, during his captivity. This idea is developed on the one hand after his return to Berlin in his poems on the architecture of Gothic cathedrals and the architectural heritage of Classicism, but the cultural heritage of Europe also represents historical injustice and a heavy, far-reaching guilt in the poems written during this period. Bobrowski turns away from his criticism of the entire continent of Europe in later years and in his "Sarmatic Divan" concentrates on the guilt Germans have towards the peoples of Eastern Europe. This also lends the architecture in his poems a new meaning. The relics of the castles of the Teutonic Order testify to the rule of medieval conquerors and merge with nature: The symbolism of the architecture becomes part of the landscape. In the last decade of his life, he increasingly writes poems related to parks and urban green spaces. The city, "filled with meaning", moves to the centre of his poetry. However he does not deal with the technical achievements and social phenomena of urban life in these poems but with urban structures and especially the green and open spaces as symbols of history. The poet relies not only on personal experiences, but sometimes also on image sources without ever having seen the original. The poems about Chagall and Gauguin are hardly accessible without the knowledge that they refer to image reproductions in narrow, popular books that Bobrowski acquired shortly before writing the respective poems. The situation is different with the Russian churches that find their way into his lyrical works. Bobrowski had seen them all during the war, and most of them still appear to exist today and can be identified with some certainty with the help in part of the poet's letters from that period.}, language = {de} } @phdthesis{Kersting2017, author = {Kersting, Sebastian}, title = {Isothermal nucleic acid amplification for the detection of infectious pathogens}, pages = {215}, year = {2017}, language = {en} } @phdthesis{Pittel2017, author = {Pittel, Harald}, title = {Romance and Irony}, school = {Universit{\"a}t Potsdam}, pages = {286}, year = {2017}, language = {en} } @phdthesis{Bekeraitė2017, author = {Bekeraitė, Simona}, title = {Distribution functions of rotating galaxies}, doi = {10.25932/publishup-42095}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-420950}, school = {Universit{\"a}t Potsdam}, pages = {V, 91}, year = {2017}, abstract = {The work done during the PhD studies has been focused on measurements of distribution functions of rotating galaxies using integral field spectroscopy observations. Throughout the main body of research presented here we have been using CALIFA (Calar Alto Legacy Integral Field Area) survey stellar velocity fields to obtain robust measurements of circular velocities for rotating galaxies of all morphological types. A crucial part of the work was enabled by well-defined CALIFA sample selection criteria: it enabled reconstructing sample-independent distributions of galaxy properties. In Chapter 2, we measure the distribution in absolute magnitude - circular velocity space for a well-defined sample of 199 rotating CALIFA galaxies using their stellar kinematics. Our aim in this analysis is to avoid subjective selection criteria and to take volume and large-scale structure factors into account. Using stellar velocity fields instead of gas emission line kinematics allows including rapidly rotating early type galaxies. Our initial sample contains 277 galaxies with available stellar velocity fields and growth curve r-band photometry. After rejecting 51 velocity fields that could not be modelled due to the low number of bins, foreground contamination or significant interaction we perform Markov Chain Monte Carlo (MCMC) modelling of the velocity fields, obtaining the rotation curve and kinematic parameters and their realistic uncertainties. We perform an extinction correction and calculate the circular velocity v_circ accounting for pressure support a given galaxy has. The resulting galaxy distribution on the M_r - v_circ plane is then modelled as a mixture of two distinct populations, allowing robust and reproducible rejection of outliers, a significant fraction of which are slow rotators. The selection effects are understood well enough that the incompleteness of the sample can be corrected and the 199 galaxies can be weighted by volume and large-scale structure factors enabling us to fit a volume-corrected Tully-Fisher relation (TFR). More importantly, we also provide the volume-corrected distribution of galaxies in the M_r - v_circ plane, which can be compared with cosmological simulations. The joint distribution of the luminosity and circular velocity space densities, representative over the range of -20 > M_r > -22 mag, can place more stringent constraints on the galaxy formation and evolution scenarios than linear TFR fit parameters or the luminosity function alone. In Chapter 3, we measure one of the marginal distributions of the M_r - v_circ distribution: the circular velocity function of rotating galaxies. The velocity function is a fundamental observable statistic of the galaxy population, being of a similar importance as the luminosity function, but much more difficult to measure. We present the first directly measured circular velocity function that is representative between 60 < v_circ < 320 km s^-1 for galaxies of all morphological types at a given rotation velocity. For the low mass galaxy population 60 < v_circ < 170 km s^-1, we use the HIPASS velocity function. For the massive galaxy population 170 < v_circ < 320 km s^-1, we use stellar circular velocities from CALIFA. The CALIFA velocity function includes homogeneous velocity measurements of both late and early-type rotation-supported galaxies. It has the crucial advantage of not missing gas-poor massive ellipticals that HI surveys are blind to. We show that both velocity functions can be combined in a seamless manner, as their ranges of validity overlap. The resulting observed velocity function is compared to velocity functions derived from cosmological simulations of the z = 0 galaxy population. We find that dark matter-only simulations show a strong mismatch with the observed VF. Hydrodynamic Illustris simulations fare better, but still do not fully reproduce observations. In Chapter 4, we present some other work done during the PhD studies, namely, a method that improves the precision of specific angular measurements by combining simultaneous Markov Chain Monte Carlo modelling of ionised gas 2D velocity fields and HI linewidths. To test the method we use a sample of 25 galaxies from the Sydney-AAO Multi-object Integral field (SAMI) survey that had matching ALFALFA HI linewidths. Such a method allows constraining the rotation curve both in the inner regions of a galaxy and in its outskirts, leading to increased precision of specific angular momentum measurements. It could be used to further constrain the observed relation between galaxy mass, specific angular momentum and morphology (Obreschkow \& Glazebrook 2014). Mathematical and computational methods are presented in the appendices.}, language = {en} } @phdthesis{Hoernle2017, author = {H{\"o}rnle, Jacob}, title = {Gesellschaftsrechtliche Maßgaben f{\"u}r eine Gruppenbesteuerung ohne Gewinnabf{\"u}hrungsvertrag}, series = {Steuerwissenschaftliche Schriften ; 67}, journal = {Steuerwissenschaftliche Schriften ; 67}, publisher = {Nomos}, address = {Baden-Baden}, isbn = {978-3-8487-5195-2}, school = {Universit{\"a}t Potsdam}, pages = {333}, year = {2017}, abstract = {Die k{\"o}rperschaftsteuerliche Organschaft setzt den Abschluss eines Gewinnabf{\"u}hrungsvertrages i.S.v. \S 291 AktG zwischen Organgesellschaft und Organtr{\"a}ger voraus und bedingt so Verflechtungen von Steuer- und Gesellschaftsrecht, die Anlass f{\"u}r Kritik an der Organschaft und f{\"u}r Bestrebungen zu deren grundlegender Modernisierung unter Verzicht auf den Gewinnabf{\"u}hrungsvertrag geben. Die Arbeit untersucht, welche kapital- und konzerngesellschaftsrechtlichen Problemstellungen zu Tage tr{\"a}ten, sollte ein Gruppenbesteuerungssystem implementiert werden, das keinen Gewinnabf{\"u}hrungsvertrag verlangt. Die Untersuchung erfolgt f{\"u}r verschiedene Reformmodelle, die - wie die Organschaft - nach der Zurechnungsmethode arbeiten oder eine Steuerkonsolidierung durch Leistung so genannter Gruppenbeitr{\"a}ge zulassen. Die auftretenden gesellschaftsrechtlichen Konfliktlagen und L{\"o}sungswege werden f{\"u}r Gruppenmitglieder in der Rechtsform der GmbH und der AG getrennt systematisch dargestellt.}, language = {de} } @phdthesis{deSouzaSilveira2017, author = {de Souza Silveira, Raul}, title = {Human substrate metabolism at upper oxidative capacities}, doi = {10.25932/publishup-42333}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-423338}, school = {Universit{\"a}t Potsdam}, pages = {iii, 85, v}, year = {2017}, abstract = {Introduction: Carbohydrate (CHO) and fat are the main substrates to fuel prolonged endurance exercise, each having its oxidation patterns regulated by several factors such as intensity, duration and mode of the activity, dietary intake pattern, muscle glycogen concentrations, gender and training status. Exercising at intensities where fat oxidation rates are high has been shown to induce metabolic benefits in recreational and health-oriented sportsmen. The exercise intensity (Fatpeak) eliciting peak fat oxidation rates is therefore of particular interest when aiming to prescribe exercise for the purpose of fat oxidation and related metabolic effects. Although running and walking are feasible and popular among the target population, no reliable protocols are available to assess Fatpeak as well as its actual velocity (VPFO) during treadmill ergometry. Moreover, to date, it remains unclear how pre-exercise CHO availability modulates the oxidative regulation of substrates when exercise is conducted at the intensity where the individual anaerobic threshold (IAT) is located (VIAT). That is, a metabolic marker representing the upper border where constant load endurance exercise can be sustained, being commonly used to guide athletic training or in performance diagnostics. The research objectives of the current thesis were therefore, 1) to assess the reliability and day-to-day variability of VPFO and Fatpeak during treadmill ergometry running; 2) to assess the impact of high CHO (HC) vs. low CHO (LC) diets (where on the LC day a combination of low CHO diet and a glycogen depleting exercise was implemented) on the oxidative regulation of CHOs and fat while exercise is conducted at VIAT. Methods: Research objective 1: Sixteen recreational athletes (f=7, m=9; 25 ± 3 y; 1.76 ± 0.09 m; 68.3 ± 13.7 kg; 23.1 ± 2.9 kg/m²) performed 2 different running protocols on 3 different days with standardized nutrition the day before testing. At day 1, peak oxygen uptake (VO2peak) and the velocities at the aerobic threshold (VLT) and respiratory exchange ratio (RER) of 1.00 (VRER) were assessed. At days 2 and 3, subjects ran an identical submaximal incremental test (Fat-peak test) composed of a 10 min warm-up (70\% VLT) followed by 5 stages of 6 min with equal increments (stage 1 = VLT, stage 5 = VRER). Breath-by-breath gas exchange data was measured continuously and used to determine fat oxidation rates. A third order polynomial function was used to identify VPFO and subsequently Fatpeak. The reproducibility and variability of variables was verified with an intraclass correlation coefficient (ICC), Pearson's correlation coefficient, coefficient of variation (CV) and the mean differences (bias) ± 95\% limits of agreement (LoA). Research objective 2: Sixteen recreational runners (m=8, f=8; 28 ± 3 y; 1.76 ± 0.09 m; 72 ± 13 kg; 23 ± 2 kg/m²) performed 3 different running protocols, each allocated on a different day. At day 1, a maximal stepwise incremental test was implemented to assess the IAT and VIAT. During days 2 and 3, participants ran a constant-pace bout (30 min) at VIAT that was combined with randomly assigned HC (7g/kg/d) or LC (3g/kg/d) diets for the 24 h before testing. Breath-by-breath gas exchange data was measured continuously and used to determine substrate oxidation. Dietary data and differences in substrate oxidation were analyzed with a paired t-test. A two-way ANOVA tested the diet X gender interaction (α = 0.05). Results: Research objective 1: ICC, Pearson's correlation and CV for VPFO and Fatpeak were 0.98, 0.97, 5.0\%; and 0.90, 0.81, 7.0\%, respectively. Bias ± 95\% LoA was -0.3 ± 0.9 km/h for VPFO and -2 ± 8\% of VO2peak for Fatpeak. Research objective 2: Overall, the IAT and VIAT were 2.74 ± 0.39 mmol/l and 11.1 ± 1.4 km/h, respectively. CHO oxidation was 3.45 ± 0.08 and 2.90 ± 0.07 g/min during HC and LC bouts respectively (P < 0.05). Likewise, fat oxidation was 0.13 ± 0.03 and 0.36 ± 0.03 g/min (P < 0.05). Females had 14\% (P < 0.05) and 12\% (P > 0.05) greater fat oxidation compared to males during HC and LC bouts, respectively. Conclusions: Research objective 1: In summary, relative and absolute reliability indicators for VPFO and Fatpeak were found to be excellent. The observed LoA may now serve as a basis for future training prescriptions, although fat oxidation rates at prolonged exercise bouts at this intensity still need to be investigated. Research objective 2: Twenty-four hours of high CHO consumption results in concurrent higher CHO oxidation rates and overall utilization, whereas maintaining a low systemic CHO availability significantly increases the contribution of fat to the overall energy metabolism. The observed gender differences underline the necessity of individualized dietary planning before exerting at intensities associated with performance exercise. Ultimately, future research should establish how these findings can be extrapolated to training and competitive situations and with that provide trainers and nutritionists with improved data to derive training prescriptions.}, language = {en} } @phdthesis{Peldszus2017, author = {Peldszus, Andreas}, title = {Automatic recognition of argumentation structure in short monological texts}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-421441}, school = {Universit{\"a}t Potsdam}, pages = {xiv, 252}, year = {2017}, abstract = {The aim of this thesis is to develop approaches to automatically recognise the structure of argumentation in short monological texts. This amounts to identifying the central claim of the text, supporting premises, possible objections, and counter-objections to these objections, and connecting them correspondingly to a structure that adequately describes the argumentation presented in the text. The first step towards such an automatic analysis of the structure of argumentation is to know how to represent it. We systematically review the literature on theories of discourse, as well as on theories of the structure of argumentation against a set of requirements and desiderata, and identify the theory of J. B. Freeman (1991, 2011) as a suitable candidate to represent argumentation structure. Based on this, a scheme is derived that is able to represent complex argumentative structures and can cope with various segmentation issues typically occurring in authentic text. In order to empirically test our scheme for reliability of annotation, we conduct several annotation experiments, the most important of which assesses the agreement in reconstructing argumentation structure. The results show that expert annotators produce very reliable annotations, while the results of non-expert annotators highly depend on their training in and commitment to the task. We then introduce the 'microtext' corpus, a collection of short argumentative texts. We report on the creation, translation, and annotation of it and provide a variety of statistics. It is the first parallel corpus (with a German and English version) annotated with argumentation structure, and -- thanks to the work of our colleagues -- also the first annotated according to multiple theories of (global) discourse structure. The corpus is then used to develop and evaluate approaches to automatically predict argumentation structures in a series of six studies: The first two of them focus on learning local models for different aspects of argumentation structure. In the third study, we develop the main approach proposed in this thesis for predicting globally optimal argumentation structures: the 'evidence graph' model. This model is then systematically compared to other approaches in the fourth study, and achieves state-of-the-art results on the microtext corpus. The remaining two studies aim to demonstrate the versatility and elegance of the proposed approach by predicting argumentation structures of different granularity from text, and finally by using it to translate rhetorical structure representations into argumentation structures.}, language = {en} } @phdthesis{Rhinow2017, author = {Rhinow, Holger}, title = {Design Thinking als Lernprozess in Organisationen}, school = {Universit{\"a}t Potsdam}, pages = {138}, year = {2017}, language = {de} } @phdthesis{Bosch2017, author = {Bosch, Sebastian}, title = {Straftaten in virtuellen Welten}, series = {Internetrecht und Digitale Gesellschaft ; 14}, journal = {Internetrecht und Digitale Gesellschaft ; 14}, publisher = {Duncker \& Humblot}, address = {Berlin}, isbn = {978-3-428-15585-9}, school = {Universit{\"a}t Potsdam}, year = {2017}, abstract = {Virtuelle Welten wie World of Warcraft oder Second Life werden weltweit von vielen Millionen Menschen genutzt. Aufgrund der vielf{\"a}ltigen Interaktionsm{\"o}glichkeiten der Nutzer untereinander kommt es dabei immer wieder auch zu Verhaltensweisen, die die Frage nach strafrechtlicher Relevanz aufwerfen. Sebastian Bosch greift in seiner Arbeit einzelne Tatbest{\"a}nde des deutschen StGB heraus und untersucht diese auf ihre Begehbarkeit innerhalb virtueller Welten. Besondere Aufmerksamkeit wird dabei dem Betrug gem. \S 263 StGB gewidmet, da dieser im Hinblick auf den speziellen »Tatort« der virtuellen Welten besonders interessante Fragen aufwirft. Im Anschluss daran wird untersucht, ob der T{\"a}ter einer solchen Straftat auch entsprechend bestraft werden sollte, oder ob sich aufgrund des Spielcharakters virtueller Welten nicht eine Privilegierung aufdr{\"a}ngt, wie sie aus dem Sportstrafrecht bekannt ist. Der Autor gelangt zu dem Ergebnis, dass eine Privilegierung vorgenommen werden sollte, soweit es sich bei der verletzenden Handlung um eine spiel- bzw. weltenkonforme Handlung handelt.}, language = {de} } @phdthesis{Zamirirad2017, author = {Zamirirad, Azadeh}, title = {Intraelit{\"a}re Pr{\"a}ferenzformationen in der iranischen Atompolitik}, school = {Universit{\"a}t Potsdam}, pages = {248}, year = {2017}, language = {de} } @phdthesis{Becker2017, author = {Becker, Stefanie Lyn}, title = {From regimes to grassroots innovations}, school = {Universit{\"a}t Potsdam}, pages = {169}, year = {2017}, language = {en} } @phdthesis{Voelsch2017, author = {V{\"o}lsch, Juliane}, title = {"Wortabruf im Handumdrehen"?}, school = {Universit{\"a}t Potsdam}, pages = {270}, year = {2017}, language = {de} } @phdthesis{Eckel2017, author = {Eckel, Nathalie}, title = {Metabolically healthy obesity and metabolically unhealthy normal weight - identification and associated risks}, school = {Universit{\"a}t Potsdam}, pages = {177}, year = {2017}, language = {en} } @phdthesis{Lubitz2017, author = {Lubitz, Christin}, title = {Investigating local surface displacements associated with anthropogenic activities by satellite radar interferometry}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-416001}, school = {Universit{\"a}t Potsdam}, pages = {III, vii, 96, xii}, year = {2017}, abstract = {Direct anthropogenic influences on the Earth's subsurface during drilling, extraction or injection activities, can affect land stability by causing subsidence, uplifts or lateral displacements. They can occur in localized as well as in uninhabited and inhabited regions. Thus the associated risks for humans, infrastructure, and environment must be minimized. To achieve this, appropriate surveillance methods must be found that can be used for simultaneous monitoring during such activities. Multi-temporal synthetic aperture radar interferometry (MT-InSAR) methods like the Persistent Scatterer Interferometry (PSI) and the Small BAseline Subsets (SBAS) have been developed as standard approaches for satellite-based surface displacement monitoring. With increasing spatial resolution and availability of SAR sensors in recent years, MT-InSAR can be valuable for the detection and mapping of even the smallest man-made displacements. This doctoral thesis aims at investigating the capacities of the mentioned standard methods for this purpose, and comprises three main objectives against the backdrop of a user-friendly surveillance service: (1) the spatial and temporal significance assessment against leveling, (2) the suitability evaluation of PSI and SBAS under different conditions, and (3) the analysis of the link between surface motion and subsurface processes. Two prominent case studies on anthropogenic induced subsurface processes in Germany serve as the basis for this goal. The first is the distinct urban uplift with severe damages at Staufen im Breisgau that has been associated since 2007 with a failure to implement a shallow geothermal energy supply for an individual building. The second case study considers the pilot project of geological carbon dioxide (CO2) storage at Ketzin, and comprises borehole drilling and fluid injection of more than 67 kt CO2 between 2008 and 2013. Leveling surveys at Staufen and comprehensive background knowledge of the underground processes gained from different kinds of in-situ measurements at both locations deliver a suitable basis for this comparative study and the above stated objectives. The differences in location setting, i.e. urban versus rural site character, were intended to investigate the limitations in the applicability of PSI and SBAS. For the MT-InSAR analysis, X-band images from the German TerraSAR-X and TanDEM-X satellites were acquired in the standard Stripmap mode with about 3 m spatial resolution in azimuth and range direction. Data acquisition lasted over a period of five years for Staufen (2008-2013), and four years for Ketzin (2009-2013). For the first approximation of the subsurface source, an inversion of the InSAR outcome in Staufen was applied. The modeled uplift based on complex hydromechanical simulations and a correlation analysis with bottomhole pressure data were used for comparison with MT-InSAR measurements at Ketzin. In response to the defined objectives of this thesis, a higher level of detail can be achieved in mapping surface displacements without in-situ effort by using MT-InSAR in comparison to leveling (1). A clear delineation of the elliptical shaped uplift border and its magnitudes at different parts was possible at Staufen, with the exception of a vegetated area in the northwest. Vegetation coverage and the associated temporal signal decorrelation are the main limitations of MT-InSAR as clearly demonstrated at the Ketzin test site. They result in insufficient measurement point density and unwrapping issues. Therefore, spatial resolutions of one meter or better are recommended to achieve an adequate point density for local displacement analysis and to apply signal noise reduction. Leveling measurements can provide a complementary data source here, but require much effort pertaining to personnel even at the local scale. Horizontal motions could be identified at Staufen by only comparing the temporal evolution of the 1D line of sight (LOS) InSAR measurements with the available leveling data. An exception was the independent LOS decomposition using ascending and descending data sets for the period 2012-2013. The full 3D displacement field representation failed due to insufficient orbit-related, north-south sensitivity of the satellite-based measurements. By using the dense temporal mapping capabilities of the TerraSAR-X/TanDEM-X satellites after every 11 days, the temporal displacement evolution could be captured as good as that with leveling. With respect to the tested methods and in the view of generality, SBAS should be preferred over PSI (2). SBAS delivered a higher point density, and was therefore less affected by phase unwrapping issues in both case studies. Linking surface motions with subsurface processes is possible when considering simplified geophysical models (3), but it still requires intensive research to gain a deep understanding.}, language = {en} } @phdthesis{Hildebrandt2017, author = {Hildebrandt, Dieter}, title = {Service-oriented 3D geovisualization systems}, school = {Universit{\"a}t Potsdam}, pages = {xii, 268}, year = {2017}, abstract = {3D geovisualization systems (3DGeoVSs) that use 3D geovirtual environments as a conceptual and technical framework are increasingly used for various applications. They facilitate obtaining insights from ubiquitous geodata by exploiting human abilities that other methods cannot provide. 3DGeoVSs are often complex and evolving systems required to be adaptable and to leverage distributed resources. Designing a 3DGeoVS based on service-oriented architectures, standards, and image-based representations (SSI) facilitates resource sharing and the agile and efficient construction and change of interoperable systems. In particular, exploiting image-based representations (IReps) of 3D views on geodata supports taking full advantage of the potential of such system designs by providing an efficient, decoupled, interoperable, and increasingly applied representation. However, there is insufficient knowledge on how to build service-oriented, standards-based 3DGeoVSs that exploit IReps. This insufficiency is substantially due to technology and interoperability gaps between the geovisualization domain and further domains that such systems rely on. This work presents a coherent framework of contributions that support designing the software architectures of targeted systems and exploiting IReps for providing, styling, and interacting with geodata. The contributions uniquely integrate existing concepts from multiple domains and novel contributions for identified limitations. The proposed software reference architecture (SRA) for 3DGeoVSs based on SSI facilitates designing concrete software architectures of such systems. The SRA describes the decomposition of 3DGeoVSs into a network of services and integrates the following contributions to facilitate exploiting IReps effectively and efficiently. The proposed generalized visualization pipeline model generalizes the prevalent visualization pipeline model and overcomes its expressiveness limitations with respect to transforming IReps. The proposed approach for image-based provisioning enables generating and supplying service consumers with image-based views (IViews). IViews act as first-class data entities in the communication between services and provide a suitable IRep and encoding of geodata. The proposed approach for image-based styling separates concerns of styling from image generation and enables styling geodata uniformly represented as IViews specified as algebraic compositions of high-level styling operators. The proposed approach for interactive image-based novel view generation enables generating new IViews from existing IViews in response to interactive manipulations of the viewing camera and includes an architectural pattern that generalizes common novel view generation. The proposed interactive assisting, constrained 3D navigation technique demonstrates how a navigation technique can be built that supports users in navigating multiscale virtual 3D city models, operates in 3DGeoVSs based on SSI as an application of the SRA, can exploit IReps, and can support collaborating services in exploiting IReps. The validity of the contributions is supported by proof-of-concept prototype implementations and applications and effectiveness and efficiency studies including a user study. Results suggest that this work promises to support designing 3DGeoVSs based on SSI that are more effective and efficient and that can exploit IReps effectively and efficiently. This work presents a template software architecture and key building blocks for building novel IT solutions and applications for geodata, e.g., as components of spatial data infrastructures.}, language = {en} } @phdthesis{Schmehl2017, author = {Schmehl, Hendrik}, title = {Den „Ehrenschild rein gehalten…"}, school = {Universit{\"a}t Potsdam}, pages = {545}, year = {2017}, language = {de} } @phdthesis{Kornhuber2017, author = {Kornhuber, Kai}, title = {Rossby wave dynamics and changes in summertime weather extremes}, school = {Universit{\"a}t Potsdam}, pages = {xii, 222}, year = {2017}, abstract = {Extreme weather events like heatwaves and floods severely affect societies with impacts ranging from economic damages to losses in human lifes. Global warming caused by anthropogenic greenhouse gas emissions is expected to increase their frequency and intensity, particularly in the warm season. Next to these thermodynamic changes, climate change might also impact the large scale atmospheric circulation.Such dynamic changes might additionally act on the occurence of extreme weather events, but involved mechanisms are often highly non-linear. Therefore, large uncertainty exists on the exact nature of these changes and the related risks to society. Particularly in the densely populated mid-latitudes weather patterns are governed by the large scale circulation like the jet-streams and storm tracks. Extreme weather in this region is often related to persistent weather systems associated with a strongly meandering jet-stream. Such meanders are called Rossby waves. Under specific conditions they can become slow moving, stretched around the entire hemisphere and generate simultaneaous heat- and rainfall extremes in far-away regions. This thesis aims at enhancing the understanding of synoptic-scale, circumglobal Rossby waves and the associated risks of dynamical changes to society. More specific, the analyses investigate their relation to extreme weather, regions at risk, under which conditions they are generated, and the influence of anthropogenic climate change on those conditions now, in the past and in the future. I find that circumglobal Rossby waves promoted simultaneous occuring weather extremes across the northern hemisphere in several recent summers. Further, I present evidence that they are often linked to quasiresonant-amplification of planetary waves. These events include the 2003 European heatwave and the Moscow heatwave of 2010. This non-linear mechanism acts on the upper level flow through trapping and amplification of stationary synoptic scale waves. I show that this resonance mechanism acts in both hemispheres and is related to extreme weather. A main finding is that circumglobal Rossby waves primarily occur as two specific teleconnection patterns associated with a wave 5 and wave 7 pattern in the northern hemisphere, likely due to the favourable longitudinal distance of prominent mountain ridges here. Furthermore, I identify those regions which are particularly at risk: The central United States, western Europe and the Ukraine/Russian region. Moreover, I present evidence that the wave 7 pattern has and extreme weather in these regions. My results suggest that the increase in frequency can be linked to favourable changes in large scale temperature gradients, which I show to be largely underestimated by model simulations. Using surface temperature fingerprint as proxy for investigating historic and future model ensembles, evidence is presented that anthropogenic warming has likely increased the probability for the occurence of circumglobal Rossby waves. Further it is shown that this might lead to a doubling of such events until the end of the century under a high-emission scenario. Overall, this thesis establishes several atmosphere-dynamical pathways by which changes in large scale temperature gradients might link to persistent boreal summer weather. It highlights the societal risks associated with the increasing occurence of a newly discovered Rossby wave teleconnection pattern, which has the potential to cause simultaneaous heat-extremes in the mid-latitudinal bread-basket regions. In addition, it provides further evidence that the traditional picture by which quasi-stationary Rossby waves occur only in the low wavenumber regime, should be reconsidered.}, language = {en} } @phdthesis{Cakıl2017, author = {{\c{C}}ak{\i}l, B{\"u}{\c{s}}ra}, title = {Rehabilitierung des Ehrbegriffs}, publisher = {Tectum}, address = {Baden-Baden}, isbn = {978-3-8288-4133-8}, school = {Universit{\"a}t Potsdam}, pages = {X, 210}, year = {2017}, abstract = {Heutzutage ist es {\"u}blich, die Ehre als einen obsoleten Begriff zu betrachten, der nur einem archaischen Denkmodell zuzuordnen ist und keine handlungspr{\"a}gende Gr{\"o}ße in der Gegenwartsgesellschaft darstellt. Die Ehrenmorde, die heute noch in unterschiedlichen Teilen der Welt ver{\"u}bt werden, scheinen diese Behauptung zu best{\"a}tigen. In diesem Buch wird jedoch die These vertreten, dass nicht der Ehrbegriff, sondern seine Deutungen archaischer Natur und daher in Frage zu stellen sind. Die Ehre ist die Bezeichnung des sozialen Werts eines Menschen, den er infolge seiner achtenswerten Handlungen erlangt. Also kann sie kein Motiv f{\"u}r moralisch fragw{\"u}rdige Praktiken bilden. Vor diesem Hintergrund werden die Formen und die Voraussetzungen der Ehre dargestellt, die sowohl in Bezug auf unsere Zeit anpassungsf{\"a}hig als auch ethisch tragbar sind.}, language = {de} } @phdthesis{Schiprowski2017, author = {Schiprowski, Amelie}, title = {Four empirical essays on the economics of job search}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-413508}, school = {Universit{\"a}t Potsdam}, pages = {xiii, 209}, year = {2017}, abstract = {Modern welfare states aim at designing unemployment insurance (UI) schemes which minimize the length of unemployment spells. A variety of institutions and incentives, which are embedded in UI schemes across OECD countries, reflect this attempt. For instance, job seekers entering UI are often provided with personal support through a caseworker. They also face the requirement to regularly submit a minimum number of job applications, which is typically enforced through benefit cuts in the case of non-compliance. Moreover, job seekers may systematically receive information on their re-employment prospects. As a consequence, UI design has become a complex task. Policy makers need to define not only the amount and duration of benefit payments, but also several other choice parameters. These include the intensity and quality of personal support through caseworkers, the level of job search requirements, the strictness of enforcement, and the information provided to unemployed individuals. Causal estimates on how these parameters affect re-employment outcomes are thus central inputs to the design of modern UI systems: how much do individual caseworkers influence the transition out of unemployment? Does the requirement of an additional job application translate into increased job finding? Do individuals behave differently when facing a strict versus mild enforcement system? And how does information on re-employment prospects influence the job search decision? This dissertation proposes four novel research designs to answer this question. Chapters one to three elaborate quasi-experimental identification strategies, which are applied to large-scale administrative data from Switzerland. They, respectively, measure how personal interactions with caseworkers (chapter one), the level of job search requirements (chapter two) and the strictness of enforcement (chapter three) affect re-employment outcomes. Chapter four proposes a structural estimation approach, based on linked survey and administrative data from Germany. It studies how over-optimism on future wage offers affects the decision to search for work, and how the provision of information changes this decision.}, language = {en} } @phdthesis{Castellanos2017, author = {Castellanos, Reynel Urrea}, title = {Functional characterization of FGT2, a positive regulator of heat stress memory}, school = {Universit{\"a}t Potsdam}, pages = {151}, year = {2017}, language = {en} } @phdthesis{Moraes2017, author = {Moraes, Thiago Alexandre}, title = {Exploring the role of the circadian clock in the regulation of starch turnover in changing light conditions in Arabidopsis}, school = {Universit{\"a}t Potsdam}, pages = {354}, year = {2017}, language = {en} } @phdthesis{GrimmSeyfarth2017, author = {Grimm-Seyfarth, Annegret}, title = {Effects of climate change on a reptile community in arid Australia}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-412655}, school = {Universit{\"a}t Potsdam}, pages = {IX, 184}, year = {2017}, abstract = {Dies ist eine kumulative Dissertation, die drei Originalstudien umfasst (eine publiziert, eine in Revision, eine eingereicht; Stand Dezember 2017). Sie untersucht, wie Reptilienarten im ariden Australien auf verschiedene klimatische Parameter verschiedener r{\"a}umlicher Skalen reagieren und analysiert dabei zwei m{\"o}gliche zugrunde liegende Hauptmechanismen: Thermoregulatorisches Verhalten und zwischenartliche Wechselwirkungen. In dieser Dissertation wurden umfassende, individuenbasierte Felddaten verschiedener trophischer Ebenen kombiniert mit ausgew{\"a}hlten Feldexperimenten, statistischen Analysen, und Vorhersagemodellen. Die hier erkannten Mechanismen und Prozesse k{\"o}nnen nun genutzt werden, um m{\"o}gliche Ver{\"a}nderungen der ariden Reptiliengesellschaft in der Zukunft vorherzusagen. Dieses Wissen wird dazu beitragen, dass unser Grundverst{\"a}ndnis {\"u}ber die Konsequenzen des globalen Wandels verbessert und Biodiversit{\"a}tsverlust in diesem anf{\"a}lligen {\"O}kosystem verhindert wird.}, language = {en} } @phdthesis{Leupelt2017, author = {Leupelt, Anke Verena}, title = {Hormonelle K{\"o}rpergewichtsregulation nach Gewichtsreduktion im Rahmen der multimodalen randomisierten Interventionsstudie MAINTAIN}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-413181}, school = {Universit{\"a}t Potsdam}, pages = {XIII, 104}, year = {2017}, abstract = {Adipositas wird mit einer Vielzahl schwerwiegender Folgeerkrankungen in Verbindung gebracht. Eine Gewichtsreduktion f{\"u}hrt zu einer Verbesserung der metabolischen Folgen der Adipositas. Es ist bekannt, dass die Mehrzahl der adip{\"o}sen Personen in den Monaten nach der Gewichtsreduktion einen Großteil des abgenommenen Gewichts wieder zunimmt. Nichtsdestotrotz existiert eine hohe Variabilit{\"a}t hinsichtlich des Langzeiterfolges einer Gewichtsreduktion. Der erfolgreiche Erhalt des reduzierten K{\"o}rpergewichts einiger Personen f{\"u}hrt zu der Frage nach den Faktoren, die einen Gewichtserhalt beeinflussen, mit dem Ziel einen Ansatzpunkt f{\"u}r m{\"o}gliche Therapiestrategien zu identifizieren. In der vorliegenden Arbeit wurde im Rahmen einer kontrollierten, randomisierten Studie mit 143 {\"u}bergewichtigen Probanden untersucht, ob nach einer dreimonatigen Gewichtsreduktion eine zw{\"o}lfmonatige gewichtsstabilisierende Lebensstilintervention einen Einfluss auf die Ver{\"a}nderungen der neuroendokrinen Regelkreisl{\"a}ufe und damit auf den langfristigen Gewichtserhalt {\"u}ber einen Zeitraum von achtzehn Monaten hat. Hierbei wurde im Vergleich der beiden Behandlungsgruppen prim{\"a}r festgestellt, dass die multimodale Lebensstilintervention zu einer Gewichtstabilisierung {\"u}ber die Dauer dieser zw{\"o}lfmonatigen Behandlungsphase f{\"u}hrte. In der Kontrollgruppe kam es zu einer moderaten Gewichtszunahme . Dadurch war nach Beendigung der Interventionsphase der BMI der Teilnehmer in der Kontrollgruppe h{\"o}her als der in der Interventionsgruppe (34,1±6,0 kg*m-2 vs. 32,4±5,7 kg*m-2; p<0,01). W{\"a}hrend der Nachbeobachtungszeit war die Interventionsgruppe durch eine signifikant st{\"a}rkere Gewichtswiederzunahme im Vergleich zur Kontrollgruppe gekennzeichnet, so dass der BMI zwischen beiden Behandlungsgruppen bereits sechs Monate nach der Intervention keinen Unterschied mehr aufwies. Bez{\"u}glich der hormonellen Ver{\"a}nderung durch die Gewichtsreduktion wurde, wie erwartet, eine Auslenkung des endokrinen Systems beobachtet. Jedoch konnte kein Unterschied der untersuchten Hormone im Vergleich der beiden Behandlungsgruppen ausfindig gemacht werden. Im Verlauf der Gewichtsabnahme und der anschließenden Studienphasen zeigten sich tendenziell drei verschiedene Verlaufsmuster in den hormonellen Ver{\"a}nderungen. Nach einer zus{\"a}tzlichen Adjustierung auf den jeweiligen BMI des Untersuchungszeitpunktes konnte f{\"u}r die TSH-Spiegel (p<0,05), die Schilddr{\"u}senhormone (p<0,001) und f{\"u}r die IGF 1-Spiegel (p<0,001) eine {\"u}ber die Studienzeit anhaltende Ver{\"a}nderung festgestellt werden. Abschließend wurde behandlungsgruppenunabh{\"a}ngig untersucht, ob die Hormonspiegel nach Gewichtsreduktion oder ob die relative hormonelle Ver{\"a}nderung w{\"a}hrend der Gewichtsreduktion pr{\"a}diktiv f{\"u}r den Erfolg der Gewichterhaltungsphase ist. Hier fand sich f{\"u}r die Mehrzahl der hormonellen Parameter kein Effekt auf die Langzeitentwicklung der Gewichtszunahme. Jedoch konnte gezeigt werden, dass eine geringere Abnahme der 24h Urin-Metanephrin-Ausscheidung w{\"a}hrend der Gewichtsabnahmephase mit einem besseren Erfolg bez{\"u}glich des Gewichtserhalts {\"u}ber die achtzehnmonatige Studienzeit assoziiert war (standardisiertes Beta= -0,365; r2=0,133 p<0,01). Die anderen hormonellen Achsen zeigten keinen nachweislichen Effekt.}, language = {de} } @phdthesis{Meiser2017, author = {Meiser, Susanne}, title = {Wie dysfunktional sind Dysfunktionale Einstellungen?}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-412483}, school = {Universit{\"a}t Potsdam}, pages = {186}, year = {2017}, abstract = {Im kognitiven Vulnerabilit{\"a}ts-Stress-Modell der Depression von A.T. Beck (1967, 1976) spielen dysfunktionale Einstellungen bei der Entstehung von Depression in Folge von erlebtem Stress eine zentrale Rolle. Diese Theorie pr{\"a}gt seit Jahrzehnten die {\"a}tiologische Erforschung der Depression, jedoch ist die Bedeutung dysfunktionaler Einstellungen im Prozess der Entstehung einer Depression insbesondere im Kindes- und Jugendalter nach wie vor unklar. Die vorliegende Arbeit widmet sich einigen in der bisherigen Forschung wenig behandelten Fragen. Diese betreffen u. a. die M{\"o}glichkeit nichtlinearer Effekte dysfunktionaler Einstellungen, Auswirkungen einer Stichprobenselektion, Entwicklungseffekte sowie die Spezifit{\"a}t etwaiger Zusammenh{\"a}nge f{\"u}r eine depressive Symptomatik. Zur Beantwortung dieser Fragen wurden Daten von zwei Messzeitpunkten der PIER-Studie, eines großangelegten L{\"a}ngsschnittprojekts {\"u}ber Entwicklungsrisiken im Kindes- und Jugendalter, genutzt. Kinder und Jugendliche im Alter von 9 bis 18 Jahren berichteten zweimal im Abstand von ca. 20 Monaten im Selbstberichtsverfahren {\"u}ber ihre dysfunktionalen Einstellungen, Symptome aus verschiedenen St{\"o}rungsbereichen sowie {\"u}ber eingetretene Lebensereignisse. Die Ergebnisse liefern Evidenz f{\"u}r ein Schwellenmodell, in dem dysfunktionale Einstellungen unabh{\"a}ngig von Alter und Geschlecht nur im h{\"o}heren Auspr{\"a}gungsbereich eine Wirkung als Vulnerabilit{\"a}tsfaktor zeigen, w{\"a}hrend im niedrigen Auspr{\"a}gungsbereich keine Zusammenh{\"a}nge zur sp{\"a}teren Depressivit{\"a}t bestehen. Eine Wirkung als Vulnerabilit{\"a}tsfaktor war zudem nur in der Subgruppe der anf{\"a}nglich weitgehend symptomfreien Kinder und Jugendlichen zu beobachten. Das Schwellenmodell erwies sich als spezifisch f{\"u}r eine depressive Symptomatik, es zeigten sich jedoch auch (teilweise ebenfalls nichtlineare) Effekte dysfunktionaler Einstellungen auf die Entwicklung von Essst{\"o}rungssymptomen und aggressivem Verhalten. Bei 9- bis 13-j{\"a}hrigen Jungen standen dysfunktionale Einstellungen zudem in Zusammenhang mit einer Tendenz, Stress in Leistungskontexten herbeizuf{\"u}hren. Zusammen mit den von Sahyazici-Knaak (2015) berichteten Ergebnissen aus der PIER-Studie weisen die Befunde darauf hin, dass dysfunktionale Einstellungen im Kindes- und Jugendalter - je nach betrachteter Subgruppe - Ursache, Symptom und Konsequenz der Depression darstellen k{\"o}nnen. Die in der vorliegenden Arbeit gezeigten nichtlinearen Effekte dysfunktionaler Einstellungen und die Effekte der Stichprobenselektion bieten eine zumindest teilweise Erkl{\"a}rung f{\"u}r die Heterogenit{\"a}t fr{\"u}herer Forschungsergebnisse. Insgesamt lassen sie auf komplexe - und nicht ausschließlich negative - Auswirkungen dysfunktionaler Einstellungen schließen. F{\"u}r eine ad{\"a}quate Beurteilung der „Dysfunktionalit{\"a}t" der von A.T. Beck so betitelten Einstellungen erscheint daher eine Ber{\"u}cksichtigung der betrachteten Personengruppe, der absoluten Auspr{\"a}gungen und der fraglichen Symptomgruppen geboten.}, language = {de} } @phdthesis{Nitze2017, author = {Nitze, Ingmar}, title = {Remote sensing of rapid permafrost landscape dynamics}, school = {Universit{\"a}t Potsdam}, pages = {151}, year = {2017}, language = {en} } @phdthesis{Irrgang2017, author = {Irrgang, Anna Maria}, title = {Temporal and spatial dynamics of Arctic coastal changes and the resulting impacts: Yukon Territory, Canada}, school = {Universit{\"a}t Potsdam}, pages = {154}, year = {2017}, language = {en} } @phdthesis{Murawski2017, author = {Murawski, Aline}, title = {Trends in precipitation over Germany and the Rhine basin related to changes in weather patterns}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-412725}, school = {Universit{\"a}t Potsdam}, pages = {112}, year = {2017}, abstract = {Niederschlag als eine der wichtigsten meteorologischen Gr{\"o}ßen f{\"u}r Landwirtschaft, Wasserversorgung und menschliches Wohlbefinden hat schon immer erh{\"o}hte Aufmerksamkeit erfahren. Niederschlagsmangel kann verheerende Auswirkungen haben, wie z.B. Missernten und Wasserknappheit. {\"U}berm{\"a}ßige Niederschl{\"a}ge andererseits bergen jedoch ebenfalls Gefahren in Form von Hochwasser oder Sturzfluten und wiederum Missernten. Daher wurde viel Arbeit in die Detektion von Niederschlags{\"a}nderungen und deren zugrundeliegende Prozesse gesteckt. Insbesondere angesichts von Klimawandel und unter Ber{\"u}cksichtigung des Zusammenhangs zwischen Temperatur und atmosph{\"a}rischer Wasserhaltekapazit{\"a}t, ist großer Bedarf an Forschung zum Verst{\"a}ndnis der Auswirkungen von Klimawandel auf Niederschlags{\"a}nderungen gegeben. Die vorliegende Arbeit hat das Ziel, vergangene Ver{\"a}nderungen in Niederschlag und anderen meteorologischen Variablen zu verstehen. F{\"u}r verschiedene Zeitr{\"a}ume wurden Tendenzen gefunden und mit entsprechenden Ver{\"a}nderungen in der großskaligen atmosph{\"a}rischen Zirkulation in Zusammenhang gebracht. Die Ergebnisse dieser Arbeit k{\"o}nnen als Grundlage f{\"u}r die Attributierung von Hochwasserver{\"a}nderungen zu Klimawandel genutzt werden. Die Annahmen f{\"u}r die Maßstabsverkleinerung („Downscaling") der Daten von großskaligen Zirkulationsmodellen auf die lokale Skala wurden hier getestet und verifziert. In einem ersten Schritt wurden Niederschlagsver{\"a}nderungen in Deutschland analysiert. Dabei lag der Fokus nicht nur auf Niederschlagssummen, sondern auch auf Eigenschaften der statistischen Verteilung, {\"U}bergangswahrscheinlichkeiten als Maß f{\"u}r Trocken- und Niederschlagsperioden und Extremniederschlagsereignissen. Den r{\"a}umlichen Fokus auf das Rheineinzugsgebiet, das gr{\"o}ßte Flusseinzugsgebiet Deutschlands und einer der Hauptwasserwege Europas, verlagernd, wurden nachgewiesene Ver{\"a}nderungen in Niederschlag und anderen meteorologischen Gr{\"o}ßen in Bezug zu einer „optimierten" Wetterlagenklassifikation analysiert. Die Wetterlagenklassifikation wurde unter der Maßgabe entwickelt, die Varianz des lokalen Klimas bestm{\"o}glich zu erkl{\"a}ren. Die letzte hier behandelte Frage dreht sich darum, ob die beobachteten Ver{\"a}nderungen im lokalen Klima eher H{\"a}ufigkeits{\"a}nderungen der Wetterlagen zuzuordnen sind oder einer Ver{\"a}nderung der Wetterlagen selbst. Eine gebr{\"a}uchliche Annahme f{\"u}r einen Downscaling-Ansatz mit Hilfe von Wetterlagen und einem stochastischen Wettergenerator ist, dass Klimawandel sich allein durch eine Ver{\"a}nderung der H{\"a}ufigkeit von Wetterlagen ausdr{\"u}ckt, die Eigenschaften der Wetterlagen dabei jedoch konstant bleiben. Diese Annahme wurde {\"u}berpr{\"u}ft und die F{\"a}higkeit der neuesten Generation von Zirkulationsmodellen, diese Wetterlagen zu reproduzieren, getestet. Niederschlagsver{\"a}nderungen in Deutschland im Zeitraum 1951-2006 lassen sich zusammenfassen als negativ im Sommer und positiv in allen anderen Jahreszeiten. Verschiedene Niederschlagscharakteristika best{\"a}tigen die Tendenz in den Niederschlagssummen: w{\"a}hrend mittlere und extreme Niederschlagstageswerte im Winter zugenommen haben, sind auch zusammenh{\"a}ngende Niederschlagsperioden l{\"a}nger geworden (ausgedr{\"u}ckt als eine gestiegene Wahrscheinlichkeit f{\"u}r einen Tag mit Niederschlag gefolgt von einem weiteren nassen Tag). Im Sommer wurde das Gegenteil beobachtet: gesunkene Niederschlagssummen, untermauert von verringerten Mittel- und Extremwerten und l{\"a}ngeren Trockenperioden. Abseits dieser allgemeinen Zusammenfassung f{\"u}r das gesamte Gebiet Deutschlands, ist die r{\"a}umliche Verteilung von Niederschlagsver{\"a}nderungen deutlich heterogener. Vermehrter Niederschlag im Winter wurde haupts{\"a}chlich im Nordwesten und S{\"u}dosten Deutschlands beobachtet, w{\"a}hrend im Fr{\"u}hling die st{\"a}rksten Ver{\"a}nderungen im Westen und im Herbst im S{\"u}den aufgetreten sind. Das saisonale Bild wiederum l{\"o}st sich f{\"u}r die zugeh{\"o}rigen Monate auf, z.B. setzt sich der Anstieg im Herbstniederschlag aus deutlich vermehrtem Niederschlag im S{\"u}dwesten im Oktober und im S{\"u}dosten im November zusammen. Diese Ergebnisse betonen die starken r{\"a}umlichen Zusammenh{\"a}nge der Niederschlags{\"a}nderungen. Der n{\"a}chste Schritt hinsichtlich einer Zuordnung von Niederschlagsver{\"a}nderungen zu {\"A}nderungen in großskaligen Zirkulationsmustern, war die Ableitung einer Wetterlagenklassifikation, die die betrachteten lokalen Klimavariablen hinreichend stratifizieren kann. Fokussierend auf Temperatur, Globalstrahlung und Luftfeuchte zus{\"a}tzlich zu Niederschlag, wurde eine Klassifikation basierend auf Luftdruck, Temperatur und spezifischer Luftfeuchtigkeit als am besten geeignet erachtet, die Varianz der lokalen Variablen zu erkl{\"a}ren. Eine vergleichsweise hohe Anzahl von 40 Wetterlagen wurde ausgew{\"a}hlt, die es erlaubt, typische Druckmuster durch die zus{\"a}tzlich verwendete Temperaturinformation einzelnen Jahreszeiten zuzuordnen. W{\"a}hrend die F{\"a}higkeit, Varianz im Niederschlag zu erkl{\"a}ren, relativ gering ist, ist diese deutlich besser f{\"u}r Globalstrahlung und nat{\"u}rlich Temperatur. Die meisten der aktuellen Zirkulationsmodelle des CMIP5-Ensembles sind in der Lage, die Wetterlagen hinsichtlich H{\"a}ufigkeit, Saisonalit{\"a}t und Persistenz hinreichend gut zu reproduzieren. Schließlich wurden dieWetterlagen bez{\"u}glich Ver{\"a}nderungen in ihrer H{\"a}ufigkeit, Saisonalit{\"a}t und Persistenz, sowie der Wetterlagen-spezifischen Niederschl{\"a}ge und Temperatur, untersucht. Um Unsicherheiten durch die Wahl eines bestimmten Analysezeitraums auszuschließen, wurden alle m{\"o}glichen Zeitr{\"a}ume mit mindestens 31 Jahren im Zeitraum 1901-2010 untersucht. Dadurch konnte die Annahme eines konstanten Zusammenhangs zwischen Wetterlagen und lokalem Wetter gr{\"u}ndlich {\"u}berpr{\"u}ft werden. Es wurde herausgefunden, dass diese Annahme nur zum Teil haltbar ist. W{\"a}hrend Ver{\"a}nderungen in der Temperatur haupts{\"a}chlich auf Ver{\"a}nderungen in der Wetterlagenh{\"a}ufigkeit zur{\"u}ckzuf{\"u}hren sind, wurde f{\"u}r Niederschlag ein erheblicher Teil von Ver{\"a}nderungen innerhalb einzelner Wetterlagen gefunden. Das Ausmaß und sogar das Vorzeichen der Ver{\"a}nderungen h{\"a}ngt hochgradig vom untersuchten Zeitraum ab. Die H{\"a}ufigkeit einiger Wetterlagen steht in direkter Beziehung zur langfristigen Variabilit{\"a}t großskaliger Zirkulationsmuster. Niederschlagsver{\"a}nderungen variieren nicht nur r{\"a}umlich, sondern auch zeitlich - Aussagen {\"u}ber Tendenzen sind nur in Bezug zum jeweils untersuchten Zeitraum g{\"u}ltig. W{\"a}hrend ein Teil der Ver{\"a}nderungen auf {\"A}nderungen der großskaligen Zirkulation zur{\"u}ckzuf{\"u}hren ist, gibt es auch deutliche Ver{\"a}nderungen innerhalb einzelner Wetterlagen. Die Ergebnisse betonen die Notwendigkeit f{\"u}r einen sorgf{\"a}ltigen Nachweis von Ver{\"a}nderungen m{\"o}glichst verschiedene Zeitr{\"a}ume zu untersuchen und mahnen zur Vorsicht bei der Anwendung von Downscaling-Ans{\"a}tzen mit Hilfe von Wetterlagen, da diese die Auswirkungen von Klimaver{\"a}nderungen durch das Vernachl{\"a}ssigen von Wetterlagen-internen Ver{\"a}nderungen falsch einsch{\"a}tzen k{\"o}nnten.}, language = {en} } @phdthesis{Golly2017, author = {Golly, Antonius}, title = {Formation and evolution of channel steps and their role for sediment dynamics in a steep mountain stream}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411728}, school = {Universit{\"a}t Potsdam}, pages = {180}, year = {2017}, abstract = {Steep mountain channels are an important component of the fluvial system. On geological timescales, they shape mountain belts and counteract tectonic uplift by erosion. Their channels are strongly coupled to hillslopes and they are often the main source of sediment transported downstream to low-gradient rivers and to alluvial fans, where commonly settlements in mountainous areas are located. Hence, mountain streams are the cause for one of the main natural hazards in these regions. Due to climate change and a pronounced populating of mountainous regions the attention given to this threat is even growing. Although quantitative studies on sediment transport have significantly advanced our knowledge on measuring and calibration techniques we still lack studies of the processes within mountain catchments. Studies examining the mechanisms of energy and mass exchange on small temporal and spatial scales in steep streams remain sparse in comparison to low-gradient alluvial channels. In the beginning of this doctoral project, a vast amount of experience and knowledge of a steep stream in the Swiss Prealps had to be consolidated in order to shape the principal aim of this research effort. It became obvious, that observations from within the catchment are underrepresented in comparison to experiments performed at the catchment's outlet measuring fluxes and the effects of the transported material. To counteract this imbalance, an examination of mass fluxes within the catchment on the process scale was intended. Hence, this thesis is heavily based on direct field observations, which are generally rare in these environments in quantity and quality. The first objective was to investigate the coupling of the channel with surrounding hillslopes, the major sources of sediment. This research, which involved the monitoring of the channel and adjacent hillslopes, revealed that alluvial channel steps play a key role in coupling of channel and hillslopes. The observations showed that hillslope stability is strongly associated with the step presence and an understanding of step morphology and stability is therefore crucial in understanding sediment mobilization. This finding refined the way we think about the sediment dynamics in steep channels and motivated continued research of the step dynamics. However, soon it became obvious that the technological basis for developing field tests and analyzing the high resolution geometry measured in the field was not available. Moreover, for many geometrical quantities in mountain channels definitions and a clear scientific standard was not available. For example, these streams are characterized by a high spatial variability of the channel banks, preventing straightforward calculations of the channel width without a defined reference. Thus, the second and inevitable part of this thesis became the development and evaluation of scientific tools in order to investigate the geometrical content of the study reach thoroughly. The developed framework allowed the derivation of various metrics of step and channel geometry which facilitated research on the a large data set of observations of channel steps. In the third part, innovative, physically-based metrics have been developed and compared to current knowledge on step formation, suggested in the literature. With this analyses it could be demonstrated that the formation of channel steps follow a wide range of hydraulic controls. Due to the wide range of tested parameters channel steps observed in a natural stream were attributed to different mechanisms of step formation, including those based on jamming and those based on key-stones. This study extended our knowledge on step formation in a steep stream and harmonized different, often time seen as competing, processes of step formation. This study was based on observations collected at one point in time. In the fourth part of this project, the findings of the snap-shot observations were extended in the temporal dimension and the derived concepts have been utilized to investigate reach-scale step patterns in response to large, exceptional flood events. The preliminary results of this work based on the long-term analyses of 7 years of long profile surveys showed that the previously observed channel-hillslope mechanism is the responsible for the short-term response of step formation. The findings of the long-term analyses of step patterns drew a bow to the initial observations of a channel-hillslope system which allowed to join the dots in the dynamics of steep stream. Thus, in this thesis a broad approach has been chosen to gain insights into the complex system of steep mountain rivers. The effort includes in situ field observations (article I), the development of quantitative scientific tools (article II), the reach-scale analyses of step-pool morphology (article III) and its temporal evolution (article IV). With this work our view on the processes within the catchment has been advanced towards a better mechanistic understanding of these fluvial system relevant to improve applied scientific work.}, language = {en} } @phdthesis{Zuo2017, author = {Zuo, Zhe}, title = {From unstructured to structured: Context-based named entity mining from text}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-412576}, school = {Universit{\"a}t Potsdam}, pages = {vii, 112}, year = {2017}, abstract = {With recent advances in the area of information extraction, automatically extracting structured information from a vast amount of unstructured textual data becomes an important task, which is infeasible for humans to capture all information manually. Named entities (e.g., persons, organizations, and locations), which are crucial components in texts, are usually the subjects of structured information from textual documents. Therefore, the task of named entity mining receives much attention. It consists of three major subtasks, which are named entity recognition, named entity linking, and relation extraction. These three tasks build up an entire pipeline of a named entity mining system, where each of them has its challenges and can be employed for further applications. As a fundamental task in the natural language processing domain, studies on named entity recognition have a long history, and many existing approaches produce reliable results. The task is aiming to extract mentions of named entities in text and identify their types. Named entity linking recently received much attention with the development of knowledge bases that contain rich information about entities. The goal is to disambiguate mentions of named entities and to link them to the corresponding entries in a knowledge base. Relation extraction, as the final step of named entity mining, is a highly challenging task, which is to extract semantic relations between named entities, e.g., the ownership relation between two companies. In this thesis, we review the state-of-the-art of named entity mining domain in detail, including valuable features, techniques, evaluation methodologies, and so on. Furthermore, we present two of our approaches that focus on the named entity linking and relation extraction tasks separately. To solve the named entity linking task, we propose the entity linking technique, BEL, which operates on a textual range of relevant terms and aggregates decisions from an ensemble of simple classifiers. Each of the classifiers operates on a randomly sampled subset of the above range. In extensive experiments on hand-labeled and benchmark datasets, our approach outperformed state-of-the-art entity linking techniques, both in terms of quality and efficiency. For the task of relation extraction, we focus on extracting a specific group of difficult relation types, business relations between companies. These relations can be used to gain valuable insight into the interactions between companies and perform complex analytics, such as predicting risk or valuating companies. Our semi-supervised strategy can extract business relations between companies based on only a few user-provided seed company pairs. By doing so, we also provide a solution for the problem of determining the direction of asymmetric relations, such as the ownership_of relation. We improve the reliability of the extraction process by using a holistic pattern identification method, which classifies the generated extraction patterns. Our experiments show that we can accurately and reliably extract new entity pairs occurring in the target relation by using as few as five labeled seed pairs.}, language = {en} } @phdthesis{Theuring2017, author = {Theuring, Philipp Christian}, title = {Suspended sediments in the Kharaa River, sources and impacts}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-410550}, school = {Universit{\"a}t Potsdam}, pages = {135}, year = {2017}, abstract = {Anthropogenically amplified erosion leads to increased fine-grained sediment input into the fluvial system in the 15.000 km2 Kharaa River catchment in northern Mongolia and constitutes a major stressing factor for the aquatic ecosystem. This study uniquely combines the application of intensive monitoring, source fingerprinting and catchment modelling techniques to allow for the comparison of the credibility and accuracy of each single method. High-resolution discharge data were used in combination with daily suspended solid measurements to calculate the suspended sediment budget and compare it with estimations of the sediment budget model SedNet. The comparison of both techniques showed that the development of an overall sediment budget with SedNet was possible, yielding results in the same order of magnitude (20.3 kt a- 1 and 16.2 kt a- 1). Radionuclide sediment tracing, using Be-7, Cs-137 and Pb-210 was applied to differentiate sediment sources for particles < 10μm from hillslope and riverbank erosion and showed that riverbank erosion generates 74.5\% of the suspended sediment load, whereas surface erosion contributes 21.7\% and gully erosion only 3.8\%. The contribution of the single subcatchments of the Kharaa to the suspended sediment load was assessed based on their variation in geochemical composition (e.g. in Ti, Sn, Mo, Mn, As, Sr, B, U, Ca and Sb). These variations were used for sediment source discrimination with geochemical composite fingerprints based on Genetic Algorithm driven Discriminant Function Analysis, the Kruskal-Wallis H-test and Principal Component Analysis. The contributions of the individual sub-catchment varied from 6.4\% to 36.2\%, generally showing higher contributions from the sub-catchments in the middle, rather than the upstream portions of the study area. The results indicate that river bank erosion generated by existing grazing practices of livestock is the main cause for elevated fine sediment input. Actions towards the protection of the headwaters and the stabilization of the river banks within the middle reaches were identified as the highest priority. Deforestation and by lodging and forest fires should be prevented to avoid increased hillslope erosion in the mountainous areas. Mining activities are of minor importance for the overall catchment sediment load but can constitute locally important point sources for particular heavy metals in the fluvial system.}, language = {en} } @phdthesis{Lacroix2017, author = {Lacroix, Andr{\´e}}, title = {Factors influencing the effectiveness of balance and resistance training in older adults}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411826}, school = {Universit{\"a}t Potsdam}, pages = {viii, 235}, year = {2017}, abstract = {Hintergrund und Ziele: Altersbedingte Kraft- und Gleichgewichtsverluste sind mit Funktionseinschr{\"a}nkungen und einem erh{\"o}hten Sturzrisiko assoziiert. Kraft- und Gleichgewichtstraining haben das Potenzial, das Gleichgewicht und die Maximalkraft/Schnellkraft von gesunden {\"a}lteren Menschen zu verbessern. Es ist jedoch noch nicht hinreichend untersucht, wie die Effektivit{\"a}t solcher {\"U}bungsprogramme von verschiedenen Faktoren beeinflusst wird. Hierzu geh{\"o}ren die Rolle der Rumpfmuskulatur, die Effekte von kombiniertem Kraft- und Gleichgewichtstraining sowie die Effekte der Trainingsanleitung. Die prim{\"a}ren Ziele dieser Dissertation bestehen daher in der {\"U}berpr{\"u}fung der Zusammenh{\"a}nge von Rumpfkraft und Gleichgewichtsvariablen und der Effekte von kombiniertem Kraft- und Gleichgewichtstraining auf ein breites Spektrum an intrinsischen Sturzrisikofaktoren bei {\"a}lteren Menschen. Ein wesentliches Ziel dieser Dissertation ist zudem die {\"U}berpr{\"u}fung der Auswirkungen von angeleitetem gegen{\"u}ber unangeleitetem Kraft- und/oder Gleichgewichtstraining auf Variablen des Gleichgewichts und der Maximal-/Schnellkraft bei {\"a}lteren Menschen. Methoden: Gesunde {\"a}ltere Erwachsene im Alter zwischen 63 und 80 Jahren wurden in einer Querschnittsstudie, einer L{\"a}ngsschnittstudie und einer Metaanalyse untersucht (Gruppenmittelwerte Meta-Analyse: 65.3-81.1 Jahre). Messungen des Gleichgewichts (statisches/dynamisches, proaktives, reaktives Gleichgewicht) wurden mittels klinischer (z. B. Romberg Test) und instrumentierter Tests (z. B. 10 Meter Gangtest inklusive elektrischer Erfassung von Gangparametern) durchgef{\"u}hrt. Die isometrische Maximalkraft der Rumpfmuskulatur wurde mit speziellen Rumpfkraft-Maschinen gemessen. F{\"u}r die {\"U}berpr{\"u}fung der dynamischen Maximal-/Schnellkraft der unteren Extremit{\"a}t wurden klinische Tests (z. B. Chair Stand Test) verwendet. Weiterhin wurde ein kombiniertes Kraft- und Gleichgewichtstraining durchgef{\"u}hrt, um trainingsbedingte Effekte auf Gleichgewicht und Maximal-/Schnellkraft sowie die Effekte der Trainingsanleitung bei {\"a}lteren Erwachsenen zu untersuchen. Ergebnisse: Die Ergebnisse zeigten signifikante Korrelationen zwischen Rumpfkraft und statischem sowie ausgew{\"a}hlten Parametern des dynamischen Gleichgewichts (0.42 ≤ r ≤ 0.57). Kombiniertes Kraft- und Gleichgewichtstraining verbesserte das statische/dynamische (z. B. Romberg Test, Ganggeschwindigkeit), proaktive (z. B. Timed Up und Go Test) und reaktive Gleichgewicht (z. B. Push and Release Test) sowie die Maximal-/Schnellkraft (z. B. Chair Stand Test) von gesunden {\"a}lteren Menschen (0.62 ≤ Cohen's d ≤ 2.86; alle p < 0.05). Angeleitetes Training f{\"u}hrte verglichen mit unangeleitetem Training zu gr{\"o}ßeren Effekten bei Gleichgewicht und Maximal-/Schnellkraft [L{\"a}ngsschnittstudie: Effekte in der angeleiteten Gruppe 0.26 ≤ d ≤ 2.86, Effekte in der unangeleiteten Gruppe 0.06 ≤ d ≤ 2.30; Metaanalyse: alle Standardisierte Mittelwertdifferenzen (SMDbs) zugunsten der angeleiteten Programme 0.24-0.53]. Die Metaanalyse zeigte zudem gr{\"o}ßere Effekte zugunsten der angeleiteten Programme, wenn diese mit komplett unbeaufsichtigten Programmen verglichen wurden (0.28 ≤ SMDbs ≤ 1.24). Diese Effekte zugunsten der angeleiteten Interventionen wurden jedoch abgeschw{\"a}cht, wenn sie mit unangeleiteten Interventionen verglichen wurden, die wenige zus{\"a}tzliche angeleitete Einheiten integrierten (-0.06 ≤ SMDbs ≤ 0.41). Schlussfolgerungen: Eine Aufnahme von Rumpfkraft{\"u}bungen in sturzpr{\"a}ventive Trainingsprogramme f{\"u}r {\"a}ltere Menschen k{\"o}nnte die Verbesserung von Gleichgewichtsparametern positiv beeinflussen. Die positiven Effekte auf eine Vielzahl wichtiger intrinsischer Sturzrisikofaktoren (z. B. Gleichgewichts-, Kraftdefizite) implizieren, dass besonders die Kombination aus Kraft- und Gleichgewichtstraining eine durchf{\"u}hrbare und effektive sturzpr{\"a}ventive Intervention ist. Aufgrund gr{\"o}ßerer Effekte von angeleitetem im Vergleich zu unangeleitetem Training sollten angeleitete Einheiten in sturzpr{\"a}ventive {\"U}bungsprogramme f{\"u}r {\"a}ltere Erwachsene integriert werden.}, language = {en} } @phdthesis{Schmidt2017, author = {Schmidt, Katja}, title = {Assessing, testing, and implementing socio-cultural valuation methods to operationalise ecosystem services in land use management}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411049}, school = {Universit{\"a}t Potsdam}, pages = {165}, year = {2017}, abstract = {Ecosystem services (ESs) are defined as the contributions that ecosystems make to human wellbeing and are increasingly being used as an approach to explore the importance of ecosystems for humans through their valuation. Although value plurality has been recognised long before the mainstreaming of ESs research, socio-cultural valuation is still underrepresented in ESs assessments. It is the central goal of this PhD dissertation to explore the ability of socio-cultural valuation methods for the operationalisation of ESs research in land management. To address this, I formulated three research objectives that are briefly outlined below and relate to the three studies conducted during this dissertation. The first objective relates to the assessment of the current role of socio-cultural valuation in ESs research. Human values are central to ESs research yet non-monetary socio-cultural valuation methods have been found underrepresented in the field of ESs science. In regard to the unbalanced consideration of value domains and conceptual uncertainties, I perform a systematic literature review aiming to answer the research question: To what extent have socio-cultural values been addressed in ESs assessments. The second objective aims to test socio-cultural valuation methods of ESs and their relevance for land use preferences by exploring their methodological opportunities and limitations. Socio-cultural valuation methods have only recently become a focus in ESs research and therefore bear various uncertainties in regard to their methodological implications. To overcome these uncertainties, I analysed responses to a visitor survey. The research questions related to the second objective were: What are the implications of different valuation methods for ESs values? To what extent are land use preferences explained by socio-cultural values of ESs? The third objective addressed in this dissertation is the implementation of ESs research into land management through socio-cultural valuation. Though it is emphasised that the ESs approach can assist decision making, there is little empirical evidence of the effect of ESs knowledge on land management. I proposed a way to implement transdisciplinary, spatially explicit research on ESs by answering the following research questions: Which landscape features underpinning ESs supply are considered in land management? How can participatory approaches accounting for ESs be operationalised in land management? The empirical research resulted in five main findings that provide answers to the research questions. First, this dissertation provides evidence that socio-cultural values are an integral part of ESs research. I found that they can be assessed for provisioning, regulating, and cultural services though they are linked to cultural services to a greater degree. Socio-cultural values have been assessed by monetary and non-monetary methods and their assessment is effectively facilitated by stakeholder participation. Second, I found that different methods of socio-cultural valuation revealed different information. Whereas rating revealed a general value of ESs, weighting was found more suitable to identify priorities across ESs. Value intentions likewise differed in the distribution of values, generally implying a higher value for others than for respondents themselves. Third, I showed that ESs values were distributed similarly across groups with differing land use preferences. Thus, I provided empirical evidence that ESs values and landscape values should not be used interchangeably. Fourth, I showed which landscape features important for ESs supply in a Scottish regional park are not sufficiently accounted for in the current management strategy. This knowledge is useful for the identification of priority sites for land management. Finally, I provide an approach to explore how ESs knowledge elicited by participatory mapping can be operationalised in land management. I demonstrate how stakeholder knowledge and values can be used for the identification of ESs hotspots and how these hotspots can be compared to current management priorities. This dissertation helps to bridge current gaps of ESs science by advancing the understanding of the current role of socio-cultural values in ESs research, testing different methods and their relevance for land use preferences, and implementing ESs knowledge into land management. If and to what extent ESs and their values are implemented into ecosystem management is mainly the choice of the management. An advanced understanding of socio-cultural valuation methods contributes to the normative basis of this management, while the proposal for the implementation of ESs in land management presents a practical approach of how to transfer this type of knowledge into practice. The proposed methods for socio-cultural valuation can support guiding land management towards a balanced consideration of ESs and conservation goals.}, language = {en} } @phdthesis{Wagner2017, author = {Wagner, Mario}, title = {Industrie 4.0 und demografische Entwicklung aus strukturationstheoretischer Sicht}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-412230}, school = {Universit{\"a}t Potsdam}, pages = {235}, year = {2017}, abstract = {Das Ziel der Arbeit ist die Entwicklung eines heuristischen Bezugsrahmens zur Erkl{\"a}rung der Komplexit{\"a}t im Kontext von Industrie 4.0 und der demografischen Entwicklung aus strukturationstheoretischer Sicht. Dabei sind in Bezug auf die zuk{\"u}nftig zu erwartenden kognitiven Anforderungen an die Besch{\"a}ftigten die Fragen essentiell, vor welchen Herausforderungen Unternehmen bez{\"u}glich der Einstellung und dem Verhalten sowie dem Erfahrungswissen der Besch{\"a}ftigten stehen und welche L{\"o}sungsans{\"a}tze sich im Umgang mit den Herausforderungen in der Praxis bisher als hilfreich erweisen. In Kapitel 1 erfolgt zun{\"a}chst die Beschreibung der Ausgangslage. Es werden die Begriffe Industrie 4.0 und demografische Entwicklung inhaltlich diskutiert und in einen theoretischen Zusammenhang gebracht. In Kapitel 2 erfolgt die theoretische Fundierung der Arbeit. Dabei wird eine strukturationstheoretische Sicht auf Unternehmen als soziotechnische Systeme eingenommen. Durch diese „nicht deterministische" Sichtweise wird ein prozessualer Blick auf den Wandlungsprozess in Unternehmen geschaffen, der es m{\"o}glich macht, die Besch{\"a}ftigten als aktiv handelnde Akteure im Sinne von „organisieren" zur Erkl{\"a}rung m{\"o}glicher Zusammenh{\"a}nge zwischen Industrie 4.0 und der demografischen Entwicklung mit einzubeziehen. Der soziotechnische Systemansatz und die Strukturationstheorie bilden in diesem Sinne den „Kern" des zu entwickelnden heuristischen Bezugsrahmens. Die inhaltliche Gestaltung des theoriebasierten heuristischen Bezugsrahmens erfolgt in Kapitel 3 und Kapitel 4. Kapitel 3 beschreibt ausgew{\"a}hlte Aspekte zuk{\"u}nftiger Anforderungen an die Arbeit, die durch eine systematische Aufbereitung des derzeitigen Forschungsstandes zu Industrie 4.0 ermittelt wurden. Sie bilden die „Gestaltungsgrenzen", innerhalb derer sich je nach betrieblicher Situation unterschiedliche neue oder ge{\"a}nderte Anforderungen an die Besch{\"a}ftigten bei der Gestaltung von Industrie 4.0 ableiten lassen. In Kapitel 4 werden ausgew{\"a}hlte Aspekte menschlichen Handelns am Beispiel {\"a}lterer Besch{\"a}ftigter in Form zweier Schwerpunkte beschrieben. Der erste Schwerpunkt betrifft m{\"o}gliche Einflussfaktoren auf die Einstellung und das Verhalten {\"a}lterer Besch{\"a}ftigter im Wandlungsprozess aufgrund eines vorherrschenden Altersbildes im Unternehmen. Grundlage hierzu bildete die Stigmatisierungstheorie als interaktionistischer Ansatz der Sozialtheorie. Mit dem zweiten Schwerpunkt, den ausgew{\"a}hlten handlungstheoretischen Aspekten der Alternsforschung aus der Entwicklungspsychologie, wird eine Lebensspannenperspektive eingenommen. Inhaltlich werden die komplexit{\"a}tsinduzierten Faktoren, die sich aus handlungstheoretischer Perspektive mit der Adaptation von {\"a}lteren Besch{\"a}ftigten an ver{\"a}nderte {\"a}ußere und pers{\"o}nliche Lebensbedingungen besch{\"a}ftigen, systematisiert. Anschließend wird auf Grundlage der bisherigen theoretischen Vor{\"u}berlegungen ein erster theoriebasierter Bezugsrahmen abgeleitet. Kapitel 5 und Kapitel 6 beschreiben den empirischen Teil, die Durchf{\"u}hrung teilstrukturierter Interviews, der Arbeit. Ziel der empirischen Untersuchung war es, neben der theoretischen Fundierung den theoriebasierten heuristischen Bezugsrahmen um Praxiserfahrungen zu konkretisieren und gegebenenfalls zu erg{\"a}nzen. Hierzu wurde auf Grundlage des theoriebasierten heuristischen Bezugsrahmens mittels teilstrukturierter Interviews das Erfahrungswissen von 23 Experten in pers{\"o}nlichen Gespr{\"a}chen abgefragt. Nachdem in Kapitel 5 die Vorgehensweise der empirischen Untersuchung beschrieben wird, erfolgt in Kapitel 6 die Beschreibung der Ergebnisse aus der qualitativen Befragung. Hierzu werden aus den pers{\"o}nlichen Gespr{\"a}chen zentrale Einflussfaktoren bei der Gestaltung und Umsetzung von Industrie 4.0 im Kontext mit der demografischen Entwicklung analysiert und in die {\"u}bergeordneten Kategorien Handlungskompetenzen, Einstellung/ Verhalten sowie Erfahrungswissen geclustert. Anschließend wird der theoriebasierte heuristische Bezugsrahmen durch die {\"u}bergeordneten Kategorien und Faktoren aus den Expertengespr{\"a}chen konkretisiert und erg{\"a}nzt. In Kapitel 7 werden auf Grundlage des heuristischen Bezugsrahmens sowie der Empfehlungen aus den Experteninterviews beispielhaft Implikationen f{\"u}r die Praxis abgeleitet. Es werden Interventionsm{\"o}glichkeiten zur Unterst{\"u}tzung einer positiven Ver{\"a}nderungsbereitschaft und einem positiven Ver{\"a}nderungsverhalten f{\"u}r den Strukturwandel aufgezeigt. Hierzu geh{\"o}ren die Anpassung des F{\"u}hrungsverhaltens im Wandlungsprozess, der Umgang mit der Paradoxie von Stabilit{\"a}t und Flexibilit{\"a}t, der Umgang mit Altersstereotypen in Unternehmen, die Unterst{\"u}tzung von Strategien zu Selektion, Optimierung und Kompensation sowie Maßnahmen zur Ausrichtung von Aktivit{\"a}ten an die Potenzialrisiken der Besch{\"a}ftigten. Eine Zusammenfassung, ein Res{\"u}mee und ein Ausblick erfolgen abschließend in Kapitel 8.}, language = {de} } @phdthesis{Paape2017, author = {Paape, Dario L. J. F.}, title = {Antecedent complexity effects on ellipsis processing}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411689}, school = {Universit{\"a}t Potsdam}, pages = {ix, 134}, year = {2017}, abstract = {This dissertation explores whether the processing of ellipsis is affected by changes in the complexity of the antecedent, either due to added linguistic material or to the presence of a temporary ambiguity. Murphy (1985) hypothesized that ellipsis is resolved via a string copying procedure when the antecedent is within the same sentence, and that copying longer strings takes more time. Such an account also implies that the antecedent is copied without its structure, which in turn implies that recomputing its syntax and semantics may be necessary at the ellipsis gap. Alternatively, several accounts predict null effects of antecedent complexity, as well as no reparsing. These either involve a structure copying mechanism that is cost-free and whose finishing time is thus independent of the form of the antecedent (Frazier \& Clifton, 2001), treat ellipsis as a pointer into content-addressable memory with direct access (Martin \& McElree, 2008, 2009), or assume that one structure is 'shared' between antecedent and gap (Frazier \& Clifton, 2005). In a self-paced reading study on German sluicing, temporarily ambiguous garden-path clauses were used as antecedents, but no evidence of reparsing in the form of a slowdown at the ellipsis site was found. Instead, results suggest that antecedents which had been reanalyzed from an initially incorrect structure were easier to retrieve at the gap. This finding that can be explained within the framework of cue-based retrieval parsing (Lewis \& Vasishth, 2005), where additional syntactic operations on a structure yield memory reactivation effects. Two further self-paced reading studies on German bare argument ellipsis and English verb phrase ellipsis investigated if adding linguistic content to the antecedent would increase processing times for the ellipsis, and whether insufficiently demanding comprehension tasks may have been responsible for earlier null results (Frazier \& Clifton, 2000; Martin \& McElree, 2008). It has also been suggested that increased antecedent complexity should shorten rather than lengthen retrieval times by providing more unique memory features (Hofmeister, 2011). Both experiments failed to yield reliable evidence that antecedent complexity affects ellipsis processing times in either direction, irrespectively of task demands. Finally, two eye-tracking studies probed more deeply into the proposed reactivation-induced speedup found in the first experiment. The first study used three different kinds of French garden-path sentences as antecedents, with two of them failing to yield evidence for reactivation. Moreover, the third sentence type showed evidence suggesting that having failed to assign a structure to the antecedent leads to a slowdown at the ellipsis site, as well as regressions towards the ambiguous part of the sentence. The second eye-tracking study used the same materials as the initial self-paced reading study on German, with results showing a pattern similar to the one originally observed, with some notable differences. Overall, the experimental results are compatible with the view that adding linguistic material to the antecedent has no or very little effect on the ease with which ellipsis is resolved, which is consistent with the predictions of cost-free copying, pointer-based approaches and structure sharing. Additionally, effects of the antecedent's parsing history on ellipsis processing may be due to reactivation, the availability of multiple representations in memory, or complete failure to retrieve a matching target.}, language = {en} } @phdthesis{Bredow2017, author = {Bredow, Eva}, title = {Geodynamic models of plume-ridge interaction}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411732}, school = {Universit{\"a}t Potsdam}, pages = {104}, year = {2017}, abstract = {According to the classical plume hypothesis, mantle plumes are localized upwellings of hot, buoyant material in the Earth's mantle. They have a typical mushroom shape, consisting of a large plume head, which is associated with the formation of voluminous flood basalts (a Large Igneous Province) and a narrow plume tail, which generates a linear, age-progressive chain of volcanic edifices (a hotspot track) as the tectonic plate migrates over the relatively stationary plume. Both plume heads and tails reshape large areas of the Earth's surface over many tens of millions of years. However, not every plume has left an exemplary record that supports the classical hypothesis. The main objective of this thesis is therefore to study how specific hotspots have created the crustal thickness pattern attributed to their volcanic activities. Using regional geodynamic models, the main chapters of this thesis address the challenge of deciphering the three individual (and increasingly complex) Réunion, Iceland, and Kerguelen hotspot histories, especially focussing on the interactions between the respective plume and nearby spreading ridges. For this purpose, the mantle convection code ASPECT is used to set up three-dimensional numerical models, which consider the specific local surroundings of each plume by prescribing time-dependent boundary conditions for temperature and mantle flow. Combining reconstructed plate boundaries and plate motions, large-scale global flow velocities and an inhomogeneous lithosphere thickness distribution together with a dehydration rheology represents a novel setup for regional convection models. The model results show the crustal thickness pattern produced by the plume, which is compared to present-day topographic structures, crustal thickness estimates and age determinations of volcanic provinces associated with hotspot activity. Altogether, the model results agree well with surface observations. Moreover, the dynamic development of the plumes in the models provide explanations for the generation of smaller, yet characteristic volcanic features that were previously unexplained. Considering the present-day state of a model as a prediction for the current temperature distribution in the mantle, it cannot only be compared to observations on the surface, but also to structures in the Earth's interior as imaged by seismic tomography. More precisely, in the case of the Réunion hotspot, the model demonstrates how the distinctive gap between the Maldives and Chagos is generated due to the combination of the ridge geometry and plume-ridge interaction. Further, the Rodrigues Ridge is formed as the surface expression of a long-distance sublithospheric flow channel between the upwelling plume and the closest ridge segment, confirming the long-standing hypothesis of Morgan (1978) for the first time in a dynamic context. The Réunion plume has been studied in connection with the seismological RHUM-RUM project, which has recently provided new seismic tomography images that yield an excellent match with the geodynamic model. Regarding the Iceland plume, the numerical model shows how plume material may have accumulated in an east-west trending corridor of thin lithosphere across Greenland and resulted in simultaneous melt generation west and east of Greenland. This provides an explanation for the extremely widespread volcanic material attributed to magma production of the Iceland hotspot and demonstrates that the model setup is also able to explain more complicated hotspot histories. The Iceland model results also agree well with newly derived seismic tomographic images. The Kerguelen hotspot has an extremely complex history and previous studies concluded that the plume might be dismembered or influenced by solitary waves in its conduit to produce the reconstructed variable melt production rate. The geodynamic model, however, shows that a constant plume influx can result in a variable magma production rate if the plume interacts with nearby mid-ocean ridges. Moreover, the Ninetyeast Ridge in the model is created by on-ridge activities, while the Kerguelen plume was located beneath the Australian plate. This is also a contrast to earlier studies, which described the Ninetyeast Ridge as the result of the Indian plate passing over the plume. Furthermore, the Amsterdam-Saint Paul Plateau in the model is the result of plume material flowing from the upwelling toward the Southeast Indian Ridge, whereas previous geochemical studies attributed that volcanic province to a separate deep plume. In summary, the three case studies presented in this thesis consistently highlight the importance of plume-ridge interaction in order to reconstruct the overall volcanic hotspot record as well as specific smaller features attributed to a certain hotspot. They also demonstrate that it is not necessary to attribute highly complicated properties to a specific plume in order to account for complex observations. Thus, this thesis contributes to the general understanding of plume dynamics and extends the very specific knowledge about the Réunion, Iceland, and Kerguelen mantle plumes.}, language = {en} } @phdthesis{Marusch2017, author = {Marusch, Tina}, title = {Language production of inflectional verb morphology in healthy and impaired adult speakers of German and English.}, school = {Universit{\"a}t Potsdam}, pages = {153}, year = {2017}, abstract = {This thesis investigates the processing and representation of (ir-)regularity in inflectional verb morphology in German and English. The focus lies on the predictions from models of morphological processing about the production of subtypes of irregular verbs which are usually subsumed under the category `irregular verbs'. Thus, this dissertation presents three journal articles investigating the language production of healthy speakers and speakers with agrammatic aphasia in order to fill a gap both for the availability of language production data and systematically tested patterns of irregularity. The second Chapter set out to investigate whether regularity of a verb or its phonological complexity (measured in number of phonemes) better predict the production accuracies of German speakers with agrammatic aphasia. While regular verbs were significantly more often correct than mixed and irregular verbs, production accuracies of irregular and mixed verbs for impaired participants did not differ. Thus, no influence of phonological complexity was observed. Chapter 3 aimed at teasing apart the influence of stem changes and affix type on the production accuracies of English speaking individuals with agrammatic aphasia. The analyses revealed that the presence of stem changes but not the type of affix had a significant effect on the production accuracies. Moreover, as four different verb types were tested, results showed that production accuracies did not conform to a regular-irregular distinction but that accuracies differed by the degree of regularity. In Chapter 4, long-lag primed picture naming design was used to study if the differences found in the production accuracies of Chapter 3 were also associated with differences in production latencies of non-brain damaged speakers. A morphological priming effect was found, however, in neither experiment the effect differed of the three verb types tested. In addition to standard frequentist analysis, Bayesian analysis were performed. In this way the absence of a difference of the morphological priming effect between verb types was interpreted as actual evidence for the lack of such a difference. Hence, this thesis presents diverging results on the production of subtypes of irregular verbs in healthy and impaired adult speakers. However, at the same time these results provided evidence that the conventional regular-irregular distinction is not adequate for testing models of morphological processing.}, language = {en} } @phdthesis{Kaliga2017, author = {Kaliga, Sarah Ninette}, title = {Eine Frage der Zeit. Wie Einfl{\"u}sse individueller Merkmale auf Einkommen bei Frauen {\"u}ber ihre famili{\"a}ren Verpflichtungen vermittelt werden}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407353}, school = {Universit{\"a}t Potsdam}, pages = {259}, year = {2017}, abstract = {Die vorliegende Arbeit mit dem Titel „Eine Frage der Zeit. Wie Einfl{\"u}sse individueller Merkmale auf Einkommen bei Frauen {\"u}ber ihre famili{\"a}ren Verpflichtungen vermittelt werden" geht der Frage der Heterogenit{\"a}t bei weiblichen Einkommensergebnissen nach. Dabei steht die Thematik der individuellen Investitionen in die famili{\"a}re Arbeit als erkl{\"a}render Faktor im Vordergrund und es wird der Frage nachgegangen, warum die einen Frauen viele und andere weniger h{\"a}usliche Verpflichtungen {\"u}bernehmen. Hierf{\"u}r werden das individuelle Humankapital der Frauen, ihre Werteorientierungen und individuelle berufliche Motivationen aus der Jugendzeit und im Erwachsenenalter herangezogen. Die analysierten Daten (Daten der LifE-Studie) repr{\"a}sentieren eine Langzeitperspektive vom 16. bis zum 45. Lebensjahr der befragten Frauen. Zusammenfassend kann im Ergebnis gezeigt werden, dass ein Effekt famili{\"a}rer Verpflichtungen auf Einkommensergebnisse bei Frauen im fr{\"u}hen und mittleren Erwachsenenalter als Zeiteffekt {\"u}ber die investierte Erwerbsarbeitszeit vermittelt wird. Die Relevanz privater Routinearbeiten f{\"u}r Berufserfolge von Frauen und insbesondere M{\"u}ttern stellt somit eine Frage der Zeit dar. Weiterhin kann f{\"u}r individuelle Einfl{\"u}sse auf Einkommen bei Frauen gezeigt werden, dass h{\"o}here zeitliche Investitionen in den Beruf von Frauen mit hohem Bildungsniveau als indirect-only-Mediation nur {\"u}ber die Umverteilung h{\"a}uslicher Arbeiten erkl{\"a}rbar werden. Frauen sind demnach zwar Gewinnerinnen der Bildungsexpansion. Die Bildungsexpansion stellt jedoch auch die Geschichte der Entstehung eines Vereinbarkeitskonflikts f{\"u}r eben diese Frauen dar, weil die bis heute virulenten Beharrungskr{\"a}fte hinsichtlich der Frauen zugeschriebenen famili{\"a}ren Verpflichtungen mit ihren gestiegenen beruflichen Erwartungen und Chancen kollidieren. Die Arbeit leistet in ihren Analyseresultaten einen wichtigen Beitrag zur Erkl{\"a}rung heterogener Investitionen von Frauen in den Beruf und ihrer Einkommensergebnisse aus dem Privaten heraus.}, language = {de} } @phdthesis{Foti2017, author = {Foti, Alessandro}, title = {Characterization of the human aldehyde oxidase}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-410107}, school = {Universit{\"a}t Potsdam}, pages = {157}, year = {2017}, abstract = {In this work the human AOX1 was characterized and detailed aspects regarding the expression, the enzyme kinetics and the production of reactive oxygen species (ROS) were investigated. The hAOX1 is a cytosolic enzyme belonging to the molybdenum hydroxylase family. Its catalytically active form is a homodimer with a molecular weight of 300 kDa. Each monomer (150 kDa) consists of three domains: a N-terminal domain (20 kDa) containing two [2Fe-2S] clusters, a 40 kDa intermediate domain containing a flavin adenine dinucleotide (FAD), and a C-terminal domain (85 kDa) containing the substrate binding pocket and the molybdenum cofactor (Moco). The hAOX1 has an emerging role in the metabolism and pharmacokinetics of many drugs, especially aldehydes and N- heterocyclic compounds. In this study, the hAOX1 was hetereogously expressed in E. coli TP1000 cells, using a new codon optimized gene sequence which improved the expressed protein yield of around 10-fold compared to the previous expression systems for this enzyme. To increase the catalytic activity of hAOX1, an in vitro chemical sulfuration was performed to favor the insertion of the equatorial sulfido ligand at the Moco with consequent increased enzymatic activity of around 10-fold. Steady-state kinetics and inhibition studies were performed using several substrates, electron acceptors and inhibitors. The recombinant hAOX1 showed higher catalytic activity when molecular oxygen was used as electron acceptor. The highest turn over values were obtained with phenanthridine as substrate. Inhibition studies using thioridazine (phenothiazine family), in combination with structural studies performed in the group of Prof. M.J. Rom{\~a}o, Nova Universidade de Lisboa, showed a new inhibition site located in proximity of the dimerization site of hAOX1. The inhibition mode of thioridazine resulted in a noncompetitive inhibition type. Further inhibition studies with loxapine, a thioridazine-related molecule, showed the same type of inhibition. Additional inhibition studies using DCPIP and raloxifene were carried out. Extensive studies on the FAD active site of the hAOX1 were performed. Twenty new hAOX1 variants were produced and characterized. The hAOX1 variants generated in this work were divided in three groups: I) hAOX1 single nucleotide polymorphisms (SNP) variants; II) XOR- FAD loop hAOX1 variants; III) additional single point hAOX1 variants. The hAOX1 SNP variants G46E, G50D, G346R, R433P, A439E, K1231N showed clear alterations in their catalytic activity, indicating a crucial role of these residues into the FAD active site and in relation to the overall reactivity of hAOX1. Furthermore, residues of the bovine XOR FAD flexible loop (Q423ASRREDDIAK433) were introduced in the hAOX1. FAD loop hAOX1 variants were produced and characterized for their stability and catalytic activity. Especially the variants hAOX1 N436D/A437D/L438I, N436D/A437D/L438I/I440K and Q434R/N436D/A437D/L438I/I440K showed decreased catalytic activity and stability. hAOX1 wild type and variants were tested for reactivity toward NADH but no reaction was observed. Additionally, the hAOX1 wild type and variants were tested for the generation of reactive oxygen species (ROS). Interestingly, one of the SNP variants, hAOX1 L438V, showed a high ratio of superoxide prodction. This result showed a critical role for the residue Leu438 in the mechanism of oxygen radicals formation by hAOX1. Subsequently, further hAOX1 variants having the mutated Leu438 residue were produced. The variants hAOX1 L438A, L438F and L438K showed superoxide overproduction of around 85\%, 65\% and 35\% of the total reducing equivalent obtained from the substrate oxidation. The results of this work show for the first time a characterization of the FAD active site of the hAOX1, revealing the importance of specific residues involved in the generation of ROS and effecting the overall enzymatic activity of hAOX1. The hAOX1 SNP variants presented here indicate that those allelic variations in humans might cause alterations ROS balancing and clearance of drugs in humans.}, language = {en} } @phdthesis{Doriti2017, author = {Doriti, Afroditi}, title = {Sustainable bio-based poly-N-glycines and polyesters}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411286}, school = {Universit{\"a}t Potsdam}, pages = {vi, 117}, year = {2017}, abstract = {Nowadays, the need to protect the environment becomes more urgent than ever. In the field of chemistry, this translates to practices such as waste prevention, use of renewable feedstocks, and catalysis; concepts based on the principles of green chemistry. Polymers are an important product in the chemical industry and are also in the focus of these changes. In this thesis, more sustainable approaches to make two classes of polymers, polypeptoids and polyesters, are described. Polypeptoids or poly(alkyl-N-glycines) are isomers of polypeptides and are biocompatible, as well as degradable under biologically relevant conditions. In addition to that, they can have interesting properties such as lower critical solution temperature (LCST) behavior. They are usually synthesized by the ring opening polymerization (ROP) of N-carboxy anhydrides (NCAs), which are produced with the use of toxic compounds (e.g. phosgene) and which are highly sensitive to humidity. In order to avoid the direct synthesis and isolation of the NCAs, N-phenoxycarbonyl-protected N-substituted glycines are prepared, which can yield the NCAs in situ. The conditions for the NCA synthesis and its direct polymerization are investigated and optimized for the simplest N-substituted glycine, sarcosine. The use of a tertiary amine in less than stoichiometric amounts compared to the N-phenoxycarbonyl--sarcosine seems to accelerate drastically the NCA formation and does not affect the efficiency of the polymerization. In fact, well defined polysarcosines that comply to the monomer to initiator ratio can be produced by this method. This approach was also applied to other N-substituted glycines. Dihydroxyacetone is a sustainable diol produced from glycerol, and has already been used for the synthesis of polycarbonates. Here, it was used as a comonomer for the synthesis of polyesters. However, the polymerization of dihydroxyacetone presented difficulties, probably due to the insolubility of the macromolecular chains. To circumvent the problem, the dimethyl acetal protected dihydroxyacetone was polymerized with terephthaloyl chloride to yield a soluble polymer. When the carbonyl was recovered after deprotection, the product was insoluble in all solvents, showing that the carbonyl in the main chain hinders the dissolution of the polymers. The solubility issue can be avoided, when a 1:1 mixture of dihydroxyacetone/ ethylene glycol is used to yield a soluble copolyester.}, language = {en} } @phdthesis{Radon2017, author = {Radon, Christin}, title = {Analyse der Funktion der dualen Lokalisation der 3-Mercaptopyruvat Sulfurtransferase im Menschen}, school = {Universit{\"a}t Potsdam}, pages = {123}, year = {2017}, language = {de} } @phdthesis{Zieger2017, author = {Zieger, Tobias}, title = {Self-adaptive data quality}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-410573}, school = {Universit{\"a}t Potsdam}, pages = {vii, 125}, year = {2017}, abstract = {Carrying out business processes successfully is closely linked to the quality of the data inventory in an organization. Lacks in data quality lead to problems: Incorrect address data prevents (timely) shipments to customers. Erroneous orders lead to returns and thus to unnecessary effort. Wrong pricing forces companies to miss out on revenues or to impair customer satisfaction. If orders or customer records cannot be retrieved, complaint management takes longer. Due to erroneous inventories, too few or too much supplies might be reordered. A special problem with data quality and the reason for many of the issues mentioned above are duplicates in databases. Duplicates are different representations of same real-world objects in a dataset. However, these representations differ from each other and are for that reason hard to match by a computer. Moreover, the number of required comparisons to find those duplicates grows with the square of the dataset size. To cleanse the data, these duplicates must be detected and removed. Duplicate detection is a very laborious process. To achieve satisfactory results, appropriate software must be created and configured (similarity measures, partitioning keys, thresholds, etc.). Both requires much manual effort and experience. This thesis addresses automation of parameter selection for duplicate detection and presents several novel approaches that eliminate the need for human experience in parts of the duplicate detection process. A pre-processing step is introduced that analyzes the datasets in question and classifies their attributes semantically. Not only do these annotations help understanding the respective datasets, but they also facilitate subsequent steps, for example, by selecting appropriate similarity measures or normalizing the data upfront. This approach works without schema information. Following that, we show a partitioning technique that strongly reduces the number of pair comparisons for the duplicate detection process. The approach automatically finds particularly suitable partitioning keys that simultaneously allow for effective and efficient duplicate retrieval. By means of a user study, we demonstrate that this technique finds partitioning keys that outperform expert suggestions and additionally does not need manual configuration. Furthermore, this approach can be applied independently of the attribute types. To measure the success of a duplicate detection process and to execute the described partitioning approach, a gold standard is required that provides information about the actual duplicates in a training dataset. This thesis presents a technique that uses existing duplicate detection results and crowdsourcing to create a near gold standard that can be used for the purposes above. Another part of the thesis describes and evaluates strategies how to reduce these crowdsourcing costs and to achieve a consensus with less effort.}, language = {en} } @phdthesis{Kretschmer2017, author = {Kretschmer, Marlene}, title = {Disentangling causal pathways of the stratospheric polar vortex}, school = {Universit{\"a}t Potsdam}, pages = {171}, year = {2017}, language = {en} } @phdthesis{Kayser2017, author = {Kayser, Markus}, title = {Wechselwirkung der atmosph{\"a}rischen Grenzschicht mit synoptisch-skaligen Prozessen w{\"a}hrend der N-ICE2015 Kampagne}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411124}, school = {Universit{\"a}t Potsdam}, pages = {147}, year = {2017}, abstract = {Die Arktis erw{\"a}rmt sich schneller als der Rest der Erde. Die Auswirkungen manifestieren sich unter Anderem in einer verst{\"a}rkten Erw{\"a}rmung der arktischen Grenzschicht. Diese Arbeit befasst sich mit Wechselwirkungen zwischen synoptischen Zyklonen und der arktischen Atmosph{\"a}re auf lokalen bis {\"u}berregionalen Skalen. Ausgangspunkt daf{\"u}r sind Messdaten und Modellsimulationen f{\"u}r den Zeitraum der N-ICE2015 Expedition, die von Anfang Januar bis Ende Juni 2015 im arktischen Nordatlantiksektor stattgefunden hat. Anhand von Radiosondenmessungen lassen sich Auswirkungen von synoptischen Zyklonen am deutlichsten im Winter erkennen, da sie durch die Advektion warmer und feuchter Luftmassen in die Arktis den Zustand der Atmosph{\"a}re von einem strahlungs-klaren in einen strahlungs-opaken {\"a}ndern. Obwohl dieser scharfe Kontrast nur im Winter existiert, zeigt die Analyse, dass der integrierte Wasserdampf als Indikator f{\"u}r die Advektion von Luftmassen aus niedrigen Breiten in die Arktis auch im Fr{\"u}hjahr geeignet ist. Neben der Advektion von Luftmassen wird der Einfluss der Zyklonen auf die statische Stabilit{\"a}t charakterisiert. Beim Vergleich der N-ICE2015 Beobachtungen mit der SHEBA Kampagne (1997/1998), die {\"u}ber dickerem Eis stattfand, finden sich trotz der unterschiedlichen Meereisregime {\"A}hnlichkeiten in der statischen Stabilit{\"a}t der Atmosph{\"a}re. Die beobachteten Differenzen in der Stabilit{\"a}t lassen sich auf Unterschiede in der synoptischen Aktivit{\"a}t zur{\"u}ckf{\"u}hren. Dies l{\"a}sst vermuten, dass die d{\"u}nnere Eisdecke auf saisonalen Zeitskalen nur einen geringen Einfluss auf die thermodynamische Struktur der arktischen Troposph{\"a}re besitzt, solange eine dicke Schneeschicht sie bedeckt. Ein weiterer Vergleich mit den parallel zur N-ICE2015 Kampagne gestarteten Radiosonden der AWIPEV Station in Ny-{\AA}esund, Spitzbergen, macht deutlich, dass die synoptischen Zyklonen oberhalb der Orographie auf saisonalen Zeitskalen das Wettergeschehen bestimmen. Des Weiteren werden f{\"u}r Februar 2015 die Auswirkungen von in der Vertikalen variiertem Nudging auf die Entwicklung der Zyklonen am Beispiel des hydrostatischen regionalen Klimamodells HIRHAM5 untersucht. Es zeigt sich, dass die Unterschiede zwischen den acht Modellsimulationen mit abnehmender Anzahl der genudgten Level zunehmen. Die gr{\"o}ßten Differenzen resultieren vornehmlich aus dem zeitlichen Versatz der Entwicklung synoptischer Zyklonen. Zur Korrektur des Zeitversatzes der Zykloneninitiierung gen{\"u}gt es bereits, Nudging in den unterstem 250 m der Troposph{\"a}re anzuwenden. Daneben findet sich zwischen den genudgten HIRHAM5-Simulation und den in situ Messungen der gleiche positive Temperaturbias, den auch ERA-Interim besitzt. Das freie HIRHAM hingegen reproduziert das positive Ende der N-ICE2015 Temperaturverteilung gut, besitzt aber einen starken negativen Bias, der sehr wahrscheinlich aus einer Untersch{\"a}tzung des Feuchtegehalts resultiert. An Beispiel einer Zyklone wird gezeigt, dass Nudging Einfluss auf die Lage der H{\"o}hentiefs besitzt, die ihrerseits die Zyklonenentwicklung am Boden beeinflussen. Im Weiteren wird mittels eines f{\"u}r kleine Ensemblegr{\"o}ßen geeigneten Varianzmaßes eine statistische Einsch{\"a}tzung der Wirkung des Nudgings auf die Vertikale getroffen. Es wird festgestellt, dass die {\"A}hnlichkeit der Modellsimulationen in der unteren Troposph{\"a}re generell h{\"o}her ist als dar{\"u}ber und in 500 hPa ein lokales Minimum besitzt. Im letzten Teil der Analyse wird die Wechselwirkung der oberen und unteren Stratosph{\"a}re anhand zuvor betrachteter Zyklonen mit Daten der ERA-Interim Reanalyse untersucht. Lage und Ausrichtung des Polarwirbels erzeugten ab Anfang Februar 2015 eine ungew{\"o}hnlich große Meridionalkomponente des Tropopausenjets, die Zugbahnen in die zentrale Arktis beg{\"u}nstigte. Am Beispiel einer Zyklone wird die {\"U}bereinstimmung der synoptischen Entwicklung mit den theoretischen Annahmen {\"u}ber den abw{\"a}rts gerichteten Einfluss der Stratosph{\"a}re auf die Troposph{\"a}re hervorgehoben. Dabei spielt die nicht-lineare Wechselwirkung zwischen der Orographie Gr{\"o}nlands, einer Intrusion stratosph{\"a}rischer Luft in die Troposph{\"a}re sowie einer in Richtung Arktis propagierender Rossby-Welle eine tragende Rolle. Als Indikator dieser Wechselwirkung werden horizontale Signaturen aus abwechselnd aufsteigender und absinkender Luft innerhalb der Troposph{\"a}re identifiziert.}, language = {de} } @phdthesis{Ussath2017, author = {Ussath, Martin Georg}, title = {Analytical approaches for advanced attacks}, school = {Universit{\"a}t Potsdam}, pages = {169}, year = {2017}, language = {en} } @phdthesis{Tanski2017, author = {Tanski, George}, title = {Fate of organic matter mobilized from eroding permafrost coasts}, school = {Universit{\"a}t Potsdam}, pages = {IX, 106, 57 S.}, year = {2017}, language = {en} } @phdthesis{Braun2017, author = {Braun, Max}, title = {Heterogeneous Catalysis for the Conversion of Fructose to Chemicals and Fuel in a Continuous Flow Process}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-410370}, school = {Universit{\"a}t Potsdam}, pages = {151}, year = {2017}, abstract = {Die Umsetzung von Zucker (Kohlenhydrate) in einem kontinuierlichen Prozess er{\"o}ffnet M{\"o}glichkeiten der Synthese diverser Chemikalien und Treibstoff aus erneuerbaren Ressourcen, welche heute {\"u}berwiegend aus fossilen Quellen stammen. Passend zum Konzept der Bioraffinerie und der „gr{\"u}nen Chemie", liegt der Fokus dieser Arbeit auf der Umsetzung von in Ethanol gel{\"o}ster Fruktose in einem kontinuierlichen Verfahren, mit Hilfe eigens entwickelter heterogener Katalysatoren. Die Dehydratisierung von Fruktose wird mit einem heterogenen S{\"a}urekatalysator realisiert, w{\"a}hrend die Folgeprodukte mittels einer Hydrodesoxygenierung umgesetzt werden. F{\"u}r den zweiten Schritt kommen Metallkatalysatoren auf Basis von Nickel und Wolframcarbid (WC) zum Einsatz, wodurch der Einsatz teurer Edelmetalle vermieden werden kann. Hauptprodukte des zweistufigen Verfahrens sind 2,5-Dimethylfuran (DMF) und Ethyllevulinat (EL). Beide Molek{\"u}le sind vielversprechende alternative Treibstoffe, bzw. k{\"o}nnen gebr{\"a}uchlichen Treibstoffen beigemischt werden, um deren Einsatz zu reduzieren und schrittweise zu substituieren. Alternativ k{\"o}nnen die Zwischenprodukte der Dehydratisierung, sowie DMF und EL weiter zu Chemikalien umgesetzt werden, welche in der Polymersynthese, als L{\"o}sungsmittel oder als Grundchemikalien eingesetzt werden k{\"o}nnen. Die Entwicklung der jeweiligen Katalysatoren f{\"u}r Dehydratisierungs- und Hydrodesoxygenierungsreaktionen erfolgt auf Basis von karbonisierter Biomasse, sowie Wolframcarbid. Die jeweiligen Reaktivit{\"a}ten werden durch Standardreaktionen getestet, wobei sich Wolframcarbid in Nanopartikelform, in Kombination mit Wasserstoff als sehr aktiv erwiesen hat. Der selbst entwickelte aktivierte Kohlenstoff, das kommerzielle Amberlyst 15, sowie Wolframcarbid mit zus{\"a}tzlichen Nickel-Nanopartikeln werden f{\"u}r weiterf{\"u}hrende Reaktionen in einem kontinuierlichen Prozess herangezogen und kombiniert. Um den Umsatz von Fruktose zu DMF in einer „zwei Reaktoren Anlage" zu erm{\"o}glichen, wird eine Erweiterung eines kommerziellen Reaktorsystems um einen weiteren Reaktor vorgenommen. Die Verweilzeit in der Reaktoranlage betr{\"a}gt somit ca. 14 Minuten, wobei 11 Minuten auf die erste S{\"a}ule (Dehydratisierung) und 3 Minuten auf die zweite S{\"a}ule (Hydrodesoxygenierung) entfallen. In diesem kontinuierlichen und zweistufigen System lassen sich Ausbeuten von 38.5 \% DMF und 47 \% EL erzielen. Ein kontinuierlicher Lauf von sieben Stunden zeigt die Stabilit{\"a}t der eingesetzten Katalysatoren, auch wenn eine geringe Deaktivierung des Dehydratisierungskatalysators beobachtet werden kann. Der Ni@WC Katalysator zeigte hingegen keine Abnahme der Nickel Konzentration und somit kommt es zu keiner Auswaschung des Metalls. Das gebildete EL wurde hingegen nicht umgesetzt und verbleibt unver{\"a}ndert in L{\"o}sung. Das zweistufige System wurde schließlich in einem Mischkatalysatorsystem kombiniert, wobei auf aktivierten und sulfonierten Kohlenstoff zur{\"u}ckgegriffen wurde. Dieser zeigte bereits eine Transferhydrodesoxygenierungsaktivit{\"a}t. Diese Beobachtung ist deshalb bemerkenswert, da erst seit kurzem bekannt ist, dass Graphenstrukturen an sich katalytisch aktiv sein k{\"o}nnen. Um diese Aktivit{\"a}t weiter zu steigern, wurde der aktivierte Kohlenstoff mit 10 wt\% Ni@WC gemischt, sodass beide Katalysatoren in einer S{\"a}ule vorliegen. Die urspr{\"u}nglichen 2 \% DMF Ausbeute mit reinem aktivierten Kohlenstoff k{\"o}nnen somit auf 12 \% gesteigert werden, da das Folgeprodukt EL hierbei vermieden wird und das Zwischenprodukt „HMF Derivat" direkt zu DMF weiter reagieren kann. Dieses Ergebnis zeigt das Potential der „ein Reaktor Umsetzung", weshalb eine kontinuierliche Durchflussreaktoranlage im Litermaßstab als Scale-Up des vorhergehenden Labormaßstabs realisiert wurde. Der 800 mm x 28.5 mm Reaktor bedient eine maximale Flussrate von 50 mL min-1, Dr{\"u}cke von 100 bar und Temperaturen bis zu 500 °C.}, language = {en} } @phdthesis{Meiling2017, author = {Meiling, Till Thomas}, title = {Development of a reliable and environmentally friendly synthesis for fluorescence carbon nanodots}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-410160}, school = {Universit{\"a}t Potsdam}, pages = {198}, year = {2017}, abstract = {Carbon nanodots (CNDs) have generated considerable attention due to their promising properties, e.g. high water solubility, chemical inertness, resistance to photobleaching, high biocompatibility and ease of functionalization. These properties render them ideal for a wide range of functions, e.g. electrochemical applications, waste water treatment, (photo)catalysis, bio-imaging and bio-technology, as well as chemical sensing, and optoelectronic devices like LEDs. In particular, the ability to prepare CNDs from a wide range of accessible organic materials makes them a potential alternative for conventional organic dyes and semiconductor quantum dots (QDs) in various applications. However, current synthesis methods are typically expensive and depend on complex and time-consuming processes or severe synthesis conditions and toxic chemicals. One way to reduce overall preparation costs is the use of biological waste as starting material. Hence, natural carbon sources such as pomelo peal, egg white and egg yolk, orange juice, and even eggshells, to name a few; have been used for the preparation of CNDs. While the use of waste is desirable, especially to avoid competition with essential food production, most starting-materials lack the essential purity and structural homogeneity to obtain homogeneous carbon dots. Furthermore, most synthesis approaches reported to date require extensive purification steps and have resulted in carbon dots with heterogeneous photoluminescent properties and indefinite composition. For this reason, among others, the relationship between CND structure (e.g. size, edge shape, functional groups and overall composition) and photophysical properties is yet not fully understood. This is particularly true for carbon dots displaying selective luminescence (one of their most intriguing properties), i.e. their PL emission wavelength can be tuned by varying the excitation wavelength. In this work, a new reliable, economic, and environmentally-friendly one-step synthesis is established to obtain CNDs with well-defined and reproducible photoluminescence (PL) properties via the microwave-assisted hydrothermal treatment of starch, carboxylic acids and Tris-EDTA (TE) buffer as carbon- and nitrogen source, respectively. The presented microwave-assisted hydrothermal precursor carbonization (MW-hPC) is characterized by its cost-efficiency, simplicity, short reaction times, low environmental footprint, and high yields of approx. 80\% (w/w). Furthermore, only a single synthesis step is necessary to obtain homogeneous water-soluble CNDs with no need for further purification. Depending on starting materials and reaction conditions different types of CNDs have been prepared. The as-prepared CNDs exhibit reproducible, highly homogeneous and favourable PL properties with narrow emission bands (approx. 70nm FWHM), are non-blinking, and are ready to use without need for further purification, modification or surface passivation agents. Furthermore, the CNDs are comparatively small (approx. 2.0nm to 2.4nm) with narrow size distributions; are stable over a long period of time (at least one year), either in solution or as a dried solid; and maintain their PL properties when re-dispersed in solution. Depending on CND type, the PL quantum yield (PLQY) can be adjusted from as low as 1\% to as high as 90\%; one of the highest reported PLQY values (for CNDs) so far. An essential part of this work was the utilization of a microwave synthesis reactor, allowing various batch sizes and precise control over reaction temperature and -time, pressure, and heating- and cooling rate, while also being safe to operate at elevated reaction conditions (e.g. 230 ±C and 30 bar). The hereby-achieved high sample throughput allowed, for the first time, the thorough investigation of a wide range of synthesis parameters, providing valuable insight into the CND formation. The influence of carbon- and nitrogen source, precursor concentration and -combination, reaction time and -temperature, batch size, and post-synthesis purification steps were carefully investigated regarding their influence on the optical properties of as-synthesized CNDs. In addition, the change in photophysical properties resulting from the conversion of CND solution into solid and back into the solution was investigated. Remarkably, upon freeze-drying the initial brown CND-solution turns into a non-fluorescent white/slightly yellow to brown solid which recovers PL in aqueous solution. Selected CND samples were also subject to EDX, FTIR, NMR, PL lifetime (TCSPC), particle size (TEM), TGA and XRD analysis. Besides structural characterization, the pH- and excitation dependent PL characteristics (i.e. selective luminescence) were examined; giving inside into the origin of photophysical properties and excitation dependent behaviour of CNDs. The obtained results support the notion that for CNDs the nature of the surface states determines the PL properties and that excitation dependent behaviour is caused by the "Giant Red-Edge Excitation Shift" (GREES).}, language = {en} } @phdthesis{Jank2017, author = {Jank, Anne-Marie}, title = {Effects of senescence on microenvironment-progenitor cell interaction}, school = {Universit{\"a}t Potsdam}, pages = {156}, year = {2017}, language = {en} } @phdthesis{Schedina2017, author = {Schedina, Ina-Maria}, title = {Comparative genetic and transcriptomic analyses of the amazon molly, poecilia formosa and its parental species, poecilia mexicana and poecilia latipinna}, school = {Universit{\"a}t Potsdam}, pages = {124}, year = {2017}, language = {en} } @phdthesis{Peng2017, author = {Peng, Xingzhou}, title = {Multiphase polymers based on polydepsipeptides as a multifunctional materials platform}, school = {Universit{\"a}t Potsdam}, pages = {xv, 99}, year = {2017}, language = {en} } @phdthesis{BoernertRingleb2017, author = {B{\"o}rnert-Ringleb, Moritz}, title = {Dynamisches Testen in der sonderp{\"a}dagogischen Diagnostik}, school = {Universit{\"a}t Potsdam}, pages = {114}, year = {2017}, language = {de} } @phdthesis{LindbladPetersen2017, author = {Lindblad Petersen, Oliver}, title = {The Cauchy problem for the linearised Einstein equation and the Goursat problem for wave equations}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-410216}, school = {Universit{\"a}t Potsdam}, pages = {108}, year = {2017}, abstract = {In this thesis, we study two initial value problems arising in general relativity. The first is the Cauchy problem for the linearised Einstein equation on general globally hyperbolic spacetimes, with smooth and distributional initial data. We extend well-known results by showing that given a solution to the linearised constraint equations of arbitrary real Sobolev regularity, there is a globally defined solution, which is unique up to addition of gauge solutions. Two solutions are considered equivalent if they differ by a gauge solution. Our main result is that the equivalence class of solutions depends continuously on the corre- sponding equivalence class of initial data. We also solve the linearised constraint equations in certain cases and show that there exist arbitrarily irregular (non-gauge) solutions to the linearised Einstein equation on Minkowski spacetime and Kasner spacetime. In the second part, we study the Goursat problem (the characteristic Cauchy problem) for wave equations. We specify initial data on a smooth compact Cauchy horizon, which is a lightlike hypersurface. This problem has not been studied much, since it is an initial value problem on a non-globally hyperbolic spacetime. Our main result is that given a smooth function on a non-empty, smooth, compact, totally geodesic and non-degenerate Cauchy horizon and a so called admissible linear wave equation, there exists a unique solution that is defined on the globally hyperbolic region and restricts to the given function on the Cauchy horizon. Moreover, the solution depends continuously on the initial data. A linear wave equation is called admissible if the first order part satisfies a certain condition on the Cauchy horizon, for example if it vanishes. Interestingly, both existence of solution and uniqueness are false for general wave equations, as examples show. If we drop the non-degeneracy assumption, examples show that existence of solution fails even for the simplest wave equation. The proof requires precise energy estimates for the wave equation close to the Cauchy horizon. In case the Ricci curvature vanishes on the Cauchy horizon, we show that the energy estimates are strong enough to prove local existence and uniqueness for a class of non-linear wave equations. Our results apply in particular to the Taub-NUT spacetime and the Misner spacetime. It has recently been shown that compact Cauchy horizons in spacetimes satisfying the null energy condition are necessarily smooth and totally geodesic. Our results therefore apply if the spacetime satisfies the null energy condition and the Cauchy horizon is compact and non-degenerate.}, language = {en} } @phdthesis{Herbrich2017, author = {Herbrich, Marcus}, title = {Einfluss der erosionsbedingten Pedogenese auf den Wasserund Stoffhaushalt ackerbaulich genutzter B{\"o}den der Grundmor{\"a}nenbodenlandschaft NO-Deutschlands - hydropedologische Untersuchungen mittels w{\"a}gbarer Pr{\"a}zisionslysimeter}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-408561}, school = {Universit{\"a}t Potsdam}, pages = {186}, year = {2017}, abstract = {In the arable soil landscape of hummocky ground moraines, an erosion-affected spatial differentiation of soils can be observed. Man-made erosion leads to soil profile modifications along slopes with changed solum thickness and modified properties of soil horizons due to water erosion in combination with tillage operations. Soil erosion creates, thereby, spatial patterns of soil properties (e.g., texture and organic matter content) and differences in crop development. However, little is known about the manner in which water fluxes are affected by soil-crop interactions depending on contrasting properties of differently-developed soil horizons and how water fluxes influence the carbon transport in an eroded landscape. To identify such feedbacks between erosion-induced soil profile modifications and the 1D-water and solute balance, high-precision weighing lysimeters equipped with a wide range of sensor technique were filled with undisturbed soil monoliths that differed in the degree of past soil erosion. Furthermore, lysimeter effluent concentrations were analyzed for dissolved carbon fractions in bi-weekly intervals. The water balance components measured by high precision lysimeters varied from the most eroded to the less eroded monolith up to 83 \% (deep drainage) primarily caused due to varying amounts of precipitation and evapotranspiration for a 3-years period. Here, interactions between crop development and contrasting rainfall interception by above ground biomass could explain differences in water balance components. Concentrations of dissolved carbon in soil water samples were relatively constant in time, suggesting carbon leaching was mainly affected by water fluxes in this observation period. For the lysimeter-based water balance analysis, a filtering scheme was developed considering temporal autocorrelation. The minute-based autocorrelation analysis of mass changes from lysimeter time series revealed characteristic autocorrelation lengths ranging from 23 to 76 minutes. Thereby, temporal autocorrelation provided an optimal approximation of precipitation quantities. However, the high temporal resolution in lysimeter time series is restricted by the lengths of autocorrelation. Erosion-induced but also gradual changes in soil properties were reflected by dynamics of soil water retention properties in the lysimeter soils. Short-term and long-term hysteretic water retention data suggested seasonal wettability problems of soils increasingly limited rewetting of previously dried pore regions. Differences in water retention were assigned to soil tillage operations and the erosion history at different slope positions. The threedimensional spatial pattern of soil types that result from erosional soil profile modifications were also reflected in differences of crop root development at different landscape positions. Contrasting root densities revealed positive relations of root and aboveground plant characteristics. Differences in the spatially-distributed root growth between different eroded soil types provided indications that root development was affected by the erosion-induced soil evolution processes. Overall, the current thesis corroborated the hypothesis that erosion-induced soil profile modifications affect the soil water balance, carbon leaching and soil hydraulic properties, but also the crop root system is influenced by erosion-induced spatial patterns of soil properties in the arable hummocky post glacial soil landscape. The results will help to improve model predictions of water and solute movement in arable soils and to understand interactions between soil erosion and carbon pathways regarding sink-or-source terms in landscapes.}, language = {en} } @phdthesis{Stomps2017, author = {Stomps, Benjamin Ren{\´e} Harald}, title = {Entwicklung von Protein-basierten Bausteinen zur Funktionalisierung von Polymeroberfl{\"a}chen}, school = {Universit{\"a}t Potsdam}, pages = {88}, year = {2017}, language = {de} } @phdthesis{Santilli2017, author = {Santilli, Mario}, title = {Higher order rectifiability in Euclidean space}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-403632}, school = {Universit{\"a}t Potsdam}, pages = {45}, year = {2017}, abstract = {The first main goal of this thesis is to develop a concept of approximate differentiability of higher order for subsets of the Euclidean space that allows to characterize higher order rectifiable sets, extending somehow well known facts for functions. We emphasize that for every subset A of the Euclidean space and for every integer k ≥ 2 we introduce the approximate differential of order k of A and we prove it is a Borel map whose domain is a (possibly empty) Borel set. This concept could be helpful to deal with higher order rectifiable sets in applications. The other goal is to extend to general closed sets a well known theorem of Alberti on the second order rectifiability properties of the boundary of convex bodies. The Alberti theorem provides a stratification of second order rectifiable subsets of the boundary of a convex body based on the dimension of the (convex) normal cone. Considering a suitable generalization of this normal cone for general closed subsets of the Euclidean space and employing some results from the first part we can prove that the same stratification exists for every closed set.}, language = {en} } @phdthesis{Heck2017, author = {Heck, Christian}, title = {Gold and silver nanolenses self-assembled by DNA origami}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-409002}, school = {Universit{\"a}t Potsdam}, pages = {ix, 125}, year = {2017}, abstract = {Nanolenses are linear chains of differently-sized metal nanoparticles, which can theoretically provide extremely high field enhancements. The complex structure renders their synthesis challenging and has hampered closer analyses so far. Here, the technique of DNA origami was used to self-assemble DNA-coated 10 nm, 20 nm, and 60 nm gold or silver nanoparticles into gold or silver nanolenses. Three different geometrical arrangements of gold nanolenses were assembled, and for each of the three, sets of single gold nanolenses were investigated in detail by atomic force microscopy, scanning electron microscopy, dark-field scattering and Raman spectroscopy. The surface-enhanced Raman scattering (SERS) capabilities of the single nanolenses were assessed by labelling the 10 nm gold nanoparticle selectively with dye molecules. The experimental data was complemented by finite-difference time-domain simulations. For those gold nanolenses which showed the strongest field enhancement, SERS signals from the two different internal gaps were compared by selectively placing probe dyes on the 20 nm or 60 nm gold particles. The highest enhancement was found for the gap between the 20 nm and 10 nm nanoparticle, which is indicative of a cascaded field enhancement. The protein streptavidin was labelled with alkyne groups and served as a biological model analyte, bound between the 20 nm and 10 nm particle of silver nanolenses. Thereby, a SERS signal from a single streptavidin could be detected. Background peaks observed in SERS measurements on single silver nanolenses could be attributed to amorphous carbon. It was shown that the amorphous carbon is generated in situ.}, language = {en} } @phdthesis{Ghaisari2017, author = {Ghaisari, Sara}, title = {Magnetic anisotropy analysis of magnetic nanoparticles in magnetotactic bacteria}, school = {Universit{\"a}t Potsdam}, pages = {115}, year = {2017}, language = {en} } @phdthesis{Kasch2017, author = {Kasch, Juliane}, title = {Impact of maternal high-fat consumption on offspring exercise performance, skeletal muscle energy metabolism, and obesity susceptibility}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-409703}, school = {Universit{\"a}t Potsdam}, pages = {XII, 95, XXV}, year = {2017}, abstract = {Background: Obesity is thought to be the consequence of an unhealthy nutrition and a lack of physical activity. Although the resulting metabolic alterations such as impaired glucose homeostasis and insulin sensitivity can usually be improved by physical activity, some obese patients fail to enhance skeletal muscle metabolic health with exercise training. Since this might be largely heritable, maternal nutrition during pregnancy and lactation is hypothesized to impair offspring skeletal muscle physiology. Objectives: This PhD thesis aims to investigate the consequences of maternal high-fat diet (mHFD) consumption on offspring skeletal muscle physiology and exercise performance. We could show that maternal high-fat diet during gestation and lactation decreases the offspring's training efficiency and endurance performance by influencing the epigenetic profile of their skeletal muscle and altering the adaptation to an acute exercise bout, which in long-term, increases offspring obesity susceptibility. Experimental setup: To investigate this issue in detail, we conducted several studies with a similar maternal feeding regime. Dams (C57BL/6J) were either fed a low-fat diet (LFD; 10 energy\% from fat) or high-fat diet (HFD; 40 energy\% from fat) during pregnancy and lactation. After weaning, male offspring of both maternal groups were switched to a LFD, on which they remained until sacrifice in week 6, 15 or 25. In one study, LFD feeding was followed by HFD provision from week 15 until week 25 to elucidate the effects on offspring obesity susceptibility. In week 7, all mice were randomly allocated to a sedentary group (without running wheel) or an exercised group (with running wheel for voluntary exercise training). Additionally, treadmill endurance tests were conducted to investigate training performance and efficiency. In order to uncover regulatory mechanisms, each study was combined with a specific analytical setup, such as whole genome microarray analysis, gene and protein expression analysis, DNA methylation analyses, and enzyme activity assays. Results: mHFD offspring displayed a reduced training efficiency and endurance capacity. This was not due to an altered skeletal muscle phenotype with changes in fiber size, number, and type. DNA methylation measurements in 6 week old offspring showed a hypomethylation of the Nr4a1 gene in mHFD offspring leading to an increased gene expression. Since Nr4a1 plays an important role in the regulation of skeletal muscle energy metabolism and early exercise adaptation, this could affect offspring training efficiency and exercise performance in later life. Investigation of the acute response to exercise showed that mHFD offspring displayed a reduced gene expression of vascularization markers (Hif1a, Vegfb, etc) pointing towards a reduced angiogenesis which could possibly contribute to their reduced endurance capacity. Furthermore, an impaired glucose utilization of skeletal muscle during the acute exercise bout by an impaired skeletal muscle glucose handling was evidenced by higher blood glucose levels, lower GLUT4 translocation and diminished Lactate dehydrogenase activity in mHFD offspring immediately after the endurance test. These points towards a disturbed use of glucose as a substrate during endurance exercise. Prolonged HFD feeding during adulthood increases offspring fat mass gain in mHFD offspring compared to offspring from low-fat fed mothers and also reduces their insulin sensitivity pointing towards a higher obesity and diabetes susceptibility despite exercise training. Consequently, mHFD reduces offspring responsiveness to the beneficial effects of voluntary exercise training. Conclusion: The results of this PhD thesis demonstrate that mHFD consumption impairs the offspring's training efficiency and endurance capacity, and reduced the beneficial effects of exercise on the development of diet-induced obesity and insulin resistance in the offspring. This might be due to changes in skeletal muscle epigenetic profile and/or an impaired skeletal muscle angiogenesis and glucose utilization during an acute exercise bout, which could contribute to a disturbed adaptive response to exercise training.}, language = {en} } @phdthesis{Yang2017, author = {Yang, Lei}, title = {Verification of systemic mRNAs mobility and mobile functions}, school = {Universit{\"a}t Potsdam}, pages = {125}, year = {2017}, language = {en} } @phdthesis{MartinezJaime2017, author = {Mart{\´i}nez Jaime, Silvia}, title = {Towards the understanding of protein function and regulation}, school = {Universit{\"a}t Potsdam}, pages = {131}, year = {2017}, language = {en} } @phdthesis{deSouza2017, author = {de Souza, Laise Rosado}, title = {Metabolic signalling between organelles}, school = {Universit{\"a}t Potsdam}, pages = {112}, year = {2017}, language = {en} } @phdthesis{Copercini2017, author = {Copercini, Marco}, title = {Produktionsnetzwerke und kreatives Feld des Modedesigns}, school = {Universit{\"a}t Potsdam}, pages = {211}, year = {2017}, language = {de} } @phdthesis{Schulze2017, author = {Schulze, Nicole}, title = {Neue Templatphasen zur anisotropen Goldnanopartikelherstellung durch den Einsatz strukturbildender Polymere}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-409515}, school = {Universit{\"a}t Potsdam}, pages = {VI, 117, xv}, year = {2017}, abstract = {Ziel der vorliegenden Arbeit war die Synthese und Charakterisierung von anisotropen Goldnanopartikeln in einer geeigneten Polyelektrolyt-modifizierten Templatphase. Der Mittelpunkt bildet dabei die Auswahl einer geeigneten Templatphase, zur Synthese von einheitlichen und reproduzierbaren anisotropen Goldnanopartikeln mit den daraus resultierenden besonderen Eigenschaften. Bei der Synthese der anisotropen Goldnanopartikeln lag der Fokus in der Verwendung von Vesikeln als Templatphase, wobei hier der Einfluss unterschiedlicher strukturbildender Polymere (stark alternierende Maleamid-Copolymere PalH, PalPh, PalPhCarb und PalPhBisCarb mit verschiedener Konformation) und Tenside (SDS, AOT - anionische Tenside) bei verschiedenen Synthese- und Abtrennungsbedingungen untersucht werden sollte. Im ersten Teil der Arbeit konnte gezeigt werden, dass PalPhBisCarb bei einem pH-Wert von 9 die Bedingungen eines R{\"o}hrenbildners f{\"u}r eine morphologische Transformation von einer vesikul{\"a}ren Phase in eine r{\"o}hrenf{\"o}rmige Netzwerkstruktur erf{\"u}llt und somit als Templatphase zur formgesteuerten Bildung von Nanopartikeln genutzt werden kann. Im zweiten Teil der Arbeit wurde dargelegt, dass die Templatphase PalPhBisCarb (pH-Wert von 9, Konzentration von 0,01 wt.\%) mit AOT als Tensid und PL90G als Phospholipid (im Verh{\"a}ltnis 1:1) die effektivste Wahl einer Templatphase f{\"u}r die Bildung von anisotropen Strukturen in einem einstufigen Prozess darstellt. Bei einer konstanten Synthesetemperatur von 45 °C wurden die besten Ergebnisse bei einer Goldchloridkonzentration von 2 mM, einem Gold-Templat-Verh{\"a}ltnis von 3:1 und einer Synthesezeit von 30 Minuten erzielt. Ausbeute an anisotropen Strukturen lag bei 52 \% (Anteil an dreieckigen Nanopl{\"a}ttchen von 19 \%). Durch Erh{\"o}hung der Synthesetemperatur konnte die Ausbeute auf 56 \% (29 \%) erh{\"o}ht werden. Im dritten Teil konnte durch zeitabh{\"a}ngige Untersuchungen gezeigt werden, dass bei Vorhandensein von PalPhBisCarb die Bildung der energetisch nicht bevorzugten Pl{\"a}ttchen-Strukturen bei Raumtemperatur initiiert wird und bei 45 °C ein Optimum annimmt. Kintetische Untersuchungen haben gezeigt, dass die Bildung dreieckiger Nanopl{\"a}ttchen bei schrittweiser Zugabe der Goldchlorid-Pr{\"a}kursorl{\"o}sung zur PalPhBisCarb enthaltenden Templatphase durch die Dosierrate der vesikul{\"a}ren Templatphase gesteuert werden kann. In umgekehrter Weise findet bei Zugabe der Templatphase zur Goldchlorid-Pr{\"a}kursorl{\"o}sung bei 45 °C ein {\"a}hnlicher, kinetisch gesteuerter Prozess der Bildung von Nanodreiecken statt mit einer maximalen Ausbeute dreieckigen Nanopl{\"a}ttchen von 29 \%. Im letzten Kapitel erfolgten erste Versuche zur Abtrennung dreieckiger Nanopl{\"a}ttchen von den {\"u}brigen Geometrien der gemischten Nanopartikell{\"o}sung mittels tensidinduzierter Verarmungsf{\"a}llung. Bei Verwendung von AOT mit einer Konzentration von 0,015 M wurde eine Ausbeute an Nanopl{\"a}ttchen von 99 \%, wovon 72 \% dreieckiger Geometrien hatten, erreicht.}, language = {de} } @phdthesis{Gorka2017, author = {G{\´o}rka, Michal Jakub}, title = {Establishing a pipeline for identification of protein- protein interactions using different native fractionation methods}, school = {Universit{\"a}t Potsdam}, pages = {109}, year = {2017}, language = {en} } @phdthesis{Hieke2017, author = {Hieke, Oliver}, title = {Vorvertragliche Aufkl{\"a}rungspflichten des Verk{\"a}ufers beim Unternehmenskauf}, series = {Neue Juristische Beitr{\"a}ge ; 122}, journal = {Neue Juristische Beitr{\"a}ge ; 122}, publisher = {Utz}, address = {M{\"u}nchen}, isbn = {978-3-8316-4704-0}, school = {Universit{\"a}t Potsdam}, pages = {322}, year = {2017}, abstract = {Dem Unternehmenskauf geht eine langwierige Planungs- und Verhandlungsphase voraus. Dabei steht vor allem der gegenseitige Informationsaustausch beider Parteien im Vordergrund. Der Grundsatz der informationellen Selbstverantwortung zwingt zun{\"a}chst jede Partei, die vorherrschende Informationsasymmetrie auf eigenes Risiko zu beseitigen. Das wird seitens der Rechtsprechung stets anhand von außervertraglichen Aufkl{\"a}rungspflichten zugunsten des K{\"a}ufers korrigiert, wenn Treu und Glauben es im Einzelfall gebieten. Die Untersuchung widmet sich der Konkretisierung des Inhalts, der Reichweite und Rechtsfolgen der vorvertraglichen Aufkl{\"a}rungspflichten unter Auswertung bisher ergangener Rechtsprechung und Beitr{\"a}gen im Schrifttum. Ein besonderes Augenmerk wird dabei neben dem Institut der culpa in contrahendo auf die Voraussetzungen der \S\S123, 444 BGB gelegt. Ferner wird die Bedeutung von Treu und Glauben gem. \S242 BGB f{\"u}r die Entstehung von Aufkl{\"a}rungspflichten vor dem Hintergrund der spezifischen Interessenlage der Parteien und der Besonderheiten des Unternehmenskaufs beleuchtet.}, language = {de} } @phdthesis{Firkala2017, author = {Firkala, Tam{\´a}s}, title = {Investigation of nanoparticle-molecule interactions and pharmaceutical model formulations by means of surface enhanced raman spectroscopy}, school = {Universit{\"a}t Potsdam}, pages = {118}, year = {2017}, language = {en} } @phdthesis{Schmidt2017, author = {Schmidt, Martin}, title = {Entwicklung eines Verfahrens zur Herstellung von Florfliegenseide}, school = {Universit{\"a}t Potsdam}, pages = {135}, year = {2017}, language = {de} } @phdthesis{Zuehlke2017, author = {Z{\"u}hlke, Martin}, title = {Elektrosprayionisation Ionenmobilit{\"a}tsspektrometrie}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407452}, school = {Universit{\"a}t Potsdam}, pages = {viii, 113, XIV}, year = {2017}, abstract = {Die Elektrosprayionisation (ESI) ist eine der weitverbreitetsten Ionisationstechniken f{\"u}r fl{\"u}ssige Pro-ben in der Massen- und Ionenmobilit{\"a}ts(IM)-Spektrometrie. Aufgrund ihrer schonenden Ionisierung wird ESI vorwiegend f{\"u}r empfindliche, komplexe Molek{\"u}le in der Biologie und Medizin eingesetzt. {\"U}berdies ist sie allerdings f{\"u}r ein sehr breites Spektrum an Substanzklassen anwendbar. Die IM-Spektrometrie wurde urspr{\"u}nglich zur Detektion gasf{\"o}rmiger Proben entwickelt, die haupts{\"a}chlich durch radioaktive Quellen ionisiert werden. Sie ist die einzige analytische Methode, bei der Isomere in Echtzeit getrennt und {\"u}ber ihre charakteristische IM direkt identifiziert werden k{\"o}nnen. ESI wurde in den 90ger Jahren durch die Hill Gruppe in die IM-Spektrometrie eingef{\"u}hrt. Die Kombination wird bisher jedoch nur von wenigen Gruppen verwendet und hat deshalb noch ein hohes Entwick-lungspotential. Ein vielversprechendes Anwendungsfeld ist der Einsatz in der Hochleistungs-fl{\"u}ssigkeitschromatographie (HPLC) zur mehrdimensionalen Trennung. Heutzutage ist die HPLC die Standardmethode zur Trennung komplexer Proben in der Routineanalytik. HPLC-Trennungsg{\"a}nge sind jedoch h{\"a}ufig langwierig und der Einsatz verschiedener Laufmittel, hoher Flussraten, von Puffern, sowie Laufmittelgradienten stellt hohe Anforderungen an die Detektoren. Die ESI-IM-Spektrometrie wurde in einigen Studien bereits als HPLC-Detektor eingesetzt, war dort bisher jedoch auf Flussratensplitting oder geringe Flussraten des Laufmittels beschr{\"a}nkt. In dieser kumulativen Doktorarbeit konnte daher erstmals ein ESI IM-Spektrometer als HPLC-Detektor f{\"u}r den Flussratenbereich von 200-1500 μl/min entwickelt werden. Anhand von f{\"u}nf Publi-kationen wurden (1) {\"u}ber eine umfassende Charakterisierung die Eignung des Spektrometers als HPLC-Detektor festgestellt, (2) ausgew{\"a}hlte komplexe Trenng{\"a}nge pr{\"a}sentiert und (3) die Anwen-dung zum Reaktionsmonitoring und (4, 5) m{\"o}gliche Weiterentwicklungen gezeigt. Erfolgreich konnten mit dem selbst-entwickelten ESI IM-Spektrometer typische HPLC-Bedingungen wie Wassergehalte im Laufmittel von bis zu 90\%, Pufferkonzentrationen von bis zu 10 mM, sowie Nachweisgrenzen von bis zu 50 nM erreicht werden. Weiterhin wurde anhand der komplexen Trennungsg{\"a}nge (24 Pestizide/18 Aminos{\"a}uren) gezeigt, dass die HPLC und die IM-Spektrometrie eine hohe Orthogonalit{\"a}t besitzen. Eine effektive Peakkapazit{\"a}t von 240 wurde so realisiert. Auf der HPLC-S{\"a}ule koeluierende Substanzen konnten {\"u}ber die Driftzeit getrennt und {\"u}ber ihre IM identifi-ziert werden, sodass die Gesamttrennzeiten erheblich minimiert werden konnten. Die Anwend-barkeit des ESI IM-Spektrometers zur {\"U}berwachung chemischer Synthesen wurde anhand einer dreistufigen Reaktion demonstriert. Es konnten die wichtigsten Edukte, Zwischenprodukte und Produkte aller Stufen identifiziert werden. Eine quantitative Auswertung war sowohl {\"u}ber eine kurze HPLC-Vortrennung als auch durch die Entwicklung eines eigenen Kalibrierverfahrens, welches die Ladungskonkurrenz bei ESI ber{\"u}cksichtigt, ohne HPLC m{\"o}glich. Im zweiten Teil der Arbeit werden zwei Weiterentwicklungen des Spektrometers pr{\"a}sentiert. Eine M{\"o}glichkeit ist die Reduzierung des Drucks in den intermedi{\"a}ren Bereich (300 - 1000 mbar) mit dem Ziel der Verringerung der ben{\"o}tigten Spannungen. Mithilfe von Streulichtbildern und Strom-Spannungs-Kurven wurden f{\"u}r geringe Dr{\"u}cke eine verminderte Freisetzung der Analyt-Ionen aus den Tropfen festgestellt. Die Verluste konnten jedoch {\"u}ber h{\"o}here elektrische Feldst{\"a}rken ausgeglichen werden, sodass gleiche Nachweisgrenzen bei 500 mbar und bei 1 bar erreicht wurden. Die zweite Weiterentwicklung ist ein neuartiges Ionentors mit Pulsschaltung, welches eine Verdopplung der Aufl{\"o}sung auf bis zu R > 100 bei gleicher Sensitivit{\"a}t erm{\"o}glichte. Eine denkbare Anwendung im Bereich der Peptidanalytik wurde mit beachtlichen Aufl{\"o}sungen der Peptide von R = 90 gezeigt.}, language = {de} } @phdthesis{Willersinn2017, author = {Willersinn, Jochen}, title = {Self-Assembly of double hydrophilic block copolymers}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-408578}, school = {Universit{\"a}t Potsdam}, pages = {119, clxxiv}, year = {2017}, abstract = {The motivation of this work was to investigate the self-assembly of a block copolymer species that attended little attraction before, double hydrophilic block copolymers (DHBCs). DHBCs consist of two linear hydrophilic polymer blocks. The self-assembly of DHBCs towards suprastructures such as particles and vesicles is determined via a strong difference in hydrophilicity between the corresponding blocks leading to a microphase separation due to immiscibility. The benefits of DHBCs and the corresponding particles and vesicles, such as biocompatibility, high permeability towards water and hydrophilic compounds as well as the large amount of possible functionalizations that can be addressed to the block copolymers make the application of DHBC based structures a viable choice in biomedicine. In order to assess a route towards self-assembled structures from DHBCs that display the potential to act as cargos for future applications, several block copolymers containing two hydrophilic polymer blocks were synthesized. Poly(ethylene oxide)-b-poly(N-vinylpyrrolidone) (PEO-b-PVP) and Poly(ethylene oxide)-b-poly(N-vinylpyrrolidone-co-N-vinylimidazole) (PEO-b-P(VP-co-VIm) block copolymers were synthesized via reversible deactivation radical polymerization (RDRP) techniques starting from a PEO-macro chain transfer agent. The block copolymers displayed a concentration dependent self-assembly behavior in water which was determined via dynamic light scattering (DLS). It was possible to observe spherical particles via laser scanning confocal microscopy (LSCM) and cryogenic scanning electron microscopy (cryo SEM) at highly concentrated solutions of PEO-b-PVP. Furthermore, a crosslinking strategy with (PEO-b-P(VP-co-VIm) was developed applying a diiodo derived crosslinker diethylene glycol bis(2-iodoethyl) ether to form quaternary amines at the VIm units. The formed crosslinked structures proved stability upon dilution and transfer into organic solvents. Moreover, self-assembly and crosslinking in DMF proved to be more advantageous and the crosslinked structures could be successfully transferred to aqueous solution. The afforded spherical submicron particles could be visualized via LSCM, cryo SEM and Cryo TEM. Double hydrophilic pullulan-b-poly(acrylamide) block copolymers were synthesized via copper catalyzed alkyne azide cycloaddition (CuAAC) starting from suitable pullulan alkyne and azide functionalized poly(N,N-dimethylacrylamide) (PDMA) and poly(N-ethylacrylamide) (PEA) homopolymers. The conjugation reaction was confirmed via SEC and 1H-NMR measurements. The self-assembly of the block copolymers was monitored with DLS and static light scattering (SLS) measurements indicating the presence of hollow spherical structures. Cryo SEM measurements could confirm the presence of vesicular structures for Pull-b-PEA block copolymers. Solutions of Pull-b-PDMA displayed particles in cryo SEM. Moreover, an end group functionalization of Pull-b-PDMA with Rhodamine B allowed assessing the structure via LSCM and hollow spherical structures were observed indicating the presence of vesicles, too. An exemplified pathway towards a DHBC based drug delivery vehicle was demonstrated with the block copolymer Pull-b-PVP. The block copolymer was synthesized via RAFT/MADIX techniques starting from a pullulan chain transfer agent. Pull-b-PVP displayed a concentration dependent self-assembly in water with an efficiency superior to the PEO-b-PVP system, which could be observed via DLS. Cryo SEM and LSCM microscopy displayed the presence of spherical structures. In order to apply a reversible crosslinking strategy on the synthesized block copolymer, the pullulan block was selectively oxidized to dialdehydes with NaIO4. The oxidation of the block copolymer was confirmed via SEC and 1H-NMR measurements. The self-assembled and oxidized structures were subsequently crosslinked with cystamine dihiydrochloride, a pH and redox responsive crosslinker resulting in crosslinked vesicles which were observed via cryo SEM. The vesicular structures of crosslinked Pull-b-PVP could be disassembled by acid treatment or the application of the redox agent tris(2-carboxyethyl)-phosphin-hydrochloride. The successful disassembly was monitored with DLS measurements. To conclude, self-assembled structures from DHBCs such as particles and vesicles display a strong potential to generate an impact on biomedicine and nanotechnologies. The variety of DHBC compositions and functionalities are very promising features for future applications.}, language = {en} } @phdthesis{Reike2017, author = {Reike, Dennis}, title = {A look behind perceptual performance in numerical cognition}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407821}, school = {Universit{\"a}t Potsdam}, pages = {vi, 136}, year = {2017}, abstract = {Recognizing, understanding, and responding to quantities are considerable skills for human beings. We can easily communicate quantities, and we are extremely efficient in adapting our behavior to numerical related tasks. One usual task is to compare quantities. We also use symbols like digits in numerical-related tasks. To solve tasks including digits, we must to rely on our previously learned internal number representations. This thesis elaborates on the process of number comparison with the use of noisy mental representations of numbers, the interaction of number and size representations and how we use mental number representations strategically. For this, three studies were carried out. In the first study, participants had to decide which of two presented digits was numerically larger. They had to respond with a saccade in the direction of the anticipated answer. Using only a small set of meaningfully interpretable parameters, a variant of random walk models is described that accounts for response time, error rate, and variance of response time for the full matrix of 72 digit pairs. In addition, the used random walk model predicts a numerical distance effect even for error response times and this effect clearly occurs in the observed data. In relation to corresponding correct answers error responses were systematically faster. However, different from standard assumptions often made in random walk models, this account required that the distributions of step sizes of the induced random walks be asymmetric to account for this asymmetry between correct and incorrect responses. Furthermore, the presented model provides a well-defined framework to investigate the nature and scale (e.g., linear vs. logarithmic) of the mapping of numerical magnitude onto its internal representation. In comparison of the fits of proposed models with linear and logarithmic mapping, the logarithmic mapping is suggested to be prioritized. Finally, we discuss how our findings can help interpret complex findings (e.g., conflicting speed vs. accuracy trends) in applied studies that use number comparison as a well-established diagnostic tool. Furthermore, a novel oculomotoric effect is reported, namely the saccadic overschoot effect. The participants responded by saccadic eye movements and the amplitude of these saccadic responses decreases with numerical distance. For the second study, an experimental design was developed that allows us to apply the signal detection theory to a task where participants had to decide whether a presented digit was physically smaller or larger. A remaining question is, whether the benefit in (numerical magnitude - physical size) congruent conditions is related to a better perception than in incongruent conditions. Alternatively, the number-size congruency effect is mediated by response biases due to numbers magnitude. The signal detection theory is a perfect tool to distinguish between these two alternatives. It describes two parameters, namely sensitivity and response bias. Changes in the sensitivity are related to the actual task performance due to real differences in perception processes whereas changes in the response bias simply reflect strategic implications as a stronger preparation (activation) of an anticipated answer. Our results clearly demonstrate that the number-size congruency effect cannot be reduced to mere response bias effects, and that genuine sensitivity gains for congruent number-size pairings contribute to the number-size congruency effect. Third, participants had to perform a SNARC task - deciding whether a presented digit was odd or even. Local transition probability of irrelevant attributes (magnitude) was varied while local transition probability of relevant attributes (parity) and global probability occurrence of each stimulus were kept constantly. Participants were quite sensitive in recognizing the underlying local transition probability of irrelevant attributes. A gain in performance was observed for actual repetitions of the irrelevant attribute in relation to changes of the irrelevant attribute in high repetition conditions compared to low repetition conditions. One interpretation of these findings is that information about the irrelevant attribute (magnitude) in the previous trial is used as an informative precue, so that participants can prepare early processing stages in the current trial, with the corresponding benefits and costs typical of standard cueing studies. Finally, the results reported in this thesis are discussed in relation to recent studies in numerical cognition.}, language = {en} } @phdthesis{You2017, author = {You, Zewang}, title = {Conformational transition of peptide-functionalized cryogels enabling shape-memory capability}, school = {Universit{\"a}t Potsdam}, pages = {144}, year = {2017}, language = {en} } @phdthesis{Baumgarten2017, author = {Baumgarten, Franz}, title = {Nahrungserg{\"a}nzungsmittel im Nachwuchssport - Interventionsempfehlungen vor dem Hintergrund der Theorie der Zielsysteme}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-405652}, school = {Universit{\"a}t Potsdam}, pages = {127}, year = {2017}, abstract = {Aufgrund verschiedener wissenschaftlicher Erkenntnisse wird jungen Sporttreibenden vom Gebrauch von Nahrungserg{\"a}nzungsmitteln (NEM) abgeraten. Diese Dissertation verfolgt vor dem Hintergrund der Theorie der Zielsysteme (TDZ) das Ziel der Erstellung anwendungsorientieren Handlungswissens, anhand dessen Interventionsempfehlungen zur Reduzierung des pr{\"a}valenten NEM-Konsums im Nachwuchssport ableitbar sind. Insgesamt wurden sechs Untersuchungen durchgef{\"u}hrt. Die Versuchsteilnehmenden absolvierten in s{\"a}mtlichen Studien eine Variante der lexikalischen Entscheidungsaufgabe. Diese Aufgabe diente der Operationalisierung von automatisch aktivier- und abrufbaren nahrungserg{\"a}nzungsmittelbezogenen Ziel-Mittel-Relationen. In einer Stichprobe von Sportstudierenden zeigte sich, dass NEM mit dem Ziel Leistung assoziiert sind (Studie 1). Unter Ber{\"u}cksichtigung des NEM-Konsums wurde dieses Ergebnis f{\"u}r Nachwuchsathletinnen und -athleten aus dem Breitensport repliziert (Studie 2). Zus{\"a}tzlich konnte in beiden Studien die Bedeutung dieser Ziel-Mittel-Relationen f{\"u}r das Verhalten nachgewiesen werden. In den nachfolgenden Untersuchungen wurden spezifische Ver{\"a}nderungsmechanismen der verhaltensleitenden Ziel-Mittel-Relation aus Leistung und NEM zun{\"a}chst an Sportstudierenden experimentell evaluiert. Durch das Herausstellen der fehlenden leistungssteigernden Wirkung von NEM konnte diese Zielassoziation nicht modifiziert werden (Studie 3). Das Betonen gesundheitssch{\"a}digender Konsequenzen (Studie 4) und das Akzentuieren einer gesunden Ern{\"a}hrung (Studie 5) erwiesen sich demgegen{\"u}ber als geeignet zur Ver{\"a}nderung der Ziel-Mittel-Relation. Das Herausstellen einer gesunden Ern{\"a}hrung f{\"u}hrte deskriptiv bei Nachwuchsathletinnen und -athleten ebenfalls zur Modifikation der Zielassoziation (Studie 6). Die inferenzstatistische Best{\"a}tigung der Ergebnisse dieser Studie steht aufgrund der geringen Testst{\"a}rke der Untersuchung noch aus. Insgesamt verdeutlichen die Ergebnisse, dass die auf Ebene automatischer Kognitionen bestehende und verhaltensleitende Assoziation des Gebrauchs von NEM mit Leistung durch die Akzentuierung gesundheitlicher Perspektiven experimentell ver{\"a}ndert werden kann. Abschließend wird die theoretische und praktische Bedeutung des erstellten Handlungswissen f{\"u}r k{\"u}nftige Interventionsempfehlungen zur Reduzierung des Gebrauchs von NEM diskutiert.}, language = {de} } @phdthesis{Stephan2017, author = {Stephan, Florian}, title = {Mehrfachintegration von Experimenten im Chemielehrgang}, school = {Universit{\"a}t Potsdam}, pages = {123}, year = {2017}, language = {de} } @phdthesis{Che2017, author = {Che, Xiaoyin}, title = {E-lecture material enhancement based on automatic multimedia analysis}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-408224}, school = {Universit{\"a}t Potsdam}, pages = {xviii, 148}, year = {2017}, abstract = {In this era of high-speed informatization and globalization, online education is no longer an exquisite concept in the ivory tower, but a rapidly developing industry closely relevant to people's daily lives. Numerous lectures are recorded in form of multimedia data, uploaded to the Internet and made publicly accessible from anywhere in this world. These lectures are generally addressed as e-lectures. In recent year, a new popular form of e-lectures, the Massive Open Online Courses (MOOCs), boosts the growth of online education industry and somehow turns "learning online" into a fashion. As an e-learning provider, besides to keep improving the quality of e-lecture content, to provide better learning environment for online learners is also a highly important task. This task can be preceded in various ways, and one of them is to enhance and upgrade the learning materials provided: e-lectures could be more than videos. Moreover, this process of enhancement or upgrading should be done automatically, without giving extra burdens to the lecturers or teaching teams, and this is the aim of this thesis. The first part of this thesis is an integrated framework of multi-lingual subtitles production, which can help online learners penetrate the language barrier. The framework consists of Automatic Speech Recognition (ASR), Sentence Boundary Detection (SBD) and Machine Translation (MT), among which the proposed SBD solution is major technical contribution, building on Deep Neural Network (DNN) and Word Vector (WV) and achieving state-of-the-art performance. Besides, a quantitative evaluation with dozens of volunteers is also introduced to measure how these auto-generated subtitles could actually help in context of e-lectures. Secondly, a technical solution "TOG" (Tree-Structure Outline Generation) is proposed to extract textual content from the displaying slides recorded in video and re-organize them into a hierarchical lecture outline, which may serve in multiple functions, such like preview, navigation and retrieval. TOG runs adaptively and can be roughly divided into intra-slide and inter-slides phases. Table detection and lecture video segmentation can be implemented as sub- or post-application in these two phases respectively. Evaluation on diverse e-lectures shows that all the outlines, tables and segments achieved are trustworthily accurate. Based on the subtitles and outlines previously created, lecture videos can be further split into sentence units and slide-based segment units. A lecture highlighting process is further applied on these units, in order to capture and mark the most important parts within the corresponding lecture, just as what people do with a pen when reading paper books. Sentence-level highlighting depends on the acoustic analysis on the audio track, while segment-level highlighting focuses on exploring clues from the statistical information of related transcripts and slide content. Both objective and subjective evaluations prove that the proposed lecture highlighting solution is with decent precision and welcomed by users. All above enhanced e-lecture materials have been already implemented in actual use or made available for implementation by convenient interfaces.}, language = {en} } @phdthesis{Berthold2017, author = {Berthold, Thomas}, title = {Tannine f{\"u}r nachhaltige und funktionale Kohlenstoffmaterialien}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407564}, school = {Universit{\"a}t Potsdam}, pages = {85, xlvi}, year = {2017}, abstract = {In Zeiten eines sich schnell {\"a}ndernden und vielseitigen Energiemarktes m{\"u}ssen Kohlenstoffmaterialien f{\"u}r verschiedene Anforderungen einsetzbar sein. Dies erfordert flexibel synthetisierbare Kohlenstoffmaterialien bevorzugt aus g{\"u}nstigen und nachhaltigen Kohlenstoffquellen. Es ist allerdings nicht leicht Vorl{\"a}uferverbindungen auszumachen, welche sich einerseits f{\"u}r verschiedene Herstellungsverfahren eignen und deren Kohlenstoffprodukte andererseits in spezifischen Eigenschaften, wie der Struktur, des Stickstoffanteils, der Oberfl{\"a}che und der Porengr{\"o}ßen, eingestellt werden k{\"o}nnen. In diesem Zusammenhang k{\"o}nnen nat{\"u}rliche Polyphenole, etwa {\"u}bersch{\"u}ssige Tannine aus der Weinproduktion, eine neue Welt zu hoch funktionalen und vielseitig einstellbaren Kohlenstoffmaterialien mit hohen Ausbeuten {\"o}ffnen. Das Hauptziel dieser vorliegenden Thesis war es neue funktionale, einstellbare und skalierbare nanostrukturierte Kohlenstoffmaterialien aus Tanninen (insbesondere Tannins{\"a}ure) f{\"u}r unterschiedliche elektrochemische Zwecke zu synthetisieren und zu charakterisieren. Erm{\"o}glicht wurde dies durch unterschiedliche synthetische Herangehensweisen, wie etwa der polymeren Strukturdirektion, dem ionothermalen Templatieren und der weichen Templatierung. An Stelle des weitl{\"a}ufig gebr{\"a}uchlichen, aber kanzerogenen Vernetzungsagens Formaldehyd wurden bei den vorgestellten Synthesen Harnstoff und Thioharnstoff gew{\"a}hlt, um zugleich die synthetisierten Kohlenmaterialien variabel dotieren zu k{\"o}nnen. Daher wurden im ersten Teil der Arbeit die Wechselwirkungen, Reaktionen und thermischen Verhaltensweisen von Tannins{\"a}ure und Mixturen von Tannins{\"a}ure und Harnstoff bzw. Thioharnstoff untersucht, um daraus wichtige Erkenntnisse f{\"u}r die verschiedenen Kohlenstoffsynthesen zu gewinnen. Durch die Verwendung eines polymeren Strukturierungsagenz Pluronic P123 konnten in einer ersten Kohlenstoffsynthese nachhaltige und dotierbare Kohlenstoffpartikel mit Durchmessern im Nanometerbereich aus Tannins{\"a}ure und Harnstoff hergestellt werden. Es konnte dabei gezeigt werden, dass durch die Modifikation der verschiedenen Syntheseparameter die Kohlenstoffnanopartikel gem{\"a}ß ihres gemittelten Partikeldurchmessers, ihrer BET-Oberfl{\"a}che, ihrer Komposition, ihrer Leitf{\"a}higkeit und ihrer chemischen Stabilit{\"a}t einstellbar sind. Dies er{\"o}ffnete die M{\"o}glichkeit diese Kohlenstoffpartikel als alternatives und nachhaltiges Rußmaterial einzusetzen. Weiterhin war es durch die ionothermale Templatierung m{\"o}glich por{\"o}se, dotierte und kontrollierbare Kohlenstoffpartikel mit hohen spezifischen Oberfl{\"a}chen aus den gew{\"a}hlten Pr{\"a}kursorverbindungen zu synthetisieren, die sich f{\"u}r den Einsatz in Superkondensatoren eignen. Auf diesen Erkenntnissen aufbauend konnten mittels der Rotationsbeschichtung por{\"o}se binderfreie und strukturierte Kohlenstofffilme synthetisiert werden, die eine spinodale Struktur aufwiesen. Anhand der Modifikation der Stamml{\"o}sungskonzentration, der Rotationsgeschwindigkeit und der verwendeten Substrate konnten die Filmdicke (100-1000 nm), die Morphologie und Gesamtoberfl{\"a}che gezielt beeinflusst werden. Die erweiterte elektrochemische Analyse zeigte außerdem ein sehr gut zug{\"a}ngliches Porensystem der por{\"o}sen Kohlenstofffilme. Allumfassend konnten demnach verschiedene Synthesewege f{\"u}r Kohlenstoffmaterialien aus Tanninen aufgezeigt werden, die verschiedenartig strukturiert und kontrolliert werden k{\"o}nnen und sich f{\"u}r diverse Anwendungsgebiete eignen.}, language = {de} } @phdthesis{Kirsch2017, author = {Kirsch, Fabian}, title = {Intrapersonal risk factors of aggressive behavior in childhood}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407369}, school = {Universit{\"a}t Potsdam}, pages = {X, 182}, year = {2017}, abstract = {BACKGROUND: Aggressive behavior at an early age is linked to a broad range of psychosocial problems in later life. That is why risk factors of the occurrence and the development of aggression have been examined for a long time in psychological science. The present doctoral dissertation aims to expand this research by investigating risk factors in three intrapersonal domains using the prominent social-information processing approach by Crick and Dodge (1994) as a framework model. Anger regulation was examined as an affective, theory of mind as a cognitive, and physical attractiveness as an appearance-related developmental factor of aggression in middle childhood. An additional goal of this work was to develop and validate a behavioral observation assessment of anger regulation as past research lacked in ecologically valid measures of anger regulation that are applicable for longitudinal studies. METHODS: Three empirical studies address the aforementioned intrapersonal risk factors. In each study, data from the PIER-project were used, a three-wave-longitudinal study covering three years with a total sample size of 1,657 children in the age between 6 and 11 years (at the first measurement point). The central constructs were assessed via teacher-reports (aggression), behavioral observation (anger regulation), computer tests (theory of mind), and independent ratings (physical attractiveness). The predictive value of each proposed risk factor for the development of aggressive behavior was examined via structural equation modeling. RESULTS AND CONCLUSION: The newly developed behavioral observation measure was found to be a reliable and valid tool to assess anger regulation in middle childhood, but limited in capturing a full range of relevant regulation strategies. That might be the reason, why maladaptive anger regulation was not found to function as a risk factor of subsequent aggressive behavior. However, children's deficits in theory of mind and a low level in physical attractiveness significantly predicted later aggression. Problematic peer relationships were identified as underlying the link between low attractiveness and aggression. Thus, fostering children's skills in theory of mind and their ability to call existing beliefs about the nature of more versus less attractive individuals into question may be important starting points for the prevention of aggressive behavior in middle childhood.}, language = {en} } @phdthesis{MbayaMani2017, author = {Mbaya Mani, Christian}, title = {Functional nanoporous carbon-based materials derived from oxocarbon-metal coordination complexes}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407866}, school = {Universit{\"a}t Potsdam}, pages = {IV, 135}, year = {2017}, abstract = {Nanoporous carbon based materials are of particular interest for both science and industry due to their exceptional properties such as a large surface area, high pore volume, high electroconductivity as well as high chemical and thermal stability. Benefiting from these advantageous properties, nanoporous carbons proved to be useful in various energy and environment related applications including energy storage and conversion, catalysis, gas sorption and separation technologies. The synthesis of nanoporous carbons classically involves thermal carbonization of the carbon precursors (e.g. phenolic resins, polyacrylonitrile, poly(vinyl alcohol) etc.) followed by an activation step and/or it makes use of classical hard or soft templates to obtain well-defined porous structures. However, these synthesis strategies are complicated and costly; and make use of hazardous chemicals, hindering their application for large-scale production. Furthermore, control over the carbon materials properties is challenging owing to the relatively unpredictable processes at the high carbonization temperatures. In the present thesis, nanoporous carbon based materials are prepared by the direct heat treatment of crystalline precursor materials with pre-defined properties. This synthesis strategy does not require any additional carbon sources or classical hard- or soft templates. The highly stable and porous crystalline precursors are based on coordination compounds of the squarate and croconate ions with various divalent metal ions including Zn2+, Cu2+, Ni2+, and Co2+, respectively. Here, the structural properties of the crystals can be controlled by the choice of appropriate synthesis conditions such as the crystal aging temperature, the ligand/metal molar ratio, the metal ion, and the organic ligand system. In this context, the coordination of the squarate ions to Zn2+ yields porous 3D cube crystalline particles. The morphology of the cubes can be tuned from densely packed cubes with a smooth surface to cubes with intriguing micrometer-sized openings and voids which evolve on the centers of the low index faces as the crystal aging temperature is raised. By varying the molar ratio, the particle shape can be changed from truncated cubes to perfect cubes with right-angled edges. These crystalline precursors can be easily transformed into the respective carbon based materials by heat treatment at elevated temperatures in a nitrogen atmosphere followed by a facile washing step. The resulting carbons are obtained in good yields and possess a hierarchical pore structure with well-organized and interconnected micro-, meso- and macropores. Moreover, high surface areas and large pore volumes of up to 1957 m2 g-1 and 2.31 cm3 g-1 are achieved, respectively, whereby the macroscopic structure of the precursors is preserved throughout the whole synthesis procedure. Owing to these advantageous properties, the resulting carbon based materials represent promising supercapacitor electrode materials for energy storage applications. This is exemplarily demonstrated by employing the 3D hierarchical porous carbon cubes derived from squarate-zinc coordination compounds as electrode material showing a specific capacitance of 133 F g-1 in H2SO4 at a scan rate of 5 mV s-1 and retaining 67\% of this specific capacitance when the scan rate is increased to 200 mV s-1. In a further application, the porous carbon cubes derived from squarate-zinc coordination compounds are used as high surface area support material and decorated with nickel nanoparticles via an incipient wetness impregnation. The resulting composite material combines a high surface area, a hierarchical pore structure with high functionality and well-accessible pores. Moreover, owing to their regular micro-cube shape, they allow for a good packing of a fixed-bed flow reactor along with high column efficiency and a minimized pressure drop throughout the packed reactor. Therefore, the composite is employed as heterogeneous catalyst in the selective hydrogenation of 5-hydroxymethylfurfural to 2,5-dimethylfuran showing good catalytic performance and overcoming the conventional problem of column blocking. Thinking about the rational design of 3D carbon geometries, the functions and properties of the resulting carbon-based materials can be further expanded by the rational introduction of heteroatoms (e.g. N, B, S, P, etc.) into the carbon structures in order to alter properties such as wettability, surface polarity as well as the electrochemical landscape. In this context, the use of crystalline materials based on oxocarbon-metal ion complexes can open a platform of highly functional materials for all processes that involve surface processes.}, language = {en} } @phdthesis{Perillon2017, author = {P{\´e}rillon, C{\´e}cile}, title = {The effect of groundwater on benthic primary producers and their interaction}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406883}, school = {Universit{\"a}t Potsdam}, pages = {XVII, 180}, year = {2017}, abstract = {In littoral zones of lakes, multiple processes determine lake ecology and water quality. Lacustrine groundwater discharge (LGD), most frequently taking place in littoral zones, can transport or mobilize nutrients from the sediments and thus contribute significantly to lake eutrophication. Furthermore, lake littoral zones are the habitat of benthic primary producers, namely submerged macrophytes and periphyton, which play a key role in lake food webs and influence lake water quality. Groundwater-mediated nutrient-influx can potentially affect the asymmetric competition between submerged macrophytes and periphyton for light and nutrients. While rooted macrophytes have superior access to sediment nutrients, periphyton can negatively affect macrophytes by shading. LGD may thus facilitate periphyton production at the expense of macrophyte production, although studies on this hypothesized effect are missing. The research presented in this thesis is aimed at determining how LGD influences periphyton, macrophytes, and the interactions between these benthic producers. Laboratory experiments were combined with field experiments and measurements in an oligo-mesotrophic hard water lake. In the first study, a general concept was developed based on a literature review of the existing knowledge regarding the potential effects of LGD on nutrients and inorganic and organic carbon loads to lakes, and the effect of these loads on periphyton and macrophytes. The second study includes a field survey and experiment examining the effects of LGD on periphyton in an oligotrophic, stratified hard water lake (Lake Stechlin). This study shows that LGD, by mobilizing phosphorus from the sediments, significantly promotes epiphyton growth, especially at the end of the summer season when epilimnetic phosphorus concentrations are low. The third study focuses on the potential effects of LGD on submerged macrophytes in Lake Stechlin. This study revealed that LGD may have contributed to an observed change in macrophyte community composition and abundance in the shallow littoral areas of the lake. Finally, a laboratory experiment was conducted which mimicked the conditions of a seepage lake. Groundwater circulation was shown to mobilize nutrients from the sediments, which significantly promoted periphyton growth. Macrophyte growth was negatively affected at high periphyton biomasses, confirming the initial hypothesis. More generally, this thesis shows that groundwater flowing into nutrient-limited lakes may import or mobilize nutrients. These nutrients first promote periphyton, and subsequently provoke radical changes in macrophyte populations before finally having a possible influence on the lake's trophic state. Hence, the eutrophying effect of groundwater is delayed and, at moderate nutrient loading rates, partly dampened by benthic primary producers. The present research emphasizes the importance and complexity of littoral processes, and the need to further investigate and monitor the benthic environment. As present and future global changes can significantly affect LGD, the understanding of these complex interactions is required for the sustainable management of lake water quality.}, language = {en} } @phdthesis{deSouza2017, author = {de Souza, Leonardo Perez}, title = {Functional characterization of biosynthesis and regulation of plant secondary metabolism}, school = {Universit{\"a}t Potsdam}, pages = {102}, year = {2017}, language = {en} } @phdthesis{deAbreueLima2017, author = {de Abreu e Lima, Francisco Anastacio}, title = {Experimental validation of hybrid performance predictive models in Zea mays L.}, school = {Universit{\"a}t Potsdam}, pages = {127}, year = {2017}, language = {en} } @phdthesis{Gudipudi2017, author = {Gudipudi, Venkata Ramana}, title = {Cities and global sustainability}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407113}, school = {Universit{\"a}t Potsdam}, pages = {xxii, 101}, year = {2017}, abstract = {In the wake of 21st century, humanity witnessed a phenomenal raise of urban agglomerations as powerhouses for innovation and socioeconomic growth. Driving much of national (and in few instances even global) economy, such a gargantuan raise of cities is also accompanied by subsequent increase in energy, resource consumption and waste generation. Much of anthropogenic transformation of Earth's environment in terms of environmental pollution at local level to planetary scale in the form of climate change is currently taking place in cities. Projected to be crucibles for entire humanity by the end of this century, the ultimate fate of humanity predominantly lies in the hands of technological innovation, urbanites' attitudes towards energy/resource consumption and development pathways undertaken by current and future cities. Considering the unparalleled energy, resource consumption and emissions currently attributed to global cities, this thesis addresses these issues from an efficiency point of view. More specifically, this thesis addresses the influence of population size, density, economic geography and technology in improving urban greenhouse gas (GHG) emission efficiency and identifies the factors leading to improved eco-efficiency in cities. In order to investigate the in uence of these factors in improving emission and resource efficiency in cities, a multitude of freely available datasets were coupled with some novel methodologies and analytical approaches in this thesis. Merging the well-established Kaya Identity to the recently developed urban scaling laws, an Urban Kaya Relation is developed to identify whether large cities are more emission efficient and the intrinsic factors leading to such (in)efficiency. Applying Urban Kaya Relation to a global dataset of 61 cities in 12 countries, this thesis identifed that large cities in developed regions of the world will bring emission efficiency gains because of the better technologies implemented in these cities to produce and utilize energy consumption while the opposite is the case for cities in developing regions. Large cities in developing countries are less efficient mainly because of their affluence and lack of efficient technologies. Apart from the in uence of population size on emission efficiency, this thesis identified the crucial role played by population density in improving building and on-road transport sector related emission efficiency in cities. This is achieved by applying the City Clustering Algorithm (CCA) on two different gridded land use datasets and a standard emission inventory to attribute these sectoral emissions to all inhabited settlements in the USA. Results show that doubling the population density would entail a reduction in the total CO2 emissions in buildings and on-road sectors typically by at least 42 \%. Irrespective of their population size and density, cities are often blamed for their intensive resource consumption that threatens not only local but also global sustainability. This thesis merged the concept of urban metabolism with benchmarking and identified cities which are eco-efficient. These cities enable better socioeconomic conditions while being less burden to the environment. Three environmental burden indicators (annual average NO2 concentration, per capita waste generation and water consumption) and two socioeconomic indicators (GDP per capita and employment ratio) for 88 most populous European cities are considered in this study. Using two different non-parametric ranking methods namely regression residual ranking and Data Envelopment Analysis (DEA), eco-efficient cities and their determining factors are identified. This in-depth analysis revealed that mature cities with well-established economic structures such as Munich, Stockholm and Oslo are eco-efficient. Further, correlations between objective eco-efficiency ranking with each of the indicator rankings and the ranking of urbanites' subjective perception about quality of life are analyzed. This analysis revealed that urbanites' perception about quality of life is not merely confined to the socioeconomic well-being but rather to their combination with lower environmental burden. In summary, the findings of this dissertation has three general conclusions for improving emission and ecological efficiency in cities. Firstly, large cities in emerging nations face a huge challenge with respect to improving their emission efficiency. The task in front of these cities is threefold: (1) deploying efficient technologies for the generation of electricity and improvement of public transportation to unlock their leap frogging potential, (2) addressing the issue of energy poverty and (3) ensuring that these cities do not develop similar energy consumption patterns with infrastructure lock-in behavior similar to those of cities in developed regions. Secondly, the on-going urban sprawl as a global phenomenon will decrease the emission efficiency within the building and transportation sector. Therefore, local policy makers should identify adequate fiscal and land use policies to curb urban sprawl. Lastly, since mature cities with well-established economic structures are more eco-efficient and urbanites' perception re ects its combination with decreasing environmental burden; there is a need to adopt and implement strategies which enable socioeconomic growth in cities whilst decreasing their environment burden.}, language = {en} } @phdthesis{OseiTutu2017, author = {Osei Tutu, Anthony}, title = {Linking global mantle dynamics with lithosphere dynamics using the geoid, plate velocities and lithosphere stress state as constraints}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407057}, school = {Universit{\"a}t Potsdam}, pages = {108}, year = {2017}, abstract = {Lithospheric plates move over the low viscosity asthenosphere balancing several forces. The driving forces include basal shear stress exerted by mantle convection and plate boundary forces such as slab pull and ridge push, whereas the resisting forces include inter-plate friction, trench resistance, and cratonic root resistance. These generate plate motions, the lithospheric stress field and dynamic topography which are observed with different geophysical methods. The orientation and tectonic regime of the observed crustal/lithospheric stress field further contribute to our knowledge of different deformation processes occurring within the Earth's crust and lithosphere. Using numerical models previous studies were able to identify major forces generating stresses in the crust and lithosphere which also contribute to the formation of topography as well as driving lithospheric plates. They showed that the first-order stress pattern explaining about 80\,\\% of the stress field originates from a balance of forces acting at the base of the moving lithospheric plates due to convective flow in the underlying mantle. The remaining second-order stress pattern is due to lateral density variations in the crust and lithosphere in regions of pronounced topography and high gravitational potential, such as the Himalayas and mid-ocean ridges. By linking global lithosphere dynamics to deep mantle flow this study seeks to evaluate the influence of shallow and deep density heterogenities on plate motions, lithospheric stress field and dynamic topography using the geoid as a major constraint for mantle rheology. We use the global 3D lithosphere-asthenosphere model SLIM3D with visco-elasto-plastic rheology coupled at 300 km depth to a spectral model of mantle flow. The complexity of the lithosphere-asthenosphere component allows for the simulation of power-law rheology with creep parameters accounting for both diffusion and dislocation creep within the uppermost 300 km. First we investigate the influence of intra-plate friction and asthenospheric viscosity on present-day plate motions. Previous modelling studies have suggested that small friction coefficients (µ < 0.1, yield stress ~ 100 MPa) can lead to plate tectonics in models of mantle convection. Here we show that, in order to match present-day plate motions and net rotation, the frictional parameter must be less than 0.05. We are able to obtain a good fit with the magnitude and orientation of observed plate velocities (NUVEL-1A) in a no-net-rotation (NNR) reference frame with µ < 0.04 and minimum asthenosphere viscosity ~ 5*10e19 Pas to 10e20 Pas. Our estimates of net rotation (NR) of the lithosphere suggest that amplitudes ~ 0.1-0.2 °/Ma, similar to most observation-based estimates, can be obtained with asthenosphere viscosity cutoff values of ~ 10e19 Pas to 5*10e19 Pas and friction coefficient µ < 0.05. The second part of the study investigates further constraints on shallow and deep mantle heterogeneities causing plate motion by predicting lithosphere stress field and topography and validating with observations. Lithosphere stresses and dynamic topography are computed using the modelling setup and rheological parameters for prescribed plate motions. We validate our results with the World Stress Map 2016 (WSM2016) and the observed residual topography. Here we tested a number of upper mantle thermal-density structures. The one used to calculate plate motions is considered the reference thermal-density structure. This model is derived from a heat flow model combined with a sea floor age model. In addition we used three different thermal-density structures derived from global S-wave velocity models to show the influence of lateral density heterogeneities in the upper 300 km on model predictions. A large portion of the total dynamic force generating stresses in the crust/lithosphere has its origin in the deep mantle, while topography is largely influenced by shallow heterogeneities. For example, there is hardly any difference between the stress orientation patterns predicted with and without consideration of the heterogeneities in the upper mantle density structure across North America, Australia, and North Africa. However, the crust is dominant in areas of high altitude for the stress orientation compared to the all deep mantle contribution. This study explores the sensitivity of all the considered surface observables with regards to model parameters providing insights into the influence of the asthenosphere and plate boundary rheology on plate motion as we test various thermal-density structures to predict stresses and topography.}, language = {en} } @phdthesis{Martin2017, author = {Martin, Thorsten}, title = {Advances in spatial econometrics and the political economy of local housing supply}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406836}, school = {Universit{\"a}t Potsdam}, pages = {207}, year = {2017}, abstract = {This cumulative dissertation consists of five chapters. In terms of research content, my thesis can be divided into two parts. Part one examines local interactions and spillover effects between small regional governments using spatial econometric methods. The second part focuses on patterns within municipalities and inspects which institutions of citizen participation, elections and local petitions, influence local housing policies.}, language = {en} } @phdthesis{Schmidt2017, author = {Schmidt, Silke Regina}, title = {Analyzing lakes in the time frequency domain}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406955}, school = {Universit{\"a}t Potsdam}, pages = {VIII, 126}, year = {2017}, abstract = {The central aim of this thesis is to demonstrate the benefits of innovative frequency-based methods to better explain the variability observed in lake ecosystems. Freshwater ecosystems may be the most threatened part of the hydrosphere. Lake ecosystems are particularly sensitive to changes in climate and land use because they integrate disturbances across their entire catchment. This makes understanding the dynamics of lake ecosystems an intriguing and important research priority. This thesis adds new findings to the baseline knowledge regarding variability in lake ecosystems. It provides a literature-based, data-driven and methodological framework for the investigation of variability and patterns in environmental parameters in the time frequency domain. Observational data often show considerable variability in the environmental parameters of lake ecosystems. This variability is mostly driven by a plethora of periodic and stochastic processes inside and outside the ecosystems. These run in parallel and may operate at vastly different time scales, ranging from seconds to decades. In measured data, all of these signals are superimposed, and dominant processes may obscure the signals of other processes, particularly when analyzing mean values over long time scales. Dominant signals are often caused by phenomena at long time scales like seasonal cycles, and most of these are well understood in the limnological literature. The variability injected by biological, chemical and physical processes operating at smaller time scales is less well understood. However, variability affects the state and health of lake ecosystems at all time scales. Besides measuring time series at sufficiently high temporal resolution, the investigation of the full spectrum of variability requires innovative methods of analysis. Analyzing observational data in the time frequency domain allows to identify variability at different time scales and facilitates their attribution to specific processes. The merit of this approach is subsequently demonstrated in three case studies. The first study uses a conceptual analysis to demonstrate the importance of time scales for the detection of ecosystem responses to climate change. These responses often occur during critical time windows in the year, may exhibit a time lag and can be driven by the exceedance of thresholds in their drivers. This can only be detected if the temporal resolution of the data is high enough. The second study applies Fast Fourier Transform spectral analysis to two decades of daily water temperature measurements to show how temporal and spatial scales of water temperature variability can serve as an indicator for mixing in a shallow, polymictic lake. The final study uses wavelet coherence as a diagnostic tool for limnology on a multivariate high-frequency data set recorded between the onset of ice cover and a cyanobacteria summer bloom in the year 2009 in a polymictic lake. Synchronicities among limnological and meteorological time series in narrow frequency bands were used to identify and disentangle prevailing limnological processes. Beyond the novel empirical findings reported in the three case studies, this thesis aims to more generally be of interest to researchers dealing with now increasingly available time series data at high temporal resolution. A set of innovative methods to attribute patterns to processes, their drivers and constraints is provided to help make more efficient use of this kind of data.}, language = {en} } @phdthesis{ReynaGonzalez2017, author = {Reyna Gonz{\´a}lez, Emmanuel}, title = {Engineering of the microviridin post-translational modification enzymes for the production of synthetic protease inhibitors}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406979}, school = {Universit{\"a}t Potsdam}, pages = {XI, 91, CI}, year = {2017}, abstract = {Natural products and their derivatives have always been a source of drug leads. In particular, bacterial compounds have played an important role in drug development, for example in the field of antibiotics. A decrease in the discovery of novel leads from natural sources and the hope of finding new leads through the generation of large libraries of drug-like compounds by combinatorial chemistry aimed at specific molecular targets drove the pharmaceutical companies away from research on natural products. However, recent technological advances in genetics, bioinformatics and analytical chemistry have revived the interest in natural products. The ribosomally synthesized and post-translationally modified peptides (RiPPs) are a group of natural products generated by the action of post-translationally modifying enzymes on precursor peptides translated from mRNA by ribosomes. The great substrate promiscuity exhibited by many of the enzymes from RiPP biosynthetic pathways have led to the generation of hundreds of novel synthetic and semisynthetic variants, including variants carrying non-canonical amino acids (ncAAs). The microviridins are a family of RiPPs characterized by their atypical tricyclic structure composed of lactone and lactam rings, and their activity as serine protease inhibitors. The generalities of their biosynthetic pathway have already been described, however, the lack of information on details such as the protease responsible for cleaving off the leader peptide from the cyclic core peptide has impeded the fast and cheap production of novel microviridin variants. In the present work, knowledge on leader peptide activation of enzymes from other RiPP families has been extrapolated to the microviridin family, making it possible to bypass the need of a leader peptide. This feature allowed for the exploitation of the microviridin biosynthetic machinery for the production of novel variants through the establishment of an efficient one-pot in vitro platform. The relevance of this chemoenzymatic approach has been exemplified by the synthesis of novel potent serine protease inhibitors from both rationally-designed peptide libraries and bioinformatically predicted microviridins. Additionally, new structure-activity relationships (SARs) could be inferred by screening microviridin intermediates. The significance of this technique was further demonstrated by the simple incorporation of ncAAs into the microviridin scaffold.}, language = {en} } @phdthesis{Weissenberger2017, author = {Weißenberger, Martin}, title = {Start-up subsidies for the unemployed - New evaluation approaches and insights}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406362}, school = {Universit{\"a}t Potsdam}, pages = {viii, 239}, year = {2017}, abstract = {Start-up incentives targeted at unemployed individuals have become an important tool of the Active Labor Market Policy (ALMP) to fight unemployment in many countries in recent years. In contrast to traditional ALMP instruments like training measures, wage subsidies, or job creation schemes, which are aimed at reintegrating unemployed individuals into dependent employment, start-up incentives are a fundamentally different approach to ALMP, in that they intend to encourage and help unemployed individuals to exit unemployment by entering self-employment and, thus, by creating their own jobs. In this sense, start-up incentives for unemployed individuals serve not only as employment and social policy to activate job seekers and combat unemployment but also as business policy to promote entrepreneurship. The corresponding empirical literature on this topic so far has been mainly focused on the individual labor market perspective, however. The main part of the thesis at hand examines the new start-up subsidy ("Gr{\"u}ndungszuschuss") in Germany and consists of four empirical analyses that extend the existing evidence on start-up incentives for unemployed individuals from multiple perspectives and in the following directions: First, it provides the first impact evaluation of the new start-up subsidy in Germany. The results indicate that participation in the new start-up subsidy has significant positive and persistent effects on both reintegration into the labor market as well as the income profiles of participants, in line with previous evidence on comparable German and international programs, which emphasizes the general potential of start-up incentives as part of the broader ALMP toolset. Furthermore, a new innovative sensitivity analysis of the applied propensity score matching approach integrates findings from entrepreneurship and labor market research about the key role of an individual's personality on start-up decision, business performance, as well as general labor market outcomes, into the impact evaluation of start-up incentives. The sensitivity analysis with regard to the inclusion and exclusion of usually unobserved personality variables reveals that differences in the estimated treatment effects are small in magnitude and mostly insignificant. Consequently, concerns about potential overestimation of treatment effects in previous evaluation studies of similar start-up incentives due to usually unobservable personality variables are less justified, as long as the set of observed control variables is sufficiently informative (Chapter 2). Second, the thesis expands our knowledge about the longer-term business performance and potential of subsidized businesses arising from the start-up subsidy program. In absolute terms, the analysis shows that a relatively high share of subsidized founders successfully survives in the market with their original businesses in the medium to long run. The subsidy also yields a "double dividend" to a certain extent in terms of additional job creation. Compared to "regular", i.e., non-subsidized new businesses founded by non-unemployed individuals in the same quarter, however, the economic and growth-related impulses set by participants of the subsidy program are only limited with regard to employment growth, innovation activity, or investment. Further investigations of possible reasons for these differences show that differential business growth paths of subsidized founders in the longer run seem to be mainly limited by higher restrictions to access capital and by unobserved factors, such as less growth-oriented business strategies and intentions, as well as lower (subjective) entrepreneurial persistence. Taken together, the program has only limited potential as a business and entrepreneurship policy intended to induce innovation and economic growth (Chapters 3 and 4). And third, an empirical analysis on the level of German regional labor markets yields that there is a high regional variation in subsidized start-up activity relative to overall new business formation. The positive correlation between regular start-up intensity and the share among all unemployed individuals who participate in the start-up subsidy program suggests that (nascent) unemployed founders also profit from the beneficial effects of regional entrepreneurship capital. Moreover, the analysis of potential deadweight and displacement effects from an aggregated regional perspective emphasizes that the start-up subsidy for unemployed individuals represents a market intervention into existing markets, which affects incumbents and potentially produces inefficiencies and market distortions. This macro perspective deserves more attention and research in the future (Chapter 5).}, language = {en} } @phdthesis{Schuermann2017, author = {Sch{\"u}rmann, Robin Mathis}, title = {Interaction of the potential DNA-radiosensitizer 8-bromoadenine with free and plasmonically generated electrons}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407017}, school = {Universit{\"a}t Potsdam}, pages = {xi, 120}, year = {2017}, abstract = {In Germany more than 200.000 persons die of cancer every year, which makes it the second most common cause of death. Chemotherapy and radiation therapy are often combined to exploit a supra-additive effect, as some chemotherapeutic agents like halogenated nucleobases sensitize the cancerous tissue to radiation. The radiosensitizing action of certain therapeutic agents can be at least partly assigned to their interaction with secondary low energy electrons (LEEs) that are generated along the track of the ionizing radiation. In the therapy of cancer DNA is an important target, as severe DNA damage like double strand breaks induce the cell death. As there is only a limited number of radiosensitizing agents in clinical practice, which are often strongly cytotoxic, it would be beneficial to get a deeper understanding of the interaction of less toxic potential radiosensitizers with secondary reactive species like LEEs. Beyond that LEEs can be generated by laser illuminated nanoparticles that are applied in photothermal therapy (PTT) of cancer, which is an attempt to treat cancer by an increase of temperature in the cells. However, the application of halogenated nucleobases in PTT has not been taken into account so far. In this thesis the interaction of the potential radiosensitizer 8-bromoadenine (8BrA) with LEEs was studied. In a first step the dissociative electron attachment (DEA) in the gas phase was studied in a crossed electron-molecular beam setup. The main fragmentation pathway was revealed as the cleavage of the C-Br bond. The formation of a stable parent anion was observed for electron energies around 0 eV. Furthermore, DNA origami nanostructures were used as platformed to determine electron induced strand break cross sections of 8BrA sensitized oligonucleotides and the corresponding nonsensitized sequence as a function of the electron energy. In this way the influence of the DEA resonances observed for the free molecules on the DNA strand breaks was examined. As the surrounding medium influences the DEA, pulsed laser illuminated gold nanoparticles (AuNPs) were used as a nanoscale electron source in an aqueous environment. The dissociation of brominated and native nucleobases was tracked with UV-Vis absorption spectroscopy and the generated fragments were identified with surface enhanced Raman scattering (SERS). Beside the electron induced damage, nucleobase analogues are decomposed in the vicinity of the laser illuminatednanoparticles due to the high temperatures. In order to get a deeper understanding of the different dissociation mechanisms, the thermal decomposition of the nucleobases in these systems was studied and the influence of the adsorption kinetics of the molecules was elucidated. In addition to the pulsed laser experiments, a dissociative electron transfer from plasmonically generated "hot electrons" to 8BrA was observed under low energy continuous wave laser illumination and tracked with SERS. The reaction was studied on AgNPs and AuNPs as a function of the laser intensity and wavelength. On dried samples the dissociation of the molecule was described by fractal like kinetics. In solution, the dissociative electron transfer was observed as well. It turned out that the timescale of the reaction rates were slightly below typical integration times of Raman spectra. In consequence such reactions need to be taken into account in the interpretation of SERS spectra of electrophilic molecules. The findings in this thesis help to understand the interaction of brominated nucleobases with plasmonically generated electrons and free electrons. This might help to evaluate the potential radiosensitizing action of such molecules in cancer radiation therapy and PTT.}, language = {en} } @phdthesis{Papenbrock2017, author = {Papenbrock, Thorsten}, title = {Data profiling - efficient discovery of dependencies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406705}, school = {Universit{\"a}t Potsdam}, pages = {viii, ii, 141}, year = {2017}, abstract = {Data profiling is the computer science discipline of analyzing a given dataset for its metadata. The types of metadata range from basic statistics, such as tuple counts, column aggregations, and value distributions, to much more complex structures, in particular inclusion dependencies (INDs), unique column combinations (UCCs), and functional dependencies (FDs). If present, these statistics and structures serve to efficiently store, query, change, and understand the data. Most datasets, however, do not provide their metadata explicitly so that data scientists need to profile them. While basic statistics are relatively easy to calculate, more complex structures present difficult, mostly NP-complete discovery tasks; even with good domain knowledge, it is hardly possible to detect them manually. Therefore, various profiling algorithms have been developed to automate the discovery. None of them, however, can process datasets of typical real-world size, because their resource consumptions and/or execution times exceed effective limits. In this thesis, we propose novel profiling algorithms that automatically discover the three most popular types of complex metadata, namely INDs, UCCs, and FDs, which all describe different kinds of key dependencies. The task is to extract all valid occurrences from a given relational instance. The three algorithms build upon known techniques from related work and complement them with algorithmic paradigms, such as divide \& conquer, hybrid search, progressivity, memory sensitivity, parallelization, and additional pruning to greatly improve upon current limitations. Our experiments show that the proposed algorithms are orders of magnitude faster than related work. They are, in particular, now able to process datasets of real-world, i.e., multiple gigabytes size with reasonable memory and time consumption. Due to the importance of data profiling in practice, industry has built various profiling tools to support data scientists in their quest for metadata. These tools provide good support for basic statistics and they are also able to validate individual dependencies, but they lack real discovery features even though some fundamental discovery techniques are known for more than 15 years. To close this gap, we developed Metanome, an extensible profiling platform that incorporates not only our own algorithms but also many further algorithms from other researchers. With Metanome, we make our research accessible to all data scientists and IT-professionals that are tasked with data profiling. Besides the actual metadata discovery, the platform also offers support for the ranking and visualization of metadata result sets. Being able to discover the entire set of syntactically valid metadata naturally introduces the subsequent task of extracting only the semantically meaningful parts. This is challenge, because the complete metadata results are surprisingly large (sometimes larger than the datasets itself) and judging their use case dependent semantic relevance is difficult. To show that the completeness of these metadata sets is extremely valuable for their usage, we finally exemplify the efficient processing and effective assessment of functional dependencies for the use case of schema normalization.}, language = {en} } @phdthesis{Mitzkus2017, author = {Mitzkus, Martin}, title = {Spectroscopic surface brightness fluctuations}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406327}, school = {Universit{\"a}t Potsdam}, pages = {ix, 89}, year = {2017}, abstract = {Galaxies evolve on cosmological timescales and to study this evolution we can either study the stellar populations, tracing the star formation and chemical enrichment, or the dynamics, tracing interactions and mergers of galaxies as well as accretion. In the last decades this field has become one of the most active research areas in modern astrophysics and especially the use of integral field spectrographs furthered our understanding. This work is based on data of NGC 5102 obtained with the panoramic integral field spectrograph MUSE. The data are analysed with two separate and complementary approaches: In the first part, standard methods are used to measure the kinematics and than model the gravitational potential using these exceptionally high-quality data. In the second part I develop the new method of surface brightness fluctuation spectroscopy and quantitatively explore its potential to investigate the bright evolved stellar population. Measuring the kinematics of NGC 5102 I discover that this low-luminosity S0 galaxy hosts two counter rotating discs. The more central stellar component co-rotates with the large amount of HI gas. Investigating the populations I find strong central age and metallicity gradients with a younger and more metal rich central population. The spectral resolution of MUSE does not allow to connect these population gradients with the two counter rotating discs. The kinematic measurements are modelled with Jeans anisotropic models to infer the gravitational potential of NGC 5102. Under the self-consistent mass-follows-light assumption none of the Jeans models is able to reproduce the observed kinematics. To my knowledge this is the strongest evidence evidence for a dark matter dominated system obtained with this approach so far. Including a Navarro, Frenk \& White dark matter halo immediately solves the discrepancies. A very robust result is the logarithmic slope of the total matter density. For this low-mass galaxy I find a value of -1.75 +- 0.04, shallower than an isothermal halo and even shallower than published values for more massive galaxies. This confirms a tentative relation between total mass slope and stellar mass of galaxies. The Surface Brightness Fluctuation (SBF) method is a well established distance measure, but due to its sensitive to bright stars also used to study evolved stars in unresolved stellar populations. The wide-field spectrograph MUSE offers the possibility to apply this technique for the first time to spectroscopic data. In this thesis I develop the spectroscopic SBF technique and measure the first SBF spectrum of any galaxy. I discuss the challenges for measuring SBF spectra that rise due to the complexity of integral field spectrographs compared to imaging instruments. Since decades, stellar population models indicate that SBFs in intermediate-to-old stellar systems are dominated by red giant branch and asymptotic giant branch stars. Especially the later carry significant model uncertainties, making these stars a scientifically interesting target. Comparing the NGC 5102 SBF spectrum with stellar spectra I show for the first time that M-type giants cause the fluctuations. Stellar evolution models suggest that also carbon rich thermally pulsating asymptotic giant branch stars should leave a detectable signal in the SBF spectrum. I cannot detect a significant contribution from these stars in the NGC 5102 SBF spectrum. I have written a stellar population synthesis tool that predicts for the first time SBF spectra. I compute two sets of population models: based on observed and on theoretical stellar spectra. In comparing the two models I find that the models based on observed spectra predict weaker molecular features. The comparison with the NGC 5102 spectrum reveals that these models are in better agreement with the data.}, language = {en} } @phdthesis{Eichler2017, author = {Eichler, Sarah}, title = {Multidisziplin{\"a}re kardiologische Rehabilitation bei Patienten nach kathetergest{\"u}tzter Aortenklappenkorrektur}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406618}, school = {Universit{\"a}t Potsdam}, pages = {XI, 63, XXXI}, year = {2017}, abstract = {Hintergrund F{\"u}r Patienten mit hochgradiger Aortenklappenstenose, die aufgrund ihres Alters oder ihrer Multimorbidit{\"a}t ein hohes Operationsrisiko tragen, konnte mit der kathetergest{\"u}tzten Aortenklappenkorrektur (transcatheter aortic valve implantation, TAVI) eine vielversprechende Alternative zum herzchirurgischen Eingriff etabliert werden. Explizite Daten zur multidisziplin{\"a}ren kardiologischen Rehabilitation nach TAVI liegen bislang nicht vor. Ziel vorliegender Arbeit war, den Effekt der kardiologischen Rehabilitation auf die k{\"o}rperliche Leistungsf{\"a}higkeit, den emotionalen Status, die Lebensqualit{\"a}t und die Gebrechlichkeit bei Patienten nach TAVI zu untersuchen sowie Pr{\"a}diktoren f{\"u}r die Ver{\"a}nderung der k{\"o}rperlichen Leistungsf{\"a}higkeit und der Lebensqualit{\"a}t zu identifizieren. Methodik Zwischen 10/2013 und 07/2015 wurden 136 Patienten (80,6 ± 5,0 Jahre, 47,8 \% M{\"a}nner) in Anschlussheilbehandlung nach TAVI in drei kardiologischen Rehabilitationskliniken eingeschlossen. Zur Beurteilung des Effekts der kardiologischen Rehabilitation wurden jeweils zu Beginn und Ende der Rehabilitation der Frailty (Gebrechlichkeits)-Index (Score bestehend aus Barthel-Index, Instrumental Activities of Daily Living, Mini Mental State Exam, Mini Nutritional Assessment, Timed Up and Go und subjektiver Mobilit{\"a}tsverschlechterung), die Lebensqualit{\"a}t im Short-Form 12 (SF-12) sowie die funktionale k{\"o}rperliche Leistungsf{\"a}higkeit im 6-Minuten Gehtest (6-minute walk test, 6MWT) und die maximale k{\"o}rperliche Leistungsf{\"a}higkeit in der Belastungs-Ergometrie erhoben. Zus{\"a}tzlich wurden soziodemographische Daten (z. B. Alter und Geschlecht), Komorbidit{\"a}ten (z. B. chronisch obstruktive Lungenerkrankung, koronare Herzkrankheit und Karzinom), kardiovaskul{\"a}re Risikofaktoren und die NYHA-Klasse dokumentiert. Pr{\"a}diktoren f{\"u}r die Ver{\"a}nderung der k{\"o}rperlichen Leistungsf{\"a}higkeit und Lebensqualit{\"a}t wurden mit Kovarianzanalysen angepasst. Ergebnisse Die maximale Gehstrecke im 6MWT konnte um 56,3 ± 65,3 m (p < 0,001) und die maximale k{\"o}rperliche Leistungsf{\"a}higkeit in der Belastungs-Ergometrie um 8,0 ± 14,9 Watt (p < 0001) gesteigert werden. Weiterhin konnte eine Verbesserung im SF-12 sowohl in der k{\"o}rperlichen Summenskala um 2,5 ± 8,7 Punkte (p = 0,001) als auch in der psychischen Summenskala um 3,4 ± 10,2 Punkte (p = 0,003) erreicht werden. In der multivariaten Analyse waren ein h{\"o}heres Alter und eine h{\"o}here Bildung signifikant mit einer geringeren Zunahme im 6MWT assoziiert, w{\"a}hrenddessen eine bessere kognitive Leistungsf{\"a}higkeit und Adipositas einen positiven pr{\"a}diktiven Wert aufwiesen. Eine h{\"o}here Selbstst{\"a}ndigkeit und ein besserer Ern{\"a}hrungsstatus beeinflussten die Ver{\"a}nderung in der k{\"o}rperlichen Summenskala des SF-12 positiv, w{\"a}hrenddessen eine bessere kognitive Leistungsf{\"a}higkeit einen Pr{\"a}diktor f{\"u}r eine geringere Ver{\"a}nderung darstellte. Des Weiteren hatten die jeweiligen Ausgangswerte der k{\"o}rperlichen und psychischen Summenskala im SF-12 einen inversen Einfluss auf die Ver{\"a}nderungen in der gleichen Skala. Schlussfolgerung Eine multidisziplin{\"a}re kardiologische Rehabilitation kann sowohl die k{\"o}rperliche Leistungs-f{\"a}higkeit und Lebensqualit{\"a}t verbessern als auch die Gebrechlichkeit von Patienten nach kathetergest{\"u}tzter Aortenklappenkorrektur verringern. Daraus resultierend gilt es, spezifische Assessments f{\"u}r die kardiologische Rehabilitation zu entwickeln. Weiterhin ist es notwendig, individualisierte Therapieprogramme mit besonderem Augenmerk auf kognitive Funktionen und Ern{\"a}hrung zu initiieren, um die Selbstst{\"a}ndigkeit hochbetagter Patienten zu erhalten bzw. wiederherzustellen und um die Pflegebed{\"u}rftigkeit der Patienten hinauszuz{\"o}gern.}, language = {de} } @phdthesis{Wanner2017, author = {Wanner, Meike}, title = {Die Diskrepanz zwischen pers{\"o}nlicher Einstellung und Meinungsklimawahrnehmung}, school = {Universit{\"a}t Potsdam}, pages = {213}, year = {2017}, abstract = {Die vorliegende Dissertation thematisiert den Unterschied zwischen Einstellungen, die auf der pers{\"o}nlichen Ebene im Rahmen demoskopischer Interviews erfragt und zu einem „Meinungsbild" aggregiert werden und der {\"o}ffentlichen Meinung, dem wahrgenommenen Meinungsklima zu einer Thematik. Die Daten der langj{\"a}hrigen Bev{\"o}lkerungsbefragung des Zentrums f{\"u}r Milit{\"a}rgeschichte und Sozialwissenschaften der Bundeswehr (ZMSBw) weisen, hinsichtlich der pers{\"o}nlichen Einstellung der Bundesb{\"u}rger zu den Streitkr{\"a}ften, seit vielen Jahren best{\"a}ndig darauf hin, dass die Mehrheit der B{\"u}rgerinnen und B{\"u}rger der Bundeswehr positiv gegen{\"u}bersteht. Gleichzeitig existiert in Teilen der Bev{\"o}lkerung die Meinungsklima-wahrnehmung, dass die Bundeswehr auf gesamtgesellschaftlicher Ebene eher kritisch gesehen wird. Der im Rahmen dieser Arbeit erstmalig entwickelte medienzentrierte Untersuchungsansatz des Ph{\"a}nomens, welches als Auspr{\"a}gung pluralistischer Ignoranz theoretisch hergeleitet wurde, fokussiert, neben dem Einfluss eines doppelten Meinungsklimas, auf die Wirkung medienspezifischer Wahrnehmungsph{\"a}nomene (Hostile-Media-Ph{\"a}nomen und Third-Person-Wahrnehmung), um die beobachtete Diskrepanz zwischen pers{\"o}nlicher Einstellung und Meinungsklimawahrnehmung zum Thema Ansehen der Bundeswehr zu erkl{\"a}ren. Im Rahmen einer quantitativen Bev{\"o}lkerungsbefragung wurden Indikatoren entwickelt, um die aufgestellten Hypothesen einer empirischen {\"U}berpr{\"u}fung zu unterziehen. Die deskriptiven Analysen zur Richtung und Auspr{\"a}gung der Diskrepanzwahrnehmung ergaben, dass sich die B{\"u}rgerinnen und B{\"u}rger eher in der Weise irren, dass sie das Meinungsklima zum Thema Ansehen der Bundeswehr negativer einsch{\"a}tzen als das Ansehen, welches sie den Streitkr{\"a}ften pers{\"o}nlich entgegenbringen (negative Diskrepanz-wahrnehmung). Außerdem zeigte sich, dass die Diskrepanzwahrnehmung zur{\"u}ckging, wenn dem Untersuchungsthema ein emotionales Potenzial zugesprochen wurde. In einem solchen Fall tendieren die Probanden dazu, die eigene Meinung dicht an der antizipierten Mehrheitsmeinung zu positionieren, um sich keinem Rechtfertigungsdruck oder schlimmstenfalls sozialer Isolation auszusetzen. Die Ergebnisse der Analysen der vier zentralen erkl{\"a}renden Variablen zeigten auf, dass sich alle formulierten Hypothesen zur Richtung der Diskrepanzwahrnehmung best{\"a}tigten. Eine vermehrte Mediennutzung, eine negative Wahrnehmung der generellen bundeswehrbezogenen Medienberichterstattung, eine pers{\"o}nlich positive Einstellung zur Bundeswehr und die Wahrnehmung, dass die Medien auf Dritte st{\"a}rker wirken als auf die eigene Person trugen jeweils zu einem Anstieg der negativen Diskrepanzwahrnehmung zum Thema Ansehen der Bundeswehr bei. Personen, die diese Merkmale aufwiesen, sch{\"a}tzten das Meinungsklima zum Thema Ansehen der Bundeswehr negativer ein als das Ansehen, welches sie den Streitkr{\"a}ften pers{\"o}nlich entgegenbrachten. Die Analyse der St{\"a}rke der jeweiligen Effekte verdeutlichte jedoch, dass die verwendeten Erkl{\"a}rungsans{\"a}tze jeweils nur einen kleinen oder mittleren Beitrag zur Erkl{\"a}rung der Diskrepanzwahrnehmung leisten konnten. Dieses Ergebnis kann dadurch begr{\"u}ndet werden, dass sich das Untersuchungsthema, neben der Ermangelung einer kontinuierlichen Medienberichterstattung und eines breiten {\"o}ffentlichen Diskurses zum Thema Ansehen der Bundeswehr sowie fehlender pers{\"o}nlicher Bez{\"u}ge zu den Streitkr{\"a}ften, in der Analyse insbesondere als zu wenig konflikttr{\"a}chtig erwies. Ob die Bundeswehr gesellschaftliches Ansehen erf{\"a}hrt, besitzt f{\"u}r den Großteil der Bev{\"o}lkerung nur eine geringe pers{\"o}nliche Relevanz. Aus diesen Gr{\"u}nden scheint dieses Thema nicht dazu geeignet zu sein, um die in dieser Dissertation als Erkl{\"a}rungsfaktoren herangezogenen medienspezifischen Wahrnehmungsph{\"a}nomene auszubilden. Dieses Ergebnis impliziert, dass die Diskrepanz zwischen pers{\"o}nlicher Einstellung und Meinungs-klimawahrnehmung zum Thema Ansehen der Bundeswehr von einer Reihe weiterer Faktoren beeinflusst wird, die es im Rahmen zuk{\"u}nftiger Forschungsarbeiten aufzusp{\"u}ren und zu untersuchen gilt.}, language = {de} } @phdthesis{Siddiqui2017, author = {Siddiqui, Tarique Adnan}, title = {Long-term investigation of the lunar tide in the equatorial electrojet during stratospheric sudden warmings}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406384}, school = {Universit{\"a}t Potsdam}, pages = {xvii, 116}, year = {2017}, abstract = {The ionosphere, which is strongly influenced by the Sun, is known to be also affected by meteorological processes. These processes, despite having their origin in the troposphere and stratosphere, interact with the upper atmosphere. Such an interaction between atmospheric layers is known as vertical coupling. During geomagnetically quiet times, when near-Earth space is not under the influence of solar storms, these processes become important drivers for ionospheric variability. Studying the link between these processes in the lower atmosphere and the ionospheric variability is important for our understanding of fundamental mechanisms in ionospheric and meteorological research. A prominent example of vertical coupling between the stratosphere and the ionosphere are the so-called stratospheric sudden warming (SSW) events that occur usually during northern winters and result in an increase in the polar stratospheric temperature and a reversal of the circumpolar winds. While the phenomenon of SSW is confined to the northern polar stratosphere, its influence on the ionosphere can be observed even at equatorial latitudes. During SSW events, the connection between the polar stratosphere and the equatorial ionosphere is believed to be through the modulation of global atmospheric tides. These tides are fundamental for the ionospheric E-region wind dynamo that generates electric fields and currents in the ionosphere. Observations of ionospheric currents indicate a large enhancement of the semidiurnal lunar tide in response to SSW events. Thus, the semidiurnal lunar tide becomes an important driver of ionospheric variability during SSW events. In this thesis, the ionospheric effect of SSW events is investigated in the equatorial region, where a narrow but an intense E-region current known as the equatorial electrojet (EEJ) flows above the dip equator during the daytime. The day-to-day variability of the EEJ can be determined from magnetic field records at geomagnetic observatories close to the dip equator. Such magnetic data are available for several decades and allows to investigate the impact of SSW events on the EEJ and, even more importantly, helps in understanding the effects of SSW events on the equatorial ionosphere. An excellent long-term record of the geomagnetic field at the equator from 1922 onwards is available for the observatory Huancayo in Peru and is extensively utilized in this study. The central subject of this thesis is the investigation of lunar tides in the EEJ during SSW events by analyzing long time series. This is done by estimating the lunar tidal amplitude in the EEJ from the magnetic records at Huancayo and by comparing them to measurements of the polar stratospheric wind and temperature, which led to the identification of the known SSW events from 1952 onwards. One goal of this thesis is to identify SSW events that predate 1952. To this end, superposed epoch analysis (SEA) is employed to establish a relationship between the lunar tidal power and the wind and temperature conditions in the lower atmosphere. A threshold value for the lunar tidal power is identified that is discriminative for the known SSW events. This threshold is then used to identify lunar tidal enhancements, which are indicative for any historic SSW events prior to 1952. It can be shown, that the number of lunar tidal enhancements and thus the occurrence frequency of historic SSW events between 1926 and 1952 is similar to the occurrence frequency of the known SSW events from 1952 onwards. Next to the classic SSW definition, the concept of polar vortex weakening (PVW) is utilized in this thesis. PVW is defined for higher latitudes and altitudes (≈ 40km) than the classical SSW definition (≈ 32km). The correlation between the timing and magnitude of lunar tidal enhancements in the EEJ and the timing and magnitude of PVW is found to be better than for the classic SSW definition. This suggests that the lunar tidal enhancements in the EEJ are closely linked to the state of the middle atmosphere. Geomagnetic observatories located in different longitudes at the dip equator allow investigating the longitudinally dependent variability of the EEJ during SSW events. For this purpose, the lunar tidal enhancements in the EEJ are determined for the Peruvian and Indian sectors during the major SSW events of the years 2006 and 2009. It is found that the lunar tidal amplitude shows similar enhancements in the Peruvian sector during both SSW events, while the enhancements are notably different for the two events in the Indian sector. In summary, this thesis shows that lunar tidal enhancements in the EEJ are indeed correlated to the occurrence of SSW events and they should be considered a prominent driver of low latitude ionospheric variability. Secondly, lunar tidal enhancements are found to be longitudinally variable. This suggests that regional effects, such as ionospheric conductivity and the geometry and strength of the geomagnetic field, also play an important role and have to be considered when investigating the mechanisms behind vertical coupling.}, language = {en} } @phdthesis{Segmiller2017, author = {Segmiller, Sebastian}, title = {Sekund{\"a}rer Finanzausgleich in Deutschland und der Schweiz}, series = {Recht der Steuern und der {\"o}ffentlichen Finanzordnung}, journal = {Recht der Steuern und der {\"o}ffentlichen Finanzordnung}, number = {14}, publisher = {Nomos}, address = {Baden-Baden}, isbn = {978-3-8487-4470-1}, school = {Universit{\"a}t Potsdam}, pages = {484}, year = {2017}, abstract = {Mit Inkrafttreten der NFA 2008 hat die Schweiz ihren Finanzausgleich umfassend reformiert und erstmals auch einen direkt umverteilenden Ausgleich zwischen den Kantonen geschaffen. Diese Reform blieb auf deutscher Seite weitgehend unbeachtet. Der Autor vergleicht zun{\"a}chst die finanzverfassungsrechtlichen Grundstrukturen in beiden L{\"a}ndern und erl{\"a}utert das bestehende und das ab 2020 geltende deutsche System. Dem folgt eine umfassende Analyse des sekund{\"a}ren Finanzausgleichs in der Schweiz, sog. Finanzausgleich im engeren Sinn, mit ausf{\"u}hrlicher Darstellung des Ressourcenausgleichs sowie des geografisch-topografischen und soziodemografischen Lastenausgleichs. Im Anschluss werden nach Problemschwerpunkten gegliedert Reformoptionen f{\"u}r Deutschland aufgezeigt. Der Autor pl{\"a}diert insbesondere f{\"u}r einen nach Schweizer Vorbild gestalteten indikatorbasierten Lastenausgleich, um dem verfassungsrechtlichen Benennungs- und Begr{\"u}ndungsgebot bei Sonderlasten besser gerecht zu werden.}, language = {de} } @phdthesis{Eisold2017, author = {Eisold, Ursula}, title = {Cumarin- und DBD-Farbstoffe als Fluoreszenzsonden}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-405833}, school = {Universit{\"a}t Potsdam}, pages = {109}, year = {2017}, abstract = {In dieser Arbeit werden drei Themen im Zusammenhang mit den spektroskopischen Eigenschaften von Cumarin- (Cou) und DBD-Farbstoffen ([1,3]Dioxolo[4,5-f][1,3]benzodioxol) behandelt. Der erste Teil zeigt die grundlegende spektroskopische Charakterisierung von 7-Aminocumarinen und ihre potentielle Anwendung als Fluoreszenzsonde f{\"u}r Fluoreszenzimmunassays. Im zweiten Teil werden mit die photophysikalischen Eigenschaften der Cumarine genutzt um Cou- und DBD-funktionalisierte Oligo-Spiro-Ketal-St{\"a}be (OSTK) und ihre Eigenschaften als Membransonden zu untersuchen. Der letzte Teil besch{\"a}ftigt sich mit der Synthese und der Charakterisierung von Cou- und DBD-funktionalisierten Polyprolinen als Referenzsysteme f{\"u}r schwefelfunktionalisierte OSTK-St{\"a}be und ihrer Kopplung an Goldnanopartikel. Immunochemische Analysemethoden sind in der klinischen Diagnostik sehr erfolgreich und werden heute auch f{\"u}r die Nahrungsmittelkontrolle und {\"U}berwachung von Umweltfragen mit einbezogen. Dadurch sind sie von großem Interesse f{\"u}r weitere Forschungen. Unter den verschiedenen Immunassays zeichnen sich lumineszenzbasierte Formate durch ihre herausragende Sensitivit{\"a}t aus, die dieses Format f{\"u}r zuk{\"u}nftige Anwendungen besonders attraktiv macht. Die Notwendigkeit von Multiparameterdetektionsm{\"o}glichkeiten erfordert einen Werkzeugkasten mit Farbstoffen, um die biochemische Reaktion in ein optisch detektierbares Signal umzuwandeln. Hier wird bei einem Multiparameteransatz jeder Analyt durch einen anderen Farbstoff mit einer einzigartigen Emissionsfarbe, die den blauen bis roten Spektralbereich abdecken, oder eine einzigartige Abklingzeit detektiert. Im Falle eines kompetitiven Immunassayformats w{\"a}re f{\"u}r jeden der verschiedenen Farbstoffe ein einzelner Antik{\"o}rper erforderlich. In der vorliegenden Arbeit wird ein leicht modifizierter Ansatz unter Verwendung einer Cumarineinheit, gegen die hochspezifische monoklonale Antik{\"o}rper (mAb) erzeugt wurden, als grundlegendes Antigen pr{\"a}sentiert. Durch eine Modifikation der Stammcumarineinheit an einer Position des Molek{\"u}ls, die f{\"u}r die Erkennung durch den Antik{\"o}rper nicht relevant ist, kann auf den vollen Spektralbereich von blau bis tiefrot zugegriffen werden. In dieser Arbeit wird die photophysikalische Charakterisierung der verschiedenen Cumarinderivate und ihrer entsprechenden Immunkomplexe mit zwei verschiedenen, aber dennoch hochspezifischen, Antik{\"o}rpern pr{\"a}sentiert. Die Cumarinfarbstoffe und ihre Immunkomplexe wurden durch station{\"a}re und zeitaufgel{\"o}ste Absorptions- sowie Fluoreszenzemissionsspektroskopie charakterisiert. Dar{\"u}ber hinaus wurden Fluoreszenzdepolarisationsmessungen durchgef{\"u}hrt, um die Daten zu vervollst{\"a}ndigen, die die verschiedenen Bindungsmodi der beiden Antik{\"o}rper betonten. Im Gegensatz zu h{\"a}ufig eingesetzten Nachweissystemen wurde eine massive Fluoreszenzverst{\"a}rkung bei der Bildung des Antik{\"o}rper-Farbstoffkomplexes bis zu einem Faktor von 50 gefunden. Wegen der leichten Emissionsfarben{\"a}nderung durch das Anpassen der Cumarinsubstitution in der f{\"u}r die Antigenbindung nicht relevanten Position des Elternmolek{\"u}ls, ist eine Farbstoff-Toolbox vorhanden, die bei der Konstruktion von kompetitiven Multiparameterfluoreszenzverst{\"a}rkungsimmunassays verwendet werden kann. Oligo-Spiro-Thio-Ketal-St{\"a}be werden aufgrund ihres hydrophoben R{\"u}ckgrats leicht in Doppellipidschichten eingebaut und deshalb als optische Membransonde verwendet. Wegen ihres geringen Durchmessers wird nur eine minimale St{\"o}rung der Doppellipidschicht verursacht. Durch die Markierung mit Fluoreszenzfarbstoffen sind neuartige F{\"o}rster-Resonanz-Energietransfersonden mit hoch definierten relativen Orientierungen der {\"U}bergangsdipolmomente der Donor- und Akzeptorfarbstoffe zug{\"a}nglich und macht die Klasse der OSTK-Sonden zu einem leistungsstarken, flexiblen Werkzeugkasten f{\"u}r optische Biosensoranwendungen. Mit Hilfe von station{\"a}ren und zeitaufgel{\"o}sten Fluoreszenzexperimenten wurde der Einbau von Cumarin- und DBD markierten OSTK-St{\"a}ben in großen unilamellaren Vesikeln untersucht und die Ergebnisse durch Fluoreszenzdepolarisationsmessungen untermauert. Der letzte Teil dieser Arbeit besch{\"a}ftigt sich mit der Synthese und Charakterisierung von Cou- und DBD-funktionalisierten Polyprolinen und ihrer Kopplung an Goldnanopartikel. Die farbstoffmarkierten Polyproline konnten erfolgreich hergestellt werden. Es zeigten sich deutlich Einfl{\"u}sse auf die spektroskopischen Eigenschaften der Farbstoffe durch die Bindung an die Polyprolinhelix. Die Kopplung an die 5 nm großen AuNP konnte erfolgreich durchgef{\"u}hrt werden. Die Erfahrungen, die durch die Kopplung der Polyproline an die AuNP, gewonnen wurde, ist die Basis f{\"u}r eine Einzelmolek{\"u}l-AFM-FRET-Nanoskopie mit OSTK-St{\"a}ben.}, language = {de} } @phdthesis{Meier2017, author = {Meier, Sebastian}, title = {Personal Big Data}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406696}, school = {Universit{\"a}t Potsdam}, pages = {xxiv, 133}, year = {2017}, abstract = {Many users of cloud-based services are concerned about questions of data privacy. At the same time, they want to benefit from smart data-driven services, which require insight into a person's individual behaviour. The modus operandi of user modelling is that data is sent to a remote server where the model is constructed and merged with other users' data. This thesis proposes selective cloud computing, an alternative approach, in which the user model is constructed on the client-side and only an abstracted generalised version of the model is shared with the remote services. In order to demonstrate the applicability of this approach, the thesis builds an exemplary client-side user modelling technique. As this thesis is carried out in the area of Geoinformatics and spatio-temporal data is particularly sensitive, the application domain for this experiment is the analysis and prediction of a user's spatio-temporal behaviour. The user modelling technique is grounded in an innovative conceptual model, which builds upon spatial network theory combined with time-geography. The spatio-temporal constraints of time-geography are applied to the network structure in order to create individual spatio-temporal action spaces. This concept is translated into a novel algorithmic user modelling approach which is solely driven by the user's own spatio-temporal trajectory data that is generated by the user's smartphone. While modern smartphones offer a rich variety of sensory data, this thesis only makes use of spatio-temporal trajectory data, enriched by activity classification, as the input and foundation for the algorithmic model. The algorithmic model consists of three basal components: locations (vertices), trips (edges), and clusters (neighbourhoods). After preprocessing the incoming trajectory data in order to identify locations, user feedback is used to train an artificial neural network to learn temporal patterns for certain location types (e.g. work, home, bus stop, etc.). This Artificial Neural Network (ANN) is used to automatically detect future location types by their spatio-temporal patterns. The same is done in order to predict the duration of stay at a certain location. Experiments revealed that neural nets were the most successful statistical and machine learning tool to detect those patterns. The location type identification algorithm reached an accuracy of 87.69\%, the duration prediction on binned data was less successful and deviated by an average of 0.69 bins. A challenge for the location type classification, as well as for the subsequent components, was the imbalance of trips and connections as well as the low accuracy of the trajectory data. The imbalance is grounded in the fact that most users exhibit strong habitual patterns (e.g. home > work), while other patterns are rather rare by comparison. The accuracy problem derives from the energy-saving location sampling mode, which creates less accurate results. Those locations are then used to build a network that represents the user's spatio-temporal behaviour. An initial untrained ANN to predict movement on the network only reached 46\% average accuracy. Only lowering the number of included edges, focusing on more common trips, increased the performance. In order to further improve the algorithm, the spatial trajectories were introduced into the predictions. To overcome the accuracy problem, trips between locations were clustered into so-called spatial corridors, which were intersected with the user's current trajectory. The resulting intersected trips were ranked through a k-nearest-neighbour algorithm. This increased the performance to 56\%. In a final step, a combination of a network and spatial clustering algorithm was built in order to create clusters, therein reducing the variety of possible trips. By only predicting the destination cluster instead of the exact location, it is possible to increase the performance to 75\% including all classes. A final set of components shows in two exemplary ways how to deduce additional inferences from the underlying spatio-temporal data. The first example presents a novel concept for predicting the 'potential memorisation index' for a certain location. The index is based on a cognitive model which derives the index from the user's activity data in that area. The second example embeds each location in its urban fabric and thereby enriches its cluster's metadata by further describing the temporal-semantic activity in an area (e.g. going to restaurants at noon). The success of the client-side classification and prediction approach, despite the challenges of inaccurate and imbalanced data, supports the claimed benefits of the client-side modelling concept. Since modern data-driven services at some point do need to receive user data, the thesis' computational model concludes with a concept for applying generalisation to semantic, temporal, and spatial data before sharing it with the remote service in order to comply with the overall goal to improve data privacy. In this context, the potentials of ensemble training (in regards to ANNs) are discussed in order to highlight the potential of only sharing the trained ANN instead of the raw input data. While the results of our evaluation support the assets of the proposed framework, there are two important downsides of our approach compared to server-side modelling. First, both of these server-side advantages are rooted in the server's access to multiple users' data. This allows a remote service to predict spatio-in the user-specific data, which represents the second downside. While minor classes will likely be minor classes in a bigger dataset as well, for each class, there will still be more variety than in the user-specific dataset. The author emphasises that the approach presented in this work holds the potential to change the privacy paradigm in modern data-driven services. Finding combinations of client- and server-side modelling could prove a promising new path for data-driven innovation. Beyond the technological perspective, throughout the thesis the author also offers a critical view on the data- and technology-driven development of this work. By introducing the client-side modelling with user-specific artificial neural networks, users generate their own algorithm. Those user-specific algorithms are influenced less by generalised biases or developers' prejudices. Therefore, the user develops a more diverse and individual perspective through his or her user model. This concept picks up the idea of critical cartography, which questions the status quo of how space is perceived and represented.}, language = {en} } @phdthesis{Bleek2017, author = {Bleek, Katrin}, title = {Phosphonathaltige (Co)Polymere und ihr Einfluss auf die Mineralisation von Calciumphosphat}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406630}, school = {Universit{\"a}t Potsdam}, pages = {VI, 167}, year = {2017}, abstract = {In der vorliegenden Arbeit wurden verschiedene Polymere hergestellt, die bestimmte funktionelle Gruppen beinhalten. Diese Gruppen werden zum Teil durch Alkylketten gesch{\"u}tzt, zum Teil liegen sie ungesch{\"u}tzt im Polymer vor. Mit diesen Polymeren wurden Untersuchungen mit knochen{\"a}hnlichen Materialien sogenanntem Calciumphosphat durchgef{\"u}hrt. Es wurde der Einfluss der verschiedenen Polymere auf die Bildung dieser knochen{\"a}hnlichen Substanzen untersucht und auch der Einfluss auf die Stabilit{\"a}t und das Aufl{\"o}sungsverhalten der Calciumphosphate. Dabei sollte ein besonderes Augenmerk auf die funktionellen Gruppen, sogenannte Phosphons{\"a}uren und deren Ester, die die Phosphons{\"a}uren sch{\"u}tzen, gesetzt werden. Es stellte sich heraus, dass bei der Bildung der knochen{\"a}hnlichen Materialien die Polymere mit Estergruppen eine leichte F{\"o}rderung der Calciumphosphat-Bildung verursachen, w{\"a}hrend die ungesch{\"u}tzten Polymere die Bildung des „Knochenmaterials" sehr stark verz{\"o}gern. Dieser Effekt verst{\"a}rkt sich noch, wenn eine weitere bestimmte Komponente zum Polymer hinzukommt und somit ein Copolymer gebildet wird. Diese Copolymere beschleunigen bzw. verlangsamen die Calciumphosphatbildung noch st{\"a}rker. Werden Polymere mit einem anderen Polymerger{\"u}st aber den gleichen Phosphons{\"a}uresetern in den Seitenketten verwendet, {\"a}ndert sich der Einfluss der Calciumphosphat-Bildung wenig. Verglichen mit Polymeren ohne solche Phosphons{\"a}uregruppen wird erkennbar, dass es weniger die Phosphons{\"a}uregruppe ist, die die Mineralisation beeinflusst, sondern es eher eine Folge der S{\"a}ure im Polymer ist. Wird die Stabilisierung und Aufl{\"o}sung der Knochen{\"a}hnlichen Substanzen betrachtet, f{\"a}llt auf, dass auch hier wieder die S{\"a}uren den gr{\"o}ßten Effekt aus{\"u}ben. Die Phosphons{\"a}uregruppen scheinen dabei jedoch tats{\"a}chlich einen besonderen Effekt auszu{\"u}ben, da bei diesen die Stabilisierung und auch das Aufl{\"o}sungsverm{\"o}gen von Calciumphospaht von allen untersuchten Polymeren am gr{\"o}ßten sind. In der Arbeit konnte außerdem gezeigt werden, dass die Polymere und Copolymere mit Phosphons{\"a}uregruppen einen leicht positiven Effekt auf die Zahngesundheit zeigen. Die Zahl von Bakterien auf der Zahnoberfl{\"a}che konnte reduziert werden und bei der Untersuchung der Zahnaufl{\"o}sung wurde eine glattere Zahnoberfl{\"a}che erhalten, jedoch wurde auch mit den untersuchten Polymeren der Zahn im Inneren angegriffen. Weitere Untersuchungen k{\"o}nnen hier noch genaueren Aufschluss geben. Außerdem sollten auch die Polymere mit dem unterschiedlichen Polymerger{\"u}st und Phosphons{\"a}ureestergruppen untersucht werden. Letztere Polymere wurden verwendet, um festere "gelartige" Polymernetzwerke herzustellen und deren Einfluss auf die Calciumphosphatmineralisation zu untersuchen. Es stellte sich heraus, dass ohne das Einbetten einiger Calciumphosphatteilchen keine Bildung von Calciumphospaht an den Materialien ausgel{\"o}st wurde, wurden die sogenannten Hydrogele jedoch mit Calciumphosphatpartikeln geimpft, konnte deutliches weiteres Calciumphosphatwachstum beobachtet werden. Das Material l{\"a}sst sich auch in verschiedene Formen bringen. Somit k{\"o}nnte das System nach weiteren Untersuchungen zur Vertr{\"a}glichkeit mit Zellen oder Geweben ein m{\"o}gliches Material f{\"u}r Implantate darstellen, mit denen gezielt Knochenwachstum eingeleitet werden k{\"o}nnte.}, language = {de} } @phdthesis{HolzgrefeLang2017, author = {Holzgrefe-Lang, Julia}, title = {Prosodic phrase boundary perception in adults and infants}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-405943}, school = {Universit{\"a}t Potsdam}, pages = {VIII, 141}, year = {2017}, abstract = {Prosody is a rich source of information that heavily supports spoken language comprehension. In particular, prosodic phrase boundaries divide the continuous speech stream into chunks reflecting the semantic and syntactic structure of an utterance. This chunking or prosodic phrasing plays a critical role in both spoken language processing and language acquisition. Aiming at a better understanding of the underlying processing mechanisms and their acquisition, the present work investigates factors that influence prosodic phrase boundary perception in adults and infants. Using the event-related potential (ERP) technique, three experimental studies examined the role of prosodic context (i.e., phrase length) in German phrase boundary perception and of the main prosodic boundary cues, namely pitch change, final lengthening, and pause. With regard to the boundary cues, the dissertation focused on the questions which cues or cue combination are essential for the perception of a prosodic boundary and on whether and how this cue weighting develops during infancy. Using ERPs is advantageous because the technique captures the immediate impact of (linguistic) information during on-line processing. Moreover, as it can be applied independently of specific task demands or an overt response performance, it can be used with both infants and adults. ERPs are particularly suitable to study the time course and underlying mechanisms of boundary perception, because a specific ERP component, the Closure Positive Shift (CPS) is well established as neuro-physiological indicator of prosodic boundary perception in adults. The results of the three experimental studies first underpin that the prosodic context plays an immediate role in the processing of prosodic boundary information. Moreover, the second study reveals that adult listeners perceive a prosodic boundary also on the basis of a sub-set of the boundary cues available in the speech signal. Both ERP and simultaneously collected behavioral data (i.e., prosodic judgements) suggest that the combination of pitch change and final lengthening triggers boundary perception; however, when presented as single cues, neither pitch change nor final lengthening were sufficient. Finally, testing six- and eight-month-old infants shows that the early sensitivity for prosodic information is reflected in a brain response resembling the adult CPS. For both age groups, brain responses to prosodic boundaries cued by pitch change and final lengthening revealed a positivity that can be interpreted as a CPS-like infant ERP component. In contrast, but comparable to the adults' response pattern, pitch change as a single cue does not provoke an infant CPS. These results show that infant phrase boundary perception is not exclusively based on pause detection and hint at an early ability to exploit subtle, relational prosodic cues in speech perception.}, language = {en} } @phdthesis{Dippong2017, author = {Dippong, Martin}, title = {Direkte und indirekte Hapten-selektive Immunfluoreszenzmarkierung von Hybridomzellen zur Generierung monoklonaler Antik{\"o}rper}, school = {Universit{\"a}t Potsdam}, pages = {VII, 103}, year = {2017}, abstract = {Die Hybridomtechnik zur Produktion von monoklonalen Antik{\"o}rpern erm{\"o}glichte einen großen Schritt in der Entwicklung von Immunoassays f{\"u}r die biochemische Forschung und klinische Diagnostik. Auch die Produktion von Antik{\"o}rpern gegen niedermolekulare Analyten, Haptene, typische Targets in der Lebensmittel- und Umweltanalytik, erlangte in den letzten Jahren eine immer gr{\"o}ßere Bedeutung. Im Zuge der Durchf{\"u}hrung der Hybridomtechnik werden tausende Antik{\"o}rper-sezernierende und nicht-sezernierende Zellen generiert. Die Selektion der wenigen antigenselektiven Hybridomzellen z{\"a}hlt dabei zu den herausforderndsten Schritten f{\"u}r die Antik{\"o}rpergewinnung. Bisherige Selektionsverfahren, wie die Limiting-Dilution-Klonierung in Verbindung mit Enzyme-linked Immunosorbent Assays (ELISAs), garantieren keine Monoklonalit{\"a}t und erlauben nur das Screening von einigen wenigen Zellklonen. Hingegen erm{\"o}glichen Hochdurchsatz-Selektionsmethoden, wie die Fluoreszenz-aktivierte Zellsortierung (FACS), einen sehr hohen Probendurchsatz. Eine Einzelzellablage garantiert hierbei Monoklonalit{\"a}t. Jedoch sind die daf{\"u}r erforderlichen Zellmarkierungen oftmals zellsch{\"a}digend oder aufwendig zu generieren. Auch ist bisher noch keine Markierungsmethode bekannt, die es erm{\"o}glicht, Hapten-selektive Hybridomzellen durchflusszytometrisch zu analysieren und eine FACS-Selektion durchzuf{\"u}hren. Aus diesem Grund wurden in dieser Arbeit zwei Zellmarkierungsmethoden entwickelt, die dies erm{\"o}glichen sollten. Die membranst{\"a}ndigen Antik{\"o}rper von Hybridomzellen sollten entweder direkt oder indirekt immunfluoreszenz-markiert und dadurch f{\"u}r die Durchflusszytometrie und FACS-Selektion zug{\"a}nglich gemacht werden. Die direkte Markierung wurde mittels eines Hapten-Fluorophor-Konjugats durchgef{\"u}hrt. Sie erm{\"o}glichte erstmalig den Anteil an Haptenselektiven Hybridomzellen in einer Hybridomzelllinie zu {\"u}berpr{\"u}fen. Dies konnte f{\"u}r zwei Hapten-selektive Hybridomzelllinien, die Antik{\"o}rper gegen das Hormon 17β-Estradiol und das Cardenolid Digoxigenin bilden, gezeigt werden. Durchflusszytometrie und ELISAs lieferten vergleichbare Ergebnisse. Zellen, die Hapten-selektiv markiert werden konnten, sezernierten ebenfalls Hapten-selektive Antik{\"o}rper. Des Weiteren konnte die direkte Markierung dazu genutzt werden, zwei Mykotoxin-selektive Hybridomzelllinien, welche Antik{\"o}rper gegen Aflatoxin und Zearalenon bilden, auf Monoklonalit{\"a}t zu testen. Dies ist mittels ELISA nicht m{\"o}glich. Die Markierungsmethode eignete sich jedoch nur f{\"u}r fixierte Hybridomzellen. Eine Markierung von lebenden Zellen konnte weder durchflusszytometrisch noch mittels konfokaler Laser-Scanning-Mikroskopie gezeigt werden. Dies gelang erst mit einer neu entwickelten indirekten Immunfluoreszenzmarkierung. Dabei wurden die Zellen zun{\"a}chst mit einem Hapten-Peroxidase-Konjugat inkubiert, gefolgt von einem Fluorophor-markierten anti-HRP-Antik{\"o}rper-Konjugat. Dies wurde f{\"u}r zwei Analyten, das Hormon Estron und das Antiepileptikum Carbamazepin, gezeigt. Die indirekte Markierung wurde erfolgreich dazu verwendet, Carbamazepin-selektive Hybridomzellen aus einem Fusionsansatz f{\"u}r die monoklonale Antik{\"o}rperproduktion auszusortieren. Damit wurde erstmalig eine Zellmarkierungsmethode entwickelt, die eine Hochdurchsatz-Selektion lebender Hybridomzellen aus einem Fusionsansatz erm{\"o}glicht. Sie ist nicht zellsch{\"a}digend und kann zus{\"a}tzlich zur Selektion Hapten-selektiver Plasmazellen verwendet werden.}, language = {de} }