@phdthesis{Winkler2013, author = {Winkler, Henning}, title = {Synthese von thermoplastisch verarbeitbaren Fetts{\"a}ure-Acylderivaten der St{\"a}rke und Proteine}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71089}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In den vergangenen Jahren wurden stetig wachsende Produktionskapazit{\"a}ten von Biokunststoffen aus nachwachsenden Rohstoffe nverzeichnet. Trotz großer Produktionskapazit{\"a}ten und einem geeigneten Eigenschaftsprofil findet St{\"a}rke nur als hydrophile, mit Weichmachern verarbeitete thermoplastische St{\"a}rke (TPS) in Form von Blends mit z. B. Polyestern Anwendung. Gleiches gilt f{\"u}r Kunststoffe auf Proteinbasis. Die vorliegende Arbeit hat die Entwicklung von Biokunststoffen auf St{\"a}rkebasis zum Ziel, welche ohne externe Weichmacher thermoplastisch verarbeitbar und hydrophob sind sowie ein mechanisches Eigenschaftsprofil aufweisen, welches ein Potenzial zur Herstellung von Materialien f{\"u}r eine Anwendung als Verpackungsmittel bietet. Um die Rohstoffbasis f{\"u}r Biokunststoffe zu erweitern, soll das erarbeitete Konzept auf zwei industriell verf{\"u}gbare Proteintypen, Zein und Molkenproteinisolat (WPI), {\"u}bertragen werden. Als geeignete Materialklasse wurden Fetts{\"a}ureester der St{\"a}rke herausgearbeitet. Zun{\"a}chst fand ein Vergleich der S{\"a}urechlorid-Veresterung und der Umesterung von Fetts{\"a}urevinylestern statt, woraus letztere als geeignetere Methode hervorging. Durch Variation der Reaktionsparameter konnte diese optimiert und auf eine Serie der Fetts{\"a}urevinylester von Butanoat bis Stearat f{\"u}r DS-Werte bis zu 2,2-2,6 angewandt werden. M{\"o}glich war somit eine systematische Studie unter Variation der veresterten Fetts{\"a}ure sowie des Substitutionsgrades (DS). S{\"a}mtliche Produkte mit einem DS ab 1,5 wiesen eine ausgpr{\"a}gte L{\"o}slichkeit in organischen L{\"o}sungsmitteln auf wodurch sowohl die Aufnahme von NMR-Spektren als auch Molmassenbestimmung mittels Gr{\"o}ßenausschlusschromatographie mit gekoppelter Mehrwinkel-Laserlichtstreuung (GPC-MALLS) m{\"o}glich waren. Durch dynamische Lichtstreuung (DLS) wurde das L{\"o}slichkeitsverhalten veranschaulicht. S{\"a}mtliche Produkte konnten zu Filmen verarbeitet werden, wobei Materialien mit DS 1,5-1,7 hohe Zugfestigkeiten (bis zu 42 MPa) und Elastizit{\"a}tsmodule (bis 1390 MPa) aufwiesen. Insbesondere St{\"a}rkehexanoat mit DS <2 sowie St{\"a}rkebutanoat mit DS >2 hatten ein mechanisches Eigenschaftsprofil, welches insbesondere in Bezug auf die Festigkeit/Steifigkeit vergleichbar mit Verpackungsmaterialien wie Polyethylen war (Zugfestigkeit: 15-32 MPa, E-Modul: 300-1300 MPa). Zugfestigkeit und Elastizit{\"a}tsmodul nahmen mit steigender Kettenl{\"a}nge der veresterten Fetts{\"a}ure ab. Ester l{\"a}ngerkettiger Fetts{\"a}uren (C16-C18) waren spr{\"o}de. {\"U}ber Weitwinkel-R{\"o}ntgenstreuung (WAXS) und Infrarotspektroskopie (ATR-FTIR) konnte der Verlauf der Festigkeiten mit einer zunehmenden Distanz der St{\"a}rke im Material begr{\"u}ndet werden. Es konnten von DS und Kettenl{\"a}nge abh{\"a}ngige Glas{\"u}berg{\"a}nge detektiert werden, die kristallinen Strukturen der langkettigen Fetts{\"a}uren zeigten einen Schmelzpeak. Die Hydrophobie der Filme wurde anhand von Kontaktwinkeln >95° gegen Wasser dargestellt. Blends mit biobasierten Polyterpenen sowie den in der Arbeit hergestellten Zein-Acylderivaten erm{\"o}glichten eine weitere Verbesserung der Zugfestigkeit bzw. des Elastizit{\"a}tsmoduls hochsubstituierter Produkte. Eine thermoplastische Verarbeitung mittels Spritzgießen war sowohl f{\"u}r Produkte mit hohem als auch mittlerem DS-Wert ohne jeglichen Zusatz von Weichmachern m{\"o}glich. Es entstanden homogene, transparente Pr{\"u}fst{\"a}be. Untersuchungen der H{\"a}rte ergaben auch hier f{\"u}r St{\"a}rkehexanoat und -butanoat mit Polyethylen vergleichbare Werte. Ausgew{\"a}hlte Produkte wurden zu Fasern nach dem Schmelzspinnverfahren verarbeitet. Hierbei wurden insbesondere f{\"u}r hochsubstituierte Derivate homogenen Fasern erstellt, welche im Vergleich zur Gießfolie signifikant h{\"o}here Zugfestigkeiten aufwiesen. St{\"a}rkeester mit mittlerem DS ließen sich ebenfalls verarbeiten. Zun{\"a}chst wurden f{\"u}r eine {\"U}bertragung des Konzeptes auf die Proteine Zein und WPI verschiedene Synthesemethoden verglichen. Die Veresterung mit S{\"a}urechloriden ergab hierbei die h{\"o}chsten Werte. Im Hinblick auf eine gute L{\"o}slichkeit in organischen L{\"o}sungsmitteln wurde f{\"u}r WPI die Veresterung mit carbonyldiimidazol (CDI)-aktivierten Fetts{\"a}uren in DMSO und f{\"u}r Zein die Veresterung mit S{\"a}u-rechloriden in Pyridin bevorzugt. Es stellte sich heraus, dass acyliertes WPI zwar hydrophob, jedoch ohne Weichmacher nicht thermoplastisch verarbeitet werden konnte. Die Erstellung von Gießfolien f{\"u}hrte zu Spr{\"o}dbruchverhalten. Unter Zugabe der biobasierten {\"O}ls{\"a}ure wurde die Anwendung von acyliertem WPI als thermoplastischer Filler z. B. in Blends mit St{\"a}rkeestern dargestellt. Im Gegensatz hierzu zeigte acyliertes Zein Glas{\"u}berg{\"a}nge <100 °C bei ausreichender Stabilit{\"a}t (150-200 °C). Zeinoleat konnte ohne Weichmacher zu einer transparenten Gießfolie verarbeitet werden. S{\"a}mtliche Derivate erwiesen sich als ausgepr{\"a}gt hydrophob. Zeinoleat konnte {\"u}ber das Schmelzspinnverfahren zu thermoplastischen Fasern verarbeitet werden.}, language = {de} } @phdthesis{Wechakama2013, author = {Wechakama, Maneenate}, title = {Multi-messenger constraints and pressure from dark matter annihilation into electron-positron pairs}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-67401}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Despite striking evidence for the existence of dark matter from astrophysical observations, dark matter has still escaped any direct or indirect detection until today. Therefore a proof for its existence and the revelation of its nature belongs to one of the most intriguing challenges of nowadays cosmology and particle physics. The present work tries to investigate the nature of dark matter through indirect signatures from dark matter annihilation into electron-positron pairs in two different ways, pressure from dark matter annihilation and multi-messenger constraints on the dark matter annihilation cross-section. We focus on dark matter annihilation into electron-positron pairs and adopt a model-independent approach, where all the electrons and positrons are injected with the same initial energy E_0 ~ m_dm*c^2. The propagation of these particles is determined by solving the diffusion-loss equation, considering inverse Compton scattering, synchrotron radiation, Coulomb collisions, bremsstrahlung, and ionization. The first part of this work, focusing on pressure from dark matter annihilation, demonstrates that dark matter annihilation into electron-positron pairs may affect the observed rotation curve by a significant amount. The injection rate of this calculation is constrained by INTEGRAL, Fermi, and H.E.S.S. data. The pressure of the relativistic electron-positron gas is computed from the energy spectrum predicted by the diffusion-loss equation. For values of the gas density and magnetic field that are representative of the Milky Way, it is estimated that the pressure gradients are strong enough to balance gravity in the central parts if E_0 < 1 GeV. The exact value depends somewhat on the astrophysical parameters, and it changes dramatically with the slope of the dark matter density profile. For very steep slopes, as those expected from adiabatic contraction, the rotation curves of spiral galaxies would be affected on kiloparsec scales for most values of E_0. By comparing the predicted rotation curves with observations of dwarf and low surface brightness galaxies, we show that the pressure from dark matter annihilation may improve the agreement between theory and observations in some cases, but it also imposes severe constraints on the model parameters (most notably, the inner slope of the halo density profile, as well as the mass and the annihilation cross-section of dark matter particles into electron-positron pairs). In the second part, upper limits on the dark matter annihilation cross-section into electron-positron pairs are obtained by combining observed data at different wavelengths (from Haslam, WMAP, and Fermi all-sky intensity maps) with recent measurements of the electron and positron spectra in the solar neighbourhood by PAMELA, Fermi, and H.E.S.S.. We consider synchrotron emission in the radio and microwave bands, as well as inverse Compton scattering and final-state radiation at gamma-ray energies. For most values of the model parameters, the tightest constraints are imposed by the local positron spectrum and synchrotron emission from the central regions of the Galaxy. According to our results, the annihilation cross-section should not be higher than the canonical value for a thermal relic if the mass of the dark matter candidate is smaller than a few GeV. In addition, we also derive a stringent upper limit on the inner logarithmic slope α of the density profile of the Milky Way dark matter halo (α < 1 if m_dm < 5 GeV, α < 1.3 if m_dm < 100 GeV and α < 1.5 if m_dm < 2 TeV) assuming a dark matter annihilation cross-section into electron-positron pairs (σv) = 3*10^-26 cm^3 s^-1, as predicted for thermal relics from the big bang.}, language = {en} } @phdthesis{Vogel2013, author = {Vogel, Kristin}, title = {Applications of Bayesian networks in natural hazard assessments}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69777}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Even though quite different in occurrence and consequences, from a modeling perspective many natural hazards share similar properties and challenges. Their complex nature as well as lacking knowledge about their driving forces and potential effects make their analysis demanding: uncertainty about the modeling framework, inaccurate or incomplete event observations and the intrinsic randomness of the natural phenomenon add up to different interacting layers of uncertainty, which require a careful handling. Nevertheless deterministic approaches are still widely used in natural hazard assessments, holding the risk of underestimating the hazard with disastrous effects. The all-round probabilistic framework of Bayesian networks constitutes an attractive alternative. In contrast to deterministic proceedings, it treats response variables as well as explanatory variables as random variables making no difference between input and output variables. Using a graphical representation Bayesian networks encode the dependency relations between the variables in a directed acyclic graph: variables are represented as nodes and (in-)dependencies between variables as (missing) edges between the nodes. The joint distribution of all variables can thus be described by decomposing it, according to the depicted independences, into a product of local conditional probability distributions, which are defined by the parameters of the Bayesian network. In the framework of this thesis the Bayesian network approach is applied to different natural hazard domains (i.e. seismic hazard, flood damage and landslide assessments). Learning the network structure and parameters from data, Bayesian networks reveal relevant dependency relations between the included variables and help to gain knowledge about the underlying processes. The problem of Bayesian network learning is cast in a Bayesian framework, considering the network structure and parameters as random variables itself and searching for the most likely combination of both, which corresponds to the maximum a posteriori (MAP score) of their joint distribution given the observed data. Although well studied in theory the learning of Bayesian networks based on real-world data is usually not straight forward and requires an adoption of existing algorithms. Typically arising problems are the handling of continuous variables, incomplete observations and the interaction of both. Working with continuous distributions requires assumptions about the allowed families of distributions. To "let the data speak" and avoid wrong assumptions, continuous variables are instead discretized here, thus allowing for a completely data-driven and distribution-free learning. An extension of the MAP score, considering the discretization as random variable as well, is developed for an automatic multivariate discretization, that takes interactions between the variables into account. The discretization process is nested into the network learning and requires several iterations. Having to face incomplete observations on top, this may pose a computational burden. Iterative proceedings for missing value estimation become quickly infeasible. A more efficient albeit approximate method is used instead, estimating the missing values based only on the observations of variables directly interacting with the missing variable. Moreover natural hazard assessments often have a primary interest in a certain target variable. The discretization learned for this variable does not always have the required resolution for a good prediction performance. Finer resolutions for (conditional) continuous distributions are achieved with continuous approximations subsequent to the Bayesian network learning, using kernel density estimations or mixtures of truncated exponential functions. All our proceedings are completely data-driven. We thus avoid assumptions that require expert knowledge and instead provide domain independent solutions, that are applicable not only in other natural hazard assessments, but in a variety of domains struggling with uncertainties.}, language = {en} } @phdthesis{Uhlemann2013, author = {Uhlemann, Steffi}, title = {Understanding trans-basin floods in Germany : data, information and knowledge}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68868}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Large Central European flood events of the past have demonstrated that flooding can affect several river basins at the same time leading to catastrophic economic and humanitarian losses that can stretch emergency resources beyond planned levels of service. For Germany, the spatial coherence of flooding, the contributing processes and the role of trans-basin floods for a national risk assessment is largely unknown and analysis is limited by a lack of systematic data, information and knowledge on past events. This study investigates the frequency and intensity of trans-basin flood events in Germany. It evaluates the data and information basis on which knowledge about trans-basin floods can be generated in order to improve any future flood risk assessment. In particu-lar, the study assesses whether flood documentations and related reports can provide a valuable data source for understanding trans-basin floods. An adaptive algorithm was developed that systematically captures trans-basin floods using series of mean daily discharge at a large number of sites of even time series length (1952-2002). It identifies the simultaneous occurrence of flood peaks based on the exceedance of an initial threshold of a 10 year flood at one location and consecutively pools all causally related, spatially and temporally lagged peak recordings at the other locations. A weighted cumulative index was developed that accounts for the spatial extent and the individual flood magnitudes within an event and allows quantifying the overall event severity. The parameters of the method were tested in a sensitivity analysis. An intensive study on sources and ways of information dissemination of flood-relevant publications in Germany was conducted. Based on the method of systematic reviews a strategic search approach was developed to identify relevant documentations for each of the 40 strongest trans-basin flood events. A novel framework for assessing the quality of event specific flood reports from a user's perspective was developed and validated by independent peers. The framework was designed to be generally applicable for any natural hazard type and assesses the quality of a document addressing accessibility as well as representational, contextual, and intrinsic dimensions of quality. The analysis of time-series of mean daily discharge resulted in the identification of 80 trans-basin flood events within the period 1952-2002 in Germany. The set is dominated by events that were recorded in the hydrological winter (64\%); 36\% occurred during the summer months. The occurrence of floods is characterised by a distinct clustering in time. Dividing the study period into two sub-periods, we find an increase in the percentage of winter events from 58\% in the first to 70.5\% in the second sub-period. Accordingly, we find a significant increase in the number of extreme trans-basin floods in the second sub-period. A large body of 186 flood relevant documentations was identified. For 87.5\% of the 40 strongest trans-basin floods in Germany at least one report has been found and for the most severe floods a substantial amount of documentation could be obtained. 80\% of the material can be considered grey literature (i.e. literature not controlled by commercial publishers). The results of the quality assessment show that the majority of flood event specific reports are of a good quality, i.e. they are well enough drafted, largely accurate and objective, and contain a substantial amount of information on the sources, pathways and receptors/consequences of the floods. The inclusion of this information in the process of knowledge building for flood risk assessment is recommended. Both the results as well as the data produced in this study are openly accessible and can be used for further research. The results of this study contribute to an improved spatial risk assessment in Germany. The identified set of trans-basin floods provides the basis for an assessment of the chance that flooding occurs simultaneously at a number of sites. The information obtained from flood event documentation can usefully supplement the analysis of the processes that govern flood risk.}, language = {en} } @phdthesis{Toele2013, author = {T{\"o}le, Jonas Claudius}, title = {{\"U}ber die Arc-catFISH-Methode als neues Werkzeug zur Charakterisierung der Geschmacksverarbeitung im Hirnstamm der Maus}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70491}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Intensive Forschung hat in den vergangenen Jahrzehnten zu einer sehr detaillierten Charakterisierung des Geschmackssystems der S{\"a}ugetiere gef{\"u}hrt. Dennoch sind mit den bislang eingesetzten Methoden wichtige Fragestellungen unbeantwortet geblieben. Eine dieser Fragen gilt der Unterscheidung von Bitterstoffen. Die Zahl der Substanzen, die f{\"u}r den Menschen bitter schmecken und in Tieren angeborenes Aversionsverhalten ausl{\"o}sen, geht in die Tausende. Diese Substanzen sind sowohl von der chemischen Struktur als auch von ihrer Wirkung auf den Organismus sehr verschieden. W{\"a}hrend viele Bitterstoffe potente Gifte darstellen, sind andere in den Mengen, die mit der Nahrung aufgenommen werden, harmlos oder haben sogar positive Effekte auf den K{\"o}rper. Zwischen diesen Gruppen unterscheiden zu k{\"o}nnen, w{\"a}re f{\"u}r ein Tier von Vorteil. Ein solcher Mechanismus ist jedoch bei S{\"a}ugetieren nicht bekannt. Das Ziel dieser Arbeit war die Untersuchung der Verarbeitung von Geschmacksinformation in der ersten Station der Geschmacksbahn im Mausgehirn, dem Nucleus tractus solitarii (NTS), mit besonderem Augenmerk auf der Frage nach der Diskriminierung verschiedener Bitterstoffe. Zu diesem Zweck wurde eine neue Untersuchungsmethode f{\"u}r das Geschmackssystem etabliert, die die Nachteile bereits verf{\"u}gbarer Methoden umgeht und ihre Vorteile kombiniert. Die Arc-catFISH-Methode (cellular compartment analysis of temporal activity by fluorescent in situ hybridization), die die Charakterisierung der Antwort großer Neuronengruppen auf zwei Stimuli erlaubt, wurde zur Untersuchung geschmacksverarbeitender Zellen im NTS angewandt. Im Zuge dieses Projekts wurde erstmals eine stimulusinduzierte Arc-Expression im NTS gezeigt. Die ersten Ergebnisse offenbarten, dass die Arc-Expression im NTS spezifisch nach Stimulation mit Bitterstoffen auftritt und sich die Arc exprimierenden Neurone vornehmlich im gustatorischen Teil des NTS befinden. Dies weist darauf hin, dass Arc-Expression ein Marker f{\"u}r bitterverarbeitende gustatorische Neurone im NTS ist. Nach zweimaliger Stimulation mit Bittersubstanzen konnten {\"u}berlappende, aber verschiedene Populationen von Neuronen beobachtet werden, die unterschiedlich auf die drei verwendeten Bittersubstanzen Cycloheximid, Chininhydrochlorid und Cucurbitacin I reagierten. Diese Neurone sind vermutlich an der Steuerung von Abwehrreflexen beteiligt und k{\"o}nnten so die Grundlage f{\"u}r divergentes Verhalten gegen{\"u}ber verschiedenen Bitterstoffen bilden.}, language = {de} } @phdthesis{Tyrallova2013, author = {Tyrallov{\´a}, Lucia}, title = {Automatisierte Objektidentifikation und Visualisierung terrestrischer Oberfl{\"a}chenformen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69268}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Die automatisierte Objektidentifikation stellt ein modernes Werkzeug in den Geoinformationswissenschaften dar (BLASCHKE et al., 2012). Um bei thematischen Kartierungen untereinander vergleichbare Ergebnisse zu erzielen, sollen aus Sicht der Geoinformatik Mittel f{\"u}r die Objektidentifikation eingesetzt werden. Anstelle von Feldarbeit werden deshalb in der vorliegenden Arbeit multispektrale Fernerkundungsdaten als Prim{\"a}rdaten verwendet. Konkrete nat{\"u}rliche Objekte werden GIS-gest{\"u}tzt und automatisiert {\"u}ber große Fl{\"a}chen und Objektdichten aus Prim{\"a}rdaten identifiziert und charakterisiert. Im Rahmen der vorliegenden Arbeit wird eine automatisierte Prozesskette zur Objektidentifikation konzipiert. Es werden neue Ans{\"a}tze und Konzepte der objektbasierten Identifikation von nat{\"u}rlichen isolierten terrestrischen Oberfl{\"a}chenformen entwickelt und implementiert. Die Prozesskette basiert auf einem Konzept, das auf einem generischen Ansatz f{\"u}r automatisierte Objektidentifikation aufgebaut ist. Die Prozesskette kann anhand charakteristischer quantitativer Parameter angepasst und so umgesetzt werden, womit das Konzept der Objektidentifikation modular und skalierbar wird. Die modulbasierte Architektur erm{\"o}glicht den Einsatz sowohl einzelner Module als auch ihrer Kombination und m{\"o}glicher Erweiterungen. Die eingesetzte Methodik der Objektidentifikation und die daran anschließende Charakteristik der (geo)morphometrischen und morphologischen Parameter wird durch statistische Verfahren gest{\"u}tzt. Diese erm{\"o}glichen die Vergleichbarkeit von Objektparametern aus unterschiedlichen Stichproben. Mit Hilfe der Regressionsund Varianzanalyse werden Verh{\"a}ltnisse zwischen Objektparametern untersucht. Es werden funktionale Abh{\"a}ngigkeiten der Parameter analysiert, um die Objekte qualitativ zu beschreiben. Damit ist es m{\"o}glich, automatisiert berechnete Maße und Indizes der Objekte als quantitative Daten und Informationen zu erfassen und unterschiedliche Stichproben anzuwenden. Im Rahmen dieser Arbeit bilden Thermokarstseen die Grundlage f{\"u}r die Entwicklungen und als Beispiel sowie Datengrundlage f{\"u}r den Aufbau des Algorithmus und die Analyse. Die Geovisualisierung der multivariaten nat{\"u}rlichen Objekte wird f{\"u}r die Entwicklung eines besseren Verst{\"a}ndnisses der r{\"a}umlichen Relationen der Objekte eingesetzt. Kern der Geovisualisierung ist das Verkn{\"u}pfen von Visualisierungsmethoden mit karten{\"a}hnlichen Darstellungen.}, language = {de} } @phdthesis{Trapp2013, author = {Trapp, Matthias}, title = {Interactive rendering techniques for focus+context visualization of 3D geovirtual environments}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66824}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {This thesis introduces a collection of new real-time rendering techniques and applications for focus+context visualization of interactive 3D geovirtual environments such as virtual 3D city and landscape models. These environments are generally characterized by a large number of objects and are of high complexity with respect to geometry and textures. For these reasons, their interactive 3D rendering represents a major challenge. Their 3D depiction implies a number of weaknesses such as occlusions, cluttered image contents, and partial screen-space usage. To overcome these limitations and, thus, to facilitate the effective communication of geo-information, principles of focus+context visualization can be used for the design of real-time 3D rendering techniques for 3D geovirtual environments (see Figure). In general, detailed views of a 3D geovirtual environment are combined seamlessly with abstracted views of the context within a single image. To perform the real-time image synthesis required for interactive visualization, dedicated parallel processors (GPUs) for rasterization of computer graphics primitives are used. For this purpose, the design and implementation of appropriate data structures and rendering pipelines are necessary. The contribution of this work comprises the following five real-time rendering methods: • The rendering technique for 3D generalization lenses enables the combination of different 3D city geometries (e.g., generalized versions of a 3D city model) in a single image in real time. The method is based on a generalized and fragment-precise clipping approach, which uses a compressible, raster-based data structure. It enables the combination of detailed views in the focus area with the representation of abstracted variants in the context area. • The rendering technique for the interactive visualization of dynamic raster data in 3D geovirtual environments facilitates the rendering of 2D surface lenses. It enables a flexible combination of different raster layers (e.g., aerial images or videos) using projective texturing for decoupling image and geometry data. Thus, various overlapping and nested 2D surface lenses of different contents can be visualized interactively. • The interactive rendering technique for image-based deformation of 3D geovirtual environments enables the real-time image synthesis of non-planar projections, such as cylindrical and spherical projections, as well as multi-focal 3D fisheye-lenses and the combination of planar and non-planar projections. • The rendering technique for view-dependent multi-perspective views of 3D geovirtual environments, based on the application of global deformations to the 3D scene geometry, can be used for synthesizing interactive panorama maps to combine detailed views close to the camera (focus) with abstract views in the background (context). This approach reduces occlusions, increases the usage the available screen space, and reduces the overload of image contents. • The object-based and image-based rendering techniques for highlighting objects and focus areas inside and outside the view frustum facilitate preattentive perception. The concepts and implementations of interactive image synthesis for focus+context visualization and their selected applications enable a more effective communication of spatial information, and provide building blocks for design and development of new applications and systems in the field of 3D geovirtual environments.}, language = {en} } @phdthesis{Thomas2013, author = {Thomas, Bj{\"o}rn Daniel}, title = {Analysis and management of low flows in small catchments of Brandenburg, Germany}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69247}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Water management and environmental protection is vulnerable to extreme low flows during streamflow droughts. During the last decades, in most rivers of Central Europe summer runoff and low flows have decreased. Discharge projections agree that future decrease in runoff is likely for catchments in Brandenburg, Germany. Depending on the first-order controls on low flows, different adaption measures are expected to be appropriate. Small catchments were analyzed because they are expected to be more vulnerable to a changing climate than larger rivers. They are mainly headwater catchments with smaller ground water storage. Local characteristics are more important at this scale and can increase vulnerability. This thesis mutually evaluates potential adaption measures to sustain minimum runoff in small catchments of Brandenburg, Germany, and similarities of these catchments regarding low flows. The following guiding questions are addressed: (i) Which first-order controls on low flows and related time scales exist? (ii) Which are the differences between small catchments regarding low flow vulnerability? (iii) Which adaption measures to sustain minimum runoff in small catchments of Brandenburg are appropriate considering regional low flow patterns? Potential adaption measures to sustain minimum runoff during periods of low flows can be classified into three categories: (i) increase of groundwater recharge and subsequent baseflow by land use change, land management and artificial ground water recharge, (ii) increase of water storage with regulated outflow by reservoirs, lakes and wetland water management and (iii) regional low flow patterns have to be considered during planning of measures with multiple purposes (urban water management, waste water recycling and inter-basin water transfer). The question remained whether water management of areas with shallow groundwater tables can efficiently sustain minimum runoff. Exemplary, water management scenarios of a ditch irrigated area were evaluated using the model Hydrus-2D. Increasing antecedent water levels and stopping ditch irrigation during periods of low flows increased fluxes from the pasture to the stream, but storage was depleted faster during the summer months due to higher evapotranspiration. Fluxes from this approx. 1 km long pasture with an area of approx. 13 ha ranged from 0.3 to 0.7 l\s depending on scenario. This demonstrates that numerous of such small decentralized measures are necessary to sustain minimum runoff in meso-scale catchments. Differences in the low flow risk of catchments and meteorological low flow predictors were analyzed. A principal component analysis was applied on daily discharge of 37 catchments between 1991 and 2006. Flows decreased more in Southeast Brandenburg according to meteorological forcing. Low flow risk was highest in a region east of Berlin because of intersection of a more continental climate and the specific geohydrology. In these catchments, flows decreased faster during summer and the low flow period was prolonged. A non-linear support vector machine regression was applied to iteratively select meteorological predictors for annual 30-day minimum runoff in 16 catchments between 1965 and 2006. The potential evapotranspiration sum of the previous 48 months was the most important predictor (r²=0.28). The potential evapotranspiration of the previous 3 months and the precipitation of the previous 3 months and last year increased model performance (r²=0.49, including all four predictors). Model performance was higher for catchments with low yield and more damped runoff. In catchments with high low flow risk, explanatory power of long term potential evapotranspiration was high. Catchments with a high low flow risk as well as catchments with a considerable decrease in flows in southeast Brandenburg have the highest demand for adaption. Measures increasing groundwater recharge are to be preferred. Catchments with high low flow risk showed relatively deep and decreasing groundwater heads allowing increased groundwater recharge at recharge areas with higher altitude away from the streams. Low flows are expected to stay low or decrease even further because long term potential evapotranspiration was the most important low flow predictor and is projected to increase during climate change. Differences in low flow risk and runoff dynamics between catchments have to be considered for management and planning of measures which do not only have the task to sustain minimum runoff.}, language = {en} } @phdthesis{Theves2013, author = {Theves, Matthias}, title = {Bacterial motility and growth in open and confined environments}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70313}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In the presence of a solid-liquid or liquid-air interface, bacteria can choose between a planktonic and a sessile lifestyle. Depending on environmental conditions, cells swimming in close proximity to the interface can irreversibly attach to the surface and grow into three-dimensional aggregates where the majority of cells is sessile and embedded in an extracellular polymer matrix (biofilm). We used microfluidic tools and time lapse microscopy to perform experiments with the polarly flagellated soil bacterium Pseudomonas putida (P. putida), a bacterial species that is able to form biofilms. We analyzed individual trajectories of swimming cells, both in the bulk fluid and in close proximity to a glass-liquid interface. Additionally, surface related growth during the early phase of biofilm formation was investigated. In the bulk fluid, P.putida shows a typical bacterial swimming pattern of alternating periods of persistent displacement along a line (runs) and fast reorientation events (turns) and cells swim with an average speed around 24 micrometer per second. We found that the distribution of turning angles is bimodal with a dominating peak around 180 degrees. In approximately six out of ten turning events, the cell reverses its swimming direction. In addition, our analysis revealed that upon a reversal, the cell systematically changes its swimming speed by a factor of two on average. Based on the experimentally observed values of mean runtime and rotational diffusion, we presented a model to describe the spreading of a population of cells by a run-reverse random walker with alternating speeds. We successfully recover the mean square displacement and, by an extended version of the model, also the negative dip in the directional autocorrelation function as observed in the experiments. The analytical solution of the model demonstrates that alternating speeds enhance a cells ability to explore its environment as compared to a bacterium moving at a constant intermediate speed. As compared to the bulk fluid, for cells swimming near a solid boundary we observed an increase in swimming speed at distances below d= 5 micrometer and an increase in average angular velocity at distances below d= 4 micrometer. While the average speed was maximal with an increase around 15\% at a distance of d= 3 micrometer, the angular velocity was highest in closest proximity to the boundary at d=1 micrometer with an increase around 90\% as compared to the bulk fluid. To investigate the swimming behavior in a confinement between two solid boundaries, we developed an experimental setup to acquire three-dimensional trajectories using a piezo driven objective mount coupled to a high speed camera. Results on speed and angular velocity were consistent with motility statistics in the presence of a single boundary. Additionally, an analysis of the probability density revealed that a majority of cells accumulated near the upper and lower boundaries of the microchannel. The increase in angular velocity is consistent with previous studies, where bacteria near a solid boundary were shown to swim on circular trajectories, an effect which can be attributed to a wall induced torque. The increase in speed at a distance of several times the size of the cell body, however, cannot be explained by existing theories which either consider the drag increase on cell body and flagellum near a boundary (resistive force theory) or model the swimming microorganism by a multipole expansion to account for the flow field interaction between cell and boundary. An accumulation of swimming bacteria near solid boundaries has been observed in similar experiments. Our results confirm that collisions with the surface play an important role and hydrodynamic interactions alone cannot explain the steady-state accumulation of cells near the channel walls. Furthermore, we monitored the number growth of cells in the microchannel under medium rich conditions. We observed that, after a lag time, initially isolated cells at the surface started to grow by division into colonies of increasing size, while coexisting with a comparable smaller number of swimming cells. After 5:50 hours, we observed a sudden jump in the number of swimming cells, which was accompanied by a breakup of bigger clusters on the surface. After approximately 30 minutes where planktonic cells dominated in the microchannel, individual swimming cells reattached to the surface. We interpret this process as an emigration and recolonization event. A number of complementary experiments were performed to investigate the influence of collective effects or a depletion of the growth medium on the transition. Similar to earlier observations on another bacterium from the same family we found that the release of cells to the swimming phase is most likely the result of an individual adaption process, where syntheses of proteins for flagellar motility are upregulated after a number of division cycles at the surface.}, language = {en} } @phdthesis{Thalmann2013, author = {Thalmann, Sophie}, title = {Korrelation zwischen der genetischen und der funktionellen Diversit{\"a}t humaner Bitterrezeptoren}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66845}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Der Mensch besitzt ~25 funktionelle Bitterrezeptoren (TAS2R), die f{\"u}r die Wahrnehmung potenziell toxischer Substanzen in der Nahrung verantwortlich sind. Aufgrund der großen genetischen Variabilit{\"a}t der TAS2R-Gene k{\"o}nnte es eine Vielzahl funktionell unterschiedlicher TAS2R-Haplotypen geben, die zu Unterschieden der Bitterwahrnehmung f{\"u}hren. Dies konnte bereits in funktionellen Analysen und sensorischen Studien f{\"u}r einzelne Bitterrezeptoren gezeigt werden. In dieser Arbeit wurden die h{\"a}ufigsten Haplotypen aller 25 Bitterrezeptoren verschiedener Ethnien funktionell charakterisiert. Das Ziel war eine umfassende Aussage {\"u}ber die funktionelle Diversit{\"a}t der TAS2Rs, die die molekulare Grundlage f{\"u}r individuelle Bitterwahrnehmung bildet, treffen zu k{\"o}nnen. Fehlende Varianten wurden aus genomischer DNA kloniert oder durch gezielte Mutagenese bereits vorhandener TAS2R-Konstrukte generiert. Die funktionelle Analyse erfolgte mittels Expression der TAS2R-Haplotypen in HEK293TG16gust44 Zellen und anschließenden Calcium-Imaging-Experimenten mit zwei bekannten Agonisten. Die Haplotypen der f{\"u}nf orphanen TAS2Rs wurden mit {\"u}ber hundert Bitterstoffen stimuliert. Durch die gelungene Deorphanisierung des TAS2R41 in dieser Arbeit, wurden f{\"u}r die 21 aktivierbaren TAS2Rs 36 funktionell-unterschiedliche Haplotypen identifiziert. Die tats{\"a}chliche funktionelle Vielfalt blieb jedoch deutlich hinter der genetischen Variabilit{\"a}t der TAS2Rs zur{\"u}ck. Neun Bitterrezeptoren wiesen funktionell homogene Haplotypen auf oder besaßen nur eine weltweit vorherrschende Variante. Funktionell heterogene Haplotypen wurden f{\"u}r zw{\"o}lf TAS2Rs identifiziert. Inaktive Varianten der Rezeptoren TAS2R9, TAS2R38 und TAS2R46 sollten die Wahrnehmung von Bitterstoffen wie Ofloxacin, Cnicin, Hydrocortison, Limonin, Parthenolid oder Strychnin beeinflussen. Unterschiedlich sensitive Varianten, besonders der Rezeptoren TAS2R47 und TAS2R49, sollten f{\"u}r Agonisten wie Absinthin, Amarogentin oder Cromolyn ebenfalls zu ph{\"a}notypischen Unterschieden f{\"u}hren. Wie f{\"u}r den TAS2R16 bereits gezeigt, traten Haplotypen des funktionell heterogenen TAS2R7 und TAS2R41 ethnien-spezifisch auf, was auf lokale Anpassung und verschiedene Ph{\"a}notypen hinweisen k{\"o}nnte. Weiterf{\"u}hrend muss nun eine Analyse der funktionell-variablen TAS2Rs in sensorischen Tests erfolgen, um ihre ph{\"a}notypische Relevanz zu pr{\"u}fen. Die Analyse der funktionsmodulierenden Aminos{\"a}urepositionen, z.Bsp. des TAS2R44, TAS2R47 oder TAS2R49, k{\"o}nnte weiterf{\"u}hrend zum besseren Verst{\"a}ndnis der Rezeptor-Ligand- und Rezeptor-G-Protein-Interaktion beitragen.}, language = {de} } @phdthesis{Takey2013, author = {Takey, Ali Said Ahmed}, title = {The XMM-Newton/SDSS galaxy cluster survey}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71229}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Galaxy clusters are the largest known gravitationally bound objects, their study is important for both an intrinsic understanding of their systems and an investigation of the large scale structure of the universe. The multi- component nature of galaxy clusters offers multiple observable signals across the electromagnetic spectrum. At X-ray wavelengths, galaxy clusters are simply identified as X-ray luminous, spatially extended, and extragalactic sources. X-ray observations offer the most powerful technique for constructing cluster catalogues. The main advantages of the X-ray cluster surveys are their excellent purity and completeness and the X-ray observables are tightly correlated with mass, which is indeed the most fundamental parameter of clusters. In my thesis I have conducted the 2XMMi/SDSS galaxy cluster survey, which is a serendipitous search for galaxy clusters based on the X-ray extended sources in the XMM-Newton Serendipitous Source Catalogue (2XMMi-DR3). The main aims of the survey are to identify new X-ray galaxy clusters, investigate their X-ray scaling relations, identify distant cluster candidates, and study the correlation of the X-ray and optical properties. The survey is constrained to those extended sources that are in the footprint of the Sloan Digital Sky Survey (SDSS) in order to be able to identify the optical counterparts as well as to measure their redshifts that are mandatory to measure their physical properties. The overlap area be- tween the XMM-Newton fields and the SDSS-DR7 imaging, the latest SDSS data release at the starting of the survey, is 210 deg^2. The survey comprises 1180 X-ray cluster candidates with at least 80 background-subtracted photon counts, which passed the quality control process. To measure the optical redshifts of the X-ray cluster candidates, I used three procedures; (i) cross-matching these candidates with the recent and largest optically selected cluster catalogues in the literature, which yielded the photometric redshifts of about a quarter of the X-ray cluster candidates. (ii) I developed a finding algorithm to search for overdensities of galaxies at the positions of the X-ray cluster candidates in the photometric redshift space and to measure their redshifts from the SDSS-DR8 data, which provided the photometric redshifts of 530 groups/clusters. (iii) I developed an algorithm to identify the cluster candidates associated with spectroscopically targeted Luminous Red Galaxies (LRGs) in the SDSS-DR9 and to measure the cluster spectroscopic redshift, which provided 324 groups and clusters with spectroscopic confirmation based on spectroscopic redshift of at least one LRG. In total, the optically confirmed cluster sample comprises 574 groups and clusters with redshifts (0.03 ≤ z ≤ 0.77), which is the largest X-ray selected cluster catalogue to date based on observations from the current X-ray observatories (XMM-Newton, Chandra, Suzaku, and Swift/XRT). Among the cluster sample, about 75 percent are newly X-ray discovered groups/clusters and 40 percent are new systems to the literature. To determine the X-ray properties of the optically confirmed cluster sample, I reduced and analysed their X-ray data in an automated way following the standard pipelines of processing the XMM-Newton data. In this analysis, I extracted the cluster spectra from EPIC(PN, MOS1, MOS2) images within an optimal aperture chosen to maximise the signal-to-noise ratio. The spectral fitting procedure provided the X-ray temperatures kT (0.5 - 7.5 keV) for 345 systems that have good quality X-ray data. For all the optically confirmed cluster sample, I measured the physical properties L500 (0.5 x 10^42 - 1.2 x 10^45 erg s-1 ) and M500 (1.1 x 10^13 - 4.9 x 10^14 M⊙) from an iterative procedure using published scaling relations. The present X-ray detected groups and clusters are in the low and intermediate luminosity regimes apart from few luminous systems, thanks to the XMM-Newton sensitivity and the available XMM-Newton deep fields The optically confirmed cluster sample with measurements of redshift and X-ray properties can be used for various astrophysical applications. As a first application, I investigated the LX - T relation for the first time based on a large cluster sample of 345 systems with X-ray spectroscopic parameters drawn from a single survey. The current sample includes groups and clusters with wide ranges of redshifts, temperatures, and luminosities. The slope of the relation is consistent with the published ones of nearby clusters with higher temperatures and luminosities. The derived relation is still much steeper than that predicted by self-similar evolution. I also investigated the evolution of the slope and the scatter of the LX - T relation with the cluster redshift. After excluding the low luminosity groups, I found no significant changes of the slope and the intrinsic scatter of the relation with redshift when dividing the sample into three redshift bins. When including the low luminosity groups in the low redshift subsample, I found its LX - T relation becomes after than the relation of the intermediate and high redshift subsamples. As a second application of the optically confirmed cluster sample from our ongoing survey, I investigated the correlation between the cluster X-ray and the optical parameters that have been determined in a homogenous way. Firstly, I investigated the correlations between the BCG properties (absolute magnitude and optical luminosity) and the cluster global proper- ties (redshift and mass). Secondly, I computed the richness and the optical luminosity within R500 of a nearby subsample (z ≤ 0.42, with a complete membership detection from the SDSS data) with measured X-ray temperatures from our survey. The relation between the estimated optical luminosity and richness is also presented. Finally, the correlation between the cluster optical properties (richness and luminosity) and the cluster global properties (X-ray luminosity, temperature, mass) are investigated.}, language = {en} } @phdthesis{Suetterlin2013, author = {S{\"u}tterlin, Martin}, title = {New inverse hydogel opals as protein responsive sensors}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70179}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In this work, the development of temperature- and protein-responsive sensor materials based on biocompatible, inverse hydrogel opals (IHOs) is presented. With these materials, large biomolecules can be specifically recognised and the binding event visualised. The preparation of the IHOs was performed with a template process, for which monodisperse silica particles were vertically deposited onto glass slides as the first step. The obtained colloidal crystals with a thickness of 5 μm displayed opalescent reflections because of the uniform alignment of the colloids. As a second step, the template was embedded in a matrix consisting of biocompatible, thermoresponsive hydrogels. The comonomers were selected from the family of oligo(ethylene glycol)methacrylates. The monomer solution was injected into a polymerisation mould, which contained the colloidal crystals as a template. The space in-between the template particles was filled with the monomer solution and the hydrogel was cured via UV-polymerisation. The particles were chemically etched, which resulted in a porous inner structure. The uniform alignment of the pores and therefore the opalescent reflection were maintained, so these system were denoted as inverse hydrogel opals. A pore diameter of several hundred nanometres as well as interconnections between the pores should facilitate a diffusion of bigger (bio)molecules, which was always a challenge in the presented systems until now. The copolymer composition was chosen to result in a hydrogel collapse over 35 °C. All hydrogels showed pronounced swelling in water below the critical temperature. The incorporation of a reactive monomer with hydroxyl groups ensured a potential coupling group for the introduction of recognition units for analytes, e.g. proteins. As a test system, biotin as a recognition unit for avidin was coupled to the IHO via polymer-analogous Steglich esterification. The amount of accessible biotin was quantified with a colorimetric binding assay. When avidin was added to the biotinylated IHO, the wavelength of the opalescent reflection was significantly shifted and therefore the binding event was visualised. This effect is based on the change in swelling behaviour of the hydrogel after binding of the hydrophilic avidin, which is amplified by the thermoresponsive nature of the hydrogel. A swelling or shrinking of the pores induces a change in distance of the crystal planes, which are responsible for the colour of the reflection. With these findings, the possibility of creating sensor materials or additional biomolecules in the size range of avidin is given.}, language = {en} } @phdthesis{Steinmetz2013, author = {Steinmetz, Nadine}, title = {Context-aware semantic analysis of video metadata}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70551}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Im Vergleich zu einer stichwortbasierten Suche erm{\"o}glicht die semantische Suche ein pr{\"a}ziseres und anspruchsvolleres Durchsuchen von (Web)-Dokumenten, weil durch die explizite Semantik Mehrdeutigkeiten von nat{\"u}rlicher Sprache vermieden und semantische Beziehungen in das Suchergebnis einbezogen werden k{\"o}nnen. Eine semantische, Entit{\"a}ten-basierte Suche geht von einer Anfrage mit festgelegter Bedeutung aus und liefert nur Dokumente, die mit dieser Entit{\"a}t annotiert sind als Suchergebnis. Die wichtigste Voraussetzung f{\"u}r eine Entit{\"a}ten-zentrierte Suche stellt die Annotation der Dokumente im Archiv mit Entit{\"a}ten und Kategorien dar. Textuelle Informationen werden analysiert und mit den entsprechenden Entit{\"a}ten und Kategorien versehen, um den Inhalt semantisch erschließen zu k{\"o}nnen. Eine manuelle Annotation erfordert Dom{\"a}nenwissen und ist sehr zeitaufwendig. Die semantische Annotation von Videodokumenten erfordert besondere Aufmerksamkeit, da inhaltsbasierte Metadaten von Videos aus verschiedenen Quellen stammen, verschiedene Eigenschaften und Zuverl{\"a}ssigkeiten besitzen und daher nicht wie Fließtext behandelt werden k{\"o}nnen. Die vorliegende Arbeit stellt einen semantischen Analyseprozess f{\"u}r Video-Metadaten vor. Die Eigenschaften der verschiedenen Metadatentypen werden analysiert und ein Konfidenzwert ermittelt. Dieser Wert spiegelt die Korrektheit und die wahrscheinliche Mehrdeutigkeit eines Metadatums wieder. Beginnend mit dem Metadatum mit dem h{\"o}chsten Konfidenzwert wird der Analyseprozess innerhalb eines Kontexts in absteigender Reihenfolge des Konfidenzwerts durchgef{\"u}hrt. Die bereits analysierten Metadaten dienen als Referenzpunkt f{\"u}r die weiteren Analysen. So kann eine m{\"o}glichst korrekte Analyse der heterogen strukturierten Daten eines Kontexts sichergestellt werden. Am Ende der Analyse eines Metadatums wird die f{\"u}r den Kontext relevanteste Entit{\"a}t aus einer Liste von Kandidaten identifiziert - das Metadatum wird disambiguiert. Hierf{\"u}r wurden verschiedene Disambiguierungsalgorithmen entwickelt, die Beschreibungstexte und semantische Beziehungen der Entit{\"a}tenkandidaten zum gegebenen Kontext in Betracht ziehen. Der Kontext f{\"u}r die Disambiguierung wird f{\"u}r jedes Metadatum anhand der Eigenschaften und Konfidenzwerte zusammengestellt. Der vorgestellte Analyseprozess ist an zwei Hypothesen angelehnt: Um die Analyseergebnisse verbessern zu k{\"o}nnen, sollten die Metadaten eines Kontexts in absteigender Reihenfolge ihres Konfidenzwertes verarbeitet werden und die Kontextgrenzen von Videometadaten sollten durch Segmentgrenzen definiert werden, um m{\"o}glichst Kontexte mit koh{\"a}rentem Inhalt zu erhalten. Durch ausf{\"u}hrliche Evaluationen konnten die gestellten Hypothesen best{\"a}tigt werden. Der Analyseprozess wurden gegen mehrere State-of-the-Art Methoden verglichen und erzielt verbesserte Ergebnisse in Bezug auf Recall und Precision, besonders f{\"u}r Metadaten, die aus weniger zuverl{\"a}ssigen Quellen stammen. Der Analyseprozess ist Teil eines Videoanalyse-Frameworks und wurde bereits erfolgreich in verschiedenen Projekten eingesetzt.}, language = {en} } @phdthesis{Slezak2013, author = {Slezak, Kathleen}, title = {Impact of intestinal bacteria on the anatomy and physiology of the intestinal tract in the PRM/Alf mouse model}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68946}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Introduction: Intestinal bacteria influence gut morphology by affecting epithelial cell proliferation, development of the lamina propria, villus length and crypt depth [1]. Gut microbiota-derived factors have been proposed to also play a role in the development of a 30 \% longer intestine, that is characteristic of PRM/Alf mice compared to other mouse strains [2, 3]. Polyamines and SCFAs produced by gut bacteria are important growth factors, which possibly influence mucosal morphology, in particular villus length and crypt depth and play a role in gut lengthening in the PRM/Alf mouse. However, experimental evidence is lacking. Aim: The objective of this work was to clarify the role of bacterially-produced polyamines on crypt depth, mucosa thickness and epithelial cell proliferation. For this purpose, C3H mice associated with a simplified human microbiota (SIHUMI) were compared with mice colonized with SIHUMI complemented by the polyamine-producing Fusobacterium varium (SIHUMI + Fv). In addition, the microbial impact on gut lengthening in PRM/Alf mice was characterized and the contribution of SCFAs and polyamines to this phenotype was examined. Results: SIHUMI + Fv mice exhibited an up to 1.7 fold higher intestinal polyamine concentration compared to SIHUMI mice, which was mainly due to increased putrescine concentrations. However, no differences were observed in crypt depth, mucosa thickness and epithelial proliferation. In PRM/Alf mice, the intestine of conventional mice was 8.5 \% longer compared to germfree mice. In contrast, intestinal lengths of C3H mice were similar, independent of the colonization status. The comparison of PRM/Alf and C3H mice, both associated with SIHUMI + Fv, demonstrated that PRM/Alf mice had a 35.9 \% longer intestine than C3H mice. However, intestinal SCFA and polyamine concentrations of PRM/Alf mice were similar or even lower, except N acetylcadaverine, which was 3.1-fold higher in PRM/Alf mice. When germfree PRM/Alf mice were associated with a complex PRM/Alf microbiota, the intestine was one quarter longer compared to PRM/Alf mice colonized with a C3H microbiota. This gut elongation correlated with levels of the polyamine N acetylspermine. Conclusion: The intestinal microbiota is able to influence intestinal length dependent on microbial composition and on the mouse genotype. Although SCFAs do not contribute to gut elongation, an influence of the polyamines N acetylcadaverine and N acetylspermine is conceivable. In addition, the study clearly demonstrated that bacterial putrescine does not influence gut morphology in C3H mice.}, language = {en} } @phdthesis{Serag2013, author = {Serag, Rabe Al Sayed Al Sayed}, title = {Motivationale und Volitionale Aspekte im Leistungssport im interkulturellen Vergleich zwischen Deutschland und {\"A}gypten : eine explorative Analyse am Beispiel Ringen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-64199}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Kultur gibt den Menschen eine Orientierung. Sie machen darin ganz spezifische Erfahrungen. Hieraus entwickeln sich auch motivationale Orientierungen. Dadurch werden andere Erfahrungen gemacht, die Sportler k{\"o}nnen andere Motivation und Volition entwickeln. Dabei sind mehr kollektivistische Kulturen eher vermeidungs-motiviert und mehr individualistische Kulturen mehr erfolgsorientiert. Beim Kollektivismus erscheint die Leistungsmotivation eher unter einem sozialen Aspekt, n{\"a}mlich die Auseinandersetzung mit einem G{\"u}temaßstab, der eher von außen vorgegeben wird und weniger einem ausschließlich eigenen Maßstab. {\"A}gypten erweist sich im Vergleich zu Deutschland als eine eher kollektivistisch gepr{\"a}gte Kultur. Daraus ergeben sich folgende Unterschiede: Einen signifikanten Unterschied zwischen deutschen und {\"a}gyptischen Ringern gibt es in der Wettkampforientierung und bei der Sieg- bzw. Gewinn-Orientierung. Die {\"a}gyptischen Ringer habe eine h{\"o}here Auspr{\"a}gung als die Deutschen. Sie weisen auch eine etwas h{\"o}here Zielorientierung auf als die Deutschen. Entgegen den Erwartungen zeigte sich, dass es keine signifikanten Unterschiede zwischen den {\"a}gyptischen und deutschen Ringern gibt in der Variable: Sieg- bzw. Gewinn-Orientierung. Die Furcht vor Misserfolg sowie auch die Hoffnung auf Erfolg liegen h{\"o}her bei den {\"A}gyptern als bei den Deutschen. Bezogen auf die Modi der Handlungskontrolle verf{\"u}gen die Deutschen Ringer {\"u}ber eine h{\"o}her Auspr{\"a}gung auf allen drei Komponenten. Sie haben eine h{\"o}here Handlungsorientierung nach Misserfolg, eine h{\"o}here Handlungsplanung sowie eine h{\"o}here Handlungst{\"a}tigkeitsausf{\"u}hrung. Diese kulturell kontrastive Studie {\"u}ber die psychologischen Aspekte, im Bereich der Leistungsmotivation und der Handlungskontrolle, kann f{\"u}r die Sportart Ringen sehr n{\"u}tzlich werden, da sie sehr wichtig ist beim Erkennen der sportlichen {\"U}berlegenheits- und Schw{\"a}chemerkmale. Sie wiederspiegelt auch die Hochstimmung in den entwickelten Staaten oder die Misere in den anderen Staaten. Aus den interkulturellen Unterschieden in der Motivation und Volition k{\"o}nnen somit verschiedene Maßnahmen zu sportpsychologischen Interventionen entwickelt werden. Es sollte unbedingt darauf wert gelegt werden, dass die kulturell bedingten Unterschiede im Trainingsalltag beachtet werden, bei Teams, die aus Personen aus unterschiedlichen Kulturkreisen stammen.}, language = {de} } @phdthesis{Schuetz2013, author = {Sch{\"u}tz, Felina}, title = {Surface heat flow and lithospheric thermal structure of the northwestern Arabian Plate}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69622}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The surface heat flow (qs) is paramount for modeling the thermal structure of the lithosphere. Changes in the qs over a distinct lithospheric unit are normally directly reflecting changes in the crustal composition and therewith the radiogenic heat budget (e.g., Rudnick et al., 1998; F{\"o}rster and F{\"o}rster, 2000; Mareschal and Jaupart, 2004; Perry et al., 2006; Hasterok and Chapman, 2011, and references therein) or, less usual, changes in the mantle heat flow (e.g., Pollack and Chapman, 1977). Knowledge of this physical property is therefore of great interest for both academic research and the energy industry. The present study focuses on the qs of central and southern Israel as part of the Sinai Microplate (SM). Having formed during Oligocene to Miocene rifting and break-up of the African and Arabian plates, the SM is characterized by a young and complex tectonic history. Resulting from the time thermal diffusion needs to pass through the lithosphere, on the order of several tens-of-millions of years (e.g., Fowler, 1990); qs-values of the area reflect conditions of pre-Oligocene times. The thermal structure of the lithosphere beneath the SM in general, and south-central Israel in particular, has remained poorly understood. To address this problem, the two parameters needed for the qs determination were investigated. Temperature measurements were made at ten pre-existing oil and water exploration wells, and the thermal conductivity of 240 drill core and outcrop samples was measured in the lab. The thermal conductivity is the sensitive parameter in this determination. Lab measurements were performed on both, dry and water-saturated samples, which is labor- and time-consuming. Another possibility is the measurement of thermal conductivity in dry state and the conversion to a saturated value by using mean model approaches. The availability of a voluminous and diverse dataset of thermal conductivity values in this study allowed (1) in connection with the temperature gradient to calculate new reliable qs values and to use them to model the thermal pattern of the crust in south-central Israel, prior to young tectonic events, and (2) in connection with comparable datasets, controlling the quality of different mean model approaches for indirect determination of bulk thermal conductivity (BTC) of rocks. The reliability of numerically derived BTC values appears to vary between different mean models, and is also strongly dependent upon sample lithology. Yet, correction algorithms may significantly reduce the mismatch between measured and calculated conductivity values based on the different mean models. Furthermore, the dataset allowed the derivation of lithotype-specific conversion equations to calculate the water-saturated BTC directly from data of dry-measured BTC and porosity (e.g., well log derived porosity) with no use of any mean model and thus provide a suitable tool for fast analysis of large datasets. The results of the study indicate that the qs in the study area is significantly higher than previously assumed. The new presented qs values range between 50 and 62 mW m⁻². A weak trend of decreasing heat flow can be identified from the east to the west (55-50 mW m⁻²), and an increase from the Dead Sea Basin to the south (55-62 mW m⁻²). The observed range can be explained by variation in the composition (heat production) of the upper crust, accompanied by more systematic spatial changes in its thickness. The new qs data then can be used, in conjunction with petrophysical data and information on the structure and composition of the lithosphere, to adjust a model of the pre-Oligocene thermal state of the crust in south-central Israel. The 2-D steady-state temperature model was calculated along an E-W traverse based on the DESIRE seismic profile (Mechie et al., 2009). The model comprises the entire lithosphere down to the lithosphere-asthenosphere boundary (LAB) involving the most recent knowledge of the lithosphere in pre-Oligocene time, i.e., prior to the onset of rifting and plume-related lithospheric thermal perturbations. The adjustment of modeled and measured qs allows conclusions about the pre-Oligocene LAB-depth. After the best fitting the most likely depth is 150 km which is consistent with estimations made in comparable regions of the Arabian Shield. It therefore comprises the first ever modelled pre-Oligocene LAB depth, and provides important clues on the thermal state of lithosphere before rifting. This, in turn, is vital for a better understanding of the (thermo)-dynamic processes associated with lithosphere extension and continental break-up.}, language = {en} } @phdthesis{Schumann2013, author = {Schumann, Sara}, title = {Influence of intestinal inflammation on bacterial protein expression in monoassociated mice}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-67757}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Background: Increased numbers of intestinal E. coli are observed in inflammatory bowel disease, but the reasons for this proliferation and it exact role in intestinal inflammation are unknown. Aim of this PhD-project was to identify E. coli proteins involved in E. coli's adaptation to the inflammatory conditions in the gut and to investigate whether these factors affect the host. Furthermore, the molecular basis for strain-specific differences between probiotic and harmful E. coli in their response to intestinal inflammation was investigated. Methods: Using mice monoassociated either with the adherent-invasive E. coli (AIEC) strain UNC or the probiotic E. coli Nissle, two different mouse models of intestinal inflammation were analysed: On the one hand, severe inflammation was induced by treating mice with 3.5\% dextran sodium sulphate (DSS). On the other hand, a very mild intestinal inflammation was generated by associating interleukin 10-deficient (IL-10-/-) mice with E. coli. Differentially expressed proteins in the E. coli strains collected from caecal contents of these mice were identified by two-dimensional fluorescence difference gel electrophoresis. Results DSS-experiment: All DSS-treated mice revealed signs of a moderate caecal and a severe colonic inflammation. However, mice monoassociated with E. coli Nissle were less affected. In both E. coli strains, acute inflammation led to a downregulation of pathways involved in carbohydrate breakdown and energy generation. Accordingly, DSS-treated mice had lower caecal concentrations of bacterial fermentation products than the control mice. Differentially expressed proteins also included the Fe-S cluster repair protein NfuA, the tryptophanase TnaA, and the uncharacterised protein YggE. NfuA was upregulated nearly 3-fold in both E. coli strains after DSS administration. Reactive oxygen species produced during intestinal inflammation damage Fe-S clusters and thereby lead to an inactivation of Fe-S proteins. In vitro data indicated that the repair of Fe-S proteins by NfuA is a central mechanism in E. coli to survive oxidative stress. Expression of YggE, which has been reported to reduce the intracellular level of reactive oxygen species, was 4- to 8-fold higher in E. coli Nissle than in E. coli UNC under control and inflammatory conditions. In vitro growth experiments confirmed these results, indicating that E. coli Nissle is better equipped to cope with oxidative stress than E. coli UNC. Additionally, E. coli Nissle isolated from DSS-treated and control mice had TnaA levels 4- to 7-fold higher than E. coli UNC. In turn, caecal indole concentrations resulting from cleavage of tryptophan by TnaA were higher in E. coli Nissle- associated control mice than in the respective mice associated with E. coli UNC. Because of its anti-inflammatory effect, indole is hypothesised to be involved in the extension of the remission phase in ulcerative colitis described for E. coli Nissle. Results IL-10-/--experiment: Only IL-10-/- mice monoassociated with E. coli UNC for 8 weeks exhibited signs of a very mild caecal inflammation. In agreement with this weak inflammation, the variations in the bacterial proteome were small. Similar to the DSS-experiment, proteins downregulated by inflammation belong mainly to the central energy metabolism. In contrast to the DSS-experiment, no upregulation of chaperone proteins and NfuA were observed, indicating that these are strategies to overcome adverse effects of strong intestinal inflammation. The inhibitor of vertebrate C-type lysozyme, Ivy, was 2- to 3-fold upregulated on mRNA and protein level in E. coli Nissle in comparison to E. coli UNC isolated from IL-10-/- mice. By overexpressing ivy, it was demonstrated in vitro that Ivy contributes to a higher lysozyme resistance observed for E. coli Nissle, supporting the role of Ivy as a potential fitness factor in this E. coli strain. Conclusions: The results of this PhD-study demonstrate that intestinal bacteria sense even minimal changes in the health status of the host. While some bacterial adaptations to the inflammatory conditions are equal in response to strong and mild intestinal inflammation, other reactions are unique to a specific disease state. In addition, probiotic and colitogenic E. coli differ in their response to the intestinal inflammation and thereby may influence the host in different ways.}, language = {en} } @phdthesis{Schlolaut2013, author = {Schlolaut, Gordon}, title = {Varve and event layer chronology of Lake Suigetsu (Japan) back to 40 kyr BP and contribution to the international consensus atmospheric radiocarbon calibration curve}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69096}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The main intention of the PhD project was to create a varve chronology for the Suigetsu Varves 2006' (SG06) composite profile from Lake Suigetsu (Japan) by thin section microscopy. The chronology was not only to provide an age-scale for the various palaeo-environmental proxies analysed within the SG06 project, but also and foremost to contribute, in combination with the SG06 14C chronology, to the international atmospheric radiocarbon calibration curve (IntCal). The SG06 14C data are based on terrestrial leaf fossils and therefore record atmospheric 14C values directly, avoiding the corrections necessary for the reservoir ages of the marine datasets, which are currently used beyond the tree-ring limit in the IntCal09 dataset (Reimer et al., 2009). The SG06 project is a follow up of the SG93 project (Kitagawa \& van der Plicht, 2000), which aimed to produce an atmospheric calibration dataset, too, but suffered from incomplete core recovery and varve count uncertainties. For the SG06 project the complete Lake Suigetsu sediment sequence was recovered continuously, leaving the task to produce an improved varve count. Varve counting was carried out using a dual method approach utilizing thin section microscopy and micro X-Ray Fluorescence (µXRF). The latter was carried out by Dr. Michael Marshall in cooperation with the PhD candidate. The varve count covers 19 m of composite core, which corresponds to the time frame from ≈10 to ≈40 kyr BP. The count result showed that seasonal layers did not form in every year. Hence, the varve counts from either method were incomplete. This rather common problem in varve counting is usually solved by manual varve interpolation. But manual interpolation often suffers from subjectivity. Furthermore, sedimentation rate estimates (which are the basis for interpolation) are generally derived from neighbouring, well varved intervals. This assumes that the sedimentation rates in neighbouring intervals are identical to those in the incompletely varved section, which is not necessarily true. To overcome these problems a novel interpolation method was devised. It is computer based and automated (i.e. avoids subjectivity and ensures reproducibility) and derives the sedimentation rate estimate directly from the incompletely varved interval by statistically analysing distances between successive seasonal layers. Therefore, the interpolation approach is also suitable for sediments which do not contain well varved intervals. Another benefit of the novel method is that it provides objective interpolation error estimates. Interpolation results from the two counting methods were combined and the resulting chronology compared to the 14C chronology from Lake Suigetsu, calibrated with the tree-ring derived section of IntCal09 (which is considered accurate). The varve and 14C chronology showed a high degree of similarity, demonstrating that the novel interpolation method produces reliable results. In order to constrain the uncertainties of the varve chronology, especially the cumulative error estimates, U-Th dated speleothem data were used by linking the low frequency 14C signal of Lake Suigetsu and the speleothems, increasing the accuracy and precision of the Suigetsu calibration dataset. The resulting chronology also represents the age-scale for the various palaeo-environmental proxies analysed in the SG06 project. One proxy analysed within the PhD project was the distribution of event layers, which are often representatives of past floods or earthquakes. A detailed microfacies analysis revealed three different types of event layers, two of which are described here for the first time for the Suigetsu sediment. The types are: matrix supported layers produced as result of subaqueous slope failures, turbidites produced as result of landslides and turbidites produced as result of flood events. The former two are likely to have been triggered by earthquakes. The vast majority of event layers was related to floods (362 out of 369), which allowed the construction of a respective chronology for the last 40 kyr. Flood frequencies were highly variable, reaching their greatest values during the global sea level low-stand of the Glacial, their lowest values during Heinrich Event 1. Typhoons affecting the region represent the most likely control on the flood frequency, especially during the Glacial. However, also local, non-climatic controls are suggested by the data. In summary, the work presented here expands and revises knowledge on the Lake Suigetsu sediment and enabls the construction of a far more precise varve chronology. The 14C calibration dataset is the first such derived from lacustrine sediments to be included into the (next) IntCal dataset. References: Kitagawa \& van der Plicht, 2000, Radiocarbon, Vol 42(3), 370-381 Reimer et al., 2009, Radiocarbon, Vol 51(4), 1111-1150}, language = {en} } @phdthesis{Schick2013, author = {Schick, Daniel}, title = {Ultrafast lattice dynamics in photoexcited nanostructures : femtosecond X-ray diffraction with optimized evaluation schemes}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68827}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Within the course of this thesis, I have investigated the complex interplay between electron and lattice dynamics in nanostructures of perovskite oxides. Femtosecond hard X-ray pulses were utilized to probe the evolution of atomic rearrangement directly, which is driven by ultrafast optical excitation of electrons. The physics of complex materials with a large number of degrees of freedom can be interpreted once the exact fingerprint of ultrafast lattice dynamics in time-resolved X-ray diffraction experiments for a simple model system is well known. The motion of atoms in a crystal can be probed directly and in real-time by femtosecond pulses of hard X-ray radiation in a pump-probe scheme. In order to provide such ultrashort X-ray pulses, I have built up a laser-driven plasma X-ray source. The setup was extended by a stable goniometer, a two-dimensional X-ray detector and a cryogen-free cryostat. The data acquisition routines of the diffractometer for these ultrafast X-ray diffraction experiments were further improved in terms of signal-to-noise ratio and angular resolution. The implementation of a high-speed reciprocal-space mapping technique allowed for a two-dimensional structural analysis with femtosecond temporal resolution. I have studied the ultrafast lattice dynamics, namely the excitation and propagation of coherent phonons, in photoexcited thin films and superlattice structures of the metallic perovskite SrRuO3. Due to the quasi-instantaneous coupling of the lattice to the optically excited electrons in this material a spatially and temporally well-defined thermal stress profile is generated in SrRuO3. This enables understanding the effect of the resulting coherent lattice dynamics in time-resolved X-ray diffraction data in great detail, e.g. the appearance of a transient Bragg peak splitting in both thin films and superlattice structures of SrRuO3. In addition, a comprehensive simulation toolbox to calculate the ultrafast lattice dynamics and the resulting X-ray diffraction response in photoexcited one-dimensional crystalline structures was developed in this thesis work. With the powerful experimental and theoretical framework at hand, I have studied the excitation and propagation of coherent phonons in more complex material systems. In particular, I have revealed strongly localized charge carriers after above-bandgap femtosecond photoexcitation of the prototypical multiferroic BiFeO3, which are the origin of a quasi-instantaneous and spatially inhomogeneous stress that drives coherent phonons in a thin film of the multiferroic. In a structurally imperfect thin film of the ferroelectric Pb(Zr0.2Ti0.8)O3, the ultrafast reciprocal-space mapping technique was applied to follow a purely strain-induced change of mosaicity on a picosecond time scale. These results point to a strong coupling of in- and out-of-plane atomic motion exclusively mediated by structural defects.}, language = {en} } @phdthesis{Scheffler2013, author = {Scheffler, Thomas}, title = {Privacy enforcement with data owner-defined policies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-67939}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {This thesis proposes a privacy protection framework for the controlled distribution and use of personal private data. The framework is based on the idea that privacy policies can be set directly by the data owner and can be automatically enforced against the data user. Data privacy continues to be a very important topic, as our dependency on electronic communication maintains its current growth, and private data is shared between multiple devices, users and locations. The growing amount and the ubiquitous availability of personal private data increases the likelihood of data misuse. Early privacy protection techniques, such as anonymous email and payment systems have focused on data avoidance and anonymous use of services. They did not take into account that data sharing cannot be avoided when people participate in electronic communication scenarios that involve social interactions. This leads to a situation where data is shared widely and uncontrollably and in most cases the data owner has no control over further distribution and use of personal private data. Previous efforts to integrate privacy awareness into data processing workflows have focused on the extension of existing access control frameworks with privacy aware functions or have analysed specific individual problems such as the expressiveness of policy languages. So far, very few implementations of integrated privacy protection mechanisms exist and can be studied to prove their effectiveness for privacy protection. Second level issues that stem from practical application of the implemented mechanisms, such as usability, life-time data management and changes in trustworthiness have received very little attention so far, mainly because they require actual implementations to be studied. Most existing privacy protection schemes silently assume that it is the privilege of the data user to define the contract under which personal private data is released. Such an approach simplifies policy management and policy enforcement for the data user, but leaves the data owner with a binary decision to submit or withhold his or her personal data based on the provided policy. We wanted to empower the data owner to express his or her privacy preferences through privacy policies that follow the so-called Owner-Retained Access Control (ORAC) model. ORAC has been proposed by McCollum, et al. as an alternate access control mechanism that leaves the authority over access decisions by the originator of the data. The data owner is given control over the release policy for his or her personal data, and he or she can set permissions or restrictions according to individually perceived trust values. Such a policy needs to be expressed in a coherent way and must allow the deterministic policy evaluation by different entities. The privacy policy also needs to be communicated from the data owner to the data user, so that it can be enforced. Data and policy are stored together as a Protected Data Object that follows the Sticky Policy paradigm as defined by Mont, et al. and others. We developed a unique policy combination approach that takes usability aspects for the creation and maintenance of policies into consideration. Our privacy policy consists of three parts: A Default Policy provides basic privacy protection if no specific rules have been entered by the data owner. An Owner Policy part allows the customisation of the default policy by the data owner. And a so-called Safety Policy guarantees that the data owner cannot specify disadvantageous policies, which, for example, exclude him or her from further access to the private data. The combined evaluation of these three policy-parts yields the necessary access decision. The automatic enforcement of privacy policies in our protection framework is supported by a reference monitor implementation. We started our work with the development of a client-side protection mechanism that allows the enforcement of data-use restrictions after private data has been released to the data user. The client-side enforcement component for data-use policies is based on a modified Java Security Framework. Privacy policies are translated into corresponding Java permissions that can be automatically enforced by the Java Security Manager. When we later extended our work to implement server-side protection mechanisms, we found several drawbacks for the privacy enforcement through the Java Security Framework. We solved this problem by extending our reference monitor design to use Aspect-Oriented Programming (AOP) and the Java Reflection API to intercept data accesses in existing applications and provide a way to enforce data owner-defined privacy policies for business applications.}, language = {en} } @phdthesis{Sauer2013, author = {Sauer, Patrick}, title = {Liberation of low molecular weight organic acids from sedimentary organic matter and their role on microbial activity}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68830}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Low molecular weight organic acids (LMWOAs) are important nutrients for microbes. However, most LMWOAs do not exist freely in the environment but are bound to macromolecular organic matter, e.g. kerogen, lignite and coal. During burial and geological maturation of sedimentary macromolecular organic matter biological and abiological processes promote the liberation of LMWOAs into the surrounding sediment. Through this process, microbes in sedimentary subsurface environments are supplied with essential nutrients. To estimate the feedstock potential of buried macromolecular organic matter to many environments it is important to determine the amount of LMWOAs that are bound to such a matrix. However, high-pressure and high temperature are a key feature of deep subsurface environments, and these physical parameters have a profound influence on chemical reaction kinetics. Therefore it is essential for the estimation of the feedstock potential to generate high-pressure and high temperature for the liberation of LMWOAs to recreate true in-situ conditions. This work presents a newly developed, inexpensive incubation system for biological and geological samples. It allows the application of high-pressure and high temperature as well as a subsampling of the liquid phase without loss of pressure, thereby not disturbing the on-going processes. When simulating the liberation of LMWOAs from sedimentary organic matter, the newly developed incubation system produces more realistic results than other extraction systems like Soxhlet. The extraction products remain in the extraction medium throughout the extraction, influencing the chemical conditions of the extraction medium. Sub-bituminous coal samples from New Zealand as well as lignite samples from Germany were extracted at elevated temperature (90˚C) and pressure (5 MPa). The main LMWOAs released from these low rank coals were formate, acetate and oxalate. Extraction efficiency was increased by two to four times for formate, acetate and oxalate in comparison to existing extraction methods without pressurisation and with demineralised water. This shows the importance of pressure for the simulation of true in-situ conditions and suggests that the amount of bioavailable LMWOAs is higher than previously thought. With the increase in carbon capture and storage (CCS) and the enhanced recovery of oil and gas (EOR/EGR), more and more CO2 becomes injected into the underground. However, the effects of elevated concentrations of carbon dioxide on sedimentary organic matter are rarely investigated. As the incuabtion system allows the manipulation of the composition and partial pressure of dissolved gasses, the effect of highly gas-enriched (CO2, CO2/SO2, CO2/NO2; to simulate flue gas conditions) waters on the extraction yield of LMWOAs from macromolecular organic matter was evaluated. For sub-bituminous coal the concentrations of all LMWAOs decreased upon the addition of gas, irrespective of its composition, whereas for lignite formate always and acetate mostly increased, while oxalate decreased. This suggests an positive effect on the nutrient supply for the subsurface microbiota of lignite layers, as formate and acetate are the most common LMWOAs used for microbial metabolism. In terrestrial mud volcanoes (TMVs), sedimentary material is rapidly ascending from great depth to the surface. Therefore LMWOAs that were produced from buried macromolecular organic matter at depth are also brought up to the surface, and fuel heterotrophic microbial ecosystems at the surface. TMVs represent geochemically and microbiologically diverse habitats, which are supplied with organic substrates and electron acceptors from deep-seated hydrocarbon-generating systems and intersected shallow aquifers, respectively. The main electron donor in TMVs in Azerbaijan is sulphate, and microbial sulphate reduction leads to the production of a wide range of reduced sulphur species that are key players in several biological processes. In our study we estimated the effect of LMWOAs on the sulphur metabolising activity of microorganims in TMVs from Azerbaijan. The addition of a mixture of volatile fatty acids containing acetate and other LMWOAs showed significant positive response to the sulphate reduction rate (SRR) of samples of several mud volcanoes. Further investigations on the temperature dependency of the SRR and the characterisation of thermophilic sulphate-reducing bacteria (SRB) showed a connection between the deep hot subsurface and the surface.}, language = {de} } @phdthesis{Santan2013, author = {Santan, Harshal Diliprao}, title = {Synthesis and characterization of thermosensitive hydrogels derived from polysaccharides}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69793}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In this work, thermosensitive hydrogels having tunable thermo-mechanical properties were synthesized. Generally the thermal transition of thermosensitive hydrogels is based on either a lower critical solution temperature (LCST) or critical micelle concentration/ temperature (CMC/ CMT). The temperature dependent transition from sol to gel with large volume change may be seen in the former type of thermosensitive hydrogels and is negligible in CMC/ CMT dependent systems. The change in volume leads to exclusion of water molecules, resulting in shrinking and stiffening of system above the transition temperature. The volume change can be undesired when cells are to be incorporated in the system. The gelation in the latter case is mainly driven by micelle formation above the transition temperature and further colloidal packing of micelles around the gelation temperature. As the gelation mainly depends on concentration of polymer, such a system could undergo fast dissolution upon addition of solvent. Here, it was envisioned to realize a thermosensitive gel based on two components, one responsible for a change in mechanical properties by formation of reversible netpoints upon heating without volume change, and second component conferring degradability on demand. As first component, an ABA triblockcopolymer (here: Poly(ethylene glycol)-b-poly(propylene glycol)-b-poly(ethylene glycol) (PEPE) with thermosensitive properties, whose sol-gel transition on the molecular level is based on micellization and colloidal jamming of the formed micelles was chosen, while for the additional macromolecular component crosslinking the formed micelles biopolymers were employed. The synthesis of the hydrogels was performed in two ways, either by physical mixing of compounds showing electrostatic interactions, or by covalent coupling of the components. Biopolymers (here: the polysaccharides hyaluronic acid, chondroitin sulphate, or pectin, as well as the protein gelatin) were employed as additional macromolecular crosslinker to simultaneously incorporate an enzyme responsiveness into the systems. In order to have strong ionic/electrostatic interactions between PEPE and polysaccharides, PEPE was aminated to yield predominantly mono- or di-substituted PEPEs. The systems based on aminated PEPE physically mixed with HA showed an enhancement in the mechanical properties such as, elastic modulus (G′) and viscous modulus (G′′) and a decrease of the gelation temperature (Tgel) compared to the PEPE at same concentration. Furthermore, by varying the amount of aminated PEPE in the composition, the Tgel of the system could be tailored to 27-36 °C. The physical mixtures of HA with di-amino PEPE (HA·di-PEPE) showed higher elastic moduli G′ and stability towards dissolution compared to the physical mixtures of HA with mono-amino PEPE (HA·mono-PEPE). This indicates a strong influence of electrostatic interaction between -COOH groups of HA and -NH2 groups of PEPE. The physical properties of HA with di-amino PEPE (HA·di-PEPE) compare beneficially with the physical properties of the human vitreous body, the systems are highly transparent, and have a comparable refractive index and viscosity. Therefore,this material was tested for a potential biological application and was shown to be non-cytotoxic in eluate and direct contact tests. The materials will in the future be investigated in further studies as vitreous body substitutes. In addition, enzymatic degradation of these hydrogels was performed using hyaluronidase to specifically degrade the HA. During the degradation of these hydrogels, increase in the Tgel was observed along with decrease in the mechanical properties. The aminated PEPE were further utilised in the covalent coupling to Pectin and chondroitin sulphate by using EDC as a coupling agent. Here, it was possible to adjust the Tgel (28-33 °C) by varying the grafting density of PEPE to the biopolymer. The grafting of PEPE to Pectin enhanced the thermal stability of the hydrogel. The Pec-g-PEPE hydrogels were degradable by enzymes with slight increase in Tgel and decrease in G′ during the degradation time. The covalent coupling of aminated PEPE to HA was performed by DMTMM as a coupling agent. This method of coupling was observed to be more efficient compared to EDC mediated coupling. Moreover, the purification of the final product was performed by ultrafiltration technique, which efficiently removed the unreacted PEPE from the final product, which was not sufficiently achieved by dialysis. Interestingly, the final products of these reaction were in a gel state and showed enhancement in the mechanical properties at very low concentrations (2.5 wt\%) near body temperature. In these hydrogels the resulting increase in mechanical properties was due to the combined effect of micelle packing (physical interactions) by PEPE and covalent netpoints between PEPE and HA. PEPE alone or the physical mixtures of the same components were not able to show thermosensitive behavior at concentrations below 16 wt\%. These thermosensitive hydrogels also showed on demand solubilisation by enzymatic degradation. The concept of thermosensitivity was introduced to 3D architectured porous hydrogels, by covalently grafting the PEPE to gelatin and crosslinking with LDI as a crosslinker. Here, the grafted PEPE resulted in a decrease in the helix formation in gelatin chains and after fixing the gelatin chains by crosslinking, the system showed an enhancement in the mechanical properties upon heating (34-42 °C) which was reversible upon cooling. A possible explanation of the reversible changes in mechanical properties is the strong physical interactions between micelles formed by PEPE being covalently linked to gelatin. Above the transition temperature, the local properties were evaluated by AFM indentation of pore walls in which an increase in elastic modulus (E) at higher temperature (37 °C) was observed. The water uptake of these thermosensitive architectured porous hydrogels was also influenced by PEPE and temperature (25 °C and 37 °C), showing lower water up take at higher temperature and vice versa. In addition, due to the lower water uptake at high temperature, the rate of hydrolytic degradation of these systems was found to be decreased when compared to pure gelatin architectured porous hydrogels. Such temperature sensitive architectured porous hydrogels could be important for e.g. stem cell culturing, cell differentiation and guided cell migration, etc. Altogether, it was possible to demonstrate that the crosslinking of micelles by a macromolecular crosslinker increased the shear moduli, viscosity, and stability towards dissolution of CMC-based gels. This effect could be likewise be realized by covalent or non-covalent mechanisms such as, micelle interactions, physical interactions of gelatin chains and physical interactions between gelatin chains and micelles. Moreover, the covalent grafting of PEPE will create additional net-points which also influence the mechanical properties of thermosensitive architectured porous hydrogels. Overall, the physical and chemical interactions and reversible physical interactions in such thermosensitive architectured porous hydrogels gave a control over the mechanical properties of such complex system. The hydrogels showing change of mechanical properties without a sol-gel transition or volume change are especially interesting for further study with cell proliferation and differentiation.}, language = {en} } @phdthesis{Salffner2013, author = {Salffner, Katharina}, title = {Entwicklung eines breitbandigen Cavity-Ring-Down-Spektrometers unter Verwendung nahinfraroter, inkoh{\"a}renter Strahlung}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68952}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In der vorliegenden Arbeit werden verschiedene Spektrometer f{\"u}r die Analyse von Gasen bzw. Gasgemischen vorgestellt und deren Design, Aufbau, Charakterisierung und Optimierung beschrieben. Das Resultat der Optimierung und Weiterentwicklungen ist ein spektral breitbandiges Cavity-Ring-Down-Spektrometer (CRD-Spektrometer). Ausgangspunkt der hier vorgestellten Arbeit ist ein Spektrometer auf Basis klassischer Absorptionsspektroskopie in einer Multireflexionszelle. F{\"u}r dieses Spektrometer wurde als Strahlquelle ein Superkontinuumlaser verwendet. Der Vorteil dieses Spektrometers liegt in seiner Kompaktheit. Mit diesem Spektrometer wurden Absorptionsspektren von mehreren Reingasen und einem Gasgemisch {\"u}ber einen Wellenl{\"a}ngenbereich von 1500 nm - 1700 nm aufgenommen. Der qualitative Vergleich mit zu erwartenden Spektren, welche auf der HITRAN-Datenbank basieren, zeigte eine gute {\"U}bereinstimmung. Die quantitative Interpretierbarkeit der Daten war jedoch stark eingeschr{\"a}nkt aufgrund des hohen zuf{\"a}lligen und systematischen Fehlers der Messungen. Als Konsequenz aus der als nicht zufriedenstellend bewerteten quantitativen Interpretierbarkeit der Daten wurde eine alternative Messmethode gesucht, welche eine h{\"o}here Sensitivit{\"a}t und Genauigkeit erm{\"o}glicht. Die Wahl fiel auf die Cavity-Ring-Down-Spektroskopie, eine resonatorgest{\"u}tzte Variante der Absorptionsspektroskopie. Wesentliche Vorteile dieser Technik sind a) die Unabh{\"a}ngigkeit von Leistungsschwankungen der Strahlquelle, b) ein effektiver Absorptionsweg von bis zu mehreren Kilometern, welcher sich unmittelbar auf die Sensitivit{\"a}t der Messungen auswirkt, c) die Ermittlung absoluter Absorberkonzentrationen, ohne die Notwendigkeit einer Kalibrierung oder den Vergleich mit einer Referenzzelle und d) die Vernachl{\"a}ssigbarkeit von Absorptionen außerhalb des Resonators. Als notwendiger Zwischenschritt auf dem Weg zu einem breitbandigen CRD-Spektrometer wurde zun{\"a}chst ein monochromatisches CRD-Spektrometer designt, aufgebaut und charakterisiert. F{\"u}r die effektive Einkopplung von Strahlungsenergie in einen Resonator ist die Anpassung der Strahlparameter an die Mode des Resonators notwendig. Voraussetzung dieser Anpassung ist die Kenntnis der Strahlparameter, welche experimentell ermittelt wurden. Im Laufe des Aufbaus des Spektrometers ergab sich, dass trotz der Modenanpassung die Einkopplung der Strahlungsenergie in den Resonator gest{\"o}rt wurde. Daraufhin wurden systematisch m{\"o}gliche Ursachen dieser St{\"o}rung untersucht und das Spektrometer optimiert. Mit diesem optimierten Spektrometer wurden Spektren gemessen, welche sowohl qualitativ als auch quantitativ gut mit den zu erwartenden Spektren {\"u}bereinstimmen. Als Nachweisgrenze dieses Spektrometers wurde ein Wert f{\"u}r den Absorptionskoeffizienten alpha von 10^-8 cm-1 bestimmt. Mit dem monochromatischen CRD-Spektrometer war es zudem m{\"o}glich, isotopenspezifische Messungen durchzuf{\"u}hren. F{\"u}r das breitbandige Spektrometer wurde als Strahlquelle eine ASE-Diode (amplified spontaneous emission) verwendet. Dabei handelt es sich um eine inkoh{\"a}rente Strahlquelle. Mittels Messungen nach dem Prinzip der Cavity-Enhanced-Absorptionsspektroskopie wurde die generelle Funktionalit{\"a}t des resonatorgest{\"u}tzten Spektrometers {\"u}berpr{\"u}ft. Anschließend wurden die wellenl{\"a}ngenabh{\"a}ngigen Abklingsignale des leeren und des mit einem CO2-Luft-Gemisch gef{\"u}llten Resonators gemessen und ebenfalls mit den zu erwartenden Spektren verglichen. Qualitativ stimmen die experimentellen Spektren gut mit den zu erwartenden Spektren {\"u}berein. F{\"u}r die quantitative Interpretation der Daten wurde ein spezieller Algorithmus entwickelt, der die spektrale Aufl{\"o}sung des Systems ber{\"u}cksichtigt. Mit dem vorgestellten Spektrometer ist so die qualitative und quantitative Interpretation der Spektren m{\"o}glich. Die Nachweisgrenze des breitbandigen Cavity-Ring-Down-Spektrometers wurde zu einem Wert von alpha = 8x10^-7 cm-1 bestimmt. Der systematischen und der zuf{\"a}llige Fehler der Messungen lagen bei Werten von ca. 1\%. Bei diesem Spektrometer handelt es sich um einen Prototyp. Mittels Optimierung des Systems lassen sich sowohl der Wert der Nachweisgrenze als auch die Fehler der Messungen verbessern.}, language = {de} } @phdthesis{Raetzel2013, author = {R{\"a}tzel, Dennis}, title = {Tensorial spacetime geometries and background-independent quantum field theory}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-65731}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Famously, Einstein read off the geometry of spacetime from Maxwell's equations. Today, we take this geometry that serious that our fundamental theory of matter, the standard model of particle physics, is based on it. However, it seems that there is a gap in our understanding if it comes to the physics outside of the solar system. Independent surveys show that we need concepts like dark matter and dark energy to make our models fit with the observations. But these concepts do not fit in the standard model of particle physics. To overcome this problem, at least, we have to be open to matter fields with kinematics and dynamics beyond the standard model. But these matter fields might then very well correspond to different spacetime geometries. This is the basis of this thesis: it studies the underlying spacetime geometries and ventures into the quantization of those matter fields independently of any background geometry. In the first part of this thesis, conditions are identified that a general tensorial geometry must fulfill to serve as a viable spacetime structure. Kinematics of massless and massive point particles on such geometries are introduced and the physical implications are investigated. Additionally, field equations for massive matter fields are constructed like for example a modified Dirac equation. In the second part, a background independent formulation of quantum field theory, the general boundary formulation, is reviewed. The general boundary formulation is then applied to the Unruh effect as a testing ground and first attempts are made to quantize massive matter fields on tensorial spacetimes.}, language = {en} } @phdthesis{RudolphMohr2013, author = {Rudolph-Mohr, Nicole}, title = {A novel non-invasive optical method for quantitative visualization of pH and oxygen dynamics in soils}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66993}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In soils and sediments there is a strong coupling between local biogeochemical processes and the distribution of water, electron acceptors, acids and nutrients. Both sides are closely related and affect each other from small scale to larger scales. Soil structures such as aggregates, roots, layers or macropores enhance the patchiness of these distributions. At the same time it is difficult to access the spatial distribution and temporal dynamics of these parameter. Noninvasive imaging techniques with high spatial and temporal resolution overcome these limitations. And new non-invasive techniques are needed to study the dynamic interaction of plant roots with the surrounding soil, but also the complex physical and chemical processes in structured soils. In this study we developed an efficient non-destructive in-situ method to determine biogeochemical parameters relevant to plant roots growing in soil. This is a quantitative fluorescence imaging method suitable for visualizing the spatial and temporal pH changes around roots. We adapted the fluorescence imaging set-up and coupled it with neutron radiography to study simultaneously root growth, oxygen depletion by respiration activity and root water uptake. The combined set up was subsequently applied to a structured soil system to map the patchy structure of oxic and anoxic zones induced by a chemical oxygen consumption reaction for spatially varying water contents. Moreover, results from a similar fluorescence imaging technique for nitrate detection were complemented by a numerical modeling study where we used imaging data, aiming to simulate biodegradation under anaerobic, nitrate reducing conditions.}, language = {en} } @phdthesis{Rothe2013, author = {Rothe, Monique}, title = {Response of intestinal Escherichia coli to dietary factors in the mouse intestine}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66387}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Diet is a major force influencing the intestinal microbiota. This is obvious from drastic changes in microbiota composition after a dietary alteration. Due to the complexity of the commensal microbiota and the high inter-individual variability, little is known about the bacterial response at the cellular level. The objective of this work was to identify mechanisms that enable gut bacteria to adapt to dietary factors. For this purpose, germ-free mice monoassociated with the commensal Escherichia coli K-12 strain MG1655 were fed three different diets over three weeks: a diet rich in starch, a diet rich in non-digestible lactose and a diet rich in casein. Two dimensional gel electrophoresis and electrospray tandem mass spectrometry were applied to identify differentially expressed proteins of E. coli recovered from small intestine and caecum of mice fed the lactose or casein diets in comparison with those of mice fed the starch diet. Selected differentially expressed bacterial proteins were characterised in vitro for their possible roles in bacterial adaptation to the various diets. Proteins belonging to the oxidative stress regulon oxyR such as alkyl hydroperoxide reductase subunit F (AhpF), DNA protection during starvation protein (Dps) and ferric uptake regulatory protein (Fur), which are required for E. coli's oxidative stress response, were upregulated in E. coli of mice fed the lactose-rich diet. Reporter gene analysis revealed that not only oxidative stress but also carbohydrate-induced osmotic stress led to the OxyR-dependent expression of ahpCF and dps. Moreover, the growth of E. coli mutants lacking the ahpCF or oxyR genes was impaired in the presence of non-digestible sucrose. This indicates that some OxyR-dependent proteins are crucial for the adaptation of E. coli to osmotic stress conditions. In addition, the function of two so far poorly characterised E. coli proteins was analysed: 2 deoxy-D gluconate 3 dehydrogenase (KduD) was upregulated in intestinal E. coli of mice fed the lactose-rich diet and this enzyme and 5 keto 4 deoxyuronate isomerase (KduI) were downregulated on the casein-rich diet. Reporter gene analysis identified galacturonate and glucuronate as inducers of the kduD and kduI gene expression. Moreover, KduI was shown to facilitate the breakdown of these hexuronates, which are normally degraded by uronate isomerase (UxaC), altronate oxidoreductase (UxaB), altronate dehydratase (UxaA), mannonate oxidoreductase (UxuB) and mannonate dehydratase (UxuA), whose expression was repressed by osmotic stress. The growth of kduID-deficient E. coli on galacturonate or glucuronate was impaired in the presence of osmotic stress, suggesting KduI and KduD to compensate for the function of the regular hexuronate degrading enzymes under such conditions. This indicates a novel function of KduI and KduD in E. coli's hexuronate metabolism. Promotion of the intracellular formation of hexuronates by lactose connects these in vitro observations with the induction of KduD on the lactose-rich diet. Taken together, this study demonstrates the crucial influence of osmotic stress on the gene expression of E. coli enzymes involved in stress response and metabolic processes. Therefore, the adaptation to diet-induced osmotic stress is a possible key factor for bacterial colonisation of the intestinal environment.}, language = {en} } @phdthesis{RoncagliaDenissen2013, author = {Roncaglia-Denissen, Maria Paula}, title = {The role of first and second language speech rhythm in syntactic ambiguity processing and musical rhythmic aptitude}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-78256}, school = {Universit{\"a}t Potsdam}, pages = {vi, 157}, year = {2013}, abstract = {Rhythm is a temporal and systematic organization of acoustic events in terms of prominence, timing and grouping, helping to structure our most basic experiences, such as body movement, music and speech. In speech, rhythm groups auditory events, e.g., sounds and pauses, together into words, making their boundaries acoustically prominent and aiding word segmentation and recognition by the hearer. After word recognition, the hearer is able to retrieve word meaning form his mental lexicon, integrating it with information from other linguistic domains, such as semantics, syntax and pragmatics, until comprehension is achieved. The importance of speech rhythm, however, is not restricted to word segmentation and recognition only. Beyond the word level rhythm continues to operate as an organization device, interacting with different linguistic domains, such as syntax and semantics, and grouping words into larger prosodic constituents, organized in a prosodic hierarchy. This dissertation investigates the function of speech rhythm as a sentence segmentation device during syntactic ambiguity processing, possible limitations on its use, i.e., in the context of second language processing, and its transferability as cognitive skill to the music domain.}, language = {en} } @phdthesis{RodriguezVillagra2013, author = {Rodr{\´i}guez-Villagra, Odir Antonio}, title = {Inhibition, attentional control, and causes of forgetting in working memory: a formal approach}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-76434}, school = {Universit{\"a}t Potsdam}, pages = {133}, year = {2013}, abstract = {In many cognitive activities, the temporary maintenance and manipulation of mental objects is a necessary step in order to reach a cognitive goal. Working memory has been regarded as the process responsible for those cognitive activities. This thesis addresses the question: what limits working-memory capacity (WMC)? A question that still remains controversial (Barrouillet \& Camos, 2009; Lewandowsky, Oberauer, \& Brown, 2009). This study attempted to answer this question by proposing that the dynamics between the causes of forgetting and the processes helping the maintenance, and the manipulation of the memoranda are the key aspects in understanding the limits of WMC. Chapter 1 introduced key constructs and the strategy to examine the dynamics between inhibition, attentional control, and the causes of forgetting in working memory. The study in Chapter 2 tested the performance of children, young adults, and old adults in a working-memory updating-task with two conditions: one condition included go steps and the other condition included go, and no-go steps. The interference model (IM; Oberauer \& Kliegl, 2006), a model proposing interference-related mechanisms as the main cause of forgetting was used to simultaneously fit the data of these age groups. In addition to the interference-related parameters reflecting interference by feature overwriting and interference by confusion, and in addition to the parameters reflecting the speed of processing, the study included a new parameter that captured the time for switching between go steps and no-go steps. The study indicated that children and young adults were less susceptible than old adults to interference by feature overwriting; children were the most susceptible to interference by confusion, followed by old adults and then by young adults; young adults presented the higher rate of processing, followed by children and then by old adults; and young adults were the fastest group switching from go steps to no-go steps. Chapter 3 examined the dynamics between causes of forgetting and the inhibition of a prepotent response in the context of three formal models of the limits of WMC: A resources model, a decay-based model, and three versions of the IM. The resources model was built on the assumption that a limited and shared source of activation for the maintenance and manipulation of the objects underlies the limits of WMC. The decay model assumes that memory traces of the working-memory objects decay over time if they are not reactivated via different mechanisms of maintenance. The IM, already described, proposes that interference-related mechanisms explain the limits of WMC. In two experiments and in a reanalysis of data of the second experiment, one version of the IM received more statistical support from the data. This version of the IM proposes that interference by feature overwriting and interference by confusion are the main factors underlying the limits of WMC. In addition, the model suggests that experimental conditions involving the inhibition of a prepotent response reduce the speed of processing and promotes the involuntary activation of irrelevant information in working memory. Chapter 4 summed up Chapter 2 and 3 and discussed their findings and presented how this thesis has provided evidence of interference-related mechanisms as the main cause of forgetting, and it has attempted to clarify the role of inhibition and attentional control in working memory. With the implementation of formal models and experimental manipulations in the framework of nonlinear mixed models the data offered explanations of causes of forgetting and the role of inhibition in WMC at different levels: developmental effects, aging effects, effects related to experimental manipulations and individual differences in these effects. Thus, the present approach afforded a comprehensive view of a large number of factors limiting WMC.}, language = {en} } @phdthesis{Robinson2013, author = {Robinson, Joshua Wayne}, title = {Novel Poly(N-substituted glycine)s : synthesis, post-modification, and physical properties}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-64789}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Various synthetic approaches were explored towards the preparation of poly(N-substituted glycine) homo/co-polymers (a.k.a. polypeptoids). In particular, monomers that would facilitate in the preparation of bio-relevant polymers via either chain- or step-growth polymerization were targeted. A 3-step synthetic approach towards N-substituted glycine N-carboxyanhydrides (NNCA) was implemented, or developed, and optimized allowing for an efficient gram scale preparation of the aforementioned monomer (chain-growth). After exploring several solvents and various conditions, a reproducible and efficient ring-opening polymerization (ROP) of NNCAs was developed in benzonitrile (PhCN). However, achieving molecular weights greater than 7 kDa required longer reaction times (>4 weeks) and sub-sequentially allowed for undesirable competing side reactions to occur (eg. zwitterion monomer mechanisms). A bulk-polymerization strategy provided molecular weights up to 11 kDa within 24 hours but suffered from low monomer conversions (ca. 25\%). Likewise, a preliminary study towards alcohol promoted ROP of NNCAs suffered from impurities and a suspected alternative activated monomer mechanism (AAMM) providing poor inclusion of the initiator and leading to multi-modal dispersed polymeric systems. The post-modification of poly(N-allyl glycine) via thiol-ene photo-addition was observed to be quantitative, with the utilization of photo-initiators, and facilitated in the first glyco-peptoid prepared under environmentally benign conditions. Furthermore, poly(N-allyl glycine) demonstrated thermo-responsive behavior and could be prepared as a semi-crystalline bio-relevant polymer from solution (ie. annealing). Initial efforts in preparing these polymers via standard poly-condensation protocols were insufficient (step-growth). However, a thermally induced side-product, diallyl diketopiperazine (DKP), afforded the opportunity to explore photo-induced thiol-ene and acyclic diene metathesis (ADMET) polymerizations. Thiol-ene polymerization readily led to low molecular weight polymers (<2.5 kDa), that were insoluble in most solvents except heated amide solvents (ie. DMF), whereas ADMET polymerization, with diallyl DKP, was unsuccessful due to a suspected 6 member complexation/deactivation state of the catalyst. This understanding prompted the preparation of elongated DKPs most notably dibutenyl DKP. SEC data supports the aforementioned understanding but requires further optimization studies in both the preparation of the DKP monomers and following ADMET polymerization. This work was supported by NMR, GC-MS, FT-IR, SEC-IR, and MALDI-Tof MS characterization. Polymer properties were measured by UV-Vis, TGA, and DSC.}, language = {en} } @phdthesis{RiveraVillarreyes2013, author = {Rivera Villarreyes, Carlos Andres}, title = {Cosmic-ray neutron sensing for soil moisture measurements in cropped fields}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69748}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {This cumulative dissertation explored the use of the detection of natural background of fast neutrons, the so-called cosmic-ray neutron sensing (CRS) approach to measure field-scale soil moisture in cropped fields. Primary cosmic rays penetrate the top atmosphere and interact with atmospheric particles. Such interaction results on a cascade of high-energy neutrons, which continue traveling through the atmospheric column. Finally, neutrons penetrate the soil surface and a second cascade is produced with the so-called secondary cosmic-ray neutrons (fast neutrons). Partly, fast neutrons are absorbed by hydrogen (soil moisture). Remaining neutrons scatter back to the atmosphere, where its flux is inversely correlated to the soil moisture content, therefore allowing a non-invasive indirect measurement of soil moisture. The CRS methodology is mainly evaluated based on a field study carried out on a farmland in Potsdam (Brandenburg, Germany) along three crop seasons with corn, sunflower and winter rye; a bare soil period; and two winter periods. Also, field monitoring was carried out in the Schaefertal catchment (Harz, Germany) for long-term testing of CRS against ancillary data. In the first experimental site, the CRS method was calibrated and validated using different approaches of soil moisture measurements. In a period with corn, soil moisture measurement at the local scale was performed at near-surface only, and in subsequent periods (sunflower and winter rye) sensors were placed in three depths (5 cm, 20 cm and 40 cm). The direct transfer of CRS calibration parameters between two vegetation periods led to a large overestimation of soil moisture by the CRS. Part of this soil moisture overestimation was attributed to an underestimation of the CRS observation depth during the corn period ( 5-10 cm), which was later recalculated to values between 20-40 cm in other crop periods (sunflower and winter rye). According to results from these monitoring periods with different crops, vegetation played an important role on the CRS measurements. Water contained also in crop biomass, above and below ground, produces important neutron moderation. This effect was accounted for by a simple model for neutron corrections due to vegetation. It followed crop development and reduced overall CRS soil moisture error for periods of sunflower and winter rye. In Potsdam farmland also inversely-estimated soil hydraulic parameters were determined at the field scale, using CRS soil moisture from the sunflower period. A modelling framework coupling HYDRUS-1D and PEST was applied. Subsequently, field-scale soil hydraulic properties were compared against local scale soil properties (modelling and measurements). Successful results were obtained here, despite large difference in support volume. Simple modelling framework emphasizes future research directions with CRS soil moisture to parameterize field scale models. In Schaefertal catchment, CRS measurements were verified using precipitation and evapotranspiration data. At the monthly resolution, CRS soil water storage was well correlated to these two weather variables. Also clearly, water balance could not be closed due to missing information from other compartments such as groundwater, catchment discharge, etc. In the catchment, the snow influence to natural neutrons was also evaluated. As also observed in Potsdam farmland, CRS signal was strongly influenced by snow fall and snow accumulation. A simple strategy to measure snow was presented for Schaefertal case. Concluding remarks of this dissertation showed that (a) the cosmic-ray neutron sensing (CRS) has a strong potential to provide feasible measurement of mean soil moisture at the field scale in cropped fields; (b) CRS soil moisture is strongly influenced by other environmental water pools such as vegetation and snow, therefore these should be considered in analysis; (c) CRS water storage can be used for soil hydrology modelling for determination of soil hydraulic parameters; and (d) CRS approach has strong potential for long term monitoring of soil moisture and for addressing studies of water balance.}, language = {en} } @phdthesis{Ritz2013, author = {Ritz, Julia}, title = {Discourse-givenness of noun phrases : theoretical and computational models}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70818}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {This thesis gives formal definitions of discourse-givenness, coreference and reference, and reports on experiments with computational models of discourse-givenness of noun phrases for English and German. Definitions are based on Bach's (1987) work on reference, Kibble and van Deemter's (2000) work on coreference, and Kamp and Reyle's Discourse Representation Theory (1993). For the experiments, the following corpora with coreference annotation were used: MUC-7, OntoNotes and ARRAU for Englisch, and TueBa-D/Z for German. As for classification algorithms, they cover J48 decision trees, the rule based learner Ripper, and linear support vector machines. New features are suggested, representing the noun phrase's specificity as well as its context, which lead to a significant improvement of classification quality.}, language = {en} } @phdthesis{Rietsch2013, author = {Rietsch, Katrin}, title = {Body composition especially external skeletal robustness in association with physical activity and recreation in pre-pubertal children : a national and international investigation}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66913}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In children the way of life, nutrition and recreation changed in recent years and as a consequence body composition shifted as well. It is established that overweight belongs to a global problem. In addition, German children exhibit a less robust skeleton than ten years ago. These developments may elevate the risk of cardiovascular diseases and skeletal modifications. Heredity and environmental factors as nutrition, socioeconomic status, physical activity and inactivity influence fat accumulation and the skeletal system. Based on these negative developments associations between type of body shape, skeletal measures and physical activity; relations between external skeletal robustness, physical activity and inactivity, BMI and body fat and also the progress of body composition especially external skeletal robustness in comparison in Russian and German children were investigated. In a cross-sectional study 691 German boys and girls aged 6 to 10 years were examined. Anthropometric measurements were taken and questionnaires about physical activity and inactivity were answered by parents. Additionally, pedometers were worn to determinate the physical activity in children. To compare the body composition in Russian and German children data from the years 2000 and 2010 were used. The study has shown that pyknomorphic individuals exhibit the highest external skeletal robustness and leptomorphic ones the lowest. Leptomorphic children may have a higher risk for bone diseases in adulthood. Pyknomorphic boys are more physically active by tendency. This is assessed as positive because pyknomorphic types display the highest BMI and body fat. Results showed that physical activity may reduce BMI and body fat. In contrast physical inactivity may lead to an increase of BMI and body fat and may rise with increasing age. Physical activity encourages additionally a robust skeleton. Furthermore external skeletal robustness is associated with BMI in order that BMI as a measure of overweight should be consider critically. The international 10-year comparison has shown an increase of BMI in Russian children and German boys. Currently, Russian children exhibit a higher external skeletal robustness than the Germans. However, in Russian boys skeleton is less robust than ten years ago. This trend should be observed in the future as well in other countries. All in all, several measures should be used to describe health situation in children and adults. Furthermore, in children it is essential to support physical activity in order to reduce the risk of obesity and to maintain a robust skeleton. In this way diseases are able to prevent in adulthood.}, language = {en} } @phdthesis{Reisswig2013, author = {Reisswig, Katja}, title = {Die „unternehmerische Mission" von Universit{\"a}ten : eine neoinstitutionalistische Betrachtung des Aufgabenbereichs Wissens- und Technologietransfer (WTT) an deutschen Hochschulen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70574}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Die Arbeit thematisiert die Ver{\"a}nderungen im deutschen Wissenschafts- und Hochschulsystem. Im Mittelpunkt steht die "unternehmerische Mission" von Universit{\"a}ten. Der Blick wird auf das Aufgabenfeld Wissens- und Technologietransfer (WTT) gerichtet. Anhand dessen werden die Ver{\"a}nderungen, die innerhalb des deutschen Universit{\"a}tssystems in den vergangenen Jahren erfolgten, nachgezeichnet. Die Erwartungshaltungen an Universit{\"a}ten haben sich ver{\"a}ndert. {\"O}konomische Sichtweisen nehmen einen immer gr{\"o}ßeren Stellenwert ein. Die Arbeit baut auf den Pr{\"a}missen der neoinstitutionalistischen Organisationstheorie auf. Anhand dieser wird gezeigt, wie Erwartungen externer Stakeholder Eingang in Hochschulen finden und sich auf ihre organisatorische Ausgestaltung auswirken. Der Arbeit liegt ein exploratives, qualitatives Untersuchungsdesign zugrunde. In einer Fallstudie werden zwei Universit{\"a}ten als Fallbeispiele untersucht. Die Untersuchung liefert Antworten auf die Fragen, wie der WTT als Aufgabenbereich an deutschen Universit{\"a}ten umgesetzt wird, welche Strukturen sich herausgebildet haben und inwieweit eine Institutionalisierung des WTTs an Universit{\"a}ten erfolgt ist. In der Arbeit werden verschiedene Erhebungsinstrumente im Rahmen einer Triangulation genutzt. Experteninterviews bilden das Hauptanalyseinstrument. Ziel der Untersuchung ist neben der Beantwortung der Forschungsfragen, Hypothesen zu bilden, die f{\"u}r weiterf{\"u}hrende Untersuchungen genutzt werden k{\"o}nnen. Dar{\"u}ber hinaus werden Handlungsempfehlungen f{\"u}r die Umsetzung des WTTs an deutschen Hochschulen gegeben. Die Arbeit richtet sich sowohl an Wissenschaftler als auch Praktiker aus dem Bereich Wissens- und Technologietransfer.}, language = {de} } @phdthesis{Reilich2013, author = {Reilich, Julia}, title = {Bildungsrenditen in Deutschland}, series = {Potsdamer Schriften zur Raumwirtschaft}, journal = {Potsdamer Schriften zur Raumwirtschaft}, number = {5}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-219-3}, issn = {2190-8702}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-62658}, school = {Universit{\"a}t Potsdam}, pages = {xxiv, 244}, year = {2013}, abstract = {Der Einfluss von Bildung gewinnt gesellschaftlich und politisch an Bedeutung. Auch im wissenschaftlichen Bereich zeigt sich dies {\"u}ber eine vielseitige Diskussion zum Einfluss von Bildung auf das Einkommen. In dieser Arbeit werden nationale und regionale Disparit{\"a}ten in der monet{\"a}ren Wertsch{\"a}tzung von allgemeinem Humankapital aufgedeckt und diskutiert. Daf{\"u}r werden verschiedene Verfahren diskutiert und basierend darauf Intervalle f{\"u}r die mittleren Bildungsrenditen bestimmt. Im ersten Abschnitt wird die Thematik theoretisch {\"u}ber zwei verschiedene Modellans{\"a}tze fundiert und kritisch diskutiert. Anschließend folgt die Darstellung des aktuellen empirischen Forschungsbestands. Der Hauptteil der Arbeit beginnt mit der Darstellung des verwendeten Datensatzes und seiner kritischen Repr{\"a}sentativit{\"a}tspr{\"u}fung. Eine n{\"a}here Variablenbeschreibung mit deskriptiver Analyse dient zur Erkl{\"a}rung der verwendeten Gr{\"o}ßen. Darauffolgend werden bestehende Verfahren zur Sch{\"a}tzung von Bildungsrenditen diskutiert. Unter ausschließlicher Ber{\"u}cksichtigung der Erwerbst{\"a}tigen zeigt das 3SLS-Verfahren die besten Eigenschaften. Bezieht man jedoch alle Erwerbspersonen in die Analyse mit ein, so erweist sich das Heckman-Verfahren als sehr geeignet. Die Analyse - zun{\"a}chst auf nationaler Ebene - best{\"a}tigt weitestgehend die bestehenden Erkenntnisse der Literatur. Eine Separierung des Datensatzes auf verschiedene Alterscluster, Voll- und Teilerwerbst{\"a}tige sowie Erwerbst{\"a}tige in der Privatwirtschaft und im {\"o}ffentlichen Dienst zeigen keine signifikanten Unterschiede in der H{\"o}he der gezahlten durchschnittlichen Bildungsrenditen. Anders verh{\"a}lt es sich bei der regionalen Analyse. Zun{\"a}chst werden Ost- und Westdeutschland separat betrachtet. F{\"u}r diese erste Analyse lassen sich {\"u}ber 95 \%-Konfidenzintervalle deutliche Unterschiede in der H{\"o}he der Bildungsrenditen ermitteln. Aufbauend auf diese Ergebnisse wird die Analyse vertieft. Eine Separierung auf Bundesl{\"a}nderebene und ein weiterer Vergleich der Konfidenzintervalle folgen. Zur besseren statistischen Vergleichbarkeit der Ergebnisse wird neben dem 3SLS-Verfahren, angewendet auf die separierten Datens{\"a}tze, auch ein Modell ohne die Notwendigkeit der Separierung gew{\"a}hlt. Hierbei ist die Variation der Regionen {\"u}ber Interaktionsterme ber{\"u}cksichtigt. Dieses Regressionsmodell wird auf das OLS- und das Heckman-Verfahren angewendet. Der Vorteil hierbei ist, dass die Koeffizienten auf Gleichheit getestet werden k{\"o}nnen. Dabei kristallisieren sich deutlich unterschiedliche Bildungsrenditen f{\"u}r Mecklenburg-Vorpommern, aber auch f{\"u}r Sachsen-Anhalt und Th{\"u}ringen im Vergleich zu den restlichen Bundesl{\"a}ndern Deutschlands heraus. Diese L{\"a}nder zeichnen sich durch eine besonders hohe j{\"a}hrliche Verzinsung von allgemeinem Humankapital aus. Es folgt eine Diskussion {\"u}ber m{\"o}gliche Ursachen f{\"u}r die regional verschiedenen Bildungsrenditen. Dabei zeigt sich, dass in den Bundesl{\"a}ndern mit hoher Rendite das mittlere Einkommensniveau und auch das durchschnittliche Preisniveau tendenziell geringer sind. Weiterhin wird deutlich, dass bei h{\"o}heren relativen Abweichungen der durchschnittlichen Einkommen h{\"o}here Renditen zu verzeichnen sind. Auch die Wanderungsbewegungen je nach Qualifikation unterscheiden sich. Unter zus{\"a}tzlicher Ber{\"u}cksichtigung der Arbeitslosenquoten zeigt sich in den L{\"a}ndern mit hoher Rendite eine tendenziell h{\"o}here Arbeitslosigkeit. Im zusammenfassenden Fazit der Arbeit werden abschließend die Erkenntnisse gew{\"u}rdigt. Dabei ist zu bemerken, dass der Beitrag einen Start in die bundesl{\"a}nderweite Analyse liefert, die eine Fortf{\"u}hrung auf beispielsweise eine mehrperiodische Betrachtung anregt.}, language = {de} } @phdthesis{Preiss2013, author = {Preiß, Andreas}, title = {Determinanten postsekund{\"a}rer Bildungsaspirationen im Kontext jugendlicher Lebensstile : eine empirische Analyse entlang eigener Erhebungsdaten}, isbn = {978-3-86956-218-6}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-62626}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Nur langsam scheinen jene Schockwellen abzuebben, die ausgel{\"o}st durch die Ergebnisse der PISA-Erhebungen seit mehr als einem Jahrzehnt die Bildungsrepublik Deutschland durchqueren und weite Teile der Gesellschaft in den Zustand regelrechter Bildungspanik versetzten. An der Schwelle zum 21. Jahrhundert belegte eine Reihe von Studien f{\"u}r das wiedervereinte Deutschland eine im OECD-Vergleich besonders ausgepr{\"a}gte Abh{\"a}ngigkeit des Bildungserfolges von der sozialen Herkunft. Als eine Konsequenz ist der Zugang zu terti{\"a}rer Bildung bis dato deutlich durch soziale Ungleichheit gekennzeichnet. Vor diesem Hintergrund leistet die vorliegende Dissertationsschrift einen wesentlichen Beitrag zur urs{\"a}chlichen Erkl{\"a}rung von Mustern sozialer Selektivit{\"a}t, die an den Gelenkstellen zwischen sekund{\"a}ren und postsekund{\"a}ren Bildungsangeboten sichtbar werden. Auf innovative Weise verbindet die Arbeit ein zeitgem{\"a}ßes handlungstheoretisches Modell mit einer komplexen Lebensstilanalyse. Die Analyse st{\"u}tzt sich auf Erhebungsdaten, die zwischen Januar und April 2010 an mehr als 30 weiterf{\"u}hrenden Schulen des Bundeslandes Brandenburg erhoben wurden. Im Mittelpunkt des Forschungsinteresses steht einerseits die Identifikation von sozial-kognitiven Determinanten, die das Niveau und die Richtung postsekund{\"a}rer Bildungsaspirationen maßgeblich vorstrukturieren sowie andererseits deren Verortung im Kontext jugendlicher Lebensstile. Das komplexe Analysedesign erweist sich als empirisch fruchtbar: So erbringt die Arbeit den empirischen Nachweis, dass die spezifischen Konfigurationen der best{\"a}tigten psychosozialen Pr{\"a}diktoren nicht nur statistisch bedeutsam zwischen jugendlichen Stilmustern variieren, sondern sich diesbez{\"u}glich erfolgreiche von weniger erfolgreichen Typen unterscheiden lassen.}, language = {de} } @phdthesis{Pingel2013, author = {Pingel, Patrick}, title = {Morphology, charge transport properties, and molecular doping of thiophene-based organic semiconducting thin films}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69805}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Organic semiconductors combine the benefits of organic materials, i.e., low-cost production, mechanical flexibility, lightweight, and robustness, with the fundamental semiconductor properties light absorption, emission, and electrical conductivity. This class of material has several advantages over conventional inorganic semiconductors that have led, for instance, to the commercialization of organic light-emitting diodes which can nowadays be found in the displays of TVs and smartphones. Moreover, organic semiconductors will possibly lead to new electronic applications which rely on the unique mechanical and electrical properties of these materials. In order to push the development and the success of organic semiconductors forward, it is essential to understand the fundamental processes in these materials. This thesis concentrates on understanding how the charge transport in thiophene-based semiconductor layers depends on the layer morphology and how the charge transport properties can be intentionally modified by doping these layers with a strong electron acceptor. By means of optical spectroscopy, the layer morphologies of poly(3-hexylthiophene), P3HT, P3HT-fullerene bulk heterojunction blends, and oligomeric polyquaterthiophene, oligo-PQT-12, are studied as a function of temperature, molecular weight, and processing conditions. The analyses rely on the decomposition of the absorption contributions from the ordered and the disordered parts of the layers. The ordered-phase spectra are analyzed using Spano's model. It is figured out that the fraction of aggregated chains and the interconnectivity of these domains is fundamental to a high charge carrier mobility. In P3HT layers, such structures can be grown with high-molecular weight, long P3HT chains. Low and medium molecular weight P3HT layers do also contain a significant amount of chain aggregates with high intragrain mobility; however, intergranular connectivity and, therefore, efficient macroscopic charge transport are absent. In P3HT-fullerene blend layers, a highly crystalline morphology that favors the hole transport and the solar cell efficiency can be induced by annealing procedures and the choice of a high-boiling point processing solvent. Based on scanning near-field and polarization optical microscopy, the morphology of oligo-PQT-12 layers is found to be highly crystalline which explains the rather high field-effect mobility in this material as compared to low molecular weight polythiophene fractions. On the other hand, crystalline dislocations and grain boundaries are identified which clearly limit the charge carrier mobility in oligo-PQT-12 layers. The charge transport properties of organic semiconductors can be widely tuned by molecular doping. Indeed, molecular doping is a key to highly efficient organic light-emitting diodes and solar cells. Despite this vital role, it is still not understood how mobile charge carriers are induced into the bulk semiconductor upon the doping process. This thesis contains a detailed study of the doping mechanism and the electrical properties of P3HT layers which have been p-doped by the strong molecular acceptor tetrafluorotetracyanoquinodimethane, F4TCNQ. The density of doping-induced mobile holes, their mobility, and the electrical conductivity are characterized in a broad range of acceptor concentrations. A long-standing debate on the nature of the charge transfer between P3HT and F4TCNQ is resolved by showing that almost every F4TCNQ acceptor undergoes a full-electron charge transfer with a P3HT site. However, only 5\% of these charge transfer pairs can dissociate and induce a mobile hole into P3HT which contributes electrical conduction. Moreover, it is shown that the left-behind F4TCNQ ions broaden the density-of-states distribution for the doping-induced mobile holes, which is due to the longrange Coulomb attraction in the low-permittivity organic semiconductors.}, language = {en} } @phdthesis{Piffl2013, author = {Piffl, Tilmann}, title = {Models of the Galaxy and the massive spectroscopic stellar survey RAVE}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70371}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Numerical simulations of galaxy formation and observational Galactic Astronomy are two fields of research that study the same objects from different perspectives. Simulations try to understand galaxies like our Milky Way from an evolutionary point of view while observers try to disentangle the current structure and the building blocks of our Galaxy. Due to great advances in computational power as well as in massive stellar surveys we are now able to compare resolved stellar populations in simulations and in observations. In this thesis we use a number of approaches to relate the results of the two fields to each other. The major observational data set we refer to for this work comes from the Radial Velocity Experiment (RAVE), a massive spectroscopic stellar survey that observed almost half a million stars in the Galaxy. In a first study we use three different models of the Galaxy to generate synthetic stellar surveys that can be directly compared to the RAVE data. To do this we evaluate the RAVE selection function to great detail. Among the Galaxy models is the widely used Besancon model that performs well when individual parameter distribution are considered, but fails when we study chemodynamic correlations. The other two models are based on distributions of mass particles instead of analytical distribution functions. This is the first time that such models are converted to the space of observables and are compared to a stellar survey. We show that these models can be competitive and in some aspects superior to analytic models, because of their self-consistent dynamic history. In the case of a full cosmological simulation of disk galaxy formation we can recover features in the synthetic survey that relate to the known issues of the model and hence proof that our technique is sensitive to the global structure of the model. We argue that the next generation of cosmological galaxy formation simulations will deliver valuable models for our Galaxy. Testing these models with our approach will provide a direct connection between stellar Galactic astronomy and physical cosmology. In the second part of the thesis we use a sample of high-velocity halo stars from the RAVE data to estimate the Galactic escape speed and the virial mass of the Milky Way. In the course of this study cosmological simulations of galaxy formation also play a crucial role. Here we use them to calibrate and extensively test our analysis technique. We find the local Galactic escape speed to be 533 (+54/-41) km/s (90\% confidence). With this result in combination with a simple mass model of the Galaxy we then construct an estimate of the virial mass of the Galaxy. For the mass profile of the dark matter halo we use two extreme models, a pure Navarro, Frenk \& White (NFW) profile and an adiabatically contracted NFW profile. When we use statistics on the concentration parameter of these profile taken from large dissipationless cosmological simulations we obtain an estimate of the virial mass that is almost independent of the choice of the halo profile. For the mass M_340 enclosed within R_340 = 180 kpc we find 1.3 (+0.4/-0.3) x 10^12 M_sun. This value is in very good agreement with a number of other mass estimates in the literature that are based on independent data sets and analysis techniques. In the last part of this thesis we investigate a new possible channel to generate a population of Hypervelocity stars (HVSs) that is observed in the stellar halo. Commonly, it is assumed that the velocities of these stars originate from an interaction with the super-massive black hole in the Galactic center. It was suggested recently that stars stripped-off a disrupted satellite galaxy could reach similar velocities and leave the Galaxy. Here we study in detail the kinematics of tidal debris stars to investigate the probability that the observed sample of HVSs could partly originate from such a galaxy collision. We use a suite of \$N\$-body simulations following the encounter of a satellite galaxy with its Milky Way-type host galaxy. We quantify the typical pattern in angular and phase space formed by the debris stars and develop a simple model that predicts the kinematics of stripped-off stars. We show that the distribution of orbital energies in the tidal debris has a typical form that can be described quite accurately by a simple function. The main parameters determining the maximum energy kick a tidal debris star can get is the initial mass of the satellite and only to a lower extent its orbit. Main contributors to an unbound stellar population created in this way are massive satellites (M_sat > 10^9 M_sun). The probability that the observed HVS population is significantly contaminated by tidal debris stars appears small in the light of our results.}, language = {en} } @phdthesis{Perscheid2013, author = {Perscheid, Michael}, title = {Test-driven fault navigation for debugging reproducible failures}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68155}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The correction of software failures tends to be very cost-intensive because their debugging is an often time-consuming development activity. During this activity, developers largely attempt to understand what causes failures: Starting with a test case that reproduces the observable failure they have to follow failure causes on the infection chain back to the root cause (defect). This idealized procedure requires deep knowledge of the system and its behavior because failures and defects can be far apart from each other. Unfortunately, common debugging tools are inadequate for systematically investigating such infection chains in detail. Thus, developers have to rely primarily on their intuition and the localization of failure causes is not time-efficient. To prevent debugging by disorganized trial and error, experienced developers apply the scientific method and its systematic hypothesis-testing. However, even when using the scientific method, the search for failure causes can still be a laborious task. First, lacking expertise about the system makes it hard to understand incorrect behavior and to create reasonable hypotheses. Second, contemporary debugging approaches provide no or only partial support for the scientific method. In this dissertation, we present test-driven fault navigation as a debugging guide for localizing reproducible failures with the scientific method. Based on the analysis of passing and failing test cases, we reveal anomalies and integrate them into a breadth-first search that leads developers to defects. This systematic search consists of four specific navigation techniques that together support the creation, evaluation, and refinement of failure cause hypotheses for the scientific method. First, structure navigation localizes suspicious system parts and restricts the initial search space. Second, team navigation recommends experienced developers for helping with failures. Third, behavior navigation allows developers to follow emphasized infection chains back to root causes. Fourth, state navigation identifies corrupted state and reveals parts of the infection chain automatically. We implement test-driven fault navigation in our Path Tools framework for the Squeak/Smalltalk development environment and limit its computation cost with the help of our incremental dynamic analysis. This lightweight dynamic analysis ensures an immediate debugging experience with our tools by splitting the run-time overhead over multiple test runs depending on developers' needs. Hence, our test-driven fault navigation in combination with our incremental dynamic analysis answers important questions in a short time: where to start debugging, who understands failure causes best, what happened before failures, and which state properties are infected.}, language = {en} } @phdthesis{Pauly2013, author = {Pauly, Dennis}, title = {Grenzf{\"a}lle der Subordination : Merkmale, Empirie und Theorie abh{\"a}ngiger Nebens{\"a}tze}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70275}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Gegenstand dieser Arbeit sind sog. nicht-kanonische bzw. unintegrierte Nebens{\"a}tze. Diese Nebens{\"a}tze zeichnen sich dadurch aus, dass sie sich mittels g{\"a}ngiger Kriterien (Satzgliedstatus, Verbletztstellung) nicht klar als koordiniert oder subordiniert beschreiben lassen. Das Ph{\"a}nomen nicht-kanonischer Nebens{\"a}tze ist ein Thema, welches in der Sprachwissenschaft generell seit den sp{\"a}ten Siebzigern (Davison 1979) diskutiert wird und sp{\"a}testens mit Fabricius-Hansen (1992) auch innerhalb der germanistischen Linguistik angekommen ist. Ein viel beachteter Komplex ist hierbei - neben der reinen Identifizierung nicht-kanonischer Satzgef{\"u}ge - meist auch die Erstellung einer Klassifikation zur Erfassung zumindest einiger nicht-kanonischer Gef{\"u}ge, wie dies etwa bei Fabricius-Hansen (1992) und Reis (1997) zu sehen ist. Das Ziel dieser Studie ist es, eine exhaustive Klassifikation der angesprochenen Nebensatztypen vorzunehmen. Dazu werden zun{\"a}chst - unter Zuhilfenahme von Korpusdaten - alle potentiellen Subordinationsmerkmale genauer untersucht, da die meisten bisherigen Studien zu diesem Thema die stets gleichen Merkmale als gegeben voraussetzen. Dabei wird sich herausstellen, dass nur eine kleine Anzahl von Merkmalen sich wirklich zweifelsfrei dazu eignet, Aufschluss {\"u}ber die Satzverkn{\"u}pfungsqualit{\"a}t zu geben. Die anschließend aufgestellte Taxonomie deutscher Nebens{\"a}tze wird schließlich einzig mit der Postulierung einer nicht-kanonischen Nebensatzklasse auskommen. Sie ist dar{\"u}ber hinaus auch in der Lage, die zahlreich vorkommenden Ausnahmef{\"a}lle zu erfassen. Dies heißt konkret, dass auch etwaige Nebens{\"a}tze, die sich aufgrund bestimmter Eigenschaften teilweise idiosynkratisch verhalten, einfach in die vorgeschlagene Klassifikation {\"u}bernommen werden k{\"o}nnen. In diesem Zuge werde ich weiterhin zeigen, wie eine Nebensatzklassifikation auch sog. sekund{\"a}ren Subordinationsmerkmalen gerecht werden kann, obwohl diese sich hinsichtlich der einzelnen Nebensatzklassen nicht einheitlich verhalten. Schließlich werde ich eine theoretische Modellierung der zuvor postulierten Taxonomie vornehmen, die auf Basis der HPSG mittels Merkmalsvererbung alle m{\"o}glichen Nebensatztypen zu erfassen imstande ist.}, language = {de} } @phdthesis{Patz2013, author = {Patz, Ronny}, title = {Information flows in the context of EU policy-making : affiliation networks and the post-2012 reform of the EU's Common Fisheries Policy}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70732}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Information flows in EU policy-making are heavily dependent on personal networks, both within the Brussels sphere but also reaching outside the narrow limits of the Belgian capital. These networks develop for example in the course of formal and informal meetings or at the sidelines of such meetings. A plethora of committees at European, transnational and regional level provides the basis for the establishment of pan-European networks. By studying affiliation to those committees, basic network structures can be uncovered. These affiliation network structures can then be used to predict EU information flows, assuming that certain positions within the network are advantageous for tapping into streams of information while others are too remote and peripheral to provide access to information early enough. This study has tested those assumptions for the case of the reform of the Common Fisheries Policy for the time after 2012. Through the analysis of an affiliation network based on participation in 10 different fisheries policy committees over two years (2009 and 2010), network data for an EU-wide network of about 1300 fisheries interest group representatives and more than 200 events was collected. The structure of this network showed a number of interesting patterns, such as - not surprisingly - a rather central role of Brussels-based committees but also close relations of very specific interests to the Brussels-cluster and stronger relations between geographically closer maritime regions. The analysis of information flows then focused on access to draft EU Commission documents containing the upcoming proposal for a new basic regulation of the Common Fisheries Policy. It was first documented that it would have been impossible to officially obtain this document and that personal networks were thus the most likely sources for fisheries policy actors to obtain access to these "leaks" in early 2011. A survey of a sample of 65 actors from the initial network supported these findings: Only a very small group had accessed the draft directly from the Commission. Most respondents who obtained access to the draft had received it from other actors, highlighting the networked flow of informal information in EU politics. Furthermore, the testing of the hypotheses connecting network positions and the level of informedness indicated that presence in or connections to the Brussels sphere had both advantages for overall access to the draft document and with regard to timing. Methodologically, challenges of both the network analysis and the analysis of information flows but also their relevance for the study of EU politics have been documented. In summary, this study has laid the foundation for a different way to study EU policy-making by connecting topical and methodological elements - such as affiliation network analysis and EU committee governance - which so far have not been considered together, thereby contributing in various ways to political science and EU studies.}, language = {en} } @phdthesis{Patterson2013, author = {Patterson, Clare}, title = {The role of structural and discourse-level cues during pronoun resolution}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71280}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Pronoun resolution normally takes place without conscious effort or awareness, yet the processes behind it are far from straightforward. A large number of cues and constraints have previously been recognised as playing a role in the identification and integration of potential antecedents, yet there is considerable debate over how these operate within the resolution process. The aim of this thesis is to investigate how the parser handles multiple antecedents in order to understand more about how certain information sources play a role during pronoun resolution. I consider how both structural information and information provided by the prior discourse is used during online processing. This is investigated through several eye tracking during reading experiments that are complemented by a number of offline questionnaire experiments. I begin by considering how condition B of the Binding Theory (Chomsky 1981; 1986) has been captured in pronoun processing models; some researchers have claimed that processing is faithful to syntactic constraints from the beginning of the search (e.g. Nicol and Swinney 1989), while others have claimed that potential antecedents which are ruled out on structural grounds nonetheless affect processing, because the parser must also pay attention to a potential antecedent's features (e.g. Badecker and Straub 2002). My experimental findings demonstrate that the parser is sensitive to the subtle changes in syntactic configuration which either allow or disallow pronoun reference to a local antecedent, and indicate that the parser is normally faithful to condition B at all stages of processing. Secondly, I test the Primitives of Binding hypothesis proposed by Koornneef (2008) based on work by Reuland (2001), which is a modular approach to pronoun resolution in which variable binding (a semantic relationship between pronoun and antecedent) takes place before coreference. I demonstrate that a variable-binding (VB) antecedent is not systematically considered earlier than a coreference (CR) antecedent online. I then go on to explore whether these findings could be attributed to the linear order of the antecedents, and uncover a robust recency preference both online and offline. I consider what role the factor of recency plays in pronoun resolution and how it can be reconciled with the first-mention advantage (Gernsbacher and Hargreaves 1988; Arnold 2001; Arnold et al., 2007). Finally, I investigate how aspects of the prior discourse affect pronoun resolution. Prior discourse status clearly had an effect on pronoun resolution, but an antecedent's appearance in the previous context was not always facilitative; I propose that this is due to the number of topic switches that a reader must make, leading to a lack of discourse coherence which has a detrimental effect on pronoun resolution. The sensitivity of the parser to structural cues does not entail that cue types can be easily separated into distinct sequential stages, and I therefore propose that the parser is structurally sensitive but not modular. Aspects of pronoun resolution can be captured within a parallel constraints model of pronoun resolution, however, such a model should be sensitive to the activation of potential antecedents based on discourse factors, and structural cues should be strongly weighted.}, language = {en} } @phdthesis{Patra2013, author = {Patra, Pintu}, title = {Population dynamics of bacterial persistence}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69253}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The life of microorganisms is characterized by two main tasks, rapid growth under conditions permitting growth and survival under stressful conditions. The environments, in which microorganisms dwell, vary in space and time. The microorganisms innovate diverse strategies to readily adapt to the regularly fluctuating environments. Phenotypic heterogeneity is one such strategy, where an isogenic population splits into subpopulations that respond differently under identical environments. Bacterial persistence is a prime example of such phenotypic heterogeneity, whereby a population survives under an antibiotic attack, by keeping a fraction of population in a drug tolerant state, the persister state. Specifically, persister cells grow more slowly than normal cells under growth conditions, but survive longer under stress conditions such as the antibiotic administrations. Bacterial persistence is identified experimentally by examining the population survival upon an antibiotic treatment and the population resuscitation in a growth medium. The underlying population dynamics is explained with a two state model for reversible phenotype switching in a cell within the population. We study this existing model with a new theoretical approach and present analytical expressions for the time scale observed in population growth and resuscitation, that can be easily used to extract underlying model parameters of bacterial persistence. In addition, we recapitulate previously known results on the evolution of such structured population under periodically fluctuating environment using our simple approximation method. Using our analysis, we determine model parameters for Staphylococcus aureus population under several antibiotics and interpret the outcome of cross-drug treatment. Next, we consider the expansion of a population exhibiting phenotype switching in a spatially structured environment consisting of two growth permitting patches separated by an antibiotic patch. The dynamic interplay of growth, death and migration of cells in different patches leads to distinct regimes in population propagation speed as a function of migration rate. We map out the region in parameter space of phenotype switching and migration rate to observe the condition under which persistence is beneficial. Furthermore, we present an extended model that allows mutation from the two phenotypic states to a resistant state. We find that the presence of persister cells may enhance the probability of resistant mutation in a population. Using this model, we explain the experimental results showing the emergence of antibiotic resistance in a Staphylococcus aureus population upon tobramycin treatment. In summary, we identify several roles of bacterial persistence, such as help in spatial expansion, development of multidrug tolerance and emergence of antibiotic resistance. Our study provides a theoretical perspective on the dynamics of bacterial persistence in different environmental conditions. These results can be utilized to design further experiments, and to develop novel strategies to eradicate persistent infections.}, language = {en} } @phdthesis{Ohl2013, author = {Ohl, Sven}, title = {Small eye movements during fixation : the case of postsaccadic fixation and preparatory influences}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69862}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Describing human eye movement behavior as an alternating sequence of saccades and fixations turns out to be an oversimplification because the eyes continue to move during fixation. Small-amplitude saccades (e.g., microsaccades) are typically observed 1-2 times per second during fixation. Research on microsaccades came in two waves. Early studies on microsaccades were dominated by the question whether microsaccades affect visual perception, and by studies on the role of microsaccades in the process of fixation control. The lack of evidence for a unique role of microsaccades led to a very critical view on the importance of microsaccades. Over the last years, microsaccades moved into focus again, revealing many interactions with perception, oculomotor control and cognition, as well as intriguing new insights into the neurophysiological implementation of microsaccades. In contrast to early studies on microsaccades, recent findings on microsaccades were accompanied by the development of models of microsaccade generation. While the exact generating mechanisms vary between the models, they still share the assumption that microsaccades are generated in a topographically organized saccade motor map that includes a representation for small-amplitude saccades in the center of the map (with its neurophysiological implementation in the rostral pole of the superior colliculus). In the present thesis I criticize that models of microsaccade generation are exclusively based on results obtained during prolonged presaccadic fixation. I argue that microsaccades should also be studied in a more natural situation, namely the fixation following large saccadic eye movements. Studying postsaccadic fixation offers a new window to falsify models that aim to account for the generation of small eye movements. I demonstrate that error signals (visual and extra-retinal), as well as non-error signals like target eccentricity influence the characteristics of small-amplitude eye movements. These findings require a modification of a model introduced by Rolfs, Kliegl and Engbert (2008) in order to account for the generation of small-amplitude saccades during postsaccadic fixation. Moreover, I present a promising type of survival analysis that allowed me to examine time-dependent influences on postsaccadic eye movements. In addition, I examined the interplay of postsaccadic eye movements and postsaccadic location judgments, highlighting the need to include postsaccadic eye movements as covariate in the analyses of location judgments in the presented paradigm. In a second goal, I tested model predictions concerning preparatory influences on microsaccade generation during presaccadic fixation. The observation, that the preparatory set significantly influenced microsaccade rate, supports the critical model assumption that increased fixation-related activity results in a larger number of microsaccades. In the present thesis I present important influences on the generation of small-amplitude saccades during fixation. These eye movements constitute a rich oculomotor behavior which still poses many research questions. Certainly, small-amplitude saccades represent an interesting source of information and will continue to influence future studies on perception and cognition.}, language = {en} } @phdthesis{Oehme2013, author = {Oehme, Astrid}, title = {{\"A}sthetisches Verst{\"a}ndnis und {\"a}sthetische Wertsch{\"a}tzung von Automobildesign : eine Frage der Expertise}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-210-0}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-62013}, school = {Universit{\"a}t Potsdam}, pages = {xxx, 357}, year = {2013}, abstract = {Automobildesigner haben als Gestaltungsexperten die Aufgabe, die Identit{\"a}t und damit die Werte einer Marke in Formen zu {\"u}bersetzen, welche eine Vielzahl von Kunden ansprechen (Giannini \& Monti, 2003; Karjalainen, 2002). F{\"u}r diesen {\"U}bersetzungsprozess ist es zielf{\"u}hrend, {\"a}sthetische Kundenbed{\"u}rfnisse zu kennen, denn die Qualit{\"a}t einer Designl{\"o}sung h{\"a}ngt auch davon ab, inwieweit der Designer Kundenbe-d{\"u}rfnisse und damit das Designproblem richtig erfasst hat (Ulrich, 2006). Eine Grundlage hierf{\"u}r entsteht durch eine erfolgreiche Designer-Nutzer-Interaktion und den Aufbau eines gemeinsamen Kontextwissens (Lee, Popovich, Blackler \& Lee, 2009). Zwischen Designern und Kunden findet jedoch h{\"a}ufig kein direkter Austausch statt (Zeisel, 2006). Zudem belegen Befunde der Kunst- und Produkt{\"a}sthetikforschung, dass der Erwerb von gestalterischem Wissen und damit die Entwicklung {\"a}sthetischer Expertise mit Ver{\"a}nderungen der kognitiven Verarbeitung {\"a}sthetischer Objekte einhergeht, die sich in Wahrnehmung, Bewertung und Verhalten manifestieren. Damit ist auch zu erwarten, dass die Pr{\"a}ferenzurteile von Designern und Kunden bei der {\"a}sthetischen Bewertung von Design nicht immer konvergieren. Ziel der vorliegenden Arbeit war daher die systematische Untersuchung dieser expertisebedingten Wahrnehmungs- und Bewertungsunterschiede zwischen designge-schulten und ungeschulten Personen bei der Betrachtung von Automobildesign. Damit sollten Perzeption, Verarbeitung und Bewertung von Automobildesign durch design-ungeschulte Personen transparenter gemacht und mit der Verarbeitung designgeschul-ter Personen verglichen werden, um einen Beitrag zur gemeinsamen Wissensbasis und damit einer erfolgreichen Designer-Nutzer-Interaktion zu leisten. Die theoretische Einbettung der Arbeit basierte auf dem Modell {\"a}sthetischer Erfahrung und {\"a}stheti-schen Urteilens von Leder, Belke, Oeberst und Augustin (2004), welches konkrete Annahmen zu Verarbeitungsunterschieden von {\"a}sthetischen Objekten zwischen Experten und Laien bietet, die bisher allerdings noch nicht umfassend gepr{\"u}ft wurden. Den ersten Schwerpunkt dieser Arbeit bildete die Untersuchung von Unter-schieden zwischen Designern und designungeschulten Rezipienten bei der Beschrei-bung und Bewertung auf dem Markt vorhandenen Fahrzeugdesigns. Dabei sollte auch gepr{\"u}ft werden, ob eine lexikalische Verbindung zwischen Beschreibungsattributen von Fahrzeugrezipienten und den postulierten Markenwerten von Automobilmarken hergestellt werden kann. Diesem ersten Untersuchungsanliegen wurde in zwei Studien nachgegangen: Studie I diente der Erhebung von Beschreibungsattributen mittels Triadenvergleich in Anlehnung an Kelly (1955). Es wurde gepr{\"u}ft, ob designgeschulte Teilnehmer produkti-ver verbalisieren, dabei anteilig mehr symbolbezogene als formbezogene Attribute generieren und innerhalb ihrer Gruppe h{\"a}ufiger gleiche Attribute nutzen als designun-geschulte Teilnehmer. Hierf{\"u}r beschrieben 20 designgeschulte Probanden und 20 designungeschulte Probanden mit selbst gew{\"a}hlten Adjektiven die Unterschiede zwischen vier pr{\"a}sentierten Fahrzeugen. Die Gruppen nutzten dabei entgegen der Annahmen sehr {\"a}hnliche Attribute und unterschieden sich somit auch nicht in ihrer Verwendung symbolbezogener und formbezogener Attribute. Die generierten Attribute wurden mittels Prototypenansatz (Amelang \& Zielinski, 2002) den ermittelten und nachfolgend kategorisierten Markenwerten von 10 Automobilherstellern zugeordnet, so dass sechs Skalen zur Erfassung der {\"a}sthetischen Wirkung von Fahrzeugen entstanden. In Studie II wurde ein diese sechs Skalen umfassender Fragebogen an einer Stichprobe von 83 Designern und Designstudierenden sowie 98 Probanden ohne Designausbildung in einer Onlinebefragung hinsichtlich Skalenkonsistenz gepr{\"u}ft. Außerdem wurden erste Annahmen aus dem Modell von Leder et al. (2004) abgeleitet und durch einen Vergleich der beiden Teilnehmergruppen hinsichtlich der Bewertung der vier pr{\"a}sentierten Fahrzeugmodelle f{\"u}r die Skalen mit guter interner Konsistenz (Attraktivit{\"a}t, Dynamik, Fortschritt, Qualit{\"a}t), sowie eines {\"a}sthetischen Gesamturteils, der ben{\"o}tigten Bewertungszeit und der Automobilaffinit{\"a}t {\"u}berpr{\"u}ft. Hierbei vergaben Designstudierende und insbesondere ausgebildete Designer radikalere Bewertungen als Designlaien, ben{\"o}tigten mehr Zeit bei der Bewertung und waren automobilaffiner als die ungeschulten Befragungsteilnehmer. Den zweiten Schwerpunkt der Arbeit bildete eine konzeptionelle Zusammen-f{\"u}hrung der Annahmen des Modells von Leder et al. (2004) und der Postulate zur Wirkung von Objekteigenschaften auf {\"a}sthetische Urteile (Berlyne, 1971; Martindale, 1988; Silvia, 2005b). Konkret sollte gepr{\"u}ft werden, welchen Einfluss marktrelevante Objekteigenschaften, wie z.B. das Ausmaß an Innovativit{\"a}t, auf die durch Expertise moderierte Bewertung von Design haben. In den Studien III und IV wurden hierf{\"u}r systematisch bez{\"u}glich Innovativit{\"a}t und Balance gestufte Linienmodelle von Fahrzeu-gen pr{\"a}sentiert. In Studie III wurden die Modelle in einer Onlinebefragung durch 18 Designstudierende und 20 Studenten der Fahrzeugtechnik hinsichtlich Attraktivit{\"a}t, Innovativit{\"a}t und Balance bewertet. Im Einklang mit den Annahmen konnte gezeigt werden, dass sehr neuartiges Design von den designungeschulten Probanden als weniger attraktiv bewertet wird als von Betrachtern eines Designstudienganges. In Studie IV wurden neben den {\"A}sthetikbewertungen zus{\"a}tzlich das Blickverhal-ten und der affektiver Zustand der Versuchsteilnehmer in einem Messwiederholungs-design mit einer zwischengelagerten Phase elaborierter Designbewertung, in welcher der in Studie II gepr{\"u}fte Fragebogen eingesetzt wurde, erhoben. An der Laborstudie nahmen je 11 Designer, Ingenieure, und Geisteswissenschaftler teil. Wiederum wurde innovatives Design von den designungeschulten Gruppen als weniger attraktiv bewertet. Dieser Unterschied reduzierte sich jedoch nach wiederholter Bewertung der Modelle. Die Manifestation expertisebedingten Blickverhaltens konnte nicht beobach-tet werden, wie auch die durch eine angenommene bessere Bew{\"a}ltigung einherge-hende positivere Stimmung oder h{\"o}here Zufriedenheit in der Expertengruppe. Gemeinsam mit den Befunden aus den Studien II und III wurde deutlich, dass Designausbildung und, noch ausgepr{\"a}gter, Designexpertise neben einer h{\"o}heren Attraktivit{\"a}tsbewertung innovativen Designs auch zu einer differenzierteren Beurtei-lung von Innovativit{\"a}t f{\"u}hrt. Dies wurde mit der Erweiterung des mentalen Schemas f{\"u}r Fahrzeuge durch die Besch{\"a}ftigung mit vielf{\"a}ltigen Modellvarianten bereits w{\"a}hrend des Studiums interpretiert. Es wurden Hinweise auf eine stilbezogene, elaboriertere Verarbeitung von Fahrzeugdesign durch designgeschulte Betrachter beobachtet sowie eine mit Expertise einhergehende Autonomit{\"a}t {\"a}sthetischer Urteile als Ausdruck einer hohen {\"a}sthetischen Entwicklungsstufe (Parsons, 1987). Mit diesen bei unterschiedlichen Stichproben beobachteten, stabilen expertisebedingten Bewer-tungsunterschieden wurde eine begr{\"u}ndete Basis f{\"u}r die geforderte Sensibilisierung f{\"u}r {\"a}sthetische Kundenbed{\"u}rfnisse im Gestaltungsprozess geschaffen. Der in dieser Arbeit entwickelte Fragebogen kann hierbei f{\"u}r eine elaborierte Messung von Fahrzeugdesignpr{\"a}ferenzen, zum Vergleich der {\"a}sthetischen Wirkung mit den intendierten Markenwerten sowie f{\"u}r die Diskussion von Nutzereindr{\"u}cken eingesetzt werden. Die Ergebnisse der vorliegenden Arbeiten tragen somit zur Erweiterung und Pr{\"a}zisierung des theoretischen Verst{\"a}ndnisses von {\"A}sthetikbewertungen bei und lassen sich gleichzeitig in die Praxis der Designausbildung und des Designprozesses {\"u}bertragen.}, language = {de} } @phdthesis{Nitschke2013, author = {Nitschke, Felix}, title = {Phosphorylation of polyglycans, especially glycogen and starch}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-67396}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Functional metabolism of storage carbohydrates is vital to plants and animals. The water-soluble glycogen in animal cells and the amylopectin which is the major component of water-insoluble starch granules residing in plant plastids are chemically similar as they consist of α-1,6 branched α-1,4 glucan chains. Synthesis and degradation of transitory starch and of glycogen are accomplished by a set of enzymatic activities that to some extend are also similar in plants and animals. Chain elongation, branching, and debranching are achieved by synthases, branching enzymes, and debranching enzymes, respectively. Similarly, both types of polyglucans contain low amounts of phosphate esters whose abundance varies depending on species and organs. Starch is selectively phosphorylated by at least two dikinases (GWD and PWD) at the glucosyl carbons C6 and C3 and dephosphorylated by the phosphatase SEX4 and SEX4-like enzymes. In Arabidopsis insufficiency in starch phosphorylation or dephosphorylation results in largely impaired starch turnover, starch accumulation, and often in retardation of growth. In humans the progressive neurodegenerative epilepsy, Lafora disease, is the result of a defective enzyme (laforin) that is functional equivalent to the starch phosphatase SEX4 and capable of glycogen dephosphorylation. Patients lacking laforin progressively accumulate unphysiologically structured insoluble glycogen-derived particles (Lafora bodies) in many tissues including brain. Previous results concerning the carbon position of glycogen phosphate are contradictory. Currently it is believed that glycogen is esterified exclusively at the carbon positions C2 and C3 and that the monophosphate esters, being incorporated via a side reaction of glycogen synthase (GS), lack any specific function but are rather an enzymatic error that needs to be corrected. In this study a versatile and highly sensitive enzymatic cycling assay was established that enables quantification of very small G6P amounts in the presence of high concentrations of non-target compounds as present in hydrolysates of polysaccharides, such as starch, glycogen, or cytosolic heteroglycans in plants. Following validation of the G6P determination by analyzing previously characterized starches G6P was quantified in hydrolysates of various glycogen samples and in plant heteroglycans. Interestingly, glucosyl C6 phosphate is present in all glycogen preparations examined, the abundance varying between glycogens of different sources. Additionally, it was shown that carbon C6 is severely hyperphosphorylated in glycogen of Lafora disease mouse model and that laforin is capable of removing C6 phosphate from glycogen. After enrichment of phosphoglucans from amylolytically degraded glycogen, several techniques of two-dimensional NMR were applied that independently proved the existence of 6-phosphoglucosyl residues in glycogen and confirmed the recently described phosphorylation sites C2 and C3. C6 phosphate is neither Lafora disease- nor species-, or organ-specific as it was demonstrated in liver glycogen from laforin-deficient mice and in that of wild type rabbit skeletal muscle. The distribution of 6-phosphoglucosyl residues was analyzed in glycogen molecules and has been found to be uneven. Gradual degradation experiments revealed that C6 phosphate is more abundant in central parts of the glycogen molecules and in molecules possessing longer glucan chains. Glycogen of Lafora disease mice consistently contains a higher proportion of longer chains while most short chains were reduced as compared to wild type. Together with results recently published (Nitschke et al., 2013) the findings of this work completely unhinge the hypothesis of GS-mediated phosphate incorporation as the respective reaction mechanism excludes phosphorylation of this glucosyl carbon, and as it is difficult to explain an uneven distribution of C6 phosphate by a stochastic event. Indeed the results rather point to a specific function of 6-phosphoglucosyl residues in the metabolism of polysaccharides as they are present in starch, glycogen, and, as described in this study, in heteroglycans of Arabidopsis. In the latter the function of phosphate remains unclear but this study provides evidence that in starch and glycogen it is related to branching. Moreover a role of C6 phosphate in the early stages of glycogen synthesis is suggested. By rejecting the current view on glycogen phosphate to be a stochastic biochemical error the results permit a wider view on putative roles of glycogen phosphate and on alternative biochemical ways of glycogen phosphorylation which for many reasons are likely to be mediated by distinct phosphorylating enzymes as it is realized in starch metabolism of plants. Better understanding of the enzymology underlying glycogen phosphorylation implies new possibilities of Lafora disease treatment.}, language = {en} } @phdthesis{Nikolaeva2013, author = {Nikolaeva, Elena}, title = {Landslide kinematics and interactions studied in central Georgia by using synthetic aperture radar interferometry, optical imagery and inverse modeling}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70406}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Landslides are one of the biggest natural hazards in Georgia, a mountainous country in the Caucasus. So far, no systematic monitoring and analysis of the dynamics of landslides in Georgia has been made. Especially as landslides are triggered by extrinsic processes, the analysis of landslides together with precipitation and earthquakes is challenging. In this thesis I describe the advantages and limits of remote sensing to detect and better understand the nature of landslide in Georgia. The thesis is written in a cumulative form, composing a general introduction, three manuscripts and a summary and outlook chapter. In the present work, I measure the surface displacement due to active landslides with different interferometric synthetic aperture radar (InSAR) methods. The slow landslides (several cm per year) are well detectable with two-pass interferometry. In same time, the extremely slow landslides (several mm per year) could be detected only with time series InSAR techniques. I exemplify the success of InSAR techniques by showing hitherto unknown landslides, located in the central part of Georgia. Both, the landslide extent and displacement rate is quantified. Further, to determine a possible depth and position of potential sliding planes, inverse models were developed. Inverse modeling searches for parameters of source which can create observed displacement distribution. I also empirically estimate the volume of the investigated landslide using displacement distributions as derived from InSAR combined with morphology from an aerial photography. I adapted a volume formula for our case, and also combined available seismicity and precipitation data to analyze potential triggering factors. A governing question was: What causes landslide acceleration as observed in the InSAR data? The investigated area (central Georgia) is seismically highly active. As an additional product of the InSAR data analysis, a deformation area associated with the 7th September Mw=6.0 earthquake was found. Evidences of surface ruptures directly associated with the earthquake could not be found in the field, however, during and after the earthquake new landslides were observed. The thesis highlights that deformation from InSAR may help to map area prone landslides triggering by earthquake, potentially providing a technique that is of relevance for country wide landslide monitoring, especially as new satellite sensors will emerge in the coming years.}, language = {en} } @phdthesis{Neymeyer2013, author = {Neymeyer, Hanna}, title = {Annexin A1 im chronischen Nierenversagen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69670}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Die Expansion des renalen Tubulointerstitiums aufgrund einer Akkumulation zellul{\"a}rer Bestandteile und extrazellul{\"a}rer Matrix ist eine charakteristische Eigenschaft der chronischen Nierenerkrankung (CKD) und f{\"u}hrt zu einer Progression der Erkrankung in Richtung eines terminalen Nierenversagens. Die Fibroblasten Proliferation und ihre Transformation hin zum sekretorischen Myofibroblasten-Ph{\"a}notyp stellen hierbei Schl{\"u}sselereignisse dar. Signalprozesse, die zur Induktion der Myofibroblasten f{\"u}hren, werden aktiv beforscht um anti-fibrotische Therapieans{\"a}tze zu identifizieren. Das anti-inflammatorische Protein Annexin A1 und sein Rezeptor Formyl-Peptid Rezeptor 2 (FPR2) wurden in verschiedenen Organsystemen mit der Regulation von Fibroblastenaktivit{\"a}t in Verbindung gebracht, jedoch wurden ihre Expression und Funktion bei renalen fibrotischen Erkrankungen bisher nicht untersucht. Ziel der aktuellen Studie war daher die Untersuchung der renalen Annexin A1- und FPR2-Expression in einem Tiermodell des chronischen Nierenversagens, sowie die Charakterisierung der funktionellen Rolle von Annexin A1 in der Regulation des Fibroblasten Ph{\"a}notyps und ihrer Syntheseleistung. Dazu wurden neugeborene Sprague-Dawley Ratten in den ersten zwei Wochen ihres Lebens entweder mit Vehikel oder mit einem Angiotensin II Typ I Rezeptor Antagonisten behandelt und ohne weitere Intervention bis zu einem Alter von 11 Monaten (CKD Ratten) gehalten. Die Regulation und Lokalisation von Annexin A1 und FPR2 wurden mit Hilfe von Real-Time PCR und Immunhistochemie erfasst. Annexin A1- und FPR2-exprimierende Zellen wurden weiter durch Doppelimmunfluoreszenzf{\"a}rbungen charakterisiert. Gef{\"a}rbt wurde mit Antik{\"o}rpern gegen endotheliale Zellen (rat endothelial cell antigen), Makrophagen (CD 68), Fibroblasten (CD73) und Myofibroblasten (alpha-smooth muscle actin (α-sma)). Zellkulturstudien wurden an immortalisierten renalen kortikalen Fibroblasten aus Wildtyp- und Annexin A1-defizienten M{\"a}usen, sowie an etablierten humanen und murinen renalen Fibrolasten durchgef{\"u}hrt. Eine {\"U}berexpression von Annexin A1 wurde durch eine stabile Transfektion erreicht. Die Expression von Annexin A1, α-sma und Kollagen 1α1 wurde durch Real-Time PCR, Western Blot und Immuhistochemie erfasst. Die Sekretion des Annexin A1 Proteins wurde nach TCA-F{\"a}llung des Zellkultur{\"u}berstandes im Western Blot untersucht. Wie zu erwarten zeigten die CKD Ratten eine geringere Anzahl an Nephronen mit deutlicher glomerul{\"a}ren Hypertrophie. Der tubulointerstitielle Raum war durch fibrill{\"a}res Kollagen, aktivierte Fibroblasten und inflammatorische Zellen expandiert. Parallel dazu war die mRNA Expression von Annexin A1 und Transforming growth factor beta (TGF-β) signifikant erh{\"o}ht. Die Annexin A1-Lokalisation mittels Doppelimmunfluorsezenz identifizierte eine große Anzahl von CD73-positiven kortikalen Fibroblasten und eine Subpopulation von Makrophagen als Annexin A1-positiv. Die Annexin A1-Menge in Myofibroblasten und renalen Endothelien war gering. FPR2 konnte in der Mehrzahl der renalen Fibroblasten, in Myofibroblasten, in einer Subpopulation von Makrophagen und in renalen Epithelzellen nachgewiesen werden. Eine Behandlung der murinen Fibroblasten mit dem pro-fibrotischen Zytokin TGF-β f{\"u}hrte zu einem parallelen Anstieg der α-sma-, Kollagen 1α1- und Annexin A1-Biosynthese und zu einer gesteigerten Sekretion von Annexin A1. Eine {\"U}berexpression von Annexin A1 in murinen Fibroblasten reduzierte das Ausmaß der TGF-β induzierten α-sma- und Kollagen 1α1-Biosynthese. Fibroblasten aus Annexin A1-defizienten M{\"a}usen zeigten einen starken Myofibroblasten-Ph{\"a}notyp mit einer gesteigerten Expression an α-sma und Kollagen 1α1. Der Einsatz eines Peptidantagonisten des FPR2 (WRW4) resultierte in einer Stimulation der α-sma-Biosynthese, was die Vermutung nahe legte, dass Annexin A1 FPR2-vermittelt anti-fibrotische Effekte hat. Zusammenfassend zeigen diese Ergebnisse, dass renale kortikale Fibroblasten eine Hauptquelle des Annexin A1 im renalen Interstitium und einen Ansatzpunkt f{\"u}r Annexin A1-Signalwege in der Niere darstellen. Das Annexin A1/FPR2-System k{\"o}nnte daher eine wichtige Rolle in der Kontrolle des Fibroblasten Ph{\"a}notyp und der Fibroblasten Aktivit{\"a}t spielen und daher einen neuen Ansatz f{\"u}r die anti-fibrotischen pharmakologischen Strategien in der Behandlung des CKD darstellen.}, language = {de} } @phdthesis{Nass2013, author = {Naß, Andrea}, title = {Konzeption und Implementierung eines GIS-basierten Kartierungssystems f{\"u}r die geowissenschaftliche Planetenforschung}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-65298}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Die Kartierung planetarer K{\"o}rper stellt ein wesentliches Mittel der raumfahrtgest{\"u}tzten Exploration der Himmelsk{\"o}rper dar. Aktuell kommen zur Erstellung der planetaren Karten Geo-Informationssysteme (GIS) zum Einsatz. Ziel dieser Arbeit ist es, eine GIS-orientierte Prozesskette (Planetary Mapping System (PMS)) zu konzipieren, mit dem Schwerpunkt geologische und geomorphologische Karten planetarer Oberfl{\"a}chen einheitlich durchf{\"u}hren zu k{\"o}nnen und nachhaltig zug{\"a}nglich zu machen.}, language = {de} } @phdthesis{Mueller2013, author = {M{\"u}ller, Mike-Freya}, title = {Die Glutathionperoxidase 2 : physiologische Funktion und Rolle in der Azoxymethan-induzierten Colonkanzerogenese}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66955}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Das Selenoprotein Glutathionperoxidase 2 (GPx2) ist ein epithelzellspezifisches, Hydroperoxide-reduzierendes Enzym, welches im Darmepithel, vor allem in den proliferierenden Zellen des Kryptengrundes, exprimiert wird. Die Aufrechterhaltung der GPx2-Expression im Kryptengrund auch bei subad{\"a}quatem Selenstatus k{\"o}nnte darauf hinweisen, dass sie hier besonders wichtige Funktionen wahrnimmt. Tats{\"a}chlich weisen GPx2 knockout (KO)-M{\"a}use eine erh{\"o}hte Apoptoserate im Kryptengrund auf. Ein Ziel dieser Arbeit war es deshalb, die physiologische Funktion der GPx2 n{\"a}her zu untersuchen. In Kryptengrundepithelzellen aus dem Colon selenarmer GPx2 KO-M{\"a}use wurde eine erh{\"o}hte Caspase 3/7-Aktivit{\"a}t im Vergleich zum Wildtyp (WT) festgestellt. Zudem wiesen diese Zellen eine erh{\"o}hte Suszeptibilit{\"a}t f{\"u}r oxidativen Stress auf. Die GPx2 gew{\"a}hrleistet also den Schutz der proliferierenden Zellen des Kryptengrundes auch bei subad{\"a}quater Selenversorgung. Des Weiteren wurde im Colon selenarmer (-Se) und -ad{\"a}quater (+Se) GPx2 KO-M{\"a}use im Vergleich zum WT eine erh{\"o}hte Tumornekrosefaktor α-Expression und eine erh{\"o}hte Infiltration von Makrophagen festgestellt. Durch F{\"u}tterung einer selensupplementierten Di{\"a}t (++Se) konnte dies verhindert werden. In GPx2 KO-M{\"a}usen liegt demnach bereits basal eine niedriggradige Entz{\"u}ndung vor. Dies unterstreicht, dass GPx2 vor allem eine wichtige antiinflammatorische Funktion im Darmepithel besitzt. Dem Mikron{\"a}hrstoff Selen werden protektive Funktionen in der Colonkanzerogenese zugeschrieben. In einem Mausmodell der Colitis-assoziierten Colonkanzerogenese wirkte GPx2 antiinflammatorisch und hemmte so die Tumorentstehung. Auf der anderen Seite wurden jedoch auch prokanzerogene Eigenschaften der GPx2 aufgedeckt. Deshalb sollte in dieser Arbeit untersucht werden, welchen Effekt ein GPx2 knockout in einem Modell der sporadischen, durch Azoxymethan (AOM) induzierten, Colonkanzerogenese hat. Im WT kam es in pr{\"a}neoplastischen L{\"a}sionen h{\"a}ufig zu einer erh{\"o}hten GPx2-Expression im Vergleich zur normalen Darmmucosa. Eine derartige Steigerung der GPx2-Expression wurde auch in der humanen Colonkanzerogenese beschrieben. Das Fehlen der GPx2 resultierte in einer verminderten Entstehung von Tumoren (-Se und ++Se) und pr{\"a}neoplastischen L{\"a}sionen (-Se und +Se). Somit f{\"o}rderte GPx2 die Tumorentstehung im AOM-Modell. Acht Stunden nach AOM-Gabe war im GPx2 KO-Colon im Vergleich zum WT eine erh{\"o}hte Apoptoserate in der Kryptenmitte (-Se, +Se), nicht jedoch im Kryptengrund oder in der ++Se-Gruppe zu beobachten. M{\"o}glicherweise wirkte GPx2 prokanzerogen, indem sie die effiziente Elimination gesch{\"a}digter Zellen in der Tumorinitiationsphase verhinderte. Eine {\"a}hnliche Wirkung w{\"a}re auch durch die erh{\"o}hte GPx2-Expression in der Promotionsphase denkbar. So k{\"o}nnte GPx2 proliferierende pr{\"a}neoplastische Zellen vor oxidativem Stress, Apoptosen, oder auch der Antitumorimmunit{\"a}t sch{\"u}tzen. Dies k{\"o}nnte durch ein Zusammenwirken mit anderen Selenoproteinen wie GPx1 und Thioredoxinreduktasen, f{\"u}r die ebenfalls auch prokanzerogene Funktionen beschrieben wurden, verst{\"a}rkt werden. Eine wichtige Rolle k{\"o}nnte hier die Modulation des Redoxstatus in Tumorzellen spielen. Die Variation des Selengehalts der Di{\"a}t hatte im WT einen eher U-f{\"o}rmigen Effekt. So traten in der -Se und ++Se-Gruppe tendenziell mehr und gr{\"o}ßere Tumore auf, als in der +Se Gruppe. Zusammenfassend sch{\"u}tzt GPx2 also die proliferierenden Zellen des Kryptengrundes. Sie k{\"o}nnte jedoch auch proliferierende transformierte Zellen sch{\"u}tzen und so die sporadische, AOM-induzierte Colonkanzerogenese f{\"o}rdern. In einem Modell der Colitis-assoziierten Colonkanzerogenese hatte GPx2 auf Grund ihrer antiinflammatorischen Wirkung einen gegenteiligen Effekt und hemmte die Tumorentstehung. Die Rolle der GPx2 in der Colonkanzerogenese ist also abh{\"a}ngig vom zugrunde liegenden Mechanismus und wird maßgeblich von der Beteiligung einer Entz{\"u}ndung bestimmt.}, language = {de} } @phdthesis{MostafaKamelAbdelfatah2013, author = {Mostafa Kamel Abdelfatah, Ali}, title = {Interactions of food proteins with plant phenolics - modulation of structural, techno- and bio-functional properties of proteins}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69033}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The phenolic compounds as food components represent the largest group of secondary metabolites in plant foods. The phenolic compounds, e.g. chlorogenic acid (CQA), are susceptible to oxidation by enzymes specially, polyphenol oxidase (PPO) and at alkaline conditions. Both enzymatic and non-enzymatic oxidations occur in the presence of oxygen and produce quinone, which normally further react with other quinone to produce colored compounds (dimers), as well as is capable of undergoing a nucleophilic addition to proteins. The interactions of proteins with the phenolic compounds have received considerable attention in the recent years where, plant phenolic compounds have drawn increasing attention due to their antioxidant properties and their noticeable effects in the prevention of various oxidative stress associated diseases. Green coffee beans are one of the richest sources of chlorogenic acids. Therefore, a green coffee extract would provide an eligible food relevant source for phenolic compounds for modification of proteins. The interaction between 5-CQA and amino acid lysine showed decrease in both free CQA and amino acid groups and only a slight effect on the antioxidative capacity depending on the reaction time was found. Furthermore, this interaction showed a large number of intermediary substances of low intensities. The reaction of lysine with 5-CQA in a model system initially leads to formation of 3-CQA and 4-CQA (both are isomers of 5-CQA), oxidation giving rise to the formation of a dimer which subsequently forms an adduct with lysine to finally result in a benzacridine derivative as reported and confirmed with the aid of HPLC coupled with ESI-MSn. The benzacridine derivative containing a trihydroxy structural element, was found to be yellow, being very reactive with oxygen yielding semiquinone and quinone type of products with characteristic green colors. Finally, the optimal conditions for this interaction as assessed by both the loss of CQA and free amino groups of lysine can be given at pH 7 and 25°C, the interaction increasing with incubation time and depending also on the amount of tyrosinase present. Green coffee bean has a higher diversity and content of phenolics, where besides the CQA isomers and their esters, other conjugates like feruloylquinic acids were also identified, thus documenting differences in phenolic profiles for the two coffee types (Coffea arabica and Coffea robusta). Coffee proteins are modified by interactions with phenolic compounds during the extraction, where those from C. arabica are more susceptible to these interactions compared to C. robusta, and the polyphenol oxidase activity seems to be a crucial factor for the formation of these addition products. Moreover, In-gel digestion combined with MALDI-TOF-MS revealed that the most reactive and susceptible protein fractions to covalent reactions are the α-chains of the 11S storage protein. Thus, based on these results and those supplied by other research groups, a tentative list of possible adduct structures was derived. The diversity of the different CQA derivatives present in green coffee beans complicates the series of reactions occurring, providing a broad palette of reaction products. These interactions influence the properties of protein, where they exposed changes in the solubility and hydrophobicity of proteins compared to faba bean proteins (as control). Modification of milk whey protein products (primarily b-lactoglobulin) with coffee specific phenolics and commercial CQA under enzymatic and alkaline conditions seems to be affecting their chemical, structural and functional properties, where both modifications led to reduced free amino-,thiol groups and tryptophan content. We propose that the disulfide-thiol exchange in the C-terminus of b-lactoglobulin may be initiated by the redox conditions provided in the presence of CQA. The protein structure b-lactoglobulin thereupon becomes more disordered as simulated by molecular dynamic calculation. This unfolding process may additionally be supported by the reaction of the CQA at the proposed sites of modification of -amino groups of lysine (K77, K91, K138, K47) and the thiol group of cysteine (C121). These covalent modifications also decreased the solubility and hydrophobicity of b-lactoglobulin, moreover they provide modified protein samples with a high antioxidative power, thermally more stable as reflected by a higher Td, require less amount of energy to unfold and when emulsified with lutein esters, exhibit their higher stability against UV light. The MALDI-TOF and SDS-PAGE results revealed that proteins treated at alkaline conditions were more strongly modified than those treated under enzymatic conditions. Finally, the results showed a slight change in emulsifying properties of modified proteins.}, language = {en} } @phdthesis{Morad2013, author = {Morad, Iris}, title = {Freiheit und Verantwortung : {\"U}berlegungen im Anschluss an Peter Bieri}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69215}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In der Diskussion {\"u}ber Freiheit und Verantwortung vertritt die Hirnforschung die These, dass wir determiniert sind und unser Gehirn es ist, das denkt und entscheidet. Aus diesem Grunde k{\"o}nne uns f{\"u}r unsere Entscheidungen und Handlungen auch keine Verantwortung zugewiesen werden. Die Philosophie versucht in dieser Diskussion zu kl{\"a}ren, ob wir trotz Determiniertheit f{\"u}r unsere Entscheidungen und Urteile verantwortlich sind oder ob Vereinbarkeit von Freiheit und Determinismus grunds{\"a}tzlich nicht m{\"o}glich ist. Diese Fragen stellt diese Untersuchung {\"u}ber Freiheit und Verantwortung nicht. In dieser Untersuchung wird ein gewisses Maß an Freiheit vorausgesetzt, weil diese Annahme der erste Schritt f{\"u}r unsere Freiheit ist. In dieser Arbeit geht es um die Verbindung von Freiheit und Verantwortung und was diese Verbindung in unserem Menschsein und Miteinander bedeutet. Ziel ist es, zu zeigen, dass wir uns zus{\"a}tzliche Freiheit aneignen k{\"o}nnen, dass Bildung f{\"u}r unsere Freiheit n{\"o}tig und dass Freiheit ohne Verantwortung nicht m{\"o}glich ist. Die Untersuchung schließt sich Peter Bieris Thesen an, dass Aneignung von Freiheit und Bildung, die weder als Schul- noch als Ausbildung zu verstehen ist, m{\"o}glich und n{\"o}tig sind, um verantwortlich entscheiden und handeln zu k{\"o}nnen, lehnt jedoch Peter Bieris These ab, dass bedingte Freiheit Voraussetzung f{\"u}r unsere Freiheit ist. Zudem geht diese Arbeit {\"u}ber Peter Bieri hinaus, indem sie eine L{\"o}sungsm{\"o}glichkeit f{\"u}r unsere Freiheit und der damit verbundenen Verantwortlichkeit anbietet. Als L{\"o}sung wird eine Bildung vorgeschlagen, die uns die Verbundenheit mit den anderen und die Abh{\"a}ngigkeit von den anderen zeigt und die die Rechte und Bed{\"u}rfnisse der anderen ebenso anerkennen l{\"a}sst wie unsere eigenen. Es ist eine Bildung, die nicht nur Wissen, sondern auch bestimmte rationale und emotionale Kompetenzen beinhaltet. Es ist eine Bildung, die als lern- und lehrbar angesehen wird. Um diese Bildung als eine Notwendigkeit f{\"u}r unsere Freiheit und Verantwortlichkeit uns und den anderen gegen{\"u}ber vermitteln zu k{\"o}nnen, ist es wichtig, uns in unserem Wesen verstehen. Deshalb werden in dieser Arbeit Faktoren dargestellt, die auf uns wirken und die uns als Menschen ausmachen. Es sind Faktoren, die auf unsere Freiheit und Verantwortung Einfluss nehmen, indem sie unsere Entscheidungen, unser Urteilsverm{\"o}gen und in diesem Sinne auch unsere Handlungen erm{\"o}glichen oder einschr{\"a}nken. Durch die Darstellung dieser Faktoren werden wir auf unsere M{\"o}glichkeiten hingewiesen, die uns unser Leben in Selbstverantwortung und in Verantwortlichkeit den anderen gegen{\"u}ber gestalten lassen. In dieser Untersuchung wird gezeigt, dass Freiheit ohne Verantwortung nicht m{\"o}glich ist und es wird gezeigt, dass wir, wenn wir unsere Verantwortung abgeben, unsere Freiheit verlieren.}, language = {de} } @phdthesis{Mondal2013, author = {Mondal, Suvendu Sekhar}, title = {Design of isostructural metal-imidazolate frameworks : application for gas storage}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69692}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The sharply rising level of atmospheric carbon dioxide resulting from anthropogenic emissions is one of the greatest environmental concerns facing our civilization today. Metal-organic frameworks (MOFs) are a new class of materials that constructed by metal-containing nodes bonded to organic bridging ligands. MOFs could serve as an ideal platform for the development of next generation CO2 capture materials owing to their large capacity for the adsorption of gases and their structural and chemical tunability. The ability to rationally select the framework components is expected to allow the affinity of the internal pore surface toward CO2 to be precisely controlled, facilitating materials properties that are optimized for the specific type of CO2 capture to be performed (post-combustion capture, precombustion capture, or oxy-fuel combustion) and potentially even for the specific power plant in which the capture system is to be installed. For this reason, significant effort has been made in recent years in improving the gas separation performance of MOFs and some studies evaluating the prospects of deploying these materials in real-world CO2 capture systems have begun to emerge. We have developed six new MOFs, denoted as IFPs (IFP-5, -6, -7, -8, -9, -10, IFP = Imidazolate Framework Potsdam) and two hydrogen-bonded molecular building block (MBB, named as 1 and 2 for Zn and Co based, respectively) have been synthesized, characterized and applied for gas storage. The structure of IFP possesses 1D hexagonal channels. Metal centre and the substituent groups of C2 position of the linker protrude into the open channels and determine their accessible diameter. Interestingly, the channel diameters (range : 0.3 to 5.2 {\AA}) for IFP structures are tuned by the metal centre (Zn, Co and Cd) and substituent of C2 position of the imidazolate linker. Moreover hydrogen bonded MBB of 1 and 2 is formed an in situ functionalization of a ligand under solvothermal condition. Two different types of channels are observed for 1 and 2. Materials contain solvent accessible void space. Solvent could be easily removed by under high vacuum. The porous framework has maintained the crystalline integrity even without solvent molecules. N2, H2, CO2 and CH4 gas sorption isotherms were performed. Gas uptake capacities are comparable with other frameworks. Gas uptake capacity is reduced when the channel diameter is narrow. For example, the channel diameter of IFP-5 (channel diameter: 3.8 {\AA}) is slightly lower than that of IFP-1 (channel diameter: 4.2 {\AA}); hence, the gas uptake capacity and Brunauer-Emmett-Teller (BET) surface area are slightly lower than IFP-1. The selectivity does not depend only on the size of the gas components (kinetic diameter: CO2 3.3 {\AA}, N2 3.6 {\AA} and CH4 3.8 ) but also on the polarizability of the surface and of the gas components. IFP-5 and-6 have the potential applications for the separation of CO2 and CH4 from N2-containing gas mixtures and CO2 and CH4 containing gas mixtures. Gas sorption isotherms of IFP-7, -8, -9, -10 exhibited hysteretic behavior due to flexible alkoxy (e.g., methoxy and ethoxy) substituents. Such phenomenon is a kind of gate effects which is rarely observed in microporous MOFs. IFP-7 (Zn-centred) has a flexible methoxy substituent. This is the first example where a flexible methoxy substituent shows the gate opening behavior in a MOF. Presence of methoxy functional group at the hexagonal channels, IFP-7 acted as molecular gate for N2 gas. Due to polar methoxy group and channel walls, wide hysteretic isotherm was observed during gas uptake. The N2 The estimated BET surface area for 1 is 471 m2 g-1 and the Langmuir surface area is 570 m2 g-1. However, such surface area is slightly higher than azolate-based hydrogen-bonded supramolecular assemblies and also comparable and higher than some hydrogen-bonded porous organic molecules.}, language = {en} } @phdthesis{Mohr2013, author = {Mohr, Christian Heinrich}, title = {Hydrological and erosion responses to man-made and natural disturbances : insights from forested catchments in South-central Chile}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70146}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Logging and large earthquakes are disturbances that may significantly affect hydrological and erosional processes and process rates, although in decisively different ways. Despite numerous studies that have documented the impacts of both deforestation and earthquakes on water and sediment fluxes, a number of details regarding the timing and type of de- and reforestation; seismic impacts on subsurface water fluxes; or the overall geomorphic work involved have remained unresolved. The main objective of this thesis is to address these shortcomings and to better understand and compare the hydrological and erosional process responses to such natural and man-made disturbances. To this end, south-central Chile provides an excellent natural laboratory owing to its high seismicity and the ongoing conversion of land into highly productive plantation forests. In this dissertation I combine paired catchment experiments, data analysis techniques, and physics-based modelling to investigate: 1) the effect of plantation forests on water resources, 2) the source and sink behavior of timber harvest areas in terms of overland flow generation and sediment fluxes, 3) geomorphic work and its efficiency as a function of seasonal logging, 4) possible hydrologic responses of the saturated zone to the 2010 Maule earthquake and 5) responses of the vadose zone to this earthquake. Re 1) In order to quantify the hydrologic impact of plantation forests, it is fundamental to first establish their water balances. I show that tree species is not significant in this regard, i.e. Pinus radiata and Eucalyptus globulus do not trigger any decisive different hydrologic response. Instead, water consumption is more sensitive to soil-water supply for the local hydro-climatic conditions. Re 2) Contradictory opinions exist about whether timber harvest areas (THA) generate or capture overland flow and sediment. Although THAs contribute significantly to hydrology and sediment transport because of their spatial extent, little is known about the hydrological and erosional processes occurring on them. I show that THAs may act as both sources and sinks for overland flow, which in turn intensifies surface erosion. Above a rainfall intensity of ~20 mm/h, which corresponds to <10\% of all rainfall, THAs may generate runoff whereas below that threshold they remain sinks. The overall contribution of Hortonian runoff is thus secondary considering the local rainfall regime. The bulk of both runoff and sediment is generated by Dunne, saturation excess, overland flow. I also show that logging may increase infiltrability on THAs which may cause an initial decrease in streamflow followed by an increase after the groundwater storage has been refilled. Re 3) I present changes in frequency-magnitude distributions following seasonal logging by applying Quantile Regression Forests at hitherto unprecedented detail. It is clearly the season that controls the hydro-geomorphic work efficiency of clear cutting. Logging, particularly dry seasonal logging, caused a shift of work efficiency towards less flashy and mere but more frequent moderate rainfall-runoff events. The sediment transport is dominated by Dunne overland flow which is consistent with physics-based modelling using WASA-SED. Re 4) It is well accepted that earthquakes may affect hydrological processes in the saturated zone. Assuming such flow conditions, consolidation of saturated saprolitic material is one possible response. Consolidation raises the hydraulic gradients which may explain the observed increase in discharge following earthquakes. By doing so, squeezed water saturates the soil which in turn increases the water accessible for plant transpiration. Post-seismic enhanced transpiration is reflected in the intensification of diurnal cycling. Re 5) Assuming unsaturated conditions, I present the first evidence that the vadose zone may also respond to seismic waves by releasing pore water which in turn feeds groundwater reservoirs. By doing so, water tables along the valley bottoms are elevated thus providing additional water resources to the riparian vegetation. By inverse modelling, the transient increase in transpiration is found to be 30-60\%. Based on the data available, both hypotheses, are not testable. Finally, when comparing the hydrological and erosional effects of the Maule earthquake with the impact of planting exotic plantation forests, the overall observed earthquake effects are comparably small, and limited to short time scales.}, language = {en} } @phdthesis{Meyer2013, author = {Meyer, Sven}, title = {Wie ist liberale Eugenik m{\"o}glich?}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77166}, school = {Universit{\"a}t Potsdam}, pages = {273}, year = {2013}, abstract = {Folgt tats{\"a}chlich aus einem liberalen Wertekanon eine generative Selbstbestimmung, eine weitgehende elterliche Handlungsfreiheit bei eugenischen Maßnahmen, wie es Vertreter einer „liberalen Eugenik" versichern? Diese Arbeit diskutiert die Rolle Staates und die Handlungsspielr{\"a}ume der Eltern bei der genetischen Gestaltung von Nachkommen im Rahmen eines liberalen Wertverst{\"a}ndnisses. Den Schwerpunkt/Fokus der Betrachtungen liegt hier Maßnahmen des genetic enhancement. Dar{\"u}ber hinaus wird auch das Verh{\"a}ltnis der „liberalen Eugenik" zur „autorit{\"a}ren Eugenik" neu beleuchtet. Die Untersuchung beginnt bei der Analyse zentraler liberaler Werte und Normen, wie Freiheit, Autonomie und Gerechtigkeit und deren Funktionen in der „liberalen Eugenik". Wobei nur sehr eingeschr{\"a}nkt von der „liberalen Eugenik" gesprochen werden kann, sondern viel mehr von Varianten einer „liberalen Eugenik". Dar{\"u}ber hinaus wird in dieser Arbeit die historische Entwicklung der „liberalen" und der „autorit{\"a}ren Eugenik", speziell des Sozialdarwinismus, untersucht und verglichen, insbesondere im Hinblick auf liberale Werte und Normen und der generativen Selbstbestimmung. Den Kern der Arbeit bildet der Vergleich der „liberalen Eugenik" mit der „liberalen Erziehung". Da hier die grundlegenden Aufgaben der Eltern, aber auch des Staates, analysiert und deren Verh{\"a}ltnis diskutiert wird. Es zeigt sich, dass sich aus einem liberalen Wertverst{\"a}ndnisses heraus keine umfangreiche generative Selbstbestimmung ableiten l{\"a}sst, sondern sich viel mehr staatlich kontrollierte enge Grenzen bei eugenischen Maßnahmen zum Wohle der zuk{\"u}nftigen Person, begr{\"u}nden. Zudem wurde der Weg zur autorit{\"a}ren Eugenik nicht durch die Abkehr von der generativen Selbstbestimmung geebnet, sondern viel mehr durch die {\"U}bertragung des Fortschrittsgedankens auf den Menschen selbst. Damit verliert die generative Selbstbestimmung auch ihre Funktion als Brandmauer gegen eine autorit{\"a}re Eugenik. Nicht der Verlust der generativen Selbstbestimmung, sondern viel mehr die Idee der Perfektionierung des Menschen muss kritisch betrachtet und letztlich abgelehnt werden. Ohne generative Selbstbestimmung und einer Perfektionierung des Menschen, bleibt nur eine Basis-Eugenik, bei der die Entwicklungsf{\"a}higkeit des Menschen sichergestellt wird, nicht jedoch seine Verbesserung. Dar{\"u}ber hinaus muss auch {\"u}ber eine Entwicklungsm{\"o}glichkeit des zuk{\"u}nftigen Menschen gesprochen werden, d. h. ein minimales Potential zu gesellschaftlicher Integration muss gegeben sein. Nur wenn tats{\"a}chlich keine M{\"o}glichkeiten seitens der Gesellschaft bestehen eine Person zu integrieren und dieser eine Entwicklungsm{\"o}glichkeit zu bieten, w{\"a}ren eugenische Maßnahmen als letztes Mittel akzeptabel.}, language = {de} } @phdthesis{May2013, author = {May, Felix}, title = {Spatial models of plant diversity and plant functional traits : towards a better understanding of plant community dynamics in fragmented landscapes}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68444}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The fragmentation of natural habitat caused by anthropogenic land use changes is one of the main drivers of the current rapid loss of biodiversity. In face of this threat, ecological research needs to provide predictions of communities' responses to fragmentation as a prerequisite for the effective mitigation of further biodiversity loss. However, predictions of communities' responses to fragmentation require a thorough understanding of ecological processes, such as species dispersal and persistence. Therefore, this thesis seeks an improved understanding of community dynamics in fragmented landscapes. In order to approach this overall aim, I identified key questions on the response of plant diversity and plant functional traits to variations in species' dispersal capability, habitat fragmentation and local environmental conditions. All questions were addressed using spatially explicit simulations or statistical models. In chapter 2, I addressed scale-dependent relationships between dispersal capability and species diversity using a grid-based neutral model. I found that the ratio of survey area to landscape size is an important determinant of scale-dependent dispersal-diversity relationships. With small ratios, the model predicted increasing dispersal-diversity relationships, while decreasing dispersal-diversity relationships emerged, when the ratio approached one, i.e. when the survey area approached the landscape size. For intermediate ratios, I found a U-shaped pattern that has not been reported before. With this study, I unified and extended previous work on dispersal-diversity relationships. In chapter 3, I assessed the type of regional plant community dynamics for the study area in the Southern Judean Lowlands (SJL). For this purpose, I parameterised a multi-species incidence-function model (IFM) with vegetation data using approximate Bayesian computation (ABC). I found that the type of regional plant community dynamics in the SJL is best characterized as a set of isolated "island communities" with very low connectivity between local communities. Model predictions indicated a significant extinction debt with 33\% - 60\% of all species going extinct within 1000 years. In general, this study introduces a novel approach for combining a spatially explicit simulation model with field data from species-rich communities. In chapter 4, I first analysed, if plant functional traits in the SJL indicate trait convergence by habitat filtering and trait divergence by interspecific competition, as predicted by community assembly theory. Second, I assessed the interactive effects of fragmentation and the south-north precipitation gradient in the SJL on community-mean plant traits. I found clear evidence for trait convergence, but the evidence for trait divergence fundamentally depended on the chosen null-model. All community-mean traits were significantly associated with the precipitation gradient in the SJL. The trait associations with fragmentation indices (patch size and connectivity) were generally weaker, but statistically significant for all traits. Specific leaf area (SLA) and plant height were consistently associated with fragmentation indices along the precipitation gradient. In contrast, seed mass and seed number were interactively influenced by fragmentation and precipitation. In general, this study provides the first analysis of the interactive effects of climate and fragmentation on plant functional traits. Overall, I conclude that the spatially explicit perspective adopted in this thesis is crucial for a thorough understanding of plant community dynamics in fragmented landscapes. The finding of contrasting responses of local diversity to variations in dispersal capability stresses the importance of considering the diversity and composition of the metacommunity, prior to implementing conservation measures that aim at increased habitat connectivity. The model predictions derived with the IFM highlight the importance of additional natural habitat for the mitigation of future species extinctions. In general, the approach of combining a spatially explicit IFM with extensive species occupancy data provides a novel and promising tool to assess the consequences of different management scenarios. The analysis of plant functional traits in the SJL points to important knowledge gaps in community assembly theory with respect to the simultaneous consequences of habitat filtering and competition. In particular, it demonstrates the importance of investigating the synergistic consequences of fragmentation, climate change and land use change on plant communities. I suggest that the integration of plant functional traits and of species interactions into spatially explicit, dynamic simulation models offers a promising approach, which will further improve our understanding of plant communities and our ability to predict their dynamics in fragmented and changing landscapes.}, language = {en} } @phdthesis{Matthes2013, author = {Matthes, Annika}, title = {Die Dehydro-Diels-Alder-Reaktion (DDA-Reaktion) als neue Methode zur Darstellung von Naphthalenophanen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-65264}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Die Dissertation beschreibt die Herstellung von ringf{\"o}rmigen Verbindungen (Naphthalenophanen) mit Hilfe der Dehydro-Diels-Alder-Reaktion, wobei immer Enantiomerenpaare auftreten. Es wird der diastereoselektive Aufbau von Naphthalenophanen und der enantiomeren reine Aufbau von Biarylen untersucht. Desweiteren werden die physikalischen Eigenschaften der erhaltenen Verbindungen, wie die Phosphoreszenz, Trennbarkeit der entstehenden Enantiomere und die Ringspannung beschrieben.}, language = {de} } @phdthesis{MatienzoLeon2013, author = {Matienzo Le{\´o}n, Ena Mercedes}, title = {Ficcionalizar el referente : violencia, saber, ficcion y utop{\´i}a en El Primer Nueva Cor{\´o}nica y Buen Gobierno de Felipe Guam{\´a}n Poma de Ayala}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70758}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {La tesis doctoral „Ficcionalizar el referente. Violencia, Saber, Ficcion y Utop{\´i}a en El Primer Nueva Cor{\´o}nica y Buen Gobierno de Felipe Guam{\´a}n Poma de Ayala" tiene como objetivo explicar la violencia, el saber, la ficci{\´o}n y la utop{\´i}a en El Primer Nueva Cor{\´o}nica y Buen Gobierno. Este estudio se inicia con la Historia de la Recepci{\´o}n de El Primer Nueva Cor{\´o}nica y Buen Gobierno en el siglo XX. El criterio principal en la elaboraci{\´o}n de este registro ha sido analizar estudios destacados sobre la cr{\´o}nica peruana y que han abierto nuevos significados desde diferentes disciplinas. De esta manera la Historia de la Recepci{\´o}n de El Primer Nueva Cor{\´o}nica y Buen Gobierno se inicia a partir de un "Ensayo de Interpretaci{\´o}n" desde la arqueolog{\´i}a hasta arribar a la ciencia filol{\´o}gica que amparada por el fortalecimiento de los estudios culturales y el cuestionamiento de los "metarrelatos" en las tres {\´u}ltimas d{\´e}cadas del siglo XX desarroll{\´o} un "acto de descolonizaci{\´o}n" desde la cr{\´i}tica hist{\´o}rica y literaria. Los conceptos de violencia, saber, ficci{\´o}n y utop{\´i}a han sido constantes a lo largo del proceso de lectura y reflexi{\´o}n de la cr{\´o}nica peruana. De esta manera este estudio responde a interrogantes sobre las dimensiones y los espacios de la violencia en la cr{\´o}nica peruana. Este estudio reconoce adem{\´a}s que los relatos del fin del mundo andino y su recomposici{\´o}n corresponden a la confluencia de saberes y a su ubicidad. En El Primer Nueva Coronica y Buen Gobierno se hallan escenas de "experiencia l{\´i}mite" que puede tener un desenlace tr{\´a}gico con la desaparici{\´o}n y la muerte del autor o el abandono y perdida de esperanza de sus ideales. Sin embargo la cr{\´o}nica de Felipe Guam{\´a}n Poma de Ayala concluye por una apuesta por la vida y por tanto participa de un "saber de vida" o un "saber vivir" debido a que se halla el registro sobre la vida y de un saber que tiene la vida como objetivo central en el relato hist{\´o}rico. De esta manera la cr{\´o}nica peruana contiene una l{\´o}gica narrativa que "socava la est{\´a}tica de un destino irrevocable" y elabora una denuncia del mundo desolador con el anhelo de transformarlo. Esta escena produce fricci{\´o}n entre lo que afirma el cronista y la representaci{\´o}n ficcional del dibujo, de esta manera se halla un espacio entre lo vivido e inventado que abarcaran todo un campo de experimentaci{\´o}n que oscilan entre una dicci{\´o}n plena y la f{\´o}rmula ficcional. La tesis doctoral „Ficcionalizar el referente. Violencia, Saber, Ficcion y Utop{\´i}a en El Primer Nueva Cor{\´o}nica y Buen Gobierno de Felipe Guam{\´a}n Poma de Ayala" identific{\´o} una eclosiva fuga de la referencialidad textual de la cr{\´o}nica peruana para crear sus propias referencialidades bajo un sentido ut{\´o}pico. El testimonio dram{\´a}tico, la denuncia en voz e imagen no estar{\´a}n distanciados del elemento fant{\´a}stico y legendario propio de los primeros escritos latinoamericanos. Los artificios narrativos de El Primer Nueva Cor{\´o}nica y Buen Gobierno crea territorialidades textuales aptas para la imaginaci{\´o}n y la leyenda, cercano a lo real maravilloso. La cr{\´o}nica ind{\´i}gena fue concebida cuando se organizaba el "Buen gobierno y justicia", en un ambiente confrontacional, pero tambi{\´e}n en un mundo que era nuevo, naciente en un momento que Am{\´e}rica aparec{\´i}a como idealizaci{\´o}n del ansiado proyecto plat{\´o}nico de naci{\´o}n feliz, de un buen gobierno, una mejor naci{\´o}n, una utop{\´i}a.}, language = {mul} } @phdthesis{Martin2013, author = {Martin, Benjamin}, title = {Linking individual-based models and dynamic energy budget theory : lessons for ecology and ecotoxicology}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-67001}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In the context of ecological risk assessment of chemicals, individual-based population models hold great potential to increase the ecological realism of current regulatory risk assessment procedures. However, developing and parameterizing such models is time-consuming and often ad hoc. Using standardized, tested submodels of individual organisms would make individual-based modelling more efficient and coherent. In this thesis, I explored whether Dynamic Energy Budget (DEB) theory is suitable for being used as a standard submodel in individual-based models, both for ecological risk assessment and theoretical population ecology. First, I developed a generic implementation of DEB theory in an individual-based modeling (IBM) context: DEB-IBM. Using the DEB-IBM framework I tested the ability of the DEB theory to predict population-level dynamics from the properties of individuals. We used Daphnia magna as a model species, where data at the individual level was available to parameterize the model, and population-level predictions were compared against independent data from controlled population experiments. We found that DEB theory successfully predicted population growth rates and peak densities of experimental Daphnia populations in multiple experimental settings, but failed to capture the decline phase, when the available food per Daphnia was low. Further assumptions on food-dependent mortality of juveniles were needed to capture the population dynamics after the initial population peak. The resulting model then predicted, without further calibration, characteristic switches between small- and large-amplitude cycles, which have been observed for Daphnia. We conclude that cross-level tests help detecting gaps in current individual-level theories and ultimately will lead to theory development and the establishment of a generic basis for individual-based models and ecology. In addition to theoretical explorations, we tested the potential of DEB theory combined with IBMs to extrapolate effects of chemical stress from the individual to population level. For this we used information at the individual level on the effect of 3,4-dichloroanailine on Daphnia. The individual data suggested direct effects on reproduction but no significant effects on growth. Assuming such direct effects on reproduction, the model was able to accurately predict the population response to increasing concentrations of 3,4-dichloroaniline. We conclude that DEB theory combined with IBMs holds great potential for standardized ecological risk assessment based on ecological models.}, language = {en} } @phdthesis{Macaulay2013, author = {Macaulay, Euan Angus}, title = {The orogenic evolution of the Central Kyrgyz Tien Shan}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68985}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Intra-continental mountain belts typically form as a result of tectonic forces associated with distant plate collisions. In general, each mountain belt has a distinctive morphology and orogenic evolution that is highly dependent on the unique distribution and geometries of inherited structures and other crustal weaknesses. In this thesis, I have investigated the complex and irregular Cenozoic orogenic evolution of the Central Kyrgyz Tien Shan in Central Asia, which is presently one of the most active intra-continental mountain belts in the world. This work involved combining a broad array of datasets, including thermochronologic, magnetostratigraphic, sediment provenance and stable isotope data, to identify and date various changes in tectonic deformation, climate and surface processes. Many of these changes are linked and can ultimately be related to regional-scale processes that altered the orogenic evolution of the Central Kyrgyz Tien Shan. The Central Kyrgyz Tien Shan contains a sub-parallel series of structures that were reactivated in the late Cenozoic in response to the tectonic forces associated with the distant India-Eurasia collision. Over time, slip on the various reactivated structures created the succession of mountain ranges and intermontane basins which characterises the modern morphology of the region. In this thesis, new quantitative constraints on the exhumation histories of several mountain ranges have been obtained by using low temperature thermochronological data from 95 samples (zircon (U-Th)/He, apatite fission track and (U-Th)/He). Time-temperature histories derived by modelling the thermochronologic data of individual samples identify at least two stages of Cenozoic cooling in most of the region's mountain ranges: (1) initially low cooling rates (<1°C/Myr) during the tectonic quiescent period and (2) increased cooling in the late Cenozoic, which occurred diachronously and with variable magnitude in different ranges. This second cooling stage is interpreted to represent increased erosion caused by active deformation, and in many of the sampled mountain ranges, provides the first available constraints on the timing of late Cenozoic deformation. New constraints on the timing of deformation have also been derived from the sedimentary record of intermontane basins. In the intermontane Issyk Kul basin, new magnetostratigraphic data from two sedimentary sections suggests that deposition of the first Cenozoic syn-tectonic sediments commenced at ~26 Ma. Zircon U-Pb provenance data, paleocurrent and conglomerate clast analysis reveals that these sediments were sourced from the Terskey Range to the south of the basin, suggesting that the onset of the late Cenozoic deformation occurred >26 Ma in that particular range. Elsewhere, growth strata relationships are used to identify syn-tecotnic deposition and constrain the timing of nearby deformation. Collectively, these new constraints obtained from thermochronologic and sedimentary data have allowed me to infer the spatiotemporal distribution of deformation in a transect through the Central Kyrgyz Tien Shan, and determine the order in which mountain ranges started deforming. These data suggest that deformation began in a few widely-spaced mountain ranges in the late Oligocene and early Miocene. Typically, these earlier mountain ranges are bounded on at least one side by a reactivated structure, which probably corresponds to the frictionally weakest and most suitably orientated inherited structures for accommodating the roughly north-south directed horizontal crustal shortening of the late Cenozoic. Moreover, tectonically-induced rock uplift in the Terskey Range, following the reactivation of the bounding structure before 26 Ma, likely caused significant surface uplift across the range, which in turn lead to enhanced orographic precipitation. These wetter conditions have been inferred from stable isotope data collected in the two magnetostratigraphically-dated sections in the Issyk Kul basin. Subsequently, in the late Miocene (~12‒5 Ma), more mountain ranges and inherited structures appear to have started actively deforming. Importantly, the onset of deformation at these locations in the late Miocene coincides with an increase in exhumation of ranges that had started deforming earlier in the late Oligocene‒early Miocene. Based on this observation, I have suggested that there must have been an overall increase in the rate of horizontal crustal shortening across the Central Kyrgyz Tien Shan, which likely relates to regional tectonic changes that affected much of Central Asia. Many of the mountain ranges that started deforming in the late Miocene were associated with out-of-sequence tectonic reactivation and initiation, which lead to the partitioning of larger intermontane basins. Moreover, within most of the intermontane basins in the Central Kyrgyz Tien Shan, this inferred late Miocene increase in horizontal crustal shortening occurs roughly at the same time as an increase in sedimentation rates and a significant change sediment composition. Therefore, I have suggested that the overall magnitude of deformational processes increased in the late Miocene, promoting more flexural subsidence in the intermontane basins of the Central Kyrgyz Tien Shan.}, language = {en} } @phdthesis{Mabrok2013, author = {Mabrok, Hoda Hussein Bakr}, title = {Protective role of lignan-converting bacteria on chemically-induced breast cancer in gnotobiotic rats}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-64933}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Enterolignans (enterodiol and enterolactone) exhibit structural similarity to estradiol and have therefore been hypothesized to modulate hormone related cancers such as breast cancer. The bioactivation of the plant lignan secoisolariciresinol diglucoside (SDG) requires the transformation by intestinal bacteria including the deglycosylation of SDG to secoisolariciresinol (SECO) followed by demethylation and dehydroxylation of SECO to enterodiol (ED). Finally, ED is dehydrogenated to enterolactone (EL). It is unclear whether the bacterial activation of SDG to ED and EL is crucial for the cancer preventing effects of dietary lignans. The possible protective effect of bacterial lignan transformation on a 7,12 dimethylbenz(a)anthracene (DMBA)-induced breast cancer in gnotobiotic rats was investigated. Germ-free rats were associated with a defined lignan-converting consortium (Clostridium saccharogumia, Blautia producta, Eggerthella lenta, and Lactonifactor longoviformis). The rats colonized with lignan-converting bacteria consortium (LCC) were fed a lignan-rich flaxseed diet and breast cancer was chemical induced. Identically treated germ-free rats served as control. All bacteria of the consortium successfully colonized the intestine of the LCC rats. The plant lignan SDG was converted into the enterolignans ED and EL in the LCC rats but not in the germ-free rats. This transformation did not influence cancer incidence but significantly decreased tumor numbers per tumor-bearing rat, and tumor size. Cell proliferation was significantly inhibited and apoptosis was significantly induced in LCC rats. No differences between LCC and control rats were observed in the expression of the genes encoding the estrogen receptors (ERα and ERβ) and G-coupled protein receptor 30 (GPR30). Similar findings were observed for both insulin-like growth factor 1 (IGF-1) and epidermal growth factor receptor (EGFR) genes involved in tumor growth. Proteome analysis revealed that 24 proteins were differentially expressed in tumor tissue from LCC and germ-free. RanBP-type and C3HC4-type zinc finger-containing protein 1 (RBCK1) and poly(rC)-binding protein 1 (PBCP1) were down-regulated by 3.2- and 2.0-fold, respectively. These proteins are associated with cell proliferation. The activity of selected enzymes involved in the degradation of oxidants in plasma and liver was significantly increased in the LCC rats. However, plasma and liver concentrations of reduced glutathione (non-enzymatic antioxidant) and malondialdehyde (oxidative stress marker) did not differ between the groups. In conclusion, the bacterial conversion of plant lignan to enterolignans beneficially influences their anti-cancer effect. However, the mechanisms involved in these effects remain elusive.}, language = {en} } @phdthesis{Maass2013, author = {Maaß, Yvonne}, title = {Leuchtk{\"a}fer \& Orgelkoralle}, series = {Epistemata : W{\"u}rzburger wissenschaftliche Schriften ; Reihe Literaturwissenschaft (852)}, journal = {Epistemata : W{\"u}rzburger wissenschaftliche Schriften ; Reihe Literaturwissenschaft (852)}, number = {852}, publisher = {K{\"o}nigshausen \& Neumann}, address = {W{\"u}rzburg}, isbn = {978-3-8260-5833-2}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-399894}, school = {Universit{\"a}t Potsdam}, pages = {540}, year = {2013}, abstract = {Leuchtende K{\"a}fer und Medusen, phosphoreszierende Meereswellen oder zu Stein erstarrende Korallen faszinierten den bisher vornehmlich als Dichter portraitierten Naturforscher Adelbert von Chamisso (1781-1838). Intensiver noch als den zoologischen und geologischen Ph{\"a}nomenen, widmete er sich der Scientia amabilis - der liebenswerten Wissenschaft von den Pflanzen. Der vielseitig Talentierte verfasste seine Reise um die Welt (1836), die bis heute als eine der stilistisch anspruchvollsten und lesenswertesten Reisebeschreibungen gilt. Diese Studie widmet sich dezidiert den naturkundlichen Studien Chamissos im Kontext der dreij{\"a}hrigen Rurik-Expedition sowie den zugeh{\"o}rigen Textproduktionen. Mit einem umfassenden Text- und Materialkorpus werden literatur- und kulturwissenschaftliche sowie wissenschaftshistorische Fragestellungen an das Werk gelegt und ertragreich beantwortet. F{\"u}r die Reiseliteraturforschung wird bisher unbeachtetes Quellenmaterial ans Licht gebracht, g{\"a}ngige Thesen werden widerlegt, Quellen anderer Besatzungsmitglieder vergleichend betrachtet. Die Studie stellt den Naturforscher Chamisso in den Fokus, ohne den Dichter auszublenden, und widmet sich Fragen der Generierung, Vernetzung und Darstellung naturkundlichen Wissens in Texten, Illustrationen und Materialien zur Expedition - sie ist insgesamt f{\"u}r die Literatur- und Geschichtswissenschaft ebenso innovativ wie f{\"u}r die interdisziplin{\"a}re Geschichte des Wissens.}, language = {de} } @phdthesis{Lindberg2013, author = {Lindberg, Tilmann S{\"o}ren}, title = {Design-Thinking-Diskurse : Bestimmung, Themen, Entwicklungen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69704}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Der Untersuchungsgegenstand der vorliegenden Arbeit ist, die mit dem Begriff „Design Thinking" verbundenen Diskurse zu bestimmen und deren Themen, Konzepte und Bez{\"u}ge herauszuarbeiten. Diese Zielstellung ergibt sich aus den mehrfachen Widerspr{\"u}chen und Vieldeutigkeiten, die die gegenw{\"a}rtigen Verwendungen des Design-Thinking-Begriffs charakterisieren und den koh{\"a}renten Gebrauch in Wissenschaft und Wirtschaft erschweren. Diese Arbeit soll einen Beitrag dazu leisten, „Design Thinking" in den unterschiedlichen Diskurszusammenh{\"a}ngen grundlegend zu verstehen und f{\"u}r zuk{\"u}nftige Verwendungen des Design-Thinking-Begriffs eine solide Argumentationsbasis zu schaffen.}, language = {de} } @phdthesis{Lemke2013, author = {Lemke, Karina}, title = {Abtrennung und Charakterisierung von Polyelektrolyt-modifizierten Nanopartikeln}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68133}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Gegenstand der Dissertation ist die gr{\"o}ßen- und eigenschaftsoptimierte Synthese und Charakterisierung von anorganischen Nanopartikeln in einer geeigneten Polyelektrolytmodifizierten Mikroemulsion. Das Hauptziel bildet dabei die Auswahl einer geeigneten Mikroemulsion, zur Synthese von kleinen, stabilen, reproduzierbaren Nanopartikeln mit besonderen Eigenschaften. Die vorliegende Arbeit wurde in zwei Haupteile gegliedert. Der erste Teil befasst sich mit der Einmischung von unterschiedlichen Polykationen (lineares Poly (diallyldimethylammoniumchlorid) (PDADMAC) und verzweigtes Poly (ethylenimin) (PEI)) in verschiedene, auf unterschiedlichen Tensiden (CTAB - kationisch, SDS - anionisch, SB - zwitterionisch) basierenden, Mikroemulsionssysteme. Dabei zeigt sich, dass das Einmischen der Polykationen in die Wassertr{\"o}pfchen der Wasser-in-{\"O}l (W/O) Mikroemulsion prinzipiell m{\"o}glich ist. Der Einfluss der verschiedenen Polykationen auf das Phasenverhalten der W/O Mikroemulsion ist jedoch sehr unterschiedlich. In Gegenwart des kationischen Tensids f{\"u}hren die repulsiven Wechselwirkungen mit den Polykationen zu einer Destabilisierung des Systems, w{\"a}hrend die ausgepr{\"a}gten Wechselwirkungen mit dem anionischen Tensid in einer deutlichen Stabilisierung des Systems resultieren. F{\"u}r das zwitterionische Tensid f{\"u}hren die moderaten Wechselwirkungen mit den Polykationen zu einer partiellen Stabilisierung. Der zweite Teil der Arbeit besch{\"a}ftigt sich mit dem Einsatz der unterschiedlichen, Polyelektrolyt- modifizierten Mikroemulsionen als Templatphase f{\"u}r die Herstellung verschiedener, anorganischer Nanopartikel. Die CTAB-basierte Mikroemulsion erweist sich dabei als ungeeignet f{\"u}r die Herstellung von CdS Nanopartikeln, da zum einen nur eine geringe Toleranz gegen{\"u}ber den Reaktanden vorhanden ist (Destabilisierungseffekt) und zum anderen das Partikelwachstum durch den Polyelektrolyt-Tensid-Film nicht ausreichend begrenzt wird. Zudem zeigt sich, dass eine Abtrennung der Partikel aus der Mikroemulsion nicht m{\"o}glich ist. Die SDS-basierten Mikroemulsionen, erweisen sich als geeignete Templatphase zur Synthese kleiner anorganischer Nanopartikel (3 - 20 nm). Sowohl CdS Quantum Dots, als auch Gold Nanopartikel konnten erfolgreich in der Mikroemulsion synthetisiert werden, wobei das verzweigte PEI einen interessanten Templat-Effekt in der Mikroemulsion hervorruft. Als deutlicher Nachteil der SDS-basierten Mikroemulsionen offenbaren sich die starken Wechselwirkungen zwischen dem Tensid und den Polyelektrolyten w{\"a}hrend der Aufarbeitung der Nanopartikel aus der Mikroemulsion. Dabei erweist sich die Polyelektrolyt-Tensid-Komplexbildung als hinderlich f{\"u}r die Redispergierung der CdS Quantum Dots in Wasser, so dass Partikelaggregation einsetzt. Die SB-basierten Mikroemulsionen erweisen sich als g{\"u}nstige Templatphase f{\"u}r die Bildung von gr{\"o}ßen- und eigenschaftenoptimierten Nanopartikeln (< 4 nm), wobei insbesondere eine Modifizierung mit PEI als ideal betrachtet werden kann. In Gegenwart des verzweigten PEI gelang es erstmals ultrakleine, fluoreszierende Gold Cluster (< 2 nm) in einer SB-basierten Mikroemulsion als Templatphase herzustellen. Als besonderer Vorteil der SB-basierten Mikroemulsion zeigen sich die moderaten Wechselwirkungen zwischen dem zwitterionischen Tensid und den Polyelektrolyten, welche eine anschließende Abtrennung der Partikel aus der Mikroemulsion unter Erhalt der Gr{\"o}ße und ihrer optischen Eigenschaften erm{\"o}glichen. In der redispergierten w{\"a}ssrigen L{\"o}sung gelang somit eine Auftrennung der PEI-modifizierten Partikel mit Hilfe der asymmetrischer Fluss Feldflussfraktionierung (aF FFF). Die gebildeten Nanopartikel zeigen interessante optische Eigenschaften und k{\"o}nnen zum Beispiel erfolgreich zur Modifizierung von Biosensoren eingesetzt werden.}, language = {de} } @phdthesis{Lange2013, author = {Lange, Dustin}, title = {Effective and efficient similarity search in databases}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-65712}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Given a large set of records in a database and a query record, similarity search aims to find all records sufficiently similar to the query record. To solve this problem, two main aspects need to be considered: First, to perform effective search, the set of relevant records is defined using a similarity measure. Second, an efficient access method is to be found that performs only few database accesses and comparisons using the similarity measure. This thesis solves both aspects with an emphasis on the latter. In the first part of this thesis, a frequency-aware similarity measure is introduced. Compared record pairs are partitioned according to frequencies of attribute values. For each partition, a different similarity measure is created: machine learning techniques combine a set of base similarity measures into an overall similarity measure. After that, a similarity index for string attributes is proposed, the State Set Index (SSI), which is based on a trie (prefix tree) that is interpreted as a nondeterministic finite automaton. For processing range queries, the notion of query plans is introduced in this thesis to describe which similarity indexes to access and which thresholds to apply. The query result should be as complete as possible under some cost threshold. Two query planning variants are introduced: (1) Static planning selects a plan at compile time that is used for all queries. (2) Query-specific planning selects a different plan for each query. For answering top-k queries, the Bulk Sorted Access Algorithm (BSA) is introduced, which retrieves large chunks of records from the similarity indexes using fixed thresholds, and which focuses its efforts on records that are ranked high in more than one attribute and thus promising candidates. The described components form a complete similarity search system. Based on prototypical implementations, this thesis shows comparative evaluation results for all proposed approaches on different real-world data sets, one of which is a large person data set from a German credit rating agency.}, language = {en} } @phdthesis{Kyprianidis2013, author = {Kyprianidis, Jan Eric}, title = {Structure adaptive stylization of images and video}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-64104}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In the early days of computer graphics, research was mainly driven by the goal to create realistic synthetic imagery. By contrast, non-photorealistic computer graphics, established as its own branch of computer graphics in the early 1990s, is mainly motivated by concepts and principles found in traditional art forms, such as painting, illustration, and graphic design, and it investigates concepts and techniques that abstract from reality using expressive, stylized, or illustrative rendering techniques. This thesis focuses on the artistic stylization of two-dimensional content and presents several novel automatic techniques for the creation of simplified stylistic illustrations from color images, video, and 3D renderings. Primary innovation of these novel techniques is that they utilize the smooth structure tensor as a simple and efficient way to obtain information about the local structure of an image. More specifically, this thesis contributes to knowledge in this field in the following ways. First, a comprehensive review of the structure tensor is provided. In particular, different methods for integrating the minor eigenvector field of the smoothed structure tensor are developed, and the superiority of the smoothed structure tensor over the popular edge tangent flow is demonstrated. Second, separable implementations of the popular bilateral and difference of Gaussians filters that adapt to the local structure are presented. These filters avoid artifacts while being computationally highly efficient. Taken together, both provide an effective way to create a cartoon-style effect. Third, a generalization of the Kuwahara filter is presented that avoids artifacts by adapting the shape, scale, and orientation of the filter to the local structure. This causes directional image features to be better preserved and emphasized, resulting in overall sharper edges and a more feature-abiding painterly effect. In addition to the single-scale variant, a multi-scale variant is presented, which is capable of performing a highly aggressive abstraction. Fourth, a technique that builds upon the idea of combining flow-guided smoothing with shock filtering is presented, allowing for an aggressive exaggeration and an emphasis of directional image features. All presented techniques are suitable for temporally coherent per-frame filtering of video or dynamic 3D renderings, without requiring expensive extra processing, such as optical flow. Moreover, they can be efficiently implemented to process content in real-time on a GPU.}, language = {en} } @phdthesis{Kussmaul2013, author = {Kussmaul, Bj{\"o}rn}, title = {Modifizierung von Silikonelastomeren mit organischen Dipolen f{\"u}r Dielektrische Elastomer Aktuatoren}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-65121}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Ein Dielektrischer Elastomer Aktuator (DEA) ist ein dehnbarer Kondensator, der aus einem Elastomerfilm besteht, der sich zwischen zwei flexiblen Elektroden befindet. Bei Anlegen einer elektrischen Spannung, ziehen sich die Elektroden aufgrund elektrostatischer Wechselwirkungen an, wodurch das Elastomer in z-Richtung zusammengepresst wird und sich dementsprechend in der x-,y-Ebene ausdehnt. Hierdurch werden Aktuationsbewegungen erreicht, welche sehr pr{\"a}zise {\"u}ber die Spannung gesteuert werden k{\"o}nnen. Zus{\"a}tzlich sind DEAs kosteng{\"u}nstig, leicht und aktuieren ger{\"a}uschlos. DEAs k{\"o}nnen beispielsweise f{\"u}r Produkte im medizinischen Bereich oder f{\"u}r optischer Komponenten genutzt werden. Ebenso kann aus diesen Bauteilen Strom erzeugt werden. Das gr{\"o}ßte Hindernis f{\"u}r eine weite Implementierung dieser Materialien liegt in den erforderlichen hohen Spannungen zum Erzeugen der Aktuationsbewegung, welche sich tendenziell im Kilovolt-Bereich befinden. Dies macht die Elektronik teuer und die Bauteile unsicher f{\"u}r Anwender. Um geringere Betriebsspannungen f{\"u}r die DEAs zu erreichen, sind signifikante Materialverbesserungen - insbesondere des verwendeten Elastomers - erforderlich. Um dies zu erreichen, k{\"o}nnen die dielektrischen Eigenschaften (Permittivit{\"a}t) der Elastomere gesteigert und/oder deren Steifigkeit (Young-Modul) gesenkt werden. In der vorliegenden Arbeit konnte die Aktuationsleistung von Silikonfilmen durch die Addition organischer Dipole erheblich verbessert werden. Hierf{\"u}r wurde ein Verfahren etabliert, um funktionalisierte Dipole kovalent an das Polymernetzwerk zu binden. Dieser als "One-Step-Verfahren" bezeichnete Ansatz ist einfach durchzuf{\"u}hren und es werden homogene Filme erhalten. Die Dipoladdition wurde anhand verschiedener Silikone erprobt, die sich hinsichtlich ihrer mechanischen Eigenschaften unterschieden. Bei maximalem Dipolgehalt verdoppelte sich die Permittivit{\"a}t aller untersuchten Silikone und die Filme wurden deutlich weicher. Hierbei war festzustellen, dass die Netzwerkstruktur der verwendeten Silikone einen erheblichen Einfluss auf die erreichte Aktuationsdehnung hat. Abh{\"a}ngig vom Netzwerk erfolgte eine enorme Steigerung der Aktuationsleistung im Bereich von 100 \% bis zu 4000 \%. Dadurch k{\"o}nnen die Betriebsspannungen in DEAs deutlich abgesenkt werden, so dass sie tendenziell bei Spannungen unterhalb von einem Kilovolt betrieben werden k{\"o}nnen.}, language = {de} } @phdthesis{Kunze2013, author = {Kunze, Matthias}, title = {Searching business process models by example}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68844}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Business processes are fundamental to the operations of a company. Each product manufactured and every service provided is the result of a series of actions that constitute a business process. Business process management is an organizational principle that makes the processes of a company explicit and offers capabilities to implement procedures, control their execution, analyze their performance, and improve them. Therefore, business processes are documented as process models that capture these actions and their execution ordering, and make them accessible to stakeholders. As these models are an essential knowledge asset, they need to be managed effectively. In particular, the discovery and reuse of existing knowledge becomes challenging in the light of companies maintaining hundreds and thousands of process models. In practice, searching process models has been solved only superficially by means of free-text search of process names and their descriptions. Scientific contributions are limited in their scope, as they either present measures for process similarity or elaborate on query languages to search for particular aspects. However, they fall short in addressing efficient search, the presentation of search results, and the support to reuse discovered models. This thesis presents a novel search method, where a query is expressed by an exemplary business process model that describes the behavior of a possible answer. This method builds upon a formal framework that captures and compares the behavior of process models by the execution ordering of actions. The framework contributes a conceptual notion of behavioral distance that quantifies commonalities and differences of a pair of process models, and enables process model search. Based on behavioral distances, a set of measures is proposed that evaluate the quality of a particular search result to guide the user in assessing the returned matches. A projection of behavioral aspects to a process model enables highlighting relevant fragments that led to a match and facilitates its reuse. The thesis further elaborates on two search techniques that provide concrete behavioral distance functions as an instantiation of the formal framework. Querying enables search with a notion of behavioral inclusion with regard to the query. In contrast, similarity search obtains process models that are similar to a query, even if the query is not precisely matched. For both techniques, indexes are presented that enable efficient search. Methods to evaluate the quality and performance of process model search are introduced and applied to the techniques of this thesis. They show good results with regard to human assessment and scalability in a practical setting.}, language = {en} } @phdthesis{Kroencke2013, author = {Kr{\"o}ncke, Klaus}, title = {Stability of Einstein Manifolds}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69639}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {This thesis deals with Einstein metrics and the Ricci flow on compact mani- folds. We study the second variation of the Einstein-Hilbert functional on Ein- stein metrics. In the first part of the work, we find curvature conditions which ensure the stability of Einstein manifolds with respect to the Einstein-Hilbert functional, i.e. that the second variation of the Einstein-Hilbert functional at the metric is nonpositive in the direction of transverse-traceless tensors. The second part of the work is devoted to the study of the Ricci flow and how its behaviour close to Einstein metrics is influenced by the variational be- haviour of the Einstein-Hilbert functional. We find conditions which imply that Einstein metrics are dynamically stable or unstable with respect to the Ricci flow and we express these conditions in terms of stability properties of the metric with respect to the Einstein-Hilbert functional and properties of the Laplacian spectrum.}, language = {en} } @phdthesis{Knorz2013, author = {Knorz, Marc Emanuel}, title = {Qualit{\"a}tsmanagement im organisatorischen Wandel : die Rolle von Information und Kommunikation in Qualit{\"a}tsmanagement-Systemen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71190}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {1. Teil A - Theoretische Grundlegung der Arbeit Die wissenschaftliche Arbeit beginnt mit der Darstellung der Problemstellung und der Zielsetzung der wissenschaftlichen Arbeit. Es wird deutlich aufgezeigt werden, dass sich die Lehre des Qualit{\"a}tsmanagements (QM) nur sehr unzureichend mit den sozialen Aspekten der Information \& Kommunikation (I\&K) und dem organisatorischen Wandel besch{\"a}ftigt hat. Aus diesen beiden Unterkapiteln werden die Forschungsfragen abgeleitet und der weitere Aufbau der Arbeit konstruiert. (Kapitel 1). Aufgrund der Problemstellung startet das zweite Kapitel im Rahmen der theoretischen Grundlagen mit der sozialen Systemtheorie. Die Entscheidung f{\"u}r die soziale Systemtheorie wird begr{\"u}ndet. Im Zusammenhang mit den sozialen Aspekten der I\&K werden die relevanten Erkenntnisbeitr{\"a}ge der sozialen Systemtheorien als einzelne Komponenten vorgestellt. Diese Komponenten werden dann zu einem systemtheoretischen I\&K-Modell (SEM) zusammengef{\"u}gt. (Kapitel 2). Damit die beiden Disziplinen QM und soziale Systemtheorie miteinander verbunden werden k{\"o}nnen, bedarf es im dritten Kapitel der Dissertation einer Vorstellung der daf{\"u}r notwendigen und relevanten Inhalte des QM. Im Zuge der Vorstellung der Inhalte des QM werden diese bereits mit der sozialen Systemtheorie verkn{\"u}pft, um damit aufzuzeigen, wie QMS durch I\&K existieren und operieren (Kapitel 3). Das vierte Kapitel verbindet dann die beiden Disziplinen QM und soziale Systemtheorie miteinander, wodurch ein systemtheoretisches QM-Modell (SQM) entsteht. Dieses Modell erkl{\"a}rt den Zusammenhang von QM, I\&K und organisatorischem Wandel(Kapitel 4).   2. Teil B - Empirische Untersuchung F{\"u}r die empirische Untersuchung wird in Kapitel f{\"u}nf das allgemeine Forschungsdesign hergeleitet werden. Darauf folgt die Vorstellung des Aufbaus und der Abfolge von Interviews und eines Fragebogens (Kapitel 5). Das sechste Kapitel erkl{\"a}rt die Zielsetzung, Hintergrund und Methodik der Experteninterviews mit den Qualit{\"a}tsmanagementbeauftragten (QMB) und unter-sucht die g{\"a}ngige Praxis des QM bzgl. der sozialen Aspekte der I\&K. (Kapitel 6). Das Kapitel sieben erkl{\"a}rt die Zielsetzung, Hintergrund und Methodik der Interviews mit den Unternehmen der Best-Practise (BP). (Kapitel 7). Im Kapitel acht werden die Ursache und Wirkung der sozialen Aspekte der I\&K {\"u}ber die Unternehmenskultur im Rahmen eines QMS dargestellt. (Kapitel 8). Im Kapitel neun erfolgt ein Res{\"u}mee der empirischen Untersuchungen. Die Ergebnisse der empirischen Untersuchungen werden kritisch gew{\"u}rdigt. Des Weiteren wird aufgezeigt, welcher weitere empirische Forschungsbedarf aufgedeckt wurde.(Kapitel 9). 3. Teil C - Abschluss Der Schlussteil der Arbeit beginnt mit dem zehnten Kapitel durch die Herleitung und Begr{\"u}ndung von Verbesserungspotentialen und Handlungsempfehlungen f{\"u}r die Praxis im QM.(Kapitel 10). Im elften Kapitel erfolgt die Beantwortung der Forschungsfragen und der kritischen W{\"u}rdigung der generierten Erkenntnisse.(Kapitel 11). Im zw{\"o}lften Kapitel endet die Arbeit mit einem Ausblick auf weiteren Forschungsbedarf, welcher durch das Ergebnis dieser Arbeit entstanden ist (Kapitel 12).}, language = {de} } @phdthesis{Keser2013, author = {Keser, Abdulkerim}, title = {Der Europ{\"a}ische Automobilsektor : Besteuerung, Marktliberalisierung und Beitrag zur CO₂-Reduktion}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-197-4}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-60269}, school = {Universit{\"a}t Potsdam}, pages = {262}, year = {2013}, abstract = {Der Automobilsektor ist derzeit einer der wichtigsten Industriezweige in Europa. Ca. 2,2 Millionen Mitarbeiter sind direkt, weitere 9,8 Millionen indirekt darin besch{\"a}ftigt (sechs Prozent aller Besch{\"a}ftigten in Europa) und erwirtschaften mit einem Umsatz von ca. € 780 Milliarden im Jahr einen bedeutenden Teil des europ{\"a}ischen Bruttoinlandprodukts (BIP). Auch aus Sicht der Konsumenten ist das Auto f{\"u}r 80 \% der Europ{\"a}ischen Haushalte, die ein Auto besitzen, aus dem t{\"a}glichen Leben nicht mehr weg zu denken. Die europ{\"a}ischen Staaten beziehen ca. € 380 Milliarden ihrer Steuereinnahmen aus der Automobilindustrie. Damit haben sowohl Staaten, Konsumenten als auch die Automobilindustrie ein gewichtiges Interesse am Florieren der Branche. Die Schattenseite der Automobilindustrie sind die CO2-Emissionen, die mit 20 \% (der Anteil lag 1970 bei 12 \%) aller CO2-Emissionen in Europa einen wesentlichen Teil zum Klimawandel beitragen, Tendenz steigend. So haben im Lauf der vergangenen Jahre mehr und mehr Staaten ihre Besteuerung der Pkw explizit oder implizit nach Umweltstandards ausgerichtet. Damit soll das Autofahren verteuert oder eingeschr{\"a}nkt und / oder die Nutzung von schadstoffarmen Pkw gef{\"o}rdert werden. Neben den Klimaschutz verfolgt die Europ{\"a}ische Union (EU) das Ziel, einen einheitlichen europ{\"a}ischen Binnenmarkt zu schaffen. Durch den Mangel an verbindlichen EU-Richtlinien im Bezug auf Abgaben, haben die Gesetze, Steuern und Abgaben auf einzelstaatlicher und regionaler Ebene ein kaum mehr zu {\"u}berschauendes Maß angenommen, da Im Rahmen des Subsidiarit{\"a}tsprinzips die Mitgliedsl{\"a}nder weiterhin ihr Steuersystem {\"u}berwiegend autonom gestalten, sofern dies im Einklang mit bestimmten europaweiten Vorgaben steht. Dies f{\"u}hrt zu einem sehr heterogenen Steuersystem, das gerade im Bereich des Verkehrs bedeutende Markteffekte (z. B. h{\"o}here Zulassungszahlen f{\"u}r Diesel betriebene Pkw oder k{\"u}rzere Haltedauern) nach sich zieht. Europaweit einheitlich sind lediglich Regelungen zu Wettbewerbsbeschr{\"a}nkungen. Es lassen sich nach wie vor viele Beispiele f{\"u}r Marktverzerrungen und die Heterogenit{\"a}t der Steuersysteme in Europa finden: Marktverzerrungen und Wettbewerbsbeschr{\"a}nkungen zeigen sich bei Fahrzeugpreisen, die in Europa stark variieren. Beispielsweise kosten in D{\"a}nemark Pkw bis zu 37 \% weniger als in Deutschland. Diese Arbeit untersucht und vergleicht die Abgaben auf den Erwerb, den Besitz und die Nutzung von Pkw in den EU-L{\"a}ndern sowie Norwegen und der Schweiz sowohl systematisch als auch quantitativ. Zur quantitativen Analyse wurde eine Datenbank mit den zur Steuerberechnung notwendigen Informationen erstellt. Darunter sind beispielswiese: Steuers{\"a}tze und -tarife, Fahrzeugdaten, Kraftstoffpreise, Instandhaltungskosten, Versicherungsbeitrage, Wechselkurse und der durchschnittliche Wertverlust der Fahrzeuge. Darauf und auf bestimmten Annahmen basierend wurden die absoluten Abgaben f{\"u}r repr{\"a}sentative Fahrzeuge in den verschiedenen L{\"a}ndern berechnet. Besonderes Augenmerk gilt der CO2-orientierten Besteuerung, die in 17 L{\"a}ndern (zumindest teilweise) eingef{\"u}hrt wurde. Diese Arbeit betrachtet auch andere, d. h. nicht fiskalische Maßnahmen der Europ{\"a}ischen Union zur CO2-Reduzierung, vergleicht diese mit alternativen Instrumenten, und analysiert die Wirkung unterschiedlicher Besteuerung auf den Pkw-Binnenmarkt, z. B. den Einfluss von Abgaben auf die europ{\"a}ischen Automobilpreise und damit auf Arbitrageeffekte. Es zeigt sich, dass die Besteuerung in Europa sowohl in der Abgabenh{\"o}he als auch konzeptionell in der Vielzahl der Bemessungsgrundlagen und Steuertarife sehr heterogen ist und maßgeblich zu den sehr unterschiedlichen Gesamtkosten der Pkw-Nutzung beitr{\"a}gt. Die relative Abgabenlast ist in einkommensstarken L{\"a}ndern Westeuropas nicht hoch genug, um den Kraftstoffverbrauch sp{\"u}rbar zu reduzieren. Aus dem gleichen Grund ist von der CO2-orientierten Novellierung der deutschen Kfz-Steuer kein ausreichender Kaufanreiz zugunsten effizienterer Fahrzeuge zu erwarten. Die in der Vergangenheit von der Europ{\"a}ischen Union eingef{\"u}hrten Instrumente zur Reduzierung von CO2-Emissionen aus dem Straßenverkehr f{\"u}hrten nicht zu den erw{\"u}nschten Emissionsverringerungen. Die j{\"u}ngste Maßnahme der Europ{\"a}ischen Union, den Automobilherstellern Emissionsgrenzen vorzuschreiben, ist weder effektiv noch effizient. Im letzten Jahrzehnt haben sich die Automobilpreise in Europa zwar etwas angeglichen. Dies liegt weniger an einer Angleichung in der Besteuerung als an der schrittweisen Liberalisierung des europ{\"a}ischen Automobilmarktes und den Novellierungen der Gruppenfreistellungsverordnung.}, language = {de} } @phdthesis{Kamann2013, author = {Kamann, Sebastian}, title = {Crowded field spectroscopy and the search for intermediate-mass black holes in globular clusters}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-67763}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Globular clusters are dense and massive star clusters that are an integral part of any major galaxy. Careful studies of their stars, a single cluster may contain several millions of them, have revealed that the ages of many globular clusters are comparable to the age of the Universe. These remarkable ages make them valuable probes for the exploration of structure formation in the early universe or the assembly of our own galaxy, the Milky Way. A topic of current research relates to the question whether globular clusters harbour massive black holes in their centres. These black holes would bridge the gap from stellar mass black holes, that represent the final stage in the evolution of massive stars, to supermassive ones that reside in the centres of galaxies. For this reason, they are referred to as intermediate-mass black holes. The most reliable method to detect and to weigh a black hole is to study the motion of stars inside its sphere of influence. The measurement of Doppler shifts via spectroscopy allows one to carry out such dynamical studies. However, spectroscopic observations in dense stellar fields such as Galactic globular clusters are challenging. As a consequence of diffraction processes in the atmosphere and the finite resolution of a telescope, observed stars have a finite width characterized by the point spread function (PSF), hence they appear blended in crowded stellar fields. Classical spectroscopy does not preserve any spatial information, therefore it is impossible to separate the spectra of blended stars and to measure their velocities. Yet methods have been developed to perform imaging spectroscopy. One of those methods is integral field spectroscopy. In the course of this work, the first systematic study on the potential of integral field spectroscopy in the analysis of dense stellar fields is carried out. To this aim, a method is developed to reconstruct the PSF from the observed data and to use this information to extract the stellar spectra. Based on dedicated simulations, predictions are made on the number of stellar spectra that can be extracted from a given data set and the quality of those spectra. Furthermore, the influence of uncertainties in the recovered PSF on the extracted spectra are quantified. The results clearly show that compared to traditional approaches, this method makes a significantly larger number of stars accessible to a spectroscopic analysis. This systematic study goes hand in hand with the development of a software package to automatize the individual steps of the data analysis. It is applied to data of three Galactic globular clusters, M3, M13, and M92. The data have been observed with the PMAS integral field spectrograph at the Calar Alto observatory with the aim to constrain the presence of intermediate-mass black holes in the centres of the clusters. The application of the new analysis method yields samples of about 80 stars per cluster. These are by far the largest spectroscopic samples that have so far been obtained in the centre of any of the three clusters. In the course of the further analysis, Jeans models are calculated for each cluster that predict the velocity dispersion based on an assumed mass distribution inside the cluster. The comparison to the observed velocities of the stars shows that in none of the three clusters, a massive black hole is required to explain the observed kinematics. Instead, the observations rule out any black hole in M13 with a mass higher than 13000 solar masses at the 99.7\% level. For the other two clusters, this limit is at significantly lower masses, namely 2500 solar masses in M3 and 2000 solar masses in M92. In M92, it is possible to lower this limit even further by a combined analysis of the extracted stars and the unresolved stellar component. This component consists of the numerous stars in the cluster that appear unresolved in the integral field data. The final limit of 1300 solar masses is the lowest limit obtained so far for a massive globular cluster.}, language = {en} } @phdthesis{Junick2013, author = {Junick, Jana}, title = {Einfluss von Synbiotika auf die intestinale Mikrobiota gesunder Neugeborener}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69525}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Hintergrund: Gestillte Kinder haben im Vergleich zu nicht gestillten Kindern eine geringere Inzidenz von gastrointestinalen Infektionen und atopischen Erkrankungen. Man geht davon aus, dass der gesundheitsf{\"o}rdernde Effekt der Muttermilch teilweise {\"u}ber die intestinale Mikrobiota vermittelt wird. Diese ist in Stillkindern durch eine geringe Diversit{\"a}t und einen hohen Anteil an Bifidobakterien charakterisiert. Neueste Ans{\"a}tze in der Weiterentwicklung industriell hergestellter S{\"a}uglingsnahrung zielen darauf ab, eine intestinale Mikrobiota zu f{\"o}rdern, die der von gestillten Kindern {\"a}hnelt. Die Supplementation von S{\"a}uglingsnahrung mit Probiotika (lebende Mikroorganismen) oder Pr{\"a}biotika (unverdauliche Kohlenhydrate, die als Energiesubstrat f{\"u}r probiotische Bakterien dienen) k{\"o}nnte die bifidogene und antipathogene, aber auch immunmodulierende Wirkung der Muttermilch nachahmen. Aufgrund unterschiedlicher Interaktionen mit der Darmmikrobiota und dem Immunsystem fokussiert man mit der gleichzeitigen Gabe von Pro- und Pr{\"a}biotika (Synbiotika) eine synergistische Wirkung an. Zielstellung und Studiendesign: In einer randomisiert-kontrollierten, klinischen Studie wurde untersucht, ob sich in den ersten drei Lebensmonaten von gesunden und termingerecht geborenen Kindern mit einer Synbiotikum-haltigen S{\"a}uglingsnahrung eine intestinale Mikrobiota etabliert, die der von gestillten Kindern gleicht. Das Synbiotikum setzte sich aus Bifidobacterium animalis ssp. lactis CNCM I 3446 ({\"a}ltere Bezeichnung B. lactis BB-12) und Kuhmilcholigosacchariden zusammen. Die Studie umfasste zwei Gruppen von Kindern, die eine S{\"a}uglingsnahrung mit (SYN-Gruppe, n=21) oder ohne Supplement (KON-Gruppe, n=18) erhielten. Gestillte Kinder dienten als Referenz (REF-Gruppe, n=23). Um die Diversit{\"a}t der Bifidobakterien auf Speziesebene umfassend zu charakterisieren, wurden quantitative Real-Time PCR (qPCR)-Verfahren, basierend auf dem single-copy groEL als phylogenetisches Zielgen, zur spezifischen Quantifizierung von zw{\"o}lf Bifidobakterienspezies in humanen F{\"a}zes entwickelt und validiert. Ergebnisse: Die supplementierte S{\"a}uglingsnahrung war gut vertr{\"a}glich und unterst{\"u}tzte eine gesunde Entwicklung; vergleichbare anthropometrische Daten von SYN- und REF-Gruppe. Das Synbiotikum stimulierte selektiv das Wachstum von Laktobazillen und Bifidobakterien. Die Zellzahl f{\"u}r Laktobazillen der SYN-Gruppe war zur REF-Gruppe {\"a}quivalent (9,07±0,32 versus 9,90±0,27 log10 Zellen/g F{\"a}zes TM [MW±SEM]; p<0,0019; {\"A}quivalenzdifferenz von 1 log10 Zellen/g F{\"a}zes TM) und h{\"o}her als in der KON-Gruppe (8,27±0,31 log10 Zellen/g F{\"a}zes TM [MW±SEM]). Die Zellzahl f{\"u}r Bifidobakterien war in der SYN-Gruppe am h{\"o}chsten (11,54±0,05 versus 11,00±0,17 [REF-Gruppe] und 10,54±0,24 [KON-Gruppe] log10 Zellen/g F{\"a}zes TM [MW±SEM]). In der SYN-Gruppe wurde die h{\"o}chste Anzahl an Bifidobakterienspezies erfasst (167 mit [128 ohne] B. animalis in 56 F{\"a}zesproben versus 98 und 93 in jeweils 51 F{\"a}zesproben der REF- und KON-Gruppe). Neben Kinder-typischen Spezies wie B. bifidum und B. breve wurden auch Spezies, die f{\"u}r Erwachsene charakteristisch sind (B. adolescentis), h{\"a}ufiger in der SYN-Gruppe als in den Vergleichsgruppen nachgewiesen. Der pH-Wert in F{\"a}zes von Kindern aus der SYN-Gruppe war niedriger als der aus der KON-Gruppe (6,07±0,20 versus 6,45±0,17 [MW±SEM]) und n{\"a}her an dem von gestillten Kindern mit 5,29±0,12 (MW±SEM). Schlussfolgerung: Die Supplementation einer S{\"a}uglingsnahrung mit dem Synbiotikum aus CNCM I-3446 und Kuhmilcholigosacchariden f{\"u}hrte zu einer Angleichung in der Zusammensetzung der intestinalen Mikrobiota und des f{\"a}kalen pH-Wertes an gestillte Kinder. Die in dieser Arbeit entwickelten groEL-basierten qPCR-Verfahren erlaubten eine spezifische und genaue Analyse der Bifidobakterienpopulation unter dem Einfluss eines Synbiotikums.}, language = {de} } @phdthesis{Jung2013, author = {Jung, Heike}, title = {F{\"u}hrungsauffassungen von Unternehmen in l{\"a}ndlichen Kleinbetrieben der westlichen Mongolei : eine Analyse der F{\"u}hrungspraxis im Kontext neocharismatischer Theorieans{\"a}tze}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72459}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Der Transformationsprozess in der Mongolei stellt besonders f{\"u}r den wirtschaftlichen Bereich eine große Herausforderung dar. Bei der Umgestaltung von der Plan-zur Marktwirtschaft nehmen dabei F{\"u}hrungskr{\"a}fte eine Schl{\"u}sselfunktion ein, da sie wesentlichen Einfluss auf den Gestaltungsprozess der sich neu orientierenden Unternehmen haben. Die Arbeit untersucht das Verh{\"a}ltnis der F{\"u}hrungskr{\"a}fte zu ihren Mitarbeitern vor dem Hintergrund neocharismatischer Theorieans{\"a}tze und kommt zum dem Schluss, dass es Hinweise auf transformationale F{\"u}hrung gibt. Dabei nehmen Gruppenprozesse, die Person der F{\"u}hrungskraft sowie traditionelle und sozialistisch sozialisierte Elemente zentrale Rollen ein. Des Weiteren gibt es Verweise auf Konzepte der Authentizit{\"a}t und der Geteilten F{\"u}hrung.}, language = {de} } @phdthesis{Jaiser2013, author = {Jaiser, Ralf}, title = {Dreidimensionale Diagnostik der großskaligen Zirkulation der Tropo- und Stratosph{\"a}re}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69064}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In dieser Arbeit werden Konzepte f{\"u}r die Diagnostik der großskaligen Zirkulation in der Troposph{\"a}re und Stratosph{\"a}re entwickelt. Der Fokus liegt dabei auf dem Energiehaushalt, auf der Wellenausbreitung und auf der Interaktion der atmosph{\"a}rischen Wellen mit dem Grundstrom. Die Konzepte werden hergeleitet, wobei eine neue Form des lokalen Eliassen-Palm-Flusses unter Einbeziehung der Feuchte eingef{\"u}hrt wird. Angewendet wird die Diagnostik dann auf den Reanalysedatensatz ERA-Interim und einen durch beobachtete Meerestemperatur- und Eisdaten angetriebenen Lauf des ECHAM6 Atmosph{\"a}renmodells. Die diagnostischen Werkzeuge zur Analyse der großskaligen Zirkulation sind einerseits n{\"u}tzlich, um das Verst{\"a}ndnis der Dynamik des Klimasystems weiter zu f{\"o}rdern. Andererseits kann das gewonnene Verst{\"a}ndnis des Zusammenhangs von Energiequellen und -senken sowie deren Verkn{\"u}pfung mit synoptischen und planetaren Wellensystemen und dem resultierenden Antrieb des Grundstroms auch verwendet werden, um Klimamodelle auf die korrekte Wiedergabe dieser Beobachtungen zu pr{\"u}fen. Hier zeigt sich, dass die Abweichungen im untersuchten ECHAM6-Modelllauf bez{\"u}glich des Energiehaushalts klein sind, jedoch teils starke Abweichungen bez{\"u}glich der Ausbreitung von atmosph{\"a}rischen Wellen existieren. Planetare Wellen zeigen allgemein zu große Intensit{\"a}ten in den Eliassen-Palm-Fl{\"u}ssen, w{\"a}hrend innerhalb der Strahlstr{\"o}me der oberen Troposph{\"a}re der Antrieb des Grundstroms durch synoptische Wellen verf{\"a}lscht ist, da deren vertikale Ausbreitung gegen{\"u}ber den Beobachtungen verschoben ist. Untersucht wird auch der Einfluss von arktischen Meereis{\"a}nderungen ausgehend vom Bedeckungsminimum im August/September bis in den Winter. Es werden starke positive Temperaturanomalien festgestellt, welche an der Oberfl{\"a}che am gr{\"o}ßten sind. Diese f{\"u}hren vor allem im Herbst zur Intensivierung von synoptischen Systemen in den arktischen Breiten, da die Stabilit{\"a}t der troposph{\"a}rischen Schichtung verringert ist. Im darauffolgenden Winter stellen sich barotrope bis in die Stratosph{\"a}re reichende {\"A}nderungen der großskaligen Zirkulation ein, welche auf Meereis{\"a}nderungen zur{\"u}ckzuf{\"u}hren sind. Der meridionale Druckgradient sinkt und f{\"u}hrt so zu einem Muster {\"a}hnlich einer negativen Phase der arktischen Oszillation in der Troposph{\"a}re und einem geschw{\"a}chten Polarwirbel in der Stratosph{\"a}re. Diese Zusammenh{\"a}nge werden ebenfalls in einem ECHAM6-Modelllauf untersucht, wobei vor allem der Erw{\"a}rmungstrend in der Arktis zu gering ist. Die großskaligen Ver{\"a}nderungen im Winter k{\"o}nnen zum Teil auch im Modelllauf festgestellt werden, jedoch zeigen sich insbesondere in der Stratosph{\"a}re Abweichungen f{\"u}r die Periode mit der geringsten Eisausdehnung. Die vertikale Ausbreitung planetarer Wellen von der Troposph{\"a}re in die Stratosph{\"a}re ist in ECHAM6 mit sehr großen Abweichungen wiedergegeben. Somit stellt die Wellenausbreitung insgesamt den gr{\"o}ßten in dieser Arbeit festgestellten Mangel in ECHAM6 dar.}, language = {de} } @phdthesis{Jahnke2013, author = {Jahnke, D{\"o}rte}, title = {Gest{\"o}rtes Essverhalten im familialen Kontext : Welche Rolle spielen m{\"u}tterliche gewichts- und essst{\"o}rungsrelevante Merkmale bei der Auspr{\"a}gung gest{\"o}rten Essverhaltens im Kindesalter?}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-65145}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Gewichts- und essst{\"o}rungsrelevante Auff{\"a}lligkeiten sind bereits im Kindesalter verbreitet. Neben genetischen Faktoren kommt auch die familiale Vermittlung gest{\"o}rten Essverhaltens als Genesefaktor in Betracht. Ab dem Alter von zehn Jahren gibt es eine breite empirische Basis f{\"u}r die Verkn{\"u}pfung gest{\"o}rten Essverhaltens zwischen M{\"u}ttern und ihren Kindern. F{\"u}r das Alter unter zehn Jahren existiert bislang wenig gesichertes Wissen. Die Erforschung der spezifischen Wirkung des m{\"u}tterlichen auf kindliches gest{\"o}rtes Essverhalten ist jedoch im Hinblick auf Ans{\"a}tze zur Pr{\"a}vention kindlicher Gewichts- und Essst{\"o}rungen f{\"u}r dieses Alter von Bedeutung. Im Rahmen der vorliegenden Arbeit wurde gest{\"o}rtes Essverhalten von M{\"u}ttern und Kindern im Alter zwischen einem und zehn Jahren sowie die Beziehung gest{\"o}rten Essverhaltens von M{\"u}ttern und ihren Kindern in zwei Studien analysiert. Die erste Studie verfolgte das Ziel, gest{\"o}rtes Essverhalten von M{\"u}ttern und Kindern sowie deren Beziehung im Kontext m{\"u}tterlichen {\"U}bergewichts zu analysieren. Es wurden 219 M{\"u}tter von Kindern im Alter von drei bis sechs Jahren befragt. In der zweiten Studie wurde neben m{\"u}tterlichem {\"U}bergewicht die Rolle m{\"u}tterlicher Essst{\"o}rungssymptomatik fokussiert und in den Analysen des gest{\"o}rten Essverhaltens von Kindern im Alter von einem bis zehn Jahren ber{\"u}cksichtigt. In die Untersuchung ging eine Stichprobe von 506 M{\"u}ttern und deren Kindern ein. In beiden Studien beantworteten M{\"u}tter ein Fragebogenpaket, welches Instrumente zum gest{\"o}rten Essverhalten der M{\"u}tter (emotionales, externales und gez{\"u}geltes Essverhalten) und gest{\"o}rten Essverhalten des Kindes (emotionales und externales Essverhalten sowie Verlangen nach Essen) umfasste. In der zweiten Studie wurden dar{\"u}ber hinaus Prim{\"a}rsymptomatik einer Essst{\"o}rung der Mutter (Schlankheitsstreben, K{\"o}rperunzufriedenheit und bulimisches Essverhalten) und pathologisches Essverhalten der Kinder erfragt. {\"U}bergewichtige M{\"u}tter berichteten nicht nur h{\"o}here Auspr{\"a}gungen emotionalen und externalen Essverhaltens, sondern auch mehr Schlankheitsstreben, K{\"o}rperunzufriedenheit und bulimisches Essverhalten als normal- und untergewichtige M{\"u}tter. Insgesamt 26\% der befragten M{\"u}tter der zweiten Studie berichteten eine relevante Essst{\"o}rungssymptomatik, davon waren 62\% {\"u}bergewichtig. F{\"u}r die Kinder konnten keine Geschlechtsunterschiede hinsichtlich des Essverhaltens nachgewiesen werden. Im Grundschulalter waren emotionales und pathologisches Essverhalten h{\"o}her ausgepr{\"a}gt als bei j{\"u}ngeren Kindern. Kindliches {\"U}bergewicht war mit mehr emotionalem und externalem Essverhalten, Verlangen nach Essen sowie pathologischem Essverhalten verbunden. Das Vorliegen m{\"u}tterlichen {\"U}bergewichts sowie einer m{\"u}tterlichen Essst{\"o}rungssymptomatik war mit h{\"o}heren Auspr{\"a}gungen v.a. emotionalen Essverhaltens des Kindes assoziiert. Die h{\"o}chsten Auspr{\"a}gungen emotionalen Essverhaltens zeigten Kinder, deren M{\"u}tter {\"U}bergewicht und eine komorbide Essst{\"o}rungssymptomatik berichtet hatten. Dar{\"u}ber hinaus leisteten gest{\"o}rte Essverhaltensweisen der Mutter {\"u}ber allgemeine und gewichtsspezifische Aspekte hinaus einen relevanten Beitrag zur Varianzaufkl{\"a}rung emotionalen und externalen Essverhaltens des Kindes. Dabei war emotionales und externales Essverhalten von Mutter und Kind spezifisch miteinander verkn{\"u}pft. In der ersten Studie ließ sich im Rahmen eines Mediatormodells zeigen, dass die Beziehung zwischen m{\"u}tterlichem BMI und emotionalem Essverhalten des Kindes vollst{\"a}ndig durch das emotionale Essverhalten der Mutter vermittelt wurde. In der zweiten Studie moderierte das Alter des Kindes die Beziehung zwischen emotionalem Essverhalten von M{\"u}ttern und ihren Kindern in Richtung einer signifikanten Assoziation ab dem Alter von 5,4 Jahren des Kindes. Die vorliegende Arbeit liefert deutliche Hinweise auf die Verkn{\"u}pfung zwischen m{\"u}tterlichen gewichts- und essst{\"o}rungsrelevanten Merkmalen und kindlichem gest{\"o}rtem Essverhalten. Die Befunde legen nahe, dass emotionales Essverhalten als spezifischer {\"U}bertragungsweg gewichts- und essbezogener St{\"o}rungen zwischen M{\"u}ttern und Kindern in Betracht kommt und in Pr{\"a}ventionsans{\"a}tzen ber{\"u}cksichtigt werden sollte.}, language = {de} } @phdthesis{Inal2013, author = {Inal, Sahika}, title = {Responsive polymers for optical sensing applications}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70806}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {LCST-type synthetic thermoresponsive polymers can reversibly respond to certain stimuli in aqueous media with a massive change of their physical state. When fluorophores, that are sensitive to such changes, are incorporated into the polymeric structure, the response can be translated into a fluorescence signal. Based on this idea, this thesis presents sensing schemes which transduce the stimuli-induced variations in the solubility of polymer chains with covalently-bound fluorophores into a well-detectable fluorescence output. Benefiting from the principles of different photophysical phenomena, i.e. of fluorescence resonance energy transfer and solvatochromism, such fluorescent copolymers enabled monitoring of stimuli such as the solution temperature and ionic strength, but also of association/disassociation mechanisms with other macromolecules or of biochemical binding events through remarkable changes in their fluorescence properties. For instance, an aqueous ratiometric dual sensor for temperature and salts was developed, relying on the delicate supramolecular assembly of a thermoresponsive copolymer with a thiophene-based conjugated polyelectrolyte. Alternatively, by taking advantage of the sensitivity of solvatochromic fluorophores, an increase in solution temperature or the presence of analytes was signaled as an enhancement of the fluorescence intensity. A simultaneous use of the sensitivity of chains towards the temperature and a specific antibody allowed monitoring of more complex phenomena such as competitive binding of analytes. The use of different thermoresponsive polymers, namely poly(N-isopropylacrylamide) and poly(meth)acrylates bearing oligo(ethylene glycol) side chains, revealed that the responsive polymers differed widely in their ability to perform a particular sensing function. In order to address questions regarding the impact of the chemical structure of the host polymer on the sensing performance, the macromolecular assembly behavior below and above the phase transition temperature was evaluated by a combination of fluorescence and light scattering methods. It was found that although the temperature-triggered changes in the macroscopic absorption characteristics were similar for these polymers, properties such as the degree of hydration or the extent of interchain aggregations differed substantially. Therefore, in addition to the demonstration of strategies for fluorescence-based sensing with thermoresponsive polymers, this work highlights the role of the chemical structure of the two popular thermoresponsive polymers on the fluorescence response. The results are fundamentally important for the rational choice of polymeric materials for a specific sensing strategy.}, language = {en} } @phdthesis{Hoelterhoff2013, author = {H{\"o}lterhoff, Dieter}, title = {Berufsbildende Schulen in den ostdeutschen L{\"a}ndern am Neuanfang : eine Untersuchung zum Transformationsprozess am Beispiel der Oberstufenzentren im Land Brandenburg in den 1990er Jahren}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69574}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Die Arbeit leistet einen Beitrag zum Transformationsprozess von der schulischen beruflichen Bildung der DDR hin zu den Oberstufenzentren im Land Brandenburg in den 1990er Jahren. Es wird die Triade der Faktoren Institutionentransfer, Personen- und Knowhow-Transfer und Finanztransfer analysiert. Die vollst{\"a}ndige Umstrukturierung ist das berufsschulp{\"a}dagogisch herausragende Ergebnis der Transformation. Es wird herausgearbeitet welche Folgerungen aus dem Transformationsprozess f{\"u}r berufsschulpolitische Reformprozesse zu ziehen sind. Dabei wird der Frage nachgegangen, ob die {\"U}bernahme des bundesrepublikanischen beruflichen Schulsystems zwangsl{\"a}ufig der Nutzung einer Blaupause gleichkam oder ob es auch abweichende Wege gegeben hat bzw. generell h{\"a}tte geben k{\"o}nnen. Der Transformationsprozess wird nicht auf der Ebene der Einzelschulen, der curricularen und konkreten Ausgestaltung der verschiedenen Bildungsg{\"a}nge und des Lehrkr{\"a}fteeinsatzes untersucht, sondern auf der Ebene der Entwicklung der Rahmenbedingungen und der Strukturen der Oberstufenzentren, also auf der Metaebene der Policy als inhaltlicher Dimension von Politik. Damit liegt der Fokus auf dem System „Oberstufenzentrum". Die Untersuchung dieses Systems klammert die Untersuchung der Handelnden aus: Die untere Schulaufsicht, die OSZ-Leitungen, die Lehrkr{\"a}fte und nicht zuletzt die Sch{\"u}lerinnen und Sch{\"u}ler. Die Analyse dient dem Verst{\"a}ndnis und der Interpretation dessen, was sich sowohl durch die bundesstaatlichen Vorgaben - Einigungsvertrag u.a. - als auch durch das berufsbildungs- und berufsschulpolitische Handeln beteiligter Akteure herausbilden konnte. Die inhaltliche Dimension des berufsbildungs- und berufsschulpolitischen Feldes innerhalb des politisch-administrativen Systems im engeren Sinn wird {\"u}berwiegend bezogen auf die KMK untersucht; ebenso die externen Akteure und ihre Rolle. Es wird herausgearbeitet welche Folgerungen aus dem Transformationsprozess f{\"u}r berufsbildungs- und berufsschulpolitische Reformprozesse gezogen werden k{\"o}nnen. Gegenstand der Untersuchung sind ausgew{\"a}hlte Beitr{\"a}ge zu verschiedenen Aspekten der Entwicklung der Oberstufenzentren im Land Brandenburg. Gegenstand sind deshalb ausgew{\"a}hlte Rechtsgrundlagen, Fachaufs{\"a}tze etc. sowie durch Arbeitspapiere dokumentierte Aspekte der berufsschul- und berufsbildungspolitischen Diskussion in der Wendezeit und nachfolgenden nach der Gr{\"u}ndung des Landes Brandenburg. Anhand von Vergleichen der rechtlichen Ausgangslagen in den f{\"u}nf ostdeutschen L{\"a}ndern wird analysiert, ob es verfassungs- respektive schulrechtliche Besonderheiten gab, die zu unterschiedlichem ministeriellen Handeln f{\"u}hrten bzw. f{\"u}hren mussten. Die wiedergegebenen Beitr{\"a}ge zur Entwicklung der Oberstufenzentren werden bez{\"u}glich der Relevanz von KMK-Beschl{\"u}ssen bzw. -Rahmenvereinbarungen untersucht und kommentiert. Der Institutionentransfer besteht aus dem Beitritt der ostdeutschen L{\"a}nder zur Gesch{\"a}ftsordnung der KMK, der daraus resultierenden {\"U}bernahme der Schulformen und Bildungsg{\"a}nge einschließlich der rechtlichen Folgen durch Schaffung des Schulrechts in den L{\"a}ndern. Der Personen- und Knowhow-Transfer fand auf der Ebene der entsandten Verwaltungsmitarbeiterinnen und -mitarbeiter der Kultusministerien und der Mittelbeh{\"o}rden statt. F{\"u}r den Transformationsprozess w{\"a}hrend des hier interessierenden Untersuchungszeitraums werden Berufsschul- und berufsbildungspolitische Aspekte, bzw. im umfassenderen Sinne die der Berufsbildungswissenschaft erstmalig mit der vorliegenden Untersuchung reflektiert. Insofern kann diese als Beitrag zur historisch-berufsbildungswissenschaftlichen Forschung betrachtet werden.}, language = {de} } @phdthesis{Hudjetz2013, author = {Hudjetz, Annekatrin}, title = {Modelllernen im Ern{\"a}hrungskontext : m{\"u}tterlicher und v{\"a}terlicher Einfluss auf die Ern{\"a}hrung adip{\"o}ser Kinder}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72336}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Adipositas ist eine chronische Erkrankung mit erheblichen Komorbidit{\"a}ten und Folgesch{\"a}den, die bereits im Kindes- und Jugendalter weit verbreitet ist. Unterschiedliche Faktoren sind an der {\"A}tiologie dieser St{\"o}rung beteiligt. Die Ern{\"a}hrung stellt dabei eine der Haupts{\"a}ulen dar, auf welche immer wieder Bezug genommen wird. Der Einfluss der Eltern auf die kindliche Ern{\"a}hrung spielt unbestritten eine zentrale Rolle - hinsichtlich genetischer Dispositionen, aber auch als Gestalter der Lebensumwelten und Vorbilder im Ern{\"a}hrungsbereich. Die vorliegende Arbeit hat zum Ziel, {\"U}bereinstimmungen elterlicher und kindlicher Ern{\"a}hrung zu untersuchen und dabei zu pr{\"u}fen, inwiefern Prozesse des Modelllernens f{\"u}r die Zusammenh{\"a}nge verantwortlich zeichnen. Grundlage ist die sozial-kognitive Theorie Albert Banduras mit dem Fokus auf seinen Ausf{\"u}hrungen zum Beobachtungs- oder Modelllernen. Die Zusammenh{\"a}nge elterlicher und kindlicher Ern{\"a}hrung wurden anhand einer Stichprobe 7 - 13-j{\"a}hriger adip{\"o}ser Kinder und ihrer Eltern in Beziehung gesetzt zu den Bedingungen des Modelllernens, die zuvor auch in anderen Studien gefunden worden waren. Eine hohe {\"A}hnlichkeit oder gute Beziehung zwischen Modell (Mutter bzw. Vater) und Lernendem (Kind) sollte demnach moderierend auf die St{\"a}rke des Zusammenhangs wirken. Aus Banduras Ausf{\"u}hrungen zu den Phasen des Modelllernens ergibt sich zudem ein dritter Aspekt, der in das Untersuchungsmodell einbezogen wurde. Die von Bandura postulierte Aneignungsphase setzt voraus, dass das zu lernende Verhalten auch beobachtet werden kann. Aus diesem Grund sollte die Analyse von Zusammenh{\"a}ngen im Verhalten nicht losgel{\"o}st von der Zeit betrachtet werden, die Modell und Beobachter miteinander verbringen bzw. verbracht haben. Zudem wurde die Wahrnehmung eines Elternteils als Vorbild beim Kind erfragt und als Moderator aufgenommen. In die Analysen eingeschlossen wurden vollst{\"a}ndige Mutter-Vater-Kind-Triaden. Im Querschnitt der Fragebogenerhebung waren die Daten von 171 M{\"a}dchen und 176 Jungen, in einem 7 Monate darauf folgenden L{\"a}ngsschnitt insgesamt 75 Triaden (davon 38 M{\"a}dchen) enthalten. Es zeigte sich ein positiver Zusammenhang zwischen der kindlichen und m{\"u}tterlichen Ern{\"a}hrung ebenso wie zwischen der kindlichen und v{\"a}terlichen Ern{\"a}hrung. Die {\"U}bereinstimmungen zwischen Mutter und Kind waren gr{\"o}ßer als zwischen Vater und Kind. {\"U}berwiegend best{\"a}tigt werden konnten der moderierende Einfluss der Beziehungsqualit{\"a}t und der Vorbildwahrnehmung auf die Zusammenh{\"a}nge elterlicher und kindlicher gesunder Ern{\"a}hrung und der Einfluss gemeinsam verbrachter Zeit vor allem in Bezug auf Vater-Kind-Zusammenh{\"a}nge problematischer Ern{\"a}hrung. Der v{\"a}terliche Einfluss, der sowohl in Studien als auch in pr{\"a}ventiven oder therapeutischen Angeboten oft noch vernachl{\"a}ssigt wird und in vorliegender Arbeit besondere bzw. gleichberechtigte Beachtung fand, zeigte sich durch den Einbezug moderierender Variablen verst{\"a}rkt. Eine Ansprache von M{\"u}ttern und V{\"a}tern gleichermaßen ist somit unbedingtes Ziel bei der Pr{\"a}vention und Therapie kindlicher Adipositas. Auch jenseits des Adipositaskontextes sollten Eltern f{\"u}r die Bedeutung elterlicher Vorbildwirkung sensibilisiert werden, um eine gesunde Ern{\"a}hrungsweise ihrer Kinder zu f{\"o}rdern.}, language = {de} } @phdthesis{Holz2013, author = {Holz, Christian}, title = {3D from 2D touch}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-67796}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {While interaction with computers used to be dominated by mice and keyboards, new types of sensors now allow users to interact through touch, speech, or using their whole body in 3D space. These new interaction modalities are often referred to as "natural user interfaces" or "NUIs." While 2D NUIs have experienced major success on billions of mobile touch devices sold, 3D NUI systems have so far been unable to deliver a mobile form factor, mainly due to their use of cameras. The fact that cameras require a certain distance from the capture volume has prevented 3D NUI systems from reaching the flat form factor mobile users expect. In this dissertation, we address this issue by sensing 3D input using flat 2D sensors. The systems we present observe the input from 3D objects as 2D imprints upon physical contact. By sampling these imprints at very high resolutions, we obtain the objects' textures. In some cases, a texture uniquely identifies a biometric feature, such as the user's fingerprint. In other cases, an imprint stems from the user's clothing, such as when walking on multitouch floors. By analyzing from which part of the 3D object the 2D imprint results, we reconstruct the object's pose in 3D space. While our main contribution is a general approach to sensing 3D input on 2D sensors upon physical contact, we also demonstrate three applications of our approach. (1) We present high-accuracy touch devices that allow users to reliably touch targets that are a third of the size of those on current touch devices. We show that different users and 3D finger poses systematically affect touch sensing, which current devices perceive as random input noise. We introduce a model for touch that compensates for this systematic effect by deriving the 3D finger pose and the user's identity from each touch imprint. We then investigate this systematic effect in detail and explore how users conceptually touch targets. Our findings indicate that users aim by aligning visual features of their fingers with the target. We present a visual model for touch input that eliminates virtually all systematic effects on touch accuracy. (2) From each touch, we identify users biometrically by analyzing their fingerprints. Our prototype Fiberio integrates fingerprint scanning and a display into the same flat surface, solving a long-standing problem in human-computer interaction: secure authentication on touchscreens. Sensing 3D input and authenticating users upon touch allows Fiberio to implement a variety of applications that traditionally require the bulky setups of current 3D NUI systems. (3) To demonstrate the versatility of 3D reconstruction on larger touch surfaces, we present a high-resolution pressure-sensitive floor that resolves the texture of objects upon touch. Using the same principles as before, our system GravitySpace analyzes all imprints and identifies users based on their shoe soles, detects furniture, and enables accurate touch input using feet. By classifying all imprints, GravitySpace detects the users' body parts that are in contact with the floor and then reconstructs their 3D body poses using inverse kinematics. GravitySpace thus enables a range of applications for future 3D NUI systems based on a flat sensor, such as smart rooms in future homes. We conclude this dissertation by projecting into the future of mobile devices. Focusing on the mobility aspect of our work, we explore how NUI devices may one day augment users directly in the form of implanted devices.}, language = {en} } @phdthesis{Holsten2013, author = {Holsten, Anne}, title = {Climate change vulnerability assessments in the regional context}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66836}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Adapting sectors to new conditions under climate change requires an understanding of regional vulnerabilities. Conceptually, vulnerability is defined as a function of sensitivity and exposure, which determine climate impacts, and adaptive capacity of a system. Vulnerability assessments for quantifying these components have become a key tool within the climate change field. However, there is a disagreement on how to make the concept operational in studies from a scientific perspective. This conflict leads to many still unsolved challenges, especially regarding the quantification and aggregation of the components and their suitable level of complexity. This thesis therefore aims at advancing the scientific foundation of such studies by translating the concept of vulnerability into a systematic assessment structure. This includes all components and implies that for each considered impact (e.g. flash floods) a clear sensitive entity is defined (e.g. settlements) and related to a direction of change for a specific climatic stimulus (e.g. increasing impact due to increasing days with heavy precipitation). Regarding the challenging aggregation procedure, two alternative methods allowing a cross-sectoral overview are introduced and their advantages and disadvantages discussed. This assessment structure is subsequently exemplified for municipalities of the German state North Rhine-Westphalia via an indicator-based deductive approach using information from literature. It can be transferred also to other regions. As for many relevant sectors, suitable indicators to express the vulnerability components are lacking, new quantification methods are developed and applied in this thesis, for example for the forestry and health sector. A lack of empirical data on relevant thresholds is evident, for example which climatic changes would cause significant impacts. Consequently, the multi-sectoral study could only provide relative measures for each municipality, in relation to the region. To fill this gap, an exemplary sectoral study was carried out on windthrow impacts in forests to provide an absolute quantification of the present and future impact. This is achieved by formulating an empirical relation between the forest characteristics and damage based on data from a past storm event. The resulting measure indicating the sensitivity is then combined with wind conditions. Multi-sectoral vulnerability assessments require considerable resources, which often hinders the implementation. Thus, in a next step, the potential for reducing the complexity is explored. To predict forest fire occurrence, numerous meteorological indices are available, spanning over a range of complexity. Comparing their performance, the single variable relative humidity outperforms complex indicators for most German states in explaining the monthly fire pattern. This is the case albeit it is itself an input factor in most indices. Thus, this meteorological factor alone is well suited to evaluate forest fire danger in many Germany regions and allows a resource-efficient assessment. Similarly, the complexity of methods is assessed regarding the application of the ecohydrological model SWIM to the German region of Brandenburg. The inter-annual soil moisture levels simulated by this model can only poorly be represented by simpler statistical approach using the same input data. However, on a decadal time horizon, the statistical approach shows a good performance and a strong dominance of the soil characteristic field capacity. This points to a possibility to reduce the input factors for predicting long-term averages, but the results are restricted by a lack of empirical data on soil water for validation. The presented assessments of vulnerability and its components have shown that they are still a challenging scientific undertaking. Following the applied terminology, many problems arise when implementing it for regional studies. Advances in addressing shortcomings of previous studies have been made by constructing a new systematic structure for characterizing and aggregating vulnerability components. For this, multiple approaches were presented, but they have specific advantages and disadvantages, which should also be carefully considered in future studies. There is a potential to simplify some methods, but more systematic assessments on this are needed. Overall, this thesis strengthened the use of vulnerability assessments as a tool to support adaptation by enhancing their scientific basis.}, language = {en} } @phdthesis{Hohenstein2013, author = {Hohenstein, Sven}, title = {Eye movements and processing of semantic information in the parafovea during reading}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70363}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {When we read a text, we obtain information at different levels of representation from abstract symbols. A reader's ultimate aim is the extraction of the meaning of the words and the text. The reserach of eye movements in reading covers a broad range of psychological systems, ranging from low-level perceptual and motor processes to high-level cognition. Reading of skilled readers proceeds highly automatic, but is a complex phenomenon of interacting subprocesses at the same time. The study of eye movements during reading offers the possibility to investigate cognition via behavioral measures during the excercise of an everyday task. The process of reading is not limited to the directly fixated (or foveal) word but also extends to surrounding (or parafoveal) words, particularly the word to the right of the gaze position. This process may be unconscious, but parafoveal information is necessary for efficient reading. There is an ongoing debate on whether processing of the upcoming word encompasses word meaning (or semantics) or only superficial features. To increase the knowledge about how the meaning of one word helps processing another word, seven experiments were conducted. In these studies, words were exachanged during reading. The degree of relatedness between the word to the right of the currently fixated one and the word subsequently fixated was experimentally manipulated. Furthermore, the time course of the parafoveal extraction of meaning was investigated with two different approaches, an experimental one and a statistical one. As a major finding, fixation times were consistently lower if a semantically related word was presented compared to the presence of an unrelated word. Introducing an experimental technique that allows controlling the duration for which words are available, the time course of processing and integrating meaning was evaluated. Results indicated both facilitation and inhibition due to relatedness between the meanings of words. In a more natural reading situation, the effectiveness of the processing of parafoveal words was sometimes time-dependent and substantially increased with shorter distances between the gaze position and the word. Findings are discussed with respect to theories of eye-movement control. In summary, the results are more compatible with models of distributed word processing. The discussions moreover extend to language differences and technical issues of reading research.}, language = {en} } @phdthesis{Hintersberger2013, author = {Hintersberger, Esther}, title = {The role of extension during the evolution of the NW Indian Himalaya}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66179}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The evolution of most orogens typically records cogenetic shortening and extension. Pervasive normal faulting in an orogen, however, has been related to late syn- and post-collisional stages of mountain building with shortening focused along the peripheral sectors of the orogen. While extensional processes constitute an integral part of orogenic evolution, the spatiotemporal characteristics and the kinematic linkage of structures related to shortening and extension in the core regions of the orogen are often not well known. Related to the India-Eurasia collision, the Himalaya forms the southern margin of the Tibetan Plateau and constitutes the most prominent Cenozoic type example of a collisional orogen. While thrusting is presently observed along the foothills of the orogen, several generations of extensional structures have been detected in the internal, high-elevation regions, both oriented either parallel or perpendicular to the strike of the orogen. In the NW Indian Himalaya, earthquake focal mechanisms, seismites and ubiquitous normal faulting in Quaternary deposits, and regional GPS measurements reveal ongoing E-W extension. In contrast to other extensional structures observed in the Himalaya, this extension direction is neither parallel nor perpendicular to the NE-SW regional shortening direction. In this study, I took advantage of this obliquity between the trend of the orogen and structures related to E-W oriented extension in order to address the question of the driving forces of different extension directions. Thus, extension might be triggered triggered by processes within the Tibetan Plateau or originates from the curvature of the Himalayan orogen. In order to elaborate on this topic, I present new fault-kinematic data based on systematic measurements of approximately 2000 outcrop-scale brittle fault planes with displacements of up to several centimeters that cover a large area of the NW Indian Himalaya. This new data set together with field observations relevant for relative chronology allows me to distinguish six different deformation styles. One of the main results are that the overall strain pattern derived from this data reflects the regionally important contractional deformation pattern very well, but also reveals significant extensional deformation. In total, I was able to identify six deformation styles, most of which are temporally and spatially linked and represent protracted shortening, but also significant extensional directions. For example, this is the first data set where a succession of both, arc-normal and E-W extension have been documented in the Himalaya. My observations also furnish the basis for a detailed overview of the younger extensional deformation history in the NW Indian Himalaya. Field and remote-sensing based geomorphic analyses, and geochronologic 40Ar/39Ar data on synkinematic muscovites along normal faults help elucidate widespread E-W extension in the NW Indian Himalaya which must have started at approximately 14-16 Ma, if not earlier. In addition, I documented and mapped fault scarps in Quaternary sedimentary deposits using satellite imagery and field inspection. Furthermore, I made field observations of regional normal faults, compiled structures from geological maps and put them in a regional context. Finally, I documented seismites in lake sediments close to the currently most active normal fault in the study area in order to extend the (paleo) seismic record of this particular fault. Taken together, this data sets document that E-W extension is the dominant active deformation style in the internal parts of the orogen. In addition, the combined field, geomorphic and remote-sensing data sets prove that E-W extension occurs in a much more larger region toward the south and west than the seismicity data have suggested. In conclusion, the data presented here reveal the importance of extension in a region, which is still dominated by ongoing collision and shortening. The regional fault distribution and cross-cutting relationships suggest that extension parallel and perpendicular to the strike of the orogen are an integral part of the southward propagation of the active thrust front and the associated lateral growth of the Himalayan arc. In the light of a wide range of models proposed for extension in the Himalaya and the Tibetan plateau, I propose that E-W extension in the NW Indian Himalaya is transferred from the Tibetan Plateau due the inability of the Karakorum fault (KF) to adequately accommodate ongoing E-W extension on the Tibetan Plateau. Furthermore, in line with other observations from Tibet, the onset of E-W normal faulting in the NW Himalaya may also reflect the attainment of high topography in this region, which generated crustal stresses conducive to spatially extensive extension.}, language = {en} } @phdthesis{Herrmann2013, author = {Herrmann, Heike}, title = {Zum Erwerb syntaktischer Aspekte von positiven und negativen W-Fragen im unauff{\"a}lligen und auff{\"a}lligen Spracherwerb des Deutschen}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-293-3}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70606}, school = {Universit{\"a}t Potsdam}, pages = {362}, year = {2013}, abstract = {Der W-Fragen-Erwerb stellt einen Teilbereich der kindlichen Syntaxentwicklung dar, die sich maßgeblich innerhalb der ersten drei Lebensjahre eines Kindes vollzieht. Eine wesentliche Rolle spielen dabei zwei Bewegungsoperationen, die sich auf die Position des Interrogativpronomens an die erste Stelle der W-Frage sowie die Position des Verbs an die zweite Stelle beziehen. In drei Studien wurde einerseits untersucht, ob deutschsprachige Kinder, die noch keine W-Fragen produzieren k{\"o}nnen, in der Lage sind, grammatische von ungrammatischen W-Fragen zu unterscheiden und andererseits, welche Leistungen sprachunauff{\"a}llige und sprachauff{\"a}llige deutschsprachige Kinder beim Verstehen und Korrigieren unterschiedlich komplexer W-Fragen (positive und negative W-Fragen) zeigen. Die Ergebnisse deuten auf ein fr{\"u}hes syntaktisches Wissen {\"u}ber W-Fragen im Spracherwerb hin und st{\"u}tzen damit die Annahme einer Kontinuit{\"a}t der kindlichen Grammatik zur Standardsprache. Auch scheinen sprachauff{\"a}llige Kinder sich beim Erwerb von W-Fragen nicht qualitativ von sprachgesunden Kindern zu unterscheiden, sondern W-Fragen lediglich sp{\"a}ter korrekt umzusetzen. In beiden Populationen konnte ein syntaktischer {\"O}konomieeffekt beobachtet werden, der f{\"u}r eine sp{\"a}tere Umsetzung der Verbbewegung im Vergleich zur Bewegung des W-Elementes spricht.}, language = {de} } @phdthesis{Helfert2013, author = {Helfert, Susanne}, title = {Die Rolle aussehensbezogenen sozialen Drucks in der Entstehung von K{\"o}rperunzufriedenheit im Jugendalter}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66946}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {K{\"o}rperliche Attraktivit{\"a}t und gutes Aussehen spielen in der heutigen Gesellschaft eine entscheidende Rolle, was bereits fr{\"u}hzeitig auch Kinder und Jugendliche in ihren Einstellungen und der Wahrnehmung ihres K{\"o}rpers pr{\"a}gt. Sorgen um den eigenen K{\"o}rper gelten als normatives Problem unter Jugendlichen und bergen nicht selten das Risiko f{\"u}r gesundheitsgef{\"a}hrdendes Verhalten und psychische Erkrankungen. In der Suche nach den Ursachen gerieten in den letzten Jahren insbesondere soziokulturelle Faktoren, insbesondere der Einfluss von medial vermittelten Sch{\"o}nheitsidealen, in den Fokus der Forschung. Es ist jedoch fraglich, warum nicht alle Jugendlichen in gleicher Weise auf den allgegenw{\"a}rtigen Mediendruck reagieren. Naheliegend ist, dass die Jugendlichen besonders gef{\"a}hrdet sind, deren unmittelbares soziales Umfeld das geltende Sch{\"o}nheitsideal direkt oder indirekt vermittelt und verst{\"a}rkt. Das Verst{\"a}ndnis der Rolle sozialen Drucks ist jedoch bislang noch durch zahlreiche inhaltliche und methodische Aspekte beschr{\"a}nkt (z.B. Einschr{\"a}nkungen in der Operationalisierung, ungen{\"u}gende Ber{\"u}cksichtigung geschlechtsspezifischer Mechanismen, fehlende l{\"a}ngsschnittliche Belege). Daher widmet sich die vorliegende Arbeit der Bedeutung aussehensbezogenen sozialen Drucks in der Entstehung von K{\"o}rperunzufriedenheit im Jugendalter in drei aufeinander aufbauenden Untersuchungsschritten. Ausgehend von der Entwicklung eines umfassenden und zuverl{\"a}ssigen Erhebungsinstruments zielt die Arbeit darauf ab, unterschiedliche Aspekte sozialen Drucks gegen{\"u}berzustellen und hinsichtlich ihrer Verbreitung und Risikowirkung zu vergleichen. Die Umsetzung des Forschungsvorhabens erfolgte in unterschiedlichen Sch{\"u}lerstichproben der Klassen 7 bis 9 unterschiedlicher Gymnasien und Gesamtschulen (Hauptstichprobe N = 1112, im Mittel = 13.4 ± 0.8 Jahre). Dabei wurden sowohl quer- als auch l{\"a}ngsschnittliche Analysen durchgef{\"u}hrt. Zus{\"a}tzlich wurden zur Erprobung des Fragebogenverfahrens klinische Stichproben mit Ess- und Gewichtsst{\"o}rungen herangezogen. Zur detaillierten Erfassung unterschiedlicher Formen aussehensbezogenen sozialen Drucks erfolgte im ersten Schritt die Entwicklung des Fragebogen zum aussehensbezogen sozialen Druck (FASD), welcher acht unterschiedliche Formen aussehensbezogene sozialen Drucks ausgehend von Eltern und Gleichaltrigen reliabel und valide erfasst. Dabei erwies sich das Verfahren gleichermaßen f{\"u}r Jungen und M{\"a}dchen, wie f{\"u}r Jugendliche mit unterschiedlichem Gewichtsstatus geeignet. Die psychometrische G{\"u}te des Verfahrens konnte sowohl f{\"u}r populationsbasierte als auch f{\"u}r klinische Stichproben mit Ess- und Gewichtsst{\"o}rung belegt werden, wodurch eine breite Einsatzm{\"o}glichkeit in Forschung und Praxis denkbar ist. Im zweiten Schritt erfolgte die Untersuchung der Verbreitung aussehensbezogenen sozialen Drucks unter besonderer Ber{\"u}cksichtigung von Geschlechts-, Alters- und Gewichtsgruppenunterschieden. Dabei erwiesen sich M{\"a}dchen als st{\"a}rker von aussehensbezogenem Druck durch Gleichaltrige betroffen als Jungen. Dar{\"u}berhinaus legen die Ergebnisse nahe, dass {\"U}bergewicht ungeachtet des Geschlechts mit verst{\"a}rkten aussehensbezogenen Abwertungen und Ausgrenzungserfahrungen verbunden ist. Zudem deuten die Alterseffekte der Studie darauf hin, dass der {\"U}bergang von fr{\"u}her zu mittlerer Adoleszenz aber auch Schulwechsel besonderes kritische Zeitpunkte f{\"u}r die Etablierung aussehensbezogener Einfl{\"u}sse darstellen. Abschließend widmete sich die Arbeit der l{\"a}ngsschnittlichen Risikowirkung unterschiedlicher Aspekte aussehensbezogenen sozialen Drucks in der Entstehung von K{\"o}rperunzufriedenheit. Aussehensbezogene Einfl{\"u}sse von Freunden verst{\"a}rkten l{\"a}ngsschnittlich K{\"o}rpersorgen sowohl bei M{\"a}dchen als auch bei Jungen. Zudem ergab sich das Erleben von Ausgrenzung durch Gleichaltrige als entscheidender Risikofaktor f{\"u}r gewichtsbezogene K{\"o}rpersorgen unter Jungen. Als bedeutsamster elterlicher Einfluss erwiesen sich Aufforderungen auf die Figur zu achten. Diese Aufforderungen verst{\"a}rkten gleichermaßen f{\"u}r M{\"a}dchen und Jungen gewichtsbezogene K{\"o}rpersorgen. Die vorliegende Arbeit widmete sich dem Ziel, die Rolle aussehensbezogener sozialer Einfl{\"u}sse weiter aufzukl{\"a}ren. Das dazu vorgelegte umfassende Instrument erm{\"o}glichte eine differenzierte Betrachtung der Verbreitung und Wirkung unterschiedlicher Formen sozialen Drucks. Hierdurch weisen die Ergebnisse nicht nur auf wichtige geschlechtsspezifische Mechanismen hin, sondern leisten ebenso einen Beitrag zum vertieften Verst{\"a}ndnis der Risikowirkung sozialen Drucks. Diese Erkenntnisse liefern somit einerseits konkrete Ansatzpunkte f{\"u}r Pr{\"a}vention und Intervention und erm{\"o}glichen andererseits auch eine weitere Konkretisierung bereits etablierter soziokultureller Wirkmodelle.}, language = {de} } @phdthesis{Hassler2013, author = {Haßler, Sibylle Kathrin}, title = {Saturated hydraulic conductivity in the humid tropics : sources of variability, implications for monitoring and effects on near-surface hydrological flow paths}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66864}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Large areas in the humid tropics are currently undergoing land-use change. The decrease of tropical rainforest, which is felled for land clearing and timber production, is countered by increasing areas of tree plantations and secondary forests. These changes are known to affect the regional water cycle as a result of plant-specific water demand and by influencing key soil properties which determine hydrological flow paths. One of these key properties sensitive to land-use change is the saturated hydraulic conductivity (Ks) as it governs vertical percolation of water within the soil profile. Low values of Ks in a certain soil depth can form an impeding layer and lead to perched water tables and the development of predominantly lateral flow paths such as overland flow. These processes can induce nutrient redistribution, erosion and soil degradation and thus affect ecosystem services and human livelihoods. Due to its sensitivity to land-use change, Ks is commonly used to assess the associated changes in hydrological flow paths. The objective of this dissertation was to assess the effect of land-use change on hydrological flow paths by analysing Ks as indicator variable. Sources of Ks variability, their implications for Ks monitoring and the relationship between Ks and near-surface hydrological flow paths in the context of land-use change were studied. The research area was located in central Panama, a country widely experiencing the abovementioned changes in land use. Ks is dependent on both static, soil-inherent properties such as particle size and clay mineralogy and dynamic, land use-dependent properties such as organic carbon content. By conducting a pair of studies with one of these influences held constant in each, the importance of static and dynamic properties for Ks was assessed. Applying a space-for-time approach to sample Ks under secondary forests of different age classes on comparable soils, a recovery of Ks from the former pasture use was shown to require more than eight years. The process was limited to the 0-6 cm sampling depth and showed large variability among replicates. A wavelet analysis of a Ks transect crossing different soil map units under comparable land cover, old-growth tropical rainforest, showed large small-scale variability, which was attributed to biotic influences, as well as a possible but non-conclusive influence of soil types. The two results highlight the importance of dynamic, land use-dependent influences on Ks. Monitoring studies can help to quantify land use-induced change of Ks, but there is a variety of sampling designs which differ in efficiency of estimating mean Ks. A comparative study of four designs and their suitability for Ks monitoring is used to give recommendations about designing a Ks monitoring scheme. Quantifying changes in spatial means of Ks for small catchments with a rotational stratified sampling design did not prove to be more efficient than Simple Random Sampling. The lack of large-scale spatial structure prevented benefits of stratification, and large small-scale variability resulting from local biotic processes and artificial effects of destructive sampling caused a lack of temporal consistency in the re-sampling of locations, which is part of the rotational design. The relationship between Ks and near-surface hydrological flow paths is of critical importance when assessing the consequences of land-use change in the humid tropics. The last part of this dissertation aimed at disclosing spatial relationships between Ks and overland flow as influenced by different land cover types. The effects of Ks on overland-flow generation were spatially variable, different between planar plots and incised flowlines and strongly influenced by land-cover characteristics. A simple comparison of Ks values and rainfall intensities was insufficient to describe the observed pattern of overland flow. Likewise, event flow in the stream was apparently not directly related to overland flow response patterns within the catchments. The study emphasises the importance of combining pedological, hydrological, meteorological and botanical measurements to comprehensively understand the land use-driven change in hydrological flow paths. In summary, Ks proved to be a suitable parameter for assessing the influence of land-use change on soils and hydrological processes. The results illustrated the importance of land cover and spatial variability of Ks for decisions on sampling designs and for interpreting overland-flow generation. As relationships between Ks and overland flow were shown to be complex and dependent on land cover, an interdisciplinary approach is required to comprehensively understand the effects of land-use change on soils and near-surface hydrological flow paths in the humid tropics.}, language = {en} } @phdthesis{Haider2013, author = {Haider, Peter}, title = {Prediction with Mixture Models}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69617}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Learning a model for the relationship between the attributes and the annotated labels of data examples serves two purposes. Firstly, it enables the prediction of the label for examples without annotation. Secondly, the parameters of the model can provide useful insights into the structure of the data. If the data has an inherent partitioned structure, it is natural to mirror this structure in the model. Such mixture models predict by combining the individual predictions generated by the mixture components which correspond to the partitions in the data. Often the partitioned structure is latent, and has to be inferred when learning the mixture model. Directly evaluating the accuracy of the inferred partition structure is, in many cases, impossible because the ground truth cannot be obtained for comparison. However it can be assessed indirectly by measuring the prediction accuracy of the mixture model that arises from it. This thesis addresses the interplay between the improvement of predictive accuracy by uncovering latent cluster structure in data, and further addresses the validation of the estimated structure by measuring the accuracy of the resulting predictive model. In the application of filtering unsolicited emails, the emails in the training set are latently clustered into advertisement campaigns. Uncovering this latent structure allows filtering of future emails with very low false positive rates. In order to model the cluster structure, a Bayesian clustering model for dependent binary features is developed in this thesis. Knowing the clustering of emails into campaigns can also aid in uncovering which emails have been sent on behalf of the same network of captured hosts, so-called botnets. This association of emails to networks is another layer of latent clustering. Uncovering this latent structure allows service providers to further increase the accuracy of email filtering and to effectively defend against distributed denial-of-service attacks. To this end, a discriminative clustering model is derived in this thesis that is based on the graph of observed emails. The partitionings inferred using this model are evaluated through their capacity to predict the campaigns of new emails. Furthermore, when classifying the content of emails, statistical information about the sending server can be valuable. Learning a model that is able to make use of it requires training data that includes server statistics. In order to also use training data where the server statistics are missing, a model that is a mixture over potentially all substitutions thereof is developed. Another application is to predict the navigation behavior of the users of a website. Here, there is no a priori partitioning of the users into clusters, but to understand different usage scenarios and design different layouts for them, imposing a partitioning is necessary. The presented approach simultaneously optimizes the discriminative as well as the predictive power of the clusters. Each model is evaluated on real-world data and compared to baseline methods. The results show that explicitly modeling the assumptions about the latent cluster structure leads to improved predictions compared to the baselines. It is beneficial to incorporate a small number of hyperparameters that can be tuned to yield the best predictions in cases where the prediction accuracy can not be optimized directly.}, language = {en} } @phdthesis{Gustafson2013, author = {Gustafson, Sean}, title = {Imaginary Interfaces}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68960}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The size of a mobile device is primarily determined by the size of the touchscreen. As such, researchers have found that the way to achieve ultimate mobility is to abandon the screen altogether. These wearable devices are operated using hand gestures, voice commands or a small number of physical buttons. By abandoning the screen these devices also abandon the currently dominant spatial interaction style (such as tapping on buttons), because, seemingly, there is nothing to tap on. Unfortunately this design prevents users from transferring their learned interaction knowledge gained from traditional touchscreen-based devices. In this dissertation, I present Imaginary Interfaces, which return spatial interaction to screenless mobile devices. With these interfaces, users point and draw in the empty space in front of them or on the palm of their hands. While they cannot see the results of their interaction, they obtain some visual and tactile feedback by watching and feeling their hands interact. After introducing the concept of Imaginary Interfaces, I present two hardware prototypes that showcase two different forms of interaction with an imaginary interface, each with its own advantages: mid-air imaginary interfaces can be large and expressive, while palm-based imaginary interfaces offer an abundance of tactile features that encourage learning. Given that imaginary interfaces offer no visual output, one of the key challenges is to enable users to discover the interface's layout. This dissertation offers three main solutions: offline learning with coordinates, browsing with audio feedback and learning by transfer. The latter I demonstrate with the Imaginary Phone, a palm-based imaginary interface that mimics the layout of a physical mobile phone that users are already familiar with. Although these designs enable interaction with Imaginary Interfaces, they tell us little about why this interaction is possible. In the final part of this dissertation, I present an exploration into which human perceptual abilities are used when interacting with a palm-based imaginary interface and how much each accounts for performance with the interface. These findings deepen our understanding of Imaginary Interfaces and suggest that palm-based Imaginary Interfaces can enable stand-alone eyes-free use for many applications, including interfaces for visually impaired users.}, language = {en} } @phdthesis{Gumienny2013, author = {Gumienny, Raja Carola}, title = {Understanding the adoption of digital whiteboard systems for collaborative design work}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72417}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {User-centered design processes are the first choice when new interactive systems or services are developed to address real customer needs and provide a good user experience. Common tools for collecting user research data, conducting brainstormings, or sketching ideas are whiteboards and sticky notes. They are ubiquitously available, and no technical or domain knowledge is necessary to use them. However, traditional pen and paper tools fall short when saving the content and sharing it with others unable to be in the same location. They are also missing further digital advantages such as searching or sorting content. Although research on digital whiteboard and sticky note applications has been conducted for over 20 years, these tools are not widely adopted in company contexts. While many research prototypes exist, they have not been used for an extended period of time in a real-world context. The goal of this thesis is to investigate what the enablers and obstacles for the adoption of digital whiteboard systems are. As an instrument for different studies, we developed the Tele-Board software system for collaborative creative work. Based on interviews, observations, and findings from former research, we tried to transfer the analog way of working to the digital world. Being a software system, Tele-Board can be used with a variety of hardware and does not depend on special devices. This feature became one of the main factors for adoption on a larger scale. In this thesis, I will present three studies on the use of Tele-Board with different user groups and foci. I will use a combination of research methods (laboratory case studies and data from field research) with the overall goal of finding out when a digital whiteboard system is used and in which cases not. Not surprisingly, the system is used and accepted if a user sees a main benefit that neither analog tools nor other applications can offer. However, I found that these perceived benefits are very different for each user and usage context. If a tool provides possibilities to use in different ways and with different equipment, the chances of its adoption by a larger group increase. Tele-Board has now been in use for over 1.5 years in a global IT company in at least five countries with a constantly growing user base. Its use, advantages, and disadvantages will be described based on 42 interviews and usage statistics from server logs. Through these insights and findings from laboratory case studies, I will present a detailed analysis of digital whiteboard use in different contexts with design implications for future systems.}, language = {en} } @phdthesis{Guiducci2013, author = {Guiducci, Lorenzo}, title = {Passive biomimetic actuators : the role of material architecture}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70446}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Passive plant actuators have fascinated many researchers in the field of botany and structural biology since at least one century. Up to date, the most investigated tissue types in plant and artificial passive actuators are fibre-reinforced composites (and multilayered assemblies thereof) where stiff, almost inextensible cellulose microfibrils direct the otherwise isotropic swelling of a matrix. In addition, Nature provides examples of actuating systems based on lignified, low-swelling, cellular solids enclosing a high-swelling cellulosic phase. This is the case of the Delosperma nakurense seed capsule, in which a specialized tissue promotes the reversible opening of the capsule upon wetting. This tissue has a diamond-shaped honeycomb microstructure characterized by high geometrical anisotropy: when the cellulosic phase swells inside this constraining structure, the tissue deforms up to four times in one principal direction while maintaining its original dimension in the other. Inspired by the example of the Delosoperma nakurense, in this thesis we analyze the role of architecture of 2D cellular solids as models for natural hygromorphs. To start off, we consider a simple fluid pressure acting in the cells and try to assess the influence of several architectural parameters onto their mechanical actuation. Since internal pressurization is a configurational type of load (that is the load direction is not fixed but it "follows" the structure as it deforms) it will result in the cellular structure acquiring a "spontaneous" shape. This shape is independent of the load but just depends on the architectural characteristics of the cells making up the structure itself. Whereas regular convex tiled cellular solids (such as hexagonal, triangular or square lattices) deform isotropically upon pressurization, we show through finite element simulations that by introducing anisotropic and non-convex, reentrant tiling large expansions can be achieved in each individual cell. The influence of geometrical anisotropy onto the expansion behaviour of a diamond shaped honeycomb is assessed by FEM calculations and a Born lattice approximation. We found that anisotropic expansions (eigenstrains) comparable to those observed in the keels tissue of the Delosoperma nakurense are possible. In particular these depend on the relative contributions of bending and stretching of the beams building up the honeycomb. Moreover, by varying the walls' Young modulus E and internal pressure p we found that both the eigenstrains and 2D elastic moduli scale with the ratio p/E. Therefore the potential of these pressurized structures as soft actuators is outlined. This approach was extended by considering several 2D cellular solids based on two types of non-convex cells. Each honeycomb is build as a lattice made of only one non-convex cell. Compared to usual honeycombs, these lattices have kinked walls between neighbouring cells which offers a hidden length scale allowing large directed deformations. By comparing the area expansion in all lattices, we were able to show that less convex cells are prone to achieve larger area expansions, but the direction in which the material expands is variable and depends on the local cell's connectivity. This has repercussions both at the macroscopic (lattice level) and microscopic (cells level) scales. At the macroscopic scale, these non-convex lattices can experience large anisotropic (similarly to the diamond shaped honeycomb) or perfectly isotropic principal expansions, large shearing deformations or a mixed behaviour. Moreover, lattices that at the macroscopic scale expand similarly can show quite different microscopic deformation patterns that include zig-zag motions and radical changes of the initial cell shape. Depending on the lattice architecture, the microscopic deformations of the individual cells can be equal or not, so that they can build up or mutually compensate and hence give rise to the aforementioned variety of macroscopic behaviours. Interestingly, simple geometrical arguments involving the undeformed cell shape and its local connectivity enable to predict the results of the FE simulations. Motivated by the results of the simulations, we also created experimental 3D printed models of such actuating structures. When swollen, the models undergo substantial deformation with deformation patterns qualitatively following those predicted by the simulations. This work highlights how the internal architecture of a swellable cellular solid can lead to complex shape changes which may be useful in the fields of soft robotics or morphing structures.}, language = {en} } @phdthesis{Gollrad2013, author = {Gollrad, Anja}, title = {Prosodic cue weighting in sentence comprehension}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-81954}, school = {Universit{\"a}t Potsdam}, pages = {148}, year = {2013}, abstract = {Gegenstand der Dissertation ist die Untersuchung der Gewichtung prosodischer Korrelate der Phrasierung im Deutschen, insbesondere der Dauer- und Grundfrequenzeigenschaften auf der Ebene der phonologischen Phrase (φ) und der Intonationsphrase (ι). F{\"u}r die prosodische Dom{\"a}ne der phonologischen Phrase und der Intonationsphrase gilt als belegt, dass sie h{\"a}upts{\"a}chlich durch phonetische Parameter der pr{\"a}finalen Dehnung (Lehiste, 1973; Klatt, 1976; Price et al., 1991; Turk \& White, 1999), der Pausendauer (Fant \& Kruckenberg, 1996) und der Ver{\"a}nderung der Grundfrequenz (Pierrehumbert, 1980) ausgedr{\"u}ckt werden, wobei die phonetischen grenzmarkierenden Eigenschaften eher quantitativer als qualitativer Natur sind. Ebenfalls ist bekannt, dass auf der anderen Seite H{\"o}rer diese phonetischen Eigenschaften der Sprecher nutzen, um die prosodische Struktur einer {\"A}ußerung zu ermitteln (Snedeker \& Trueswell, 2003; Kraljic \& Brennan, 2005). Perzeptuelle Evidenz aus dem Englischen und Niederl{\"a}ndischen deuten allerdings darauf hin, dass sich Sprachen hinsichtlich der entscheidenden Korrelate, die f{\"u}r die Perzeption der Dom{\"a}nen konsultiert werden, unterscheiden (Aasland \& Baum, 2003; Sanderman \& Collier, 1997; Scott, 1982; Streeter, 1978). Die grenzmarkierenden phonetischen Korrelate der Dom{\"a}nen werden in der Perzeption unterschiedlich stark gewichtet, was sich im Konzept eines sprachspezifischen prosodischen cue weightings ausdr{\"u}ckt. F{\"u}r das Deutsche ist allerdings nicht hinreichend bekannt, welche dieser drei phonetischen Parameter die wichtigste Rolle f{\"u}r die Perzeption der phonologischen Phrasengrenze und der Intonationsphrasengrenze spielt. Ziel der Dissertation war es, diejenigen phonetischen Merkmale zu identifizieren, die f{\"u}r die Perzeption der phonologischen Phrasengrenze und der Intonationsphrasengrenze entscheidend sind und sich somit f{\"u}r die Bildung der jeweiligen prosodischen Phrasengrenze als notwendig herausstellen. Die Identifikation und Gewichtung eines phonetischen Merkmals erfolgte in der vorliegenden Arbeit durch die Effekte prosodischer Manipulation der phonetischen Korrelate an phonologischen Phrasengrenzen und Intonationsphrasengrenzen auf die Disambiguierung lokaler syntaktischer Ambiguit{\"a}ten in der Perzeption. Der Einfluss einzelner phonetischer Merkmale wurde in einem forced-choice Experiment evaluiert, bei dem H{\"o}rern syntaktisch ambige Satzfragmente auditiv pr{\"a}sentiert wurden und ihnen anschließend die Aufgabe zukam, aus einer Auswahl an disambiguierenden Satzvervollst{\"a}ndigung zu w{\"a}hlen. Die Anzahl der ausgew{\"a}hlten Satzvervollst{\"a}ndigungen pro Satzbedingung {\"a}nderte sich in Abh{\"a}ngigkeit der prosodischen Manipulation der pr{\"a}finalen Dehnung, der Pausendauer und der Grundfrequenz, wodurch der Einfluss eines einzelnen phonetischen Merkmals auf den Disambiguierungsprozess sichtbar wurde. Ein phonetischer Parameter wurde genau dann als notwendig klassifiziert, wenn sich durch seine Manipulation die F{\"a}higkeit zur Disambiguierung der syntaktischen Strukturen signifikant reduzierte, oder g{\"a}nzlich scheiterte, und somit die Wahrnehmung prosodischer Kategorien beinflusst wurde (Heldner, 2001). Hat sich in der Perzeption ein phonetisches Merkmal als notwendig herausgestellt, wurde nachfolgend eine optimalit{\"a}tstheoretische Modellierung vorgeschlagen, die die phonetischen Eigenschaften auf eine (abstrakte) phonologische Strukturerstellung beschreibt. Dieser Verarbeitungsschritt entspricht dem Teilbereich des Perzeptionsprozesses, der in Boersma \& Hamann (2009), Escudero (2009) und F{\´e}ry et al. (2009) unter anderen als Phonetik-Phonologie-Mapping beschrieben wird. Die Dissertation hat folgende Hauptergebnisse hervorgebracht: (1) F{\"u}r die Perzeption phonologischer Phrasengrenzen und Intonationsphrasengrenzen werden nicht alle messbaren phonetischen Grenzmarkierungen gleichermaßen stark genutzt. Das phonetische Merkmal der pr{\"a}finalen Dehnung ist auf der Ebene der kleineren prosodischen Dom{\"a}ne, der phonologischen Phrase, notwendig. Die Information der Grundfrequenz in der Form von Grenzt{\"o}nen ist in der gr{\"o}ßeren Dom{\"a}ne der Intonationsphrase notwendig und damit ausschlaggebend f{\"u}r die Perzeption der prosodischen Phrasengrenze. (2) Auf der Ebene der φ-Phrase werden phonetische Eigenschaften der segmentalen Dauer in Form pr{\"a}finalen Dehnung zur Bildung abstrakter phonologischer Repr{\"a}sentationen herangezogen werden. L{\"a}ngenconstraints schreiben syntaktische Konstituenten aufgrund ihrer Inputdauern einer prosodischen Kategorie zu. Inputdauern der ersten Nominalphrase von 500ms und mehr signalisieren Finalit{\"a}t und sind durch eine φ- Grenze am rechten Rand markiert. Inputdauern von 400ms und weniger signalisieren Kontinuit{\"a}t und werden durch das Ausbleiben einer φ-Grenze am rechten Rand der ersten Nominalphrase markiert. Inputdauern, die zwischen den kritischen L{\"a}ngen von 400ms und 500ms variieren sind bez{\"u}glich der Bildung von φ- Grenzen ambig und k{\"o}nnen in der Perzeption nicht eindeutig disambiguiert werden. (3) Auf der Ebene der ι-Phrase wird die Bildung einer prosodischen Struktur durch die reine tonale Kontur (steigend oder fallend) an der ersten Nominalphrase gelenkt. Eine fallende Grundfrequenzkontur an der ersten Nominalphrase signalisiert Finalit{\"a}t und wird durch eine ι-Grenze am rechten Rand markiert. Eine steigende Kontur an der ersten Nominalphrase signalisiert phrasale Kontinuit{\"a}t und ist bei den vorliegenden S{\"a}tzen der Genitivbedingung gerade durch das Ausbleiben einer ι-Grenze auf der phonologischen Repr{\"a}sentationseben gekennzeichnet.}, language = {en} } @phdthesis{Glatzel2013, author = {Glatzel, Stefan}, title = {Cellulose based transition metal nano-composites : structuring and development}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-64678}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Cellulose is the most abundant biopolymer on earth. In this work it has been used, in various forms ranging from wood to fully processed laboratory grade microcrystalline cellulose, to synthesise a variety of metal and metal carbide nanoparticles and to establish structuring and patterning methodologies that produce highly functional nano-hybrids. To achieve this, the mechanisms governing the catalytic processes that bring about graphitised carbons in the presence of iron have been investigated. It was found that, when infusing cellulose with an aqueous iron salt solution and heating this mixture under inert atmosphere to 640 °C and above, a liquid eutectic mixture of iron and carbon with an atom ratio of approximately 1:1 forms. The eutectic droplets were monitored with in-situ TEM at the reaction temperature where they could be seen dissolving amorphous carbon and leaving behind a trail of graphitised carbon sheets and subsequently iron carbide nanoparticles. These transformations turned ordinary cellulose into a conductive and porous matrix that is well suited for catalytic applications. Despite these significant changes on the nanometre scale the shape of the matrix as a whole was retained with remarkable precision. This was exemplified by folding a sheet of cellulose paper into origami cranes and converting them via the temperature treatment in to magnetic facsimiles of those cranes. The study showed that the catalytic mechanisms derived from controlled systems and described in the literature can be transferred to synthetic concepts beyond the lab without loss of generality. Once the processes determining the transformation of cellulose into functional materials were understood, the concept could be extended to other metals and metal-combinations. Firstly, the procedure was utilised to produce different ternary iron carbides in the form of MxFeyC (M = W, Mn). None of those ternary carbides have thus far been produced in a nanoparticle form. The next part of this work encompassed combinations of iron with cobalt, nickel, palladium and copper. All of those metals were also probed alone in combination with cellulose. This produced elemental metal and metal alloy particles of low polydispersity and high stability. Both features are something that is typically not associated with high temperature syntheses and enables to connect the good size control with a scalable process. Each of the probed reactions resulted in phase pure, single crystalline, stable materials. After showing that cellulose is a good stabilising and separating agent for all the investigated types of nanoparticles, the focus of the work at hand is shifted towards probing the limits of the structuring and pattering capabilities of cellulose. Moreover possible post-processing techniques to further broaden the applicability of the materials are evaluated. This showed that, by choosing an appropriate paper, products ranging from stiff, self-sustaining monoliths to ultra-thin and very flexible cloths can be obtained after high temperature treatment. Furthermore cellulose has been demonstrated to be a very good substrate for many structuring and patterning techniques from origami folding to ink-jet printing. The thereby resulting products have been employed as electrodes, which was exemplified by electrodepositing copper onto them. Via ink-jet printing they have additionally been patterned and the resulting electrodes have also been post functionalised by electro-deposition of copper onto the graphitised (printed) parts of the samples. Lastly in a preliminary test the possibility of printing several metals simultaneously and thereby producing finely tuneable gradients from one metal to another have successfully been made. Starting from these concepts future experiments were outlined. The last chapter of this thesis concerned itself with alternative synthesis methods of the iron-carbon composite, thereby testing the robustness of the devolved reactions. By performing the synthesis with partly dissolved scrap metal and pieces of raw, dry wood, some progress for further use of the general synthesis technique were made. For example by using wood instead of processed cellulose all the established shaping techniques available for wooden objects, such as CNC milling or 3D prototyping, become accessible for the synthesis path. Also by using wood its intrinsic well defined porosity and the fact that large monoliths are obtained help expanding the prospect of using the composite. It was also demonstrated in this chapter that the resulting material can be applied for the environmentally important issue of waste water cleansing. Additionally to being made from renewable resources and by a cheap and easy one-pot synthesis, the material is recyclable, since the pollutants can be recovered by washing with ethanol. Most importantly this chapter covered experiments where the reaction was performed in a crude, home-built glass vessel, fuelled - with the help of a Fresnel lens - only by direct concentrated sunlight irradiation. This concept carries the thus far presented synthetic procedures from being common laboratory syntheses to a real world application. Based on cellulose, transition metals and simple equipment, this work enabled the easy one-pot synthesis of nano-ceramic and metal nanoparticle composites otherwise not readily accessible. Furthermore were structuring and patterning techniques and synthesis routes involving only renewable resources and environmentally benign procedures established here. Thereby it has laid the foundation for a multitude of applications and pointed towards several future projects reaching from fundamental research, to application focussed research and even and industry relevant engineering project was envisioned.}, language = {en} } @phdthesis{Genzel2013, author = {Genzel, Susanne}, title = {Lexical and post-lexical tones in Akan}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77969}, school = {Universit{\"a}t Potsdam}, pages = {vi, 260}, year = {2013}, abstract = {This dissertation is about factors that contribute to the surface forms of tones in connected speech in Akan. Akan is an African tone language, which is spoken in Ghana. It has two level tones (low and high), automatic and non-automatic downstep. Downstep is the major factor that influences the surface forms of tones. The thesis shows that downstep is caused by declination. It is argued that declination is an intonational property of Akan, which serves to signal coherence. A phonological representation using a high and a low register tone, associating to the left and right edge of an intonational phrase (IP), respectively, is proposed. Declination/downstep is modelled using a (phonetic) pitch implementation algorithm (Liberman \& Pierrehumbert, 1984). An innovative application of the algorithm is presented, which naturally captures the relation between declination and downstep in Akan. Another important factor is the prosodic manifestation of sentence level pragmatic meanings, such as sentence mode and focus. Regarding the former, the thesis shows that a post-lexical low tone, which associates with the right edge of an IP, signals interrogativity. Additionally, lexical tones in Yes - No questions are realized in a higher pitch register, which does not lead to a reduction of declination. It is claimed that the higher register is not part of the phonological representation in Akan, but that it emerges at the phonetic level to compensate for the 'unnatural' form of the question morpheme and to satisfy the Frequency code (Gussenhoven, 2002; 2004). An extension of Rialland's (2007) typology in terms of a new category called "low tense" question prosody is proposed. Concerning focus marking, it is argued that the use of the morpho-syntactic focus marking strategy is related to extra grammatical factors, such as hearer expectation, discourse expectability (Zimmermann, 2007) and emphasis (Hartmann, 2008). If a speaker of Akan wants to highlight a particular element in a sentence, in-situ, i.e. by means of prosody, the default prosodic structure is modified in such a way that the focused element forms its own phonological phrase (pP). If it is already contained in a pP, the boundary deliminating the focused element is enhanced (F{\´e}ry, 2012). This restructuring/enhancement is accompanied by an interruption of the otherwise continuous melody due to insertion of a pause and/or a glottal stop. Beside declination and intonation, raising of H tones applies in Akan. H raising is analyzed as a local anticipatory planning effect, employed at the phonetic level, which enhances the perceptual distance between low and high tones. Low tones are raised, if they are wedged between two high tones. L raising is argued to be a local carryover effect (co-articulation). Further, it is demonstrated that global anticipatory raising takes place. It is shown that Akan speakers anticipate the length of an IP. Preplanning (anticipatory raising) is argued to be an important process at the level of pitch implementation. It serves to ensure that declination can be maintained throughout the IP, which prevents pitch resetting. The melody of an Akan sentence is largely determined by the choice of words. The inventory of post-lexical tones is small. It consists of post-lexical register tones, which trigger declination and post-lexical intonational tones, which signal sentence type. The overall melodic shape is falling. At the local level, H raising and L raising occur. At the global level, initial low and high tones are realized higher if they occur in a long and/or complex sentence. This dissertation shows that many factors, which emerge at different levels of the tone production process, contribute to the surface form of tones in Akan.}, language = {en} } @phdthesis{Garz2013, author = {Garz, Andreas}, title = {Nichtlineare Mikroskopie und Bilddatenverarbeitung zur biochemischen Analyse synchronisierter Chlamydomonas-Zellen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66904}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Unter geeigneten Wachstumsbedingungen weisen Algenkulturen oft eine gr{\"o}ßere Produktivit{\"a}t der Zellen auf, als sie bei h{\"o}heren Pflanzen zu beobachten ist. Chlamydomonas reinhardtii-Zellen sind vergleichsweise klein. So betr{\"a}gt das Zellvolumen w{\"a}hrend des vegetativen Zellzyklus etwa 50-3500 µm³. Im Vergleich zu h{\"o}heren Pflanzen ist in einer Algensuspension die Konzentration der Biomasse allerdings gering. So enth{\"a}lt beispielsweise 1 ml einer {\"u}blichen Konzentration zwischen 10E6 und 10E7 Algenzellen. Quantifizierungen von Metaboliten oder Makromolek{\"u}len, die zur Modellierung von zellul{\"a}ren Prozessen genutzt werden, werden meist im Zellensemble vorgenommen. Tats{\"a}chlich unterliegt jedoch jede Algenzelle einer individuellen Entwicklung, die die Identifizierung charakteristischer allgemeing{\"u}ltiger Systemparameter erschwert. Ziel dieser Arbeit war es, biochemisch relevante Messgr{\"o}ßen in-vivo und in-vitro mit Hilfe optischer Verfahren zu identifizieren und zu quantifizieren. Im ersten Teil der Arbeit wurde ein Puls-Amplituden-Modulation(PAM)-Fluorimetriemessplatz zur Messung der durch {\"a}ußere Einfl{\"u}sse bedingten ver{\"a}nderlichen Chlorophyllfluoreszenz an einzelnen Zellen vorgestellt. Die Verwendung eines kommerziellen Mikroskops, die Implementierung empfindlicher Nachweiselektronik und einer geeignete Immobilisierungsmethode erm{\"o}glichten es, ein Signal-zu-Rauschverh{\"a}ltnis zu erreichen, mit dem Fluoreszenzsignale einzelner lebender Chlamydomonas-Zellen gemessen werden konnten. Insbesondere wurden das Zellvolumen und der als Maß f{\"u}r die Effizienz des Photosyntheseapparats bzw. die Zellfitness geltende Chlorophyllfluoreszenzparameter Fv/Fm ermittelt und ein hohes Maß an Heterogenit{\"a}t dieser zellul{\"a}ren Parameter in verschiedenen Entwicklungsstadien der synchronisierten Chlamydomonas-Zellen festgestellt. Im zweiten Teil der Arbeit wurden die bildgebende Laser-Scanning-Mikroskopie und anschließende Bilddatenanalyse zur quantitativen Erfassung der wachstumsabh{\"a}ngigen zellul{\"a}ren Parameter angewandt. Ein kommerzielles konfokales Mikroskop wurde um die M{\"o}glichkeit der nichtlinearen Mikroskopie erweitert. Diese hat den Vorteil einer lokalisierten Anregung, damit verbunden einer h{\"o}heren Ortsaufl{\"o}sung und insgesamt geringeren Probenbelastung. Weiterhin besteht neben der Signalgewinnung durch Fluoreszenzanregung die M{\"o}glichkeit der Erzeugung der Zweiten Harmonischen (SHG) an biophotonischen Strukturen, wie der zellul{\"a}ren St{\"a}rke. Anhand der Verteilungsfunktionen war es m{\"o}glich mit Hilfe von modelltheoretischen Ans{\"a}tzen zellul{\"a}re Parameter zu ermitteln, die messtechnisch nicht unmittelbar zug{\"a}nglich sind. Die morphologischen Informationen der Bilddaten erm{\"o}glichten die Bestimmung der Zellvolumina und die Volumina subzellularer Strukturen, wie Nuclei, extranucle{\"a}re DNA oder St{\"a}rkegranula. Weiterhin konnte die Anzahl subzellul{\"a}rer Strukturen innerhalb einer Zelle bzw. eines Zellverbunds ermittelt werden. Die Analyse der in den Bilddaten enthaltenen Signalintensit{\"a}ten war Grundlage einer relativen Konzentrationsbestimmung von zellul{\"a}ren Komponenten, wie DNA bzw. St{\"a}rke. Mit dem hier vorgestellten Verfahren der nichtlinearen Mikroskopie und nachfolgender Bilddatenanalyse konnte erstmalig die Verteilung des zellul{\"a}ren St{\"a}rkegehalts in einer Chlamydomonas-Population w{\"a}hrend des Wachstums bzw. nach induziertem St{\"a}rkeabbau verfolgt werden. Im weiteren Verlauf wurde diese Methode auch auf Gefrierschnitte h{\"o}herer Pflanzen, wie Arabidopsis thaliana, angewendet. Im Ergebnis wurde gezeigt, dass viele zellul{\"a}re Parameter, wie das Volumen, der zellul{\"a}re DNA- und St{\"a}rkegehalt bzw. die Anzahl der St{\"a}rkegranula durch eine Lognormalverteilung, mit wachstumsabh{\"a}ngiger Parametrisierung, beschrieben werden. Zellul{\"a}re Parameter, wie Stoffkonzentration und zellul{\"a}res Volumen, zeigen keine signifikanten Korrelationen zueinander, woraus geschlussfolgert werden muss, dass es ein hohes Maß an Heterogenit{\"a}t der zellul{\"a}ren Parameter innerhalb der synchronisierten Chlamydomonas-Populationen gibt. Diese Aussage gilt sowohl f{\"u}r die als homogenste Form geltenden Synchronkulturen von Chlamydomonas reinhardtii als auch f{\"u}r die gemessenen zellul{\"a}ren Parameter im intakten Zellverbund h{\"o}herer Pflanzen. Dieses Ergebnis ist insbesondere f{\"u}r modelltheoretische Betrachtungen von Relevanz, die sich auf empirische Daten bzw. zellul{\"a}re Parameter st{\"u}tzen welche im Zellensemble gemessen wurden und somit nicht notwendigerweise den zellul{\"a}ren Status einer einzelnen Zelle repr{\"a}sentieren.}, language = {de} } @phdthesis{Garoufi2013, author = {Garoufi, Konstantina}, title = {Interactive generation of effective discourse in situated context : a planning-based approach}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69108}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {As our modern-built structures are becoming increasingly complex, carrying out basic tasks such as identifying points or objects of interest in our surroundings can consume considerable time and cognitive resources. In this thesis, we present a computational approach to converting contextual information about a person's physical environment into natural language, with the aim of helping this person identify given task-related entities in their environment. Using efficient methods from automated planning - the field of artificial intelligence concerned with finding courses of action that can achieve a goal -, we generate discourse that interactively guides a hearer through completing their task. Our approach addresses the challenges of controlling, adapting to, and monitoring the situated context. To this end, we develop a natural language generation system that plans how to manipulate the non-linguistic context of a scene in order to make it more favorable for references to task-related objects. This strategy distributes a hearer's cognitive load of interpreting a reference over multiple utterances rather than one long referring expression. Further, to optimize the system's linguistic choices in a given context, we learn how to distinguish speaker behavior according to its helpfulness to hearers in a certain situation, and we model the behavior of human speakers that has been proven helpful. The resulting system combines symbolic with statistical reasoning, and tackles the problem of making non-trivial referential choices in rich context. Finally, we complement our approach with a mechanism for preventing potential misunderstandings after a reference has been generated. Employing remote eye-tracking technology, we monitor the hearer's gaze and find that it provides a reliable index of online referential understanding, even in dynamically changing scenes. We thus present a system that exploits hearer gaze to generate rapid feedback on a per-utterance basis, further enhancing its effectiveness. Though we evaluate our approach in virtual environments, the efficiency of our planning-based model suggests that this work could be a step towards effective conversational human-computer interaction situated in the real world.}, language = {en} } @phdthesis{Ganesh2013, author = {Ganesh, Bhanu Priya}, title = {Host-microbe interactions in the inflamed gut}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69558}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Initiation and perpetuation of inflammatory bowel diseases (IBD) may result from an exaggerated mucosal immune response to the luminal microbiota in a susceptible host. We proposed that this may be caused either 1) by an abnormal microbial composition or 2) by weakening of the protective mucus layer due to excessive mucus degradation, which may lead to an easy access of luminal antigens to the host mucosa triggering inflammation. We tested whether the probiotic Enterococcus faecium NCIMB 10415 (NCIMB) is capable of reducing chronic gut inflammation by changing the existing gut microbiota composition and aimed to identify mechanisms that are involved in possible beneficial effects of the probiotic. To identify health-promoting mechanisms of the strain, we used interleukin (IL)-10 deficient mice that spontaneously develop gut inflammation and fed these mice a diet containing NCIMB (106 cells g-1) for 3, 8 and 24 weeks, respectively. Control mice were fed an identically composed diet but without the probiotic strain. No clear-cut differences between the animals were observed in pro-inflammatory cytokine gene expression and in intestinal microbiota composition after probiotic supplementation. However, we observed a low abundance of the mucin-degrading bacterium Akkermansia muciniphila in the mice that were fed NCIMB for 8 weeks. These low cell numbers were associated with significantly lower interferon gamma (IFN-γ) and IFN-γ-inducible protein (IP-10) mRNA levels as compared to the NCIMB-treated mice that were killed after 3 and 24 weeks of intervention. In conclusion, NCIMB was not capable of reducing gut inflammation in the IL-10-/- mouse model. To further identify the exact role of A. muciniphila and uncover a possible interaction between this bacterium, NCIMB and the host in relation to inflammation, we performed in vitro studies using HT-29 colon cancer cells. The HT-29 cells were treated with bacterial conditioned media obtained by growing either A. muciniphila (AM-CM) or NCIMB (NCIMB-CM) or both together (COMB-CM) in Dulbecco's Modified Eagle Medium (DMEM) for 2 h at 37 °C followed by bacterial cell removal. HT-29 cells treated with COMB-CM displayed reduced cell viability after 18 h (p<0.01) and no viable cells were detected after 24 h of treatment, in contrast to the other groups or heated COMB-CM. Detection of activated caspase-3 in COMB-CM treated groups indicated that death of the HT-29 cells was brought about by apoptosis. It was concluded that either NCIMB or A. muciniphila produce a soluble and heat-sensitive factor during their concomitant presence that influences cell viability in an in vitro system. We currently hypothesize that this factor is a protein, which has not yet been identified. Based on the potential effect of A. muciniphila on inflammation (in vivo) and cell-viability (in vitro) in the presence of NCIMB, we investigated how the presence of A. muciniphila affects the severity of an intestinal Salmonella enterica Typhimurium (STm)-induced gut inflammation using gnotobiotic C3H mice with a background microbiota of eight bacterial species (SIHUMI, referred to as simplified human intestinal microbiota). Presence of A. muciniphila in STm-infected SIHUMI (SIHUMI-AS) mice caused significantly increased histopathology scores and elevated mRNA levels of IFN-γ, IP-10, tumor necrosis factor alpha (TNF-α), IL-12, IL-17 and IL-6 in cecal and colonic tissue. The number of mucin filled goblet cells was 2- to 3- fold lower in cecal tissue of SIHUMI-AS mice compared to SIHUMI mice associated with STm (SIHUMI-S) or A. muciniphila (SIHUMI-A) or SIHUMI mice. Reduced goblet cell numbers significantly correlated with increased IFN-γ (r2 = -0.86, ***P<0.001) in all infected mice. In addition, loss of cecal mucin sulphation was observed in SIHUMI-AS mice. Concomitant presence of A. muciniphila and STm resulted in a drastic change in microbiota composition of the SIHUMI consortium. The proportion of Bacteroides thetaiotaomicron in SIHUMI, SIHUMI-A and SIHUMI-S mice made up to 80-90\% but was completely taken over by STm in SIHUMI-AS mice contributing 94\% to total bacteria. These results suggest that A. muciniphila exacerbates STm-induced intestinal inflammation by its ability to disturb host mucus homeostasis. In conclusion, abnormal microbiota composition together with excessive mucus degradation contributes to severe intestinal inflammation in a susceptible host.}, language = {en} } @phdthesis{Ganahl2013, author = {Ganahl, Joseph Patrick}, title = {Corruption, good governance, and the African state : a critical analysis of the political-economic foundations of orruption in Sub-Saharan Africa}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-248-3}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-65167}, school = {Universit{\"a}t Potsdam}, pages = {x, 300}, year = {2013}, abstract = {African states are often called corrupt indicating that the political system in Africa differs from the one prevalent in the economically advanced democracies. This however does not give us any insight into what makes corruption the ruling norm of African statehood. Thus we must turn to the overly neglected theoretical work on the political economy of Africa in order to determine how the poverty of governance in Africa is firmly anchored both in Africa's domestic socioeconomic reality, as well as in the region's role in the international economic order. Instead of focusing on increased monitoring, enforcement and formal democratic procedures, this book integrates economic analysis with political theory in order to arrive at a better understanding of the political-economic roots of corruption in Sub-Saharan Africa.}, language = {en} } @phdthesis{Fuchs2013, author = {Fuchs, Sven}, title = {Well-log based determination of rock thermal conductivity in the North German Basin}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-67801}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {In sedimentary basins, rock thermal conductivity can vary both laterally and vertically, thus altering the basin's thermal structure locally and regionally. Knowledge of the thermal conductivity of geological formations and its spatial variations is essential, not only for quantifying basin evolution and hydrocarbon maturation processes, but also for understanding geothermal conditions in a geological setting. In conjunction with the temperature gradient, thermal conductivity represents the basic input parameter for the determination of the heat-flow density; which, in turn, is applied as a major input parameter in thermal modeling at different scales. Drill-core samples, which are necessary to determine thermal properties by laboratory measurements, are rarely available and often limited to previously explored reservoir formations. Thus, thermal conductivities of Mesozoic rocks in the North German Basin (NGB) are largely unknown. In contrast, geophysical borehole measurements are often available for the entire drilled sequence. Therefore, prediction equations to determine thermal conductivity based on well-log data are desirable. In this study rock thermal conductivity was investigated on different scales by (1) providing thermal-conductivity measurements on Mesozoic rocks, (2) evaluating and improving commonly applied mixing models which were used to estimate matrix and pore-filled rock thermal conductivities, and (3) developing new well-log based equations to predict thermal conductivity in boreholes without core control. Laboratory measurements are performed on sedimentary rock of major geothermal reservoirs in the Northeast German Basin (NEGB) (Aalenian, Rhaethian-Liassic, Stuttgart Fm., and Middle Buntsandstein). Samples are obtained from eight deep geothermal wells that approach depths of up to 2,500 m. Bulk thermal conductivities of Mesozoic sandstones range between 2.1 and 3.9 W/(m∙K), while matrix thermal conductivity ranges between 3.4 and 7.4 W/(m∙K). Local heat flow for the Stralsund location averages 76 mW/m², which is in good agreement to values reported previously for the NEGB. For the first time, in-situ bulk thermal conductivity is indirectly calculated for entire borehole profiles in the NEGB using the determined surface heat flow and measured temperature data. Average bulk thermal conductivity, derived for geological formations within the Mesozoic section, ranges between 1.5 and 3.1 W/(m∙K). The measurement of both dry- and water-saturated thermal conductivities allow further evaluation of different two-component mixing models which are often applied in geothermal calculations (e.g., arithmetic mean, geometric mean, harmonic mean, Hashin-Shtrikman mean, and effective-medium theory mean). It is found that the geometric-mean model shows the best correlation between calculated and measured bulk thermal conductivity. However, by applying new model-dependent correction, equations the quality of fit could be significantly improved and the error diffusion of each model reduced. The 'corrected' geometric mean provides the most satisfying results and constitutes a universally applicable model for sedimentary rocks. Furthermore, lithotype-specific and model-independent conversion equations are developed permitting a calculation of water-saturated thermal conductivity from dry-measured thermal conductivity and porosity within an error range of 5 to 10\%. The limited availability of core samples and the expensive core-based laboratory measurements make it worthwhile to use petrophysical well logs to determine thermal conductivity for sedimentary rocks. The approach followed in this study is based on the detailed analyses of the relationships between thermal conductivity of rock-forming minerals, which are most abundant in sedimentary rocks, and the properties measured by standard logging tools. By using multivariate statistics separately for clastic, carbonate and evaporite rocks, the findings from these analyses allow the development of prediction equations from large artificial data sets that predict matrix thermal conductivity within an error of 4 to 11\%. These equations are validated successfully on a comprehensive subsurface data set from the NGB. In comparison to the application of earlier published approaches formation-dependent developed for certain areas, the new developed equations show a significant error reduction of up to 50\%. These results are used to infer rock thermal conductivity for entire borehole profiles. By inversion of corrected in-situ thermal-conductivity profiles, temperature profiles are calculated and compared to measured high-precision temperature logs. The resulting uncertainty in temperature prediction averages < 5\%, which reveals the excellent temperature prediction capabilities using the presented approach. In conclusion, data and methods are provided to achieve a much more detailed parameterization of thermal models.}, language = {en} } @phdthesis{Froemmel2013, author = {Fr{\"o}mmel, Ulrike}, title = {Vergleichende geno- und ph{\"a}notypische Charakterisierung von Escherichia coli aus Menschen, Hausschweinen und Wildtieren}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69147}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Escherichia (E.) coli ist als kommensales Bakterium ein wichtiger Bestandteil des Mikrobioms von S{\"a}ugern, jedoch zudem der h{\"a}ufigste Infektionserreger des Menschen. Entsprechend des Infektionsortes werden intestinal (InPEC) und extraintestinal pathogene E. coli (ExPEC) unterschieden. Die Pathogenese von E. coli-Infektionen ist durch Virulenzfaktoren determiniert, welche von jeweils spezifischen virulenzassoziierten Genen (inVAGs und exVAGs) kodiert werden. H{\"a}ufig werden exVAGs auch in E. coli-Isolaten aus dem Darm gesunder Wirte nachgewiesen. Dies f{\"u}hrte zu der Vermutung, dass exVAGs die intestinale Kolonisierung des Wirtes durch E. coli unterst{\"u}tzen. Das Hauptziel dieser Arbeit bestand darin, das Wissen {\"u}ber den Einfluss von exVAGs auf die Besiedlung und damit die Adh{\"a}sion von E. coli an Epithelzellen des Darmtraktes zu erweitern. Die Durchf{\"u}hrung einer solch umfassenden E. coli-Populationsstudie erforderte die Etablierung neuer Screeningmethoden. F{\"u}r die genotypische Charakterisierung wurden mikropartikelbasierte Multiplex-PCR-Assays zum Nachweis von 44 VAGs und der Phylogenie etabliert. F{\"u}r die ph{\"a}notypische Charakterisierung wurden Adh{\"a}sions- und Zytotoxizit{\"a}tsassays etabliert. Die Screeningmethoden basieren auf der VideoScan-Technologie, einem automatisierten bildbasierten Multifluoreszenzdetektionssystem. Es wurden 398 E. coli-Isolate aus 13 Wilds{\"a}ugerarten und 5 Wildvogelarten sowie aus gesunden und harnwegserkrankten Menschen und Hausschweinen charakterisiert. Die Adh{\"a}sionsassays hatten zum Ziel, sowohl die Adh{\"a}sionsraten als auch die Adh{\"a}sionsmuster der 317 nicht h{\"a}molytischen Isolate auf 5 Epithelzelllinien zu bestimmen. Die Zytotoxizit{\"a}t der 81 h{\"a}molytischen Isolate wurde in Abh{\"a}ngigkeit der Inkubationszeit auf 4 Epithelzelllinien gepr{\"u}ft. In den E. coli-Isolaten wurde eine Reihe von VAGs nachgewiesen. Potentielle InPEC, insbesondere shigatoxinproduzierende und enteropathogene E. coli wurden aus Menschen, Hausschweinen und Wildtieren, vor allem aus Rehen und Feldhasen isoliert. exVAGs wurden mit stark variierender Pr{\"a}valenz in Isolaten aus allen Arten detektiert. Die gr{\"o}ßte Anzahl und das breiteste Spektrum an exVAGs wurde in Isolaten aus Urin harnwegserkrankter Menschen, gefolgt von Isolaten aus Dachsen und Rehen nachgewiesen. In Isolaten der phylogenetischen Gruppe B2 wurden mehr exVAGs detektiert als in den Isolaten der phylogenetischen Gruppen A, B1 und D. Die Ergebnisse der Adh{\"a}sionsassays zeigten, dass die meisten Isolate zelllinien-, gewebe- oder wirtsspezifisch adh{\"a}rierten. Ein Drittel der Isolate adh{\"a}rierte an keiner Zelllinie und nur zwei Isolate adh{\"a}rierten stark an allen Zelllinien. Grunds{\"a}tzlich adh{\"a}rierten mehr Isolate an humanen sowie an intestinalen Zelllinien. Besonders Isolate aus Eichh{\"o}rnchen und Amseln sowie aus Urin harnwegserkrankter Menschen und Hausschweine waren in der Lage, stark zu adh{\"a}rieren. Hierbei bildeten die Isolate als Adh{\"a}sionsmuster diffuse Adh{\"a}sion, Mikrokolonien, Ketten und Agglomerationen. Mittels statistischer Analysen wurden Assoziationen zwischen exVAGs und einer hohen Adh{\"a}sionsrate ersichtlich. So war beispielsweise das Vorkommen von afa/dra mit einer h{\"o}heren Adh{\"a}sionsrate auf Caco-2- und 5637-Zellen und von sfa/foc auf IPEC-J2-Zellen assoziiert. Die Ergebnisse der Zytotoxizit{\"a}tsassays zeigten eine sehr starke und zeitabh{\"a}ngige Zerst{\"o}rung der Monolayer aller Epithelzelllinien durch die α-H{\"a}molysin-positiven Isolate. Auffallend war die hohe Toxizit{\"a}t h{\"a}molytischer Isolate aus Wildtieren gegen{\"u}ber den humanen Zelllinien. Mit den innerhalb dieser Arbeit entwickelten Screeningmethoden war es m{\"o}glich, große Mengen an Bakterien zu charakterisieren. Es konnte ein {\"U}berblick {\"u}ber die Verbreitung von VAGs in E. coli aus unterschiedlichen Wirten gewonnen werden. Besonders Wildtiere wurden sowohl durch den Nachweis von VAGs in den entsprechenden Isolaten, verbunden mit deren Adh{\"a}sionsf{\"a}higkeit und ausgepr{\"a}gter Zytotoxizit{\"a}t als Reservoire pathogener E. coli identifiziert. Ebenso wurde eine zelllinienspezifische Adh{\"a}sion von Isolaten mit bestimmten exVAGs deutlich. Damit konnte der m{\"o}gliche Einfluss von exVAGs auf die intestinale Kolonisierung best{\"a}tigt werden. In weiterf{\"u}hrenden Arbeiten sind jedoch Expressions- und Funktionsanalysen der entsprechenden Proteine unerl{\"a}sslich. Es wird anhand der Mikrokoloniebildung durch kommensale E. coli vermutet, dass Adh{\"a}sionsmuster und demzufolge Kolonisierungsstrategien, die bisher pathogenen E. coli zugeschrieben wurden, eher als generelle Kolonisierungsstrategien zu betrachten sind. Das E. coli-α-H{\"a}molysin wirkt im Allgemeinen zytotoxisch auf Epithelzellen. Ein in der Fachliteratur diskutierter adh{\"a}sionsunterst{\"u}tzender Mechanismus dieses Toxins ist demnach fragw{\"u}rdig. Innerhalb dieser Arbeit konnte gezeigt werden, dass die entwickelten Screeningmethoden umfassende Analysen einer großen Anzahl an E. coli-Isolaten erm{\"o}glichen.}, language = {de} } @phdthesis{FrankFahle2013, author = {Frank-Fahle, B{\´e}atrice A.}, title = {Methane-cycling microbial communities in permafrost affected soils on Herschel Island and the Yukon Coast, Western Canadian Arctic}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-65345}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Permafrost-affected ecosystems including peat wetlands are among the most obvious regions in which current microbial controls on organic matter decomposition are likely to change as a result of global warming. Wet tundra ecosystems in particular are ideal sites for increased methane production because of the waterlogged, anoxic conditions that prevail in seasonally increasing thawed layers. The following doctoral research project focused on investigating the abundance and distribution of the methane-cycling microbial communities in four different polygons on Herschel Island and the Yukon Coast. Despite the relevance of the Canadian Western Arctic in the global methane budget, the permafrost microbial communities there have thus far remained insufficiently characterized. Through the study of methanogenic and methanotrophic microbial communities involved in the decomposition of permafrost organic matter and their potential reaction to rising environmental temperatures, the overarching goal of the ensuing thesis is to fill the current gap in understanding the fate of the organic carbon currently stored in Artic environments and its implications regarding the methane cycle in permafrost environments. To attain this goal, a multiproxy approach including community fingerprinting analysis, cloning, quantitative PCR and next generation sequencing was used to describe the bacterial and archaeal community present in the active layer of four polygons and to scrutinize the diversity and distribution of methane-cycling microorganisms at different depths. These methods were combined with soil properties analyses in order to identify the main physico-chemical variables shaping these communities. In addition a climate warming simulation experiment was carried-out on intact active layer cores retrieved from Herschel Island in order to investigate the changes in the methane-cycling communities associated with an increase in soil temperature and to help better predict future methane-fluxes from polygonal wet tundra environments in the context of climate change. Results showed that the microbial community found in the water-saturated and carbon-rich polygons on Herschel Island and the Yukon Coast was diverse and showed a similar distribution with depth in all four polygons sampled. Specifically, the methanogenic community identified resembled the communities found in other similar Arctic study sites and showed comparable potential methane production rates, whereas the methane oxidizing bacterial community differed from what has been found so far, being dominated by type-II rather than type-I methanotrophs. After being subjected to strong increases in soil temperature, the active-layer microbial community demonstrated the ability to quickly adapt and as a result shifts in community composition could be observed. These results contribute to the understanding of carbon dynamics in Arctic permafrost regions and allow an assessment of the potential impact of climate change on methane-cycling microbial communities. This thesis constitutes the first in-depth study of methane-cycling communities in the Canadian Western Arctic, striving to advance our understanding of these communities in degrading permafrost environments by establishing an important new observatory in the Circum-Arctic.}, language = {en} } @phdthesis{Fleischhauer2013, author = {Fleischhauer, Elisabeth}, title = {Morphological processing in children : an experimental study of German past participles}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70581}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {An important strand of research has investigated the question of how children acquire a morphological system using offline data from spontaneous or elicited child language. Most of these studies have found dissociations in how children apply regular and irregular inflection (Marcus et al. 1992, Weyerts \& Clahsen 1994, Rothweiler \& Clahsen 1993). These studies have considerably deepened our understanding of how linguistic knowledge is acquired and organised in the human mind. Their methodological procedures, however, do not involve measurements of how children process morphologically complex forms in real time. To date, little is known about how children process inflected word forms. The aim of this study is to investigate children's processing of inflected words in a series of on-line reaction time experiments. We used a cross-modal priming experiment to test for decompositional effects on the central level. We used a speeded production task and a lexical decision task to test for frequency effects on access level in production and recognition. Children's behaviour was compared to adults' behaviour towards three participle types (-t participles, e.g. getanzt 'danced' vs. -n participles with stem change, e.g. gebrochen 'broken' vs.-n participles without stem change, e.g. geschlafen 'slept'). For the central level, results indicate that -t participles but not -n participles have decomposed representations. For the access level, results indicate that -t participles are represented according to their morphemes and additionally as full forms, at least from the age of nine years onwards (Pinker 1999 and Clahsen et al. 2004). Further evidence suggested that -n participles are represented as full-form entries on access level and that -n participles without stem change may encode morphological structure (cf. Clahsen et al. 2003). Out data also suggests that processing strategies for -t participles are differently applied in recognition and production. These results provide evidence that children (within the age range tested) employ the same mechanisms for processing participles as adults. The child lexicon grows as children form additional full-form representations for -t participles on access level and elaborate their full-form lexical representations of -n participles on central level. These results are consistent with processing as explained in dual-system theories.}, language = {en} }