@phdthesis{Sarhan2019, author = {Sarhan, Radwan Mohamed}, title = {Plasmon-driven photocatalytic reactions monitored by surface-enhanced Raman spectroscopy}, doi = {10.25932/publishup-43330}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-433304}, school = {Universit{\"a}t Potsdam}, year = {2019}, abstract = {Plasmonic metal nanostructures can be tuned to efficiently interact with light, converting the photons into energetic charge carriers and heat. Therefore, the plasmonic nanoparticles such as gold and silver nanoparticles act as nano-reactors, where the molecules attached to their surfaces benefit from the enhanced electromagnetic field along with the generated energetic charge carriers and heat for possible chemical transformations. Hence, plasmonic chemistry presents metal nanoparticles as a unique playground for chemical reactions on the nanoscale remotely controlled by light. However, defining the elementary concepts behind these reactions represents the main challenge for understanding their mechanism in the context of the plasmonically assisted chemistry. Surface-enhanced Raman scattering (SERS) is a powerful technique employing the plasmon-enhanced electromagnetic field, which can be used for probing the vibrational modes of molecules adsorbed on plasmonic nanoparticles. In this cumulative dissertation, I use SERS to probe the dimerization reaction of 4-nitrothiophenol (4-NTP) as a model example of plasmonic chemistry. I first demonstrate that plasmonic nanostructures such as gold nanotriangles and nanoflowers have a high SERS efficiency, as evidenced by probing the vibrations of the rhodamine dye R6G and the 4-nitrothiophenol 4-NTP. The high signal enhancement enabled the measurements of SERS spectra with a short acquisition time, which allows monitoring the kinetics of chemical reactions in real time. To get insight into the reaction mechanism, several time-dependent SERS measurements of the 4-NTP have been performed under different laser and temperature conditions. Analysis of the results within a mechanistic framework has shown that the plasmonic heating significantly enhances the reaction rate, while the reaction is probably initiated by the energetic electrons. The reaction was shown to be intensity-dependent, where a certain light intensity is required to drive the reaction. Finally, first attempts to scale up the plasmonic catalysis have been performed showing the necessity to achieve the reaction threshold intensity. Meanwhile, the induced heat needs to quickly dissipate from the reaction substrate, since otherwise the reactants and the reaction platform melt. This study might open the way for further work seeking the possibilities to quickly dissipate the plasmonic heat generated during the reaction and therefore, scaling up the plasmonic catalysis.}, language = {en} } @phdthesis{Ramachandran2019, author = {Ramachandran, Varsha}, title = {Massive star evolution, star formation, and feedback at low metallicity}, doi = {10.25932/publishup-43245}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-432455}, school = {Universit{\"a}t Potsdam}, pages = {291}, year = {2019}, abstract = {The goal of this thesis is to broaden the empirical basis for a better, comprehensive understanding of massive star evolution, star formation and feedback at low metallicity. Low metallicity massive stars are a key to understand the early universe. Quantitative information on metal-poor massive stars was sparse before. The quantitative spectroscopic studies of massive star populations associated with large-scale ISM structures were not performed at low metallicity before, but are important to investigate star-formation histories and feedback in detail. Much of this work relies on spectroscopic observations with VLT-FLAMES of ~500 OB stars in the Magellanic Clouds. When available, the optical spectroscopy was complemented by UV spectra from the HST, IUE, and FUSE archives. The two representative young stellar populations that have been studied are associated with the superbubble N 206 in the Large Magellanic Cloud (LMC) and with the supergiant shell SMC-SGS 1 in the Wing of the Small Magellanic Cloud (SMC), respectively. We performed spectroscopic analyses of the massive stars using the nonLTE Potsdam Wolf-Rayet (PoWR) model atmosphere code. We estimated the stellar, wind, and feedback parameters of the individual massive stars and established their statistical distributions. The mass-loss rates of N206 OB stars are consistent with theoretical expectations for LMC metallicity. The most massive and youngest stars show nitrogen enrichment at their surface and are found to be slower rotators than the rest of the sample. The N 206 complex has undergone star formation episodes since more than 30 Myr, with a current star formation rate higher than average in the LMC. The spatial age distribution of stars across the complex possibly indicates triggered star formation due to the expansion of the superbubble. Three very massive, young Of stars in the region dominate the ionizing and mechanical feedback among hundreds of other OB stars in the sample. The current stellar wind feedback rate from the two WR stars in the complex is comparable to that released by the whole OB sample. We see only a minor fraction of this stellar wind feedback converted into X-ray emission. In this LMC complex, stellar winds and supernovae equally contribute to the total energy feedback, which eventually powered the central superbubble. However, the total energy input accumulated over the time scale of the superbubble significantly exceeds the observed energy content of the complex. The lack of energy along with the morphology of the complex suggests a leakage of hot gas from the superbubble. With a detailed spectroscopic study of massive stars in SMC-SGS 1, we provide the stellar and wind parameters of a large sample of OB stars at low metallicity, including those in the lower mass-range. The stellar rotation velocities show a broad, tentatively bimodal distribution, with Be stars being among the fastest. A few very luminous O stars are found close to the main sequence, while all other, slightly evolved stars obey a strict luminosity limit. Considering additional massive stars in evolved stages, with published parameters and located all over the SMC, essentially confirms this picture. The comparison with single-star evolutionary tracks suggests a dichotomy in the fate of massive stars in the SMC. Only stars with an initial mass below 30 solar masses seem to evolve from the main sequence to the cool side of the HRD to become a red supergiant and to explode as type II-P supernova. In contrast, more massive stars appear to stay always hot and might evolve quasi chemically homogeneously, finally collapsing to relatively massive black holes. However, we find no indication that chemical mixing is correlated with rapid rotation. We measured the key parameters of stellar feedback and established the links between the rates of star formation and supernovae. Our study demonstrates that in metal-poor environments stellar feedback is dominated by core-collapse supernovae in combination with winds and ionizing radiation supplied by a few of the most massive stars. We found indications of the stochastic mode of star formation, where the resulting stellar population is fully capable of producing large-scale structures such as the supergiant shell SMC-SGS 1 in the Wing. The low level of feedback in metal-poor stellar populations allows star formation episodes to persist over long timescales. Our study showcases the importance of quantitative spectroscopy of massive stars with adequate stellar-atmosphere models in order to understand star-formation, evolution, and feedback. The stellar population analyses in the LMC and SMC make us understand that massive stars and their impact can be very different depending on their environment. Obviously, due to their different metallicity, the massive stars in the LMC and the SMC follow different evolutionary paths. Their winds differ significantly, and the key feedback agents are different. As a consequence, the star formation can proceed in different modes.}, language = {en} } @phdthesis{BernaschinaSchuermann2019, author = {Bernaschina Sch{\"u}rmann, Vicente}, title = {{\´A}ngeles que cantan de continuo}, isbn = {978-3-86956-459-3}, issn = {2629-2548}, doi = {10.25932/publishup-42645}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-426450}, school = {Universit{\"a}t Potsdam}, pages = {387}, year = {2019}, abstract = {Objeto de esta investigaci{\´o}n es el auge y ca{\´i}da de una legitimaci{\´o}n teol{\´o}gica de la poes{\´i}a que tuvo lugar en el virreinato del Per{\´u} entre fines del siglo XVI y la segunda mitad del siglo XVII. Su punto c{\´u}lmine est{\´a} marcado por el surgimiento de una "Academia Ant{\´a}rtica" en las primeras d{\´e}cadas del siglo XVII, mientras que su fin, se aprecia a fines del mismo siglo, cuando eruditos de las {\´o}rdenes religiosas, especialmente Juan de Espinosa y Medrano en sus textos en defensa de la poes{\´i}a y las ciencias, negaron a la poes{\´i}a cualquier estatuto teol{\´o}gico, sirvi{\´e}ndose sin embargo de ella para escribir sus sermones y textos. A partir del auge y ca{\´i}da de esta legitimaci{\´o}n teol{\´o}gica en el virreinato del Per{\´u}, este estudio muestra la existencia de dos movimientos que forman un quiasmo entre una teologizaci{\´o}n de la poes{\´i}a y una poetizaci{\´o}n de la teolog{\´i}a, en cuyo centro velado se encuentra en disputa el saber te{\´o}rico y pr{\´a}ctico de la poes{\´i}a. Lo que est{\´a} en disputa en este sentido no es la poes{\´i}a, entendida como una cumbre de las bellas letras, sino la posesi{\´o}n leg{\´i}tima de un modo de lectura anal{\´o}gico y tipol{\´o}gico del orden del universo, fundado en las Sagradas Escrituras y en la historia de la salvaci{\´o}n, y un modo po{\´e}tico para doctrinar a todos los miembros de la sociedad virreinal en concordancia con aquel modo de lectura.}, language = {es} } @phdthesis{Gabriel2019, author = {Gabriel, Christina}, title = {Entwicklung neuer St{\"a}rkederivate f{\"u}r die Anwendung als wasserbasierte Filmbildner in Farben und Lacken}, doi = {10.25932/publishup-43294}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-432942}, school = {Universit{\"a}t Potsdam}, pages = {XVIII, 160, xxxix, x1}, year = {2019}, abstract = {In den letzten Jahrzehnten fand auch in der Beschichtungsindustrie ein Umdenken hin zu umweltfreundlicheren Farben und Lacken statt. Allerdings basieren auch neue L{\"o}sungen meist nicht auf Biopolymeren und in einem noch geringeren Anteil auf wasserbasierten Beschichtungssystemen aus nachwachsenden Rohstoffen. Dies stellt den Ankn{\"u}pfungspunkt dieser Arbeit dar, in der untersucht wurde, ob das Biopolymer St{\"a}rke das Potenzial zum wasserbasierten Filmbildner f{\"u}r Farben und Lacke besitzt. Dabei m{\"u}ssen angelehnt an etablierte synthetische Marktprodukte die folgenden Kriterien erf{\"u}llt werden: Die w{\"a}ssrige Dispersion muss mindestens einen 30\%igen Feststoffgehalt haben, bei Raumtemperatur verarbeitet werden k{\"o}nnen und Viskosit{\"a}ten zwischen 10^2-10^3 mPa·s aufweisen. Die finale Beschichtung muss einen geschlossenen Film bilden und sehr gute Haftfestigkeiten zu einer spezifischen Oberfl{\"a}che, in dieser Arbeit Glas, besitzen. Als Grundlage f{\"u}r die Modifizierung der St{\"a}rke wurde eine Kombination von molekularem Abbau und chemischer Funktionalisierung ausgew{\"a}hlt. Da nicht bekannt war, welchen Einfluss die St{\"a}rkeart, die gew{\"a}hlte Abbaureaktion als auch verschiedene Substituenten auf die Dispersionsherstellung und deren Eigenschaften sowie die Beschichtungseigenschaften aus{\"u}ben k{\"o}nnten, wurden die strukturellen Parameter getrennt voneinander untersucht. Das erste Themengebiet beinhaltete den oxidativen Abbau von Kartoffel- und Palerbsenst{\"a}rke mittels des Hypochlorit-Abbaus (OCl-) und des ManOx-Abbaus (H2O2, KMnO4). Mit beiden Abbaureaktionen konnten vergleichbare gewichtsmittlere Molmassen (Mw) von 2·10^5-10^6 g/mol (GPC-MALS) hergestellt werden. Allerdings f{\"u}hrten die gew{\"a}hlten Reaktionsbedingungen beim ManOx-Abbau zur Bildung von Gelpartikeln. Diese lagen im µm-Bereich (DLS und Kryo-REM-Messungen) und hatten zur Folge, dass die ManOx-Proben deutlich erh{\"o}hte Viskosit{\"a}ten (c: 7,5 \%; 9-260 mPa·s) im Vergleich zu den OCl--Proben (4-10 mPa·s) bei scherverd{\"u}nnendem Verhalten besaßen und die Eigenschaften von viskoelastischen Gelen (G' > G'') zeigten. Des Weiteren wiesen sie reduzierte Heißwasserl{\"o}slichkeiten (95 °C, vorrangig: 70-99 \%) auf. Der OCl--Abbau f{\"u}hrte zu hydrophileren (Carboxylgruppengehalt bis zu 6,1 \%; ManOx: bis zu 3,1 \%), nach 95 °C-Behandlung vollst{\"a}ndig wasserl{\"o}slichen abgebauten St{\"a}rken, die ein Newtonsches Fließverhalten mit Eigenschaften einer viskoelastischen Fl{\"u}ssigkeit (G'' > G') hatten. Die OCl--Proben konnten im Vergleich zu den ManOx-Produkten (10-20 \%) zu konzentrierteren Dispersionen (20-40 \%) verarbeitet werden, die gleichzeitig die Einschr{\"a}nkung von anwendungsrelevanten Mw auf < 7·10^5 g/mol zuließen (Konzentration sollte > 30 \% sein). Außerdem f{\"u}hrten nur die OCl--Proben der Kartoffelst{\"a}rke zu transparenten (alle anderen waren opak) geschlossenen Beschichtungsfilmen. Somit hebt sich die Kombination von OCl--Abbau und Kartoffelst{\"a}rke mit Hinblick auf die Endanwendung ab. Das zweite Themengebiet umfasste Untersuchungen zum Einfluss von Ester- und Hydroxyalkylether-Substituenten auf Basis einer industriell abgebauten Kartoffelst{\"a}rke (Mw: 1,2·10^5 g/mol) vor allem auf die Dispersionsherstellung, die rheologischen Eigenschaften der Dispersionen und die Beschichtungseigenschaften in Kombination mit Glassubstraten. Dazu wurden Ester und Ether mit DS/MS-Werten von 0,07-0,91 synthetisiert. Die Derivate konnten zu wasserbasierten Dispersionen mit Konzentrationen von 30-45 \% verarbeitet werden, wobei bei hydrophoberen Modifikaten ein Co-L{\"o}semittel, Diethylenglycolmonobutylether (DEGBE), eingesetzt werden musste. Die Feststoffgehalte sanken dabei f{\"u}r beide Derivatklassen vor allem mit zunehmender Alkylkettenl{\"a}nge. Die anwendungsrelevanten Viskosit{\"a}ten (323-1240 mPa·s) stiegen auf Grund von Wechselwirkungen tendenziell mit DS/MS und Alkylkettenl{\"a}nge an. Hinsichtlich der Beschichtungseigenschaften erwiesen sich die Ester vergleichend zu den Ethern als die bevorzugte Substituentenklasse, da nur die Ester geschlossene, defektfreie und mehrheitlich transparente Beschichtungsfilme bildeten, die exzellente bis sehr gute Haftfestigkeiten (ISO Klasse: 0 und 1) auf Glas besaßen. Die Ether bildeten mehrheitlich br{\"u}chige Filme. Basierend auf der Kombination der Ergebnisse aus L{\"o}semittelaustausch, den rheologischen Untersuchungen und zus{\"a}tzlichen Oberfl{\"a}chenspannungsmessungen (30-61 mN/m) konnte geschlossen werden, dass wahrscheinlich fehlende oder schlechte Haftfestigkeiten vorrangig akkumuliertem Wasser in den Beschichtungsfilmen (visuell: tr{\"u}b oder weiß) geschuldet sind, w{\"a}hrend die Br{\"u}chigkeit vermutlich auf Wechselwirkungen (H-Br{\"u}cken Wechselwirkungen, hydrophobe Wechselwirkungen) zwischen den Polymeren zur{\"u}ckgef{\"u}hrt werden kann. Insgesamt scheint die Kombination aus Kartoffelst{\"a}rke basierend auf dem OCl--Abbau mit Mw < 7·10^5 g/mol und einem Estersubstituenten eine gute Wahl f{\"u}r wasserbasierte Dispersionen mit hohen Feststoffkonzentrationen (> 30 \%), guter Filmbildung und exzellenten Haftungen auf Glas zu sein.}, language = {de} } @phdthesis{PerezMedrano2019, author = {P{\´e}rez Medrano, Cuauht{\´e}moc}, title = {Ficci{\´o}n her{\´e}tica}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-454-8}, issn = {2629-2548}, doi = {10.25932/publishup-42449}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-424490}, school = {Universit{\"a}t Potsdam}, pages = {226}, year = {2019}, abstract = {Mit der kubanischen Wirtschaftskrise entstanden neue literarische Gestaltungsprozesse nationaler Identit{\"a}tskonstruktionen. Die vorliegende Analyse geht der zeitgen{\"o}ssischen Literatur Kubas nach, in der soziale, kulturelle und politische Paradoxe der post-revolution{\"a}ren Weltanschauung zum Vorschein kommen und der Figur der „Insel" bzw. „Insularit{\"a}t" eine große Bedeutung f{\"u}r die Neukonfiguration der Nation zukommt. Die „Insularit{\"a}t" dr{\"u}ckt in literarischen Texten verschiedene Aneignungen des Raumes und somit auch eine Weltanschauungen aus. Die literarische Figur der „Insel" kann hypothetisch als „visuelles Ph{\"a}nomen" (Ette 2002) konzipiert werden, das durch soziokulturelle Umst{\"a}nde konfiguriert wird. Unterschiedliche postkommunistische Erfahrungen bilden sog. „erlebnisweltliche" Repr{\"a}sentationen und somit literarische und soziale Identit{\"a}tsbilder. Im Verlauf der Zeit werden die Metapher der „Insel" bzw. der „Insularit{\"a}t" anders beschrieben. Erste Untersuchungen der Metapher der „Insel" bzw. der „Insularit{\"a}t" finden sich in den Texten Noche insular (Lezama Lima 2000) und La isla en peso (Pi{\~n}era 1998). Die Metapher wird in den Begrifflichkeiten der „Simulation" und „Dissimulation" (Sarduy 1982) oder auch einer „visuellen Erscheinung" als „Grund-Ekphrasis" (Pimentel 2001) beschrieben. Demgegen{\"u}ber stellen sp{\"a}tere Arbeiten die literarische Figur der „Insel" als ein Instrument der Dekonstruktion der Nationalliteratur Kubas dar (Rojas 1998; Nuez 1998, Benitez Rojo 1998). In zeitgen{\"o}ssischen Analysen wird die Metapher in ihrer jeweiligen Beziehungen zur Repr{\"a}sentation und zum „Lebenswissen" (Ette 2010) herausgearbeitet. Die Repr{\"a}sentation der "Insel" bzw. der "Insularit{\"a}t" wird in der vorliegenden Arbeit anhand des soziokulturellen Kontextes in den letzten dreißig Jahren u.a. in den Romanen von Abilio Estevez Tuyo es el reino (1998), Atilio Caballero La {\´u}ltima playa (1999), Daniel D{\´i}az Mantilla Regreso a Utop{\´i}a (2007) sowie den Erz{\"a}hlungen von Ena Lucia Portela Huracan (2000), Antonio Jos{\´e} Ponte Un nuevo arte de hacer ruinas (2005), Emerio Medina Isla (2005), Orlando Lu{\´i}s Pardo Tokionama (2009), Ahmel Echeverria Isla (2014) und Anesly Negr{\´i}n Isla a mediod{\´i}a (2014) untersucht.}, language = {es} } @phdthesis{Schlenter2019, author = {Schlenter, Judith}, title = {Predictive language processing in late bilinguals}, doi = {10.25932/publishup-43249}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-432498}, school = {Universit{\"a}t Potsdam}, pages = {251}, year = {2019}, abstract = {The current thesis examined how second language (L2) speakers of German predict upcoming input during language processing. Early research has shown that the predictive abilities of L2 speakers relative to L1 speakers are limited, resulting in the proposal of the Reduced Ability to Generate Expectations (RAGE) hypothesis. Considering that prediction is assumed to facilitate language processing in L1 speakers and probably plays a role in language learning, the assumption that L1/L2 differences can be explained in terms of different processing mechanisms is a particularly interesting approach. However, results from more recent studies on the predictive processing abilities of L2 speakers have indicated that the claim of the RAGE hypothesis is too broad and that prediction in L2 speakers could be selectively limited. In the current thesis, the RAGE hypothesis was systematically put to the test. In this thesis, German L1 and highly proficient late L2 learners of German with Russian as L1 were tested on their predictive use of one or more information sources that exist as cues to sentence interpretation in both languages, to test for selective limits. The results showed that, in line with previous findings, L2 speakers can use the lexical-semantics of verbs to predict the upcoming noun. Here the level of prediction was more systematically controlled for than in previous studies by using verbs that restrict the selection of upcoming nouns to the semantic category animate or inanimate. Hence, prediction in L2 processing is possible. At the same time, this experiment showed that the L2 group was slower/less certain than the L1 group. Unlike previous studies, the experiment on case marking demonstrated that L2 speakers can use this morphosyntactic cue for prediction. Here, the use of case marking was tested by manipulating the word order (Dat > Acc vs. Acc > Dat) in double object constructions after a ditransitive verb. Both the L1 and the L2 group showed a difference between the two word order conditions that emerged within the critical time window for an anticipatory effect, indicating their sensitivity towards case. However, the results for the post-critical time window pointed to a higher uncertainty in the L2 group, who needed more time to integrate incoming information and were more affected by the word order variation than the L1 group, indicating that they relied more on surface-level information. A different cue weighting was also found in the experiment testing whether participants predict upcoming reference based on implicit causality information. Here, an additional child L1 group was tested, who had a lower memory capacity than the adult L2 group, as confirmed by a digit span task conducted with both learner groups. Whereas the children were only slightly delayed compared to the adult L1 group and showed the same effect of condition, the L2 speakers showed an over-reliance on surface-level information (first-mention/subjecthood). Hence, the pattern observed resulted more likely from L1/L2 differences than from resource deficits. The reviewed studies and the experiments conducted show that L2 prediction is affected by a range of factors. While some of the factors can be attributed to more individual differences (e.g., language similarity, slower processing) and can be interpreted by L2 processing accounts assuming that L1 and L2 processing are basically the same, certain limits are better explained by accounts that assume more substantial L1/L2 differences. Crucially, the experimental results demonstrate that the RAGE hypothesis should be refined: Although prediction as a fast-operating mechanism is likely to be affected in L2 speakers, there is no indication that prediction is the dominant source of L1/L2 differences. The results rather demonstrate that L2 speakers show a different weighting of cues and rely more on semantic and surface-level information to predict as well as to integrate incoming information.}, language = {en} } @phdthesis{Sablowski2019, author = {Sablowski, Daniel}, title = {Spectroscopic analysis of the benchmark system Alpha Aurigae}, doi = {10.25932/publishup-43239}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-432396}, school = {Universit{\"a}t Potsdam}, pages = {169}, year = {2019}, abstract = {Binaries play an important role in observational and theoretical astrophysics. Since the mass and the chemical composition are key ingredients for stellar evolution, high-resolution spectroscopy is an important and necessary tool to derive those parameters to high confidence in binaries. This involves carefully measured orbital motion by the determination of radial velocity (RV) shifts and sophisticated techniques to derive the abundances of elements within the stellar atmosphere. A technique superior to conventional cross-correlation methods to determine RV shifts in known as spectral disentangling. Hence, a major task of this thesis was the design of a sophisticated software package for this approach. In order to investigate secondary effects, such as flux and line-profile variations, imprinting changes on the spectrum the behavior of spectral disentangling on such variability is a key to understand the derived values, to improve them, and to get information about the variability itself. Therefore, the spectral disentangling code presented in this thesis and available to the community combines multiple advantages: separation of the spectra for detailed chemical analysis, derivation of orbital elements, derivation of individual RVs in order to investigate distorted systems (either by third body interaction or relativistic effects), the suppression of telluric contaminations, the derivation of variability, and the possibility to apply the technique to eclipsing binaries (important for orbital inclination) or in general to systems that undergo flux-variations. This code in combination with the spectral synthesis codes MOOG and SME was used in order to derive the carbon 12C/13C isotope ratio (CIR) of the benchmark binary Capella. The observational result will be set into context with theoretical evolution by the use of MESA models and resolves the discrepancy of theory and observations existing since the first measurement of Capella's CIR in 1976. The spectral disentangling code has been made available to the community and its applicability to completely different behaving systems, Wolf-Rayet stars, have also been investigated and resulted in a published article. Additionally, since this technique relies strongly on data quality, continues development of scientific instruments to achieve best observational data is of great importance in observational astrophysics. That is the reason why there has also been effort in astronomical instrumentation during the work on this thesis.}, language = {en} } @phdthesis{Brechun2019, author = {Brechun, Katherine E.}, title = {Development and application of genetic networks for engineering photo-controlled proteins}, doi = {10.25932/publishup-43092}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-430924}, school = {Universit{\"a}t Potsdam}, pages = {xxiv, 195}, year = {2019}, abstract = {Light-switchable proteins are being used increasingly to understand and manipulate complex molecular systems. The success of this approach has fueled the development of tailored photo-switchable proteins, to enable targeted molecular events to be studied using light. The development of novel photo-switchable tools has to date largely relied on rational design. Complementing this approach with directed evolution would be expected to facilitate these efforts. Directed evolution, however, has been relatively infrequently used to develop photo-switchable proteins due to the challenge presented by high-throughput evaluation of switchable protein activity. This thesis describes the development of two genetic circuits that can be used to evaluate libraries of switchable proteins, enabling optimization of both the on- and off-states. A screening system is described, which permits detection of DNA-binding activity based on conditional expression of a fluorescent protein. In addition, a tunable selection system is presented, which allows for the targeted selection of protein-protein interactions of a desired affinity range. This thesis additionally describes the development and characterization of a synthetic protein that was designed to investigate chromophore reconstitution in photoactive yellow protein (PYP), a promising scaffold for engineering photo-controlled protein tools.}, language = {en} } @phdthesis{SchulteOsseili2019, author = {Schulte-Osseili, Christine}, title = {Vom Monomer zum Glykopolymer}, doi = {10.25932/publishup-43216}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-432169}, school = {Universit{\"a}t Potsdam}, pages = {xiii, 149}, year = {2019}, abstract = {Glykopolymere sind synthetische und nat{\"u}rlich vorkommende Polymere, die eine Glykaneinheit in der Seitenkette des Polymers tragen. Glykane sind durch die Glykan-Protein-Wechselwirkung verantwortlich f{\"u}r viele biologische Prozesse. Die Beteiligung der Glykanen in diesen biologischen Prozessen erm{\"o}glicht das Imitieren und Analysieren der Wechselwirkungen durch geeignete Modellverbindungen, z.B. der Glykopolymere. Dieses System der Glykan-Protein-Wechselwirkung soll durch die Glykopolymere untersucht und studiert werden, um die spezifische und selektive Bindung der Proteine an die Glykopolymere nachzuweisen. Die Proteine, die in der Lage sind, Kohlenhydratstrukturen selektiv zu binden, werden Lektine genannt. In dieser Dissertationsarbeit wurden verschiedene Glykopolymere synthetisiert. Dabei sollte auf einen effizienten und kosteng{\"u}nstigen Syntheseweg geachtet werden. Verschiedene Glykopolymere wurden durch funktionalisierte Monomere mit verschiedenen Zuckern, wie z.B. Mannose, Laktose, Galaktose oder N-Acetyl-Glukosamin als funktionelle Gruppe, hergestellt. Aus diesen funktionalisierten Glykomonomeren wurden {\"u}ber ATRP und RAFT-Polymerisation Glykopolymere synthetisiert. Die erhaltenen Glykopolymere wurden in Diblockcopolymeren als hydrophiler Block angewendet und die Selbstassemblierung in w{\"a}ssriger L{\"o}sung untersucht. Die Polymere formten in w{\"a}ssriger L{\"o}sung Mizellen, bei denen der Zuckerblock an der Oberfl{\"a}che der Mizellen sitzt. Die Mizellen wurden mit einem hydrophoben Fluoreszenzfarbstoff beladen, wodurch die CMC der Mizellenbildung bestimmt werden konnte. Außerdem wurden die Glykopolymere als Oberfl{\"a}chenbeschichtung {\"u}ber „Grafting from" mit SI-ATRP oder {\"u}ber „Grafting to" auf verschiedene Oberfl{\"a}chen gebunden. Durch die glykopolymerbschichteten Oberfl{\"a}chen konnte die Glykan Protein Wechselwirkung {\"u}ber spektroskopische Messmethoden, wie SPR- und Mikroring Resonatoren untersucht werden. Hierbei wurde die spezifische und selektive Bindung der Lektine an die Glykopolymere nachgewiesen und die Bindungsst{\"a}rke untersucht. Die synthetisierten Glykopolymere k{\"o}nnten durch Austausch der Glykaneinheit f{\"u}r andere Lektine adressierbar werden und damit ein weites Feld an anderen Proteinen erschließen. Die biovertr{\"a}glichen Glykopolymere w{\"a}ren alternativen f{\"u}r den Einsatz in biologischen Prozessen als Transporter von Medikamenten oder Farbstoffe in den K{\"o}rper. Außerdem k{\"o}nnten die funktionalisierten Oberfl{\"a}chen in der Diagnostik zum Erkennen von Lektinen eingesetzt werden. Die Glykane, die keine selektive und spezifische Bindung zu Proteinen eingehen, k{\"o}nnten als antiadsorptive Oberfl{\"a}chenbeschichtung z.B. in der Zellbiologie eingesetzt werden.}, language = {de} } @phdthesis{AlHalbouni2019, author = {Al-Halbouni, Djamil}, title = {Photogrammetry and distinct element geomechanical modelling of sinkholes and large-scale karstic depressions}, doi = {10.25932/publishup-43215}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-432159}, school = {Universit{\"a}t Potsdam}, pages = {137}, year = {2019}, abstract = {Sinkholes and depressions are typical landforms of karst regions. They pose a considerable natural hazard to infrastructure, agriculture, economy and human life in affected areas worldwide. The physio-chemical processes of sinkholes and depression formation are manifold, ranging from dissolution and material erosion in the subsurface to mechanical subsidence/failure of the overburden. This thesis addresses the mechanisms leading to the development of sinkholes and depressions by using complementary methods: remote sensing, distinct element modelling and near-surface geophysics. In the first part, detailed information about the (hydro)-geological background, ground structures, morphologies and spatio-temporal development of sinkholes and depressions at a very active karst area at the Dead Sea are derived from satellite image analysis, photogrammetry and geologic field surveys. There, clusters of an increasing number of sinkholes have been developing since the 1980s within large-scale depressions and are distributed over different kinds of surface materials: clayey mud, sandy-gravel alluvium and lacustrine evaporites (salt). The morphology of sinkholes differs depending in which material they form: Sinkholes in sandy-gravel alluvium and salt are generally deeper and narrower than sinkholes in the interbedded evaporite and mud deposits. From repeated aerial surveys, collapse precursory features like small-scale subsidence, individual holes and cracks are identified in all materials. The analysis sheds light on the ongoing hazardous subsidence process, which is driven by the base-level fall of the Dead Sea and by the dynamic formation of subsurface water channels. In the second part of this thesis, a novel, 2D distinct element geomechanical modelling approach with the software PFC2D-V5 to simulating individual and multiple cavity growth and sinkhole and large-scale depression development is presented. The approach involves a stepwise material removal technique in void spaces of arbitrarily shaped geometries and is benchmarked by analytical and boundary element method solutions for circular cavities. Simulated compression and tension tests are used to calibrate model parameters with bulk rock properties for the materials of the field site. The simulations show that cavity and sinkhole evolution is controlled by material strength of both overburden and cavity host material, the depth and relative speed of the cavity growth and the developed stress pattern in the subsurface. Major findings are: (1) A progressively deepening differential subrosion with variable growth speed yields a more fragmented stress pattern with stress interaction between the cavities. It favours multiple sinkhole collapses and nesting within large-scale depressions. (2) Low-strength materials do not support large cavities in the material removal zone, and subsidence is mainly characterised by gradual sagging into the material removal zone with synclinal bending. (3) High-strength materials support large cavity formation, leading to sinkhole formation by sudden collapse of the overburden. (4) Large-scale depression formation happens either by coalescence of collapsing holes, block-wise brittle failure, or gradual sagging and lateral widening. The distinct element based approach is compared to results from remote sensing and geophysics at the field site. The numerical simulation outcomes are generally in good agreement with derived morphometrics, documented surface and subsurface structures as well as seismic velocities. Complementary findings on the subrosion process are provided from electric and seismic measurements in the area. Based on the novel combination of methods in this thesis, a generic model of karst landform evolution with focus on sinkhole and depression formation is developed. A deepening subrosion system related to preferential flow paths evolves and creates void spaces and subsurface conduits. This subsequently leads to hazardous subsidence, and the formation of sinkholes within large-scale depressions. Finally, a monitoring system for shallow natural hazard phenomena consisting of geodetic and geophysical observations is proposed for similarly affected areas.}, language = {en} } @phdthesis{Voss2019, author = {Voß, Amira}, title = {F{\"u}r eine Reformierung des irakischen internationalen Privatrechts}, doi = {10.25932/publishup-43019}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-430190}, school = {Universit{\"a}t Potsdam}, pages = {XIII; 272}, year = {2019}, abstract = {Seit 2003 hat sich das politische Bild des Irak stark ver{\"a}ndert. Dadurch begann der Prozess der Neugestaltung der irakischen Rechtsordnung. Die irakische Verfassung von 2005 legt erstmalig in der Geschichte des Irak den Islam und die Demokratie als zwei nebeneinander zu beachtende Grundprinzipien bei der Gesetzgebung fest. Trotz dieser signifikanten Ver{\"a}nderung im irakischen Rechtssystem und erheblicher Entwicklungen im internationalen Privat- und Zivilverfahrensrecht (IPR/IZVR) im internationalen Vergleich gilt die haupts{\"a}chlich im irakischen Zivilgesetzbuch (ZGB) von 1951 enthaltene gesetzliche Regelung des IPR/IZVR im Irak weiterhin. Deshalb entstand diese Arbeit f{\"u}r eine Reformierung des irakischen IPR/IZVR. Die Arbeit gilt als erste umfassende wissenschaftliche Untersuchung, die sich mit dem jetzigen Inhalt und der zuk{\"u}nftigen Reformierung des irakischen internationalen Privatrecht- und Zivilverfahrensrechts (IPR/IZVR) besch{\"a}ftigt. Die Verfasserin vermittelt einen Gesamt{\"u}berblick {\"u}ber das jetzt geltende irakische internationale Privat- und Zivilverfahrensrecht mit gelegentlicher punktueller und stichwortartiger Heranziehung des deutschen, islamischen, t{\"u}rkischen und tunesischen Rechts, zeigt dessen Schwachstellen auf und unterbreitet entsprechende Reformvorschl{\"a}ge. Wegen der besonderen Bedeutung des internationalen Vertragsrechts f{\"u}r die Wirtschaft im Irak und auch zum Teil f{\"u}r Deutschland gibt die Verfasserin einen genaueren {\"U}berblick {\"u}ber das irakische internationale Vertragsrecht und bekr{\"a}ftigt gleichzeitig dessen Reformbed{\"u}rftigkeit. Die Darstellung der wichtigen Entwicklungen im deutsch-europ{\"a}ischen, im traditionellen islamischen Recht und im t{\"u}rkischen und tunesischen internationalen Privat- und Zivilverfahrensrecht im zweiten Kapitel dienen als Grundlage, auf die bei der Reformierung des irakischen IPR/ IZVR zur{\"u}ck gegriffen werden kann. Da die Kenntnisse des islamischen Rechts nicht zwingend zum Rechtsstudium geh{\"o}ren, wird das islamische Recht dazu in Bezug auf seine Entstehung und die Rechtsquellen dargestellt. Am Ende der Arbeit wird ein Entwurf eines f{\"o}deralen Gesetzes zum internationalen Privatrecht im Irak katalogisiert, der sich im Rahmen der irakischen Verfassung gleichzeitig mit dem Islam und der Demokratie vereinbaren l{\"a}sst.}, language = {de} } @phdthesis{Teckentrup2019, author = {Teckentrup, Lisa}, title = {Understanding predator-prey interactions}, doi = {10.25932/publishup-43162}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-431624}, school = {Universit{\"a}t Potsdam}, pages = {ix, 133}, year = {2019}, abstract = {Predators can have numerical and behavioral effects on prey animals. While numerical effects are well explored, the impact of behavioral effects is unclear. Furthermore, behavioral effects are generally either analyzed with a focus on single individuals or with a focus on consequences for other trophic levels. Thereby, the impact of fear on the level of prey communities is overlooked, despite potential consequences for conservation and nature management. In order to improve our understanding of predator-prey interactions, an assessment of the consequences of fear in shaping prey community structures is crucial. In this thesis, I evaluated how fear alters prey space use, community structure and composition, focusing on terrestrial mammals. By integrating landscapes of fear in an existing individual-based and spatially-explicit model, I simulated community assembly of prey animals via individual home range formation. The model comprises multiple hierarchical levels from individual home range behavior to patterns of prey community structure and composition. The mechanistic approach of the model allowed for the identification of underlying mechanism driving prey community responses under fear. My results show that fear modified prey space use and community patterns. Under fear, prey animals shifted their home ranges towards safer areas of the landscape. Furthermore, fear decreased the total biomass and the diversity of the prey community and reinforced shifts in community composition towards smaller animals. These effects could be mediated by an increasing availability of refuges in the landscape. Under landscape changes, such as habitat loss and fragmentation, fear intensified negative effects on prey communities. Prey communities in risky environments were subject to a non-proportional diversity loss of up to 30\% if fear was taken into account. Regarding habitat properties, I found that well-connected, large safe patches can reduce the negative consequences of habitat loss and fragmentation on prey communities. Including variation in risk perception between prey animals had consequences on prey space use. Animals with a high risk perception predominantly used safe areas of the landscape, while animals with a low risk perception preferred areas with a high food availability. On the community level, prey diversity was higher in heterogeneous landscapes of fear if individuals varied in their risk perception compared to scenarios in which all individuals had the same risk perception. Overall, my findings give a first, comprehensive assessment of the role of fear in shaping prey communities. The linkage between individual home range behavior and patterns at the community level allows for a mechanistic understanding of the underlying processes. My results underline the importance of the structure of the landscape of fear as a key driver of prey community responses, especially if the habitat is threatened by landscape changes. Furthermore, I show that individual landscapes of fear can improve our understanding of the consequences of trait variation on community structures. Regarding conservation and nature management, my results support calls for modern conservation approaches that go beyond single species and address the protection of biotic interactions.}, language = {en} } @phdthesis{RomeroMujalli2019, author = {Romero Mujalli, Daniel}, title = {Ecological modeling of adaptive evolutionary responses to rapid climate change}, doi = {10.25932/publishup-43062}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-430627}, school = {Universit{\"a}t Potsdam}, pages = {167}, year = {2019}, abstract = {A contemporary challenge in Ecology and Evolutionary Biology is to anticipate the fate of populations of organisms in the context of a changing world. Climate change and landscape changes due to anthropic activities have been of major concern in the contemporary history. Organisms facing these threats are expected to respond by local adaptation (i.e., genetic changes or phenotypic plasticity) or by shifting their distributional range (migration). However, there are limits to their responses. For example, isolated populations will have more difficulties in developing adaptive innovations by means of genetic changes than interconnected metapopulations. Similarly, the topography of the environment can limit dispersal opportunities for crawling organisms as compared to those that rely on wind. Thus, populations of species with different life history strategy may differ in their ability to cope with changing environmental conditions. However, depending on the taxon, empirical studies investigating organisms' responses to environmental change may become too complex, long and expensive; plus, complications arising from dealing with endangered species. In consequence, eco-evolutionary modeling offers an opportunity to overcome these limitations and complement empirical studies, understand the action and limitations of underlying mechanisms, and project into possible future scenarios. In this work I take a modeling approach and investigate the effect and relative importance of evolutionary mechanisms (including phenotypic plasticity) on the ability for local adaptation of populations with different life strategy experiencing climate change scenarios. For this, I performed a review on the state of the art of eco-evolutionary Individual-Based Models (IBMs) and identify gaps for future research. Then, I used the results from the review to develop an eco-evolutionary individual-based modeling tool to study the role of genetic and plastic mechanisms in promoting local adaption of populations of organisms with different life strategies experiencing scenarios of climate change and environmental stochasticity. The environment was simulated through a climate variable (e.g., temperature) defining a phenotypic optimum moving at a given rate of change. The rate of change was changed to simulate different scenarios of climate change (no change, slow, medium, rapid climate change). Several scenarios of stochastic noise color resembling different climatic conditions were explored. Results show that populations of sexual species will rely mainly on standing genetic variation and phenotypic plasticity for local adaptation. Population of species with relatively slow growth rate (e.g., large mammals) - especially those of small size - are the most vulnerable, particularly if their plasticity is limited (i.e., specialist species). In addition, whenever organisms from these populations are capable of adaptive plasticity, they can buffer fitness losses in reddish climatic conditions. Likewise, whenever they can adjust their plastic response (e.g., bed-hedging strategy) they will cope with bluish environmental conditions as well. In contrast, life strategies of high fecundity can rely on non-adaptive plasticity for their local adaptation to novel environmental conditions, unless the rate of change is too rapid. A recommended management measure is to guarantee interconnection of isolated populations into metapopulations, such that the supply of useful genetic variation can be increased, and, at the same time, provide them with movement opportunities to follow their preferred niche, when local adaptation becomes problematic. This is particularly important for bluish and reddish climatic conditions, when the rate of change is slow, or for any climatic condition when the level of stress (rate of change) is relatively high.}, language = {en} } @phdthesis{Rabe2019, author = {Rabe, Sophie}, title = {Wirksamkeit einer telemedizinisch assistierten Bewegungstherapie f{\"u}r die postrehabilitative Versorgung von Patienten mit Knie- oder H{\"u}ft-Totalendoprothese im berufsf{\"a}higen Alter}, doi = {10.25932/publishup-43055}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-430556}, school = {Universit{\"a}t Potsdam}, pages = {x, 78}, year = {2019}, abstract = {Einleitung Die Implantation einer Knie- oder H{\"u}ft-Totalendoprothese (TEP) ist eine der h{\"a}ufigsten operativen Eingriffe. Im Anschluss an die Operation und die postoperative Rehabilitation stellt die Bewegungstherapie einen wesentlichen Bestandteil der Behandlung zur Verbesserung der Gelenkfunktion und der Lebensqualit{\"a}t dar. In strukturschwachen Gebieten werden entsprechende Angebote nur in unzureichender Dichte vorgehalten. Zudem zeichnet sich ein fl{\"a}chendeckender Fachkr{\"a}ftemangel im Bereich der Physiotherapie ab. Die Tele-Nachsorge bietet daher einen innovativen Ansatz f{\"u}r die postrehabilitative Versorgung der Patienten. Das Ziel der vorliegenden Untersuchung war die {\"U}berpr{\"u}fung der Wirksamkeit einer interaktiven Tele-Nachsorgeintervention f{\"u}r Patienten mit Knie- oder H{\"u}ft-TEP im Vergleich zur herk{\"o}mmlichen Versorgung (usual care). Dazu wurden die Funktionalit{\"a}t und die berufliche Wiedereingliederung untersucht. Methode Zwischen August 2016 und August 2017 wurden 111 Patienten (54,9 ± 6,8 Jahre, 54,3 \% weiblich) zu Beginn ihrer station{\"a}ren Anschlussheilbehandlung nach Implantation einer Knie- oder H{\"u}ft-TEP in diese randomisiert, kontrolliert, multizentrische Studie eingeschlossen. Nach Entlassung aus der orthop{\"a}dischen Anschlussrehabilitation (Baseline) f{\"u}hrte die Interventionsgruppe (IG) ein dreimonatiges interaktives Training {\"u}ber ein Telerehabilitationssystem durch. Hierf{\"u}r erstellte ein betreuender Physiotherapeut einen individuellen Trainingsplan aus 38 {\"U}bungen zur Verbesserung der Kraft sowie der posturalen Kontrolle. Zur Anpassung des Trainingsplans {\"u}bermittelte das System dem Physiotherapeuten Daten zur Quantit{\"a}t sowie zur Qualit{\"a}t des Trainings. Die Kontrollgruppe (KG) konnte die herk{\"o}mmlichen Versorgungsangebote nutzen. Zur Beurteilung der Wirksamkeit der Intervention wurde die Differenz der Verbesserung im 6MWT zwischen der IG und der KG nach drei Monaten als prim{\"a}rer Endpunkt definiert. Als sekund{\"a}re Endpunkte wurden die Return-to-Work-Rate sowie die funktionelle Mobilit{\"a}t mittels des Stair Ascend Tests, des Five-Times-Sit-to-Stand Test und des Timed Up and Go Tests untersucht. Weiterhin wurden die gesundheitsbezogene Lebensqualit{\"a}t mit dem Short-Form 36 (SF-36) und die gelenkbezogenen Einschr{\"a}nkungen mit dem Western Ontario and McMaster Universities Osteoarthritis Index (WOMAC) evaluiert. Der prim{\"a}re und die sekund{\"a}ren Endpunkte wurden anhand von baseline-adjustierten Kovarianzanalysen im intention-to-treat-Ansatz ausgewertet. Zus{\"a}tzlich wurde die Teilnahme an Nachsorgeangeboten und die Adh{\"a}renz der Interventionsgruppe an der Tele-Nachsorge erfasst und evaluiert. Ergebnisse Zum Ende der Intervention wiesen beide Gruppen einen statistisch signifikanten Anstieg ihrer 6MWT Strecke auf (p < 0,001). Zu diesem Zeitpunkt legten die Teilnehmer der IG im Mittel 530,8 ± 79,7 m, die der KG 514,2 ± 71,2 m zur{\"u}ck. Dabei betrug die Differenz der Verbesserung der Gehstrecke in der IG 88,3 ± 57,7 m und in der KG 79,6 ± 48,7 m. Damit zeigt der prim{\"a}re Endpunkt keine signifikanten Gruppenunterschiede (p = 0,951). Bez{\"u}glich der beruflichen Wiedereingliederung konnte jedoch eine signifikant h{\"o}here Rate in der IG (64,6 \% versus 46,2 \%; p = 0,014) festgestellt werden. F{\"u}r die sekund{\"a}ren Endpunkte der funktionellen Mobilit{\"a}t, der Lebensqualit{\"a}t und der gelenkbezogenen Beschwerden belegen die Ergebnisse eine Gleichwertigkeit beider Gruppen zum Ende der Intervention. Schlussfolgerung Die telemedizinisch assistierte Bewegungstherapie f{\"u}r Knie- oder H{\"u}ft-TEP Patienten ist der herk{\"o}mmlichen Versorgung zur Nachsorge hinsichtlich der erzielten Verbesserungen der funktionellen Mobilit{\"a}t, der gesundheitsbezogenen Lebensqualit{\"a}t und der gelenkbezogenen Beschwerden gleichwertig. In dieser Patientenpopulation ließen sich klinisch relevante Verbesserungen unabh{\"a}ngig von der Form der Bewegungstherapie erzielen. Im Hinblick auf die berufliche Wiedereingliederung zeigte sich eine signifikant h{\"o}here Rate in der Interventionsgruppe. Die telemedizinisch assistierte Bewegungstherapie scheint eine geeignete Versorgungsform der Nachsorge zu sein, die orts- und zeitunabh{\"a}ngig durchgef{\"u}hrt werden kann und somit den Bed{\"u}rfnissen berufst{\"a}tiger Patienten entgegenkommt und in den Alltag der Patienten integriert werden kann. Die Tele-Nachsorge sollte daher als optionale und komplement{\"a}re Form der postrehabilitativen Nachsorge angeboten werden. Auch im Hinblick auf den zunehmenden Fachkr{\"a}ftemangel im Bereich der Physiotherapie und bestehende Versorgungsl{\"u}cken in strukturschwachen Gebieten kann der Einsatz der Tele-Nachsorge innovative und bedarfsgerechte L{\"o}sungsans{\"a}tze bieten.}, language = {de} } @phdthesis{Yan2019, author = {Yan, Runyu}, title = {Nitrogen-doped and porous carbons towards new energy storage mechanisms for supercapacitors with high energy density}, doi = {10.25932/publishup-43141}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-431413}, school = {Universit{\"a}t Potsdam}, pages = {152}, year = {2019}, abstract = {Supercapacitors are electrochemical energy storage devices with rapid charge/discharge rate and long cycle life. Their biggest challenge is the inferior energy density compared to other electrochemical energy storage devices such as batteries. Being the most widely spread type of supercapacitors, electrochemical double-layer capacitors (EDLCs) store energy by electrosorption of electrolyte ions on the surface of charged electrodes. As a more recent development, Na-ion capacitors (NICs) are expected to be a more promising tactic to tackle the inferior energy density due to their higher-capacity electrodes and larger operating voltage. The charges are simultaneously stored by ion adsorption on the capacitive-type cathode surface and via faradic process in the battery-type anode, respectively. Porous carbon electrodes are of great importance in these devices, but the paramount problems are the facile synthetic routes for high-performance carbons and the lack of fundamental understanding of the energy storage mechanisms. Therefore, the aim of the present dissertation is to develop novel synthetic methods for (nitrogen-doped) porous carbon materials with superior performance, and to reveal a deeper understanding energy storage mechanisms of EDLCs and NICs. The first part introduces a novel synthetic method towards hierarchical ordered meso-microporous carbon electrode materials for EDLCs. The large amount of micropores and highly ordered mesopores endow abundant sites for charge storage and efficient electrolyte transport, respectively, giving rise to superior EDLC performance in different electrolytes. More importantly, the controversial energy storage mechanism of EDLCs employing ionic liquid (IL) electrolytes is investigated by employing a series of porous model carbons as electrodes. The results not only allow to conclude on the relations between the porosity and ion transport dynamics, but also deliver deeper insights into the energy storage mechanism of IL-based EDLCs which is different from the one usually dominating in solvent-based electrolytes leading to compression double-layers. The other part focuses on anodes of NICs, where novel synthesis of nitrogen-rich porous carbon electrodes and their sodium storage mechanism are investigated. Free-standing fibrous nitrogen-doped carbon materials are synthesized by electrospinning using the nitrogen-rich monomer (hexaazatriphenylene-hexacarbonitrile, C18N12) as the precursor followed by condensation at high temperature. These fibers provide superior capacity and desirable charge/discharge rate for sodium storage. This work also allows insights into the sodium storage mechanism in nitrogen-doped carbons. Based on this mechanism, further optimization is done by designing a composite material composed of nitrogen-rich carbon nanoparticles embedded in conductive carbon matrix for a better charge/discharge rate. The energy density of the assembled NICs significantly prevails that of common EDLCs while maintaining the high power density and long cycle life.}, language = {en} } @phdthesis{Damour2019, author = {Damour, Jean-Claude}, title = {Hegel und Wittgenstein {\"u}ber den Sinn der Sprache}, doi = {10.25932/publishup-43103}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-431036}, school = {Universit{\"a}t Potsdam}, pages = {132}, year = {2019}, abstract = {The key objectives of this dissertation are to justify the use of dialectic methodology in the realm of the philosophy of language and to conduct a systematic processing of a limited part of this field. In order to explain and determine this approach, which is found rarely, if ever, in contemporary research, I will begin by referring to two philosophical authors: Hegel and Wittgenstein. Although Hegel and Wittgenstein are, prima facie, two authors who have very little in common, the primary supposition of this dissertation regarding the history of ideas is that Hegel's concept of "Spirit" and Wittgenstein's concept of "Form of life" are nevertheless both approaches and the results of philosophical effort that imply the necessity of solving a sceptical challenge. Wittgenstein actually developed an argument in his Philosophical Investigations that has been described as the "rule-following paradox" and has been considered in secondary literature (especially Kripke) as the main tenet of a sceptical argument. Consequently, Wittgenstein's theory of language as developed in Philosophical Investigations has been interpreted by various authors either as a solution to this scepticism or as a sceptical, or "aporetic", text in itself (Brandom). The first section of my dissertation aims to demonstrate that dealing with this paradox does not constitute a full sceptical argument and can be considered as the first moment of a higher form of sceptical challenge, an antinomy. A full sceptical challenge implies both the possibility that the theory corresponding to the unique solution of the paradox, the negation of any explicit normativity ("dispositionalism"), and the negation of the principle of this solution, can be proved. I'll therefore attempt to establish an antinomy of the concept of normativity with respect to the rule of language, similar to Kant's exposure of his cosmological antinomy (thesis cum antithesis). The second aim of my dissertation is to show: that Kant's approach to solving his antinomy is ineffective concerning the antinomy of normativity; that this antinomy implies a confrontation with radical scepticism in a sense that we are committed not to simply challenging or reconsidering some theories, but to engaging in a deep revision of our methodology (This in turn entails a deep revision of the current norms of rationality); that the Hegelian dialectic emerges as the solution to such a radical sceptical challenge, as the true solution to antinomy. A further goal of this dissertation is to use this methodological result to gain a new knowledge of language, consisting of two contradictory moments of cognition that are constructively combined: normativity by means of disposition, and normativity by means of an explicit rule-following. The tangible benefit of such a methodological approach is the possibility of building a systematic philosophy of language that enables the establishment of a dialectical deduction of the moments of the concept of language as moments of the concept of the spirit, in other words, to establish the sense of language. Nonetheless, I must limit myself to exposure to the doctrine of imagination, which encompasses general semiotics and the system of grammar.}, language = {de} } @phdthesis{Desanois2019, author = {Desanois, Louis}, title = {On the origin of epithermal Sn-Ag-Zn mineralization at the Pirquitas mine, NW Argentina}, doi = {10.25932/publishup-43082}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-430822}, school = {Universit{\"a}t Potsdam}, pages = {104}, year = {2019}, abstract = {The Central Andes host large reserves of base and precious metals. The region represented, in 2017, an important part of the worldwide mining activity. Three principal types of deposits have been identified and studied: 1) porphyry type deposits extending from central Chile and Argentina to Bolivia, and Northern Peru, 2) iron oxide-copper-gold (IOCG) deposits, extending from central Peru to central Chile, and 3) epithermal tin polymetallic deposits extending from Southern Peru to Northern Argentina, which compose a large part of the deposits of the Bolivian Tin Belt (BTB). Deposits in the BTB can be divided into two major types: (1) tin-tungsten-zinc pluton-related polymetallic deposits, and (2) tin-silver-lead-zinc epithermal polymetallic vein deposits. Mina Pirquitas is a tin-silver-lead-zinc epithermal polymetallic vein deposit, located in north-west Argentina, that used to be one of the most important tin-silver producing mine of the country. It was interpreted to be part of the BTB and it shares similar mineral associations with southern pluton related BTB epithermal deposits. Two major mineralization events related to three pulses of magmatic fluids mixed with meteoric water have been identified. The first event can be divided in two stages: 1) stage I-1 with quartz, pyrite, and cassiterite precipitating from fluids between 233 and 370 °C and salinity between 0 and 7.5 wt\%, corresponding to a first pulse of fluids, and 2) stage I-2 with sphalerite and tin-silver-lead-antimony sulfosalts precipitating from fluids between 213 and 274 °C with salinity up to 10.6 wt\%, corresponding to a new pulse of magmatic fluids in the hydrothermal system. The mineralization event II deposited the richest silver ores at Pirquitas. Event II fluids temperatures and salinities range between 190 and 252 °C and between 0.9 and 4.3 wt\% respectively. This corresponds to the waning supply of magmatic fluids. Noble gas isotopic compositions and concentrations in ore-hosted fluid inclusions demonstrate a significant contribution of magmatic fluids to the Pirquitas mineralization although no intrusive rocks are exposed in the mine area. Lead and sulfur isotopic measurements on ore minerals show that Pirquitas shares a similar signature with southern pluton related polymetallic deposits in the BTB. Furthermore, the major part of the sulfur isotopic values of sulfide and sulfosalt minerals from Pirquitas ranges in the field for sulfur derived from igneous rocks. This suggests that the main contribution of sulfur to the hydrothermal system at Pirquitas is likely to be magma-derived. The precise age of the deposit is still unknown but the results of wolframite dating of 2.9 ± 9.1 Ma and local structural observations suggest that the late mineralization event is younger than 12 Ma.}, language = {en} } @phdthesis{Ehrlich2019, author = {Ehrlich, Elias}, title = {On the role of trade-offs in predator-prey interactions}, doi = {10.25932/publishup-43063}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-430631}, school = {Universit{\"a}t Potsdam}, pages = {192}, year = {2019}, abstract = {Predation drives coexistence, evolution and population dynamics of species in food webs, and has strong impacts on related ecosystem functions (e.g. primary production). The effect of predation on these processes largely depends on the trade-offs between functional traits in the predator and prey community. Trade-offs between defence against predation and competitive ability, for example, allow for prey speciation and predator-mediated coexistence of prey species with different strategies (defended or competitive), which may stabilize the overall food web dynamics. While the importance of such trade-offs for coexistence is widely known, we lack an understanding and the empirical evidence of how the variety of differently shaped trade-offs at multiple trophic levels affect biodiversity, trait adaptation and biomass dynamics in food webs. Such mechanistic understanding is crucial for predictions and management decisions that aim to maintain biodiversity and the capability of communities to adapt to environmental change ensuring their persistence. In this dissertation, after a general introduction to predator-prey interactions and tradeoffs, I first focus on trade-offs in the prey between qualitatively different types of defence (e.g. camouflage or escape behaviour) and their costs. I show that these different types lead to different patterns of predator-mediated coexistence and population dynamics, by using a simple predator-prey model. In a second step, I elaborate quantitative aspects of trade-offs and demonstrates that the shape of the trade-off curve in combination with trait-fitness relationships strongly affects competition among different prey types: Either specialized species with extreme trait combinations (undefended or completely defended) coexist, or a species with an intermediate defence level dominates. The developed theory on trade-off shapes and coexistence is kept general, allowing for applications apart from defence-competitiveness trade-offs. Thirdly, I tested the theory on trade-off shapes on a long-term field data set of phytoplankton from Lake Constance. The measured concave trade-off between defence and growth governs seasonal trait changes of phytoplankton in response to an altering grazing pressure by zooplankton, and affects the maintenance of trait variation in the community. In a fourth step, I analyse the interplay of different tradeoffs at multiple trophic levels with plankton data of Lake Constance and a corresponding tritrophic food web model. The results show that the trait and biomass dynamics of the different three trophic levels are interrelated in a trophic biomass-trait cascade, leading to unintuitive patterns of trait changes that are reversed in comparison to predictions from bitrophic systems. Finally, in the general discussion, I extract main ideas on trade-offs in multitrophic systems, develop a graphical theory on trade-off-based coexistence, discuss the interplay of intra- and interspecific trade-offs, and end with a management-oriented view on the results of the dissertation, describing how food webs may respond to future global changes, given their trade-offs.}, language = {en} } @phdthesis{Liu2019, author = {Liu, Jiabo}, title = {Dynamics of the geomagnetic field during the last glacial}, doi = {10.25932/publishup-42946}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-429461}, school = {Universit{\"a}t Potsdam}, pages = {xv, 158}, year = {2019}, abstract = {Geomagnetic paleosecular variations (PSVs) are an expression of geodynamo processes inside the Earth's liquid outer core. These paleomagnetic time series provide insights into the properties of the Earth's magnetic field, from normal behavior with a dominating dipolar geometry, over field crises, such as pronounced intensity lows and geomagnetic excursions with a distorted field geometry, to the complete reversal of the dominating dipole contribution. Particularly, long-term high-resolution and high-quality PSV time series are needed for properly reconstructing the higher frequency components in the spectrum of geomagnetic field variations and for a better understanding of the effects of smoothing during the recording of such paleomagnetic records by sedimentary archives. In this doctorate study, full vector paleomagnetic records were derived from 16 sediment cores recovered from the southeastern Black Sea. Age models are based on radiocarbon dating and correlations of warming/cooling cycles monitored by high-resolution X-ray fluorescence (XRF) elementary ratios as well as ice-rafted debris (IRD) in Black Sea sediments to the sequence of 'Dansgaard-Oeschger' (DO) events defined from Greenland ice core oxygen isotope stratigraphy. In order to identify the carriers of magnetization in Black Sea sediments, core MSM33-55-1 recovered from the southeast Black Sea was subjected to detailed rock magnetic and electron microscopy investigations. The younger part of core MSM33-55-1 was continuously deposited since 41 ka. Before 17.5 ka, the magnetic minerals were dominated by a mixture of greigite (Fe3S4) and titanomagnetite (Fe3-xTixO4) in samples with SIRM/κLF >10 kAm-1, or exclusively by titanomagnetite in samples with SIRM/κLF ≤10 kAm-1. It was found that greigite is generally present as crustal aggregates in locally reducing micro-environments. From 17.5 ka to 8.3 ka, the dominant magnetic mineral in this transition phase was changing from greigite (17.5 - ~10.0 ka) to probably silicate-hosted titanomagnetite (~10.0 - 8.3 ka). After 8.3 ka, the anoxic Black Sea was a favorable environment for the formation of non-magnetic pyrite (FeS2) framboids. Aiming to avoid compromising of paleomagnetic data by erroneous directions carried by greigite, paleomagnetic data from samples with SIRM/κLF >10 kAm-1, shown to contain greigite by various methods, were removed from obtained records. Consequently, full vector paleomagnetic records, comprising directional data and relative paleointensity (rPI), were derived only from samples with SIRM/κLF ≤10 kAm-1 from 16 Black Sea sediment cores. The obtained data sets were used to create a stack covering the time window between 68.9 and 14.5 ka with temporal resolution between 40 and 100 years, depending on sedimentation rates. At 64.5 ka, according to obtained results from Black Sea sediments, the second deepest minimum in relative paleointensity during the past 69 ka occurred. The field minimum during MIS 4 is associated with large declination swings beginning about 3 ka before the minimum. While a swing to 50°E is associated with steep inclinations (50-60°) according to the coring site at 42°N, the subsequent declination swing to 30°W is associated with shallow inclinations of down to 40°. Nevertheless, these large deviations from the direction of a geocentric axial dipole field (I=61°, D=0°) still can not yet be termed as 'excursional', since latitudes of corresponding VGPs only reach down to 51.5°N (120°E) and 61.5°N (75°W), respectively. However, these VGP positions at opposite sides of the globe are linked with VGP drift rates of up to 0.2° per year in between. These extreme secular variations might be the mid-latitude expression of the Norwegian-Greenland Sea excursion found at several sites much further North in Arctic marine sediments between 69°N and 81°N. At about 34.5 ka, the Mono Lake excursion is evidenced in the stacked Black Sea PSV record by both a rPI minimum and directional shifts. Associated VGPs from stacked Black Sea data migrated from Alaska, via central Asia and the Tibetan Plateau, to Greenland, performing a clockwise loop. This agrees with data recorded in the Wilson Creek Formation, USA., and Arctic sediment core PS2644-5 from the Iceland Sea, suggesting a dominant dipole field. On the other hand, the Auckland lava flows, New Zealand, the Summer Lake, USA., and Arctic sediment core from ODP Site-919 yield distinct VGPs located in the central Pacific Ocean due to a presumably non-dipole (multi-pole) field configuration. A directional anomaly at 18.5 ka, associated with pronounced swings in inclination and declination, as well as a low in rPI, is probably contemporaneous with the Hilina Pali excursion, originally reported from Hawaiian lava flows. However, virtual geomagnetic poles (VGPs) calculated from Black Sea sediments are not located at latitudes lower than 60° N, which denotes normal, though pronounced secular variations. During the postulated Hilina Pali excursion, the VGPs calculated from Black Sea data migrated clockwise only along the coasts of the Arctic Ocean from NE Canada (20.0 ka), via Alaska (18.6 ka) and NE Siberia (18.0 ka) to Svalbard (17.0 ka), then looping clockwise through the Eastern Arctic Ocean. In addition to the Mono Lake and the Norwegian-Greenland Sea excursions, the Laschamp excursion was evidenced in the Black Sea PSV record with the lowest paleointensities at about 41.6 ka and a short-term (~500 years) full reversal centered at 41 ka. These excursions are further evidenced by an abnormal PSV index, though only the Laschamp and the Mono Lake excursions exhibit excursional VGP positions. The stacked Black Sea paleomagnetic record was also converted into one component parallel to the direction expected from a geocentric axial dipole (GAD) and two components perpendicular to it, representing only non-GAD components of the geomagnetic field. The Laschamp and the Norwegian-Greenland Sea excursions are characterized by extremely low GAD components, while the Mono Lake excursion is marked by large non-GAD contributions. Notably, negative values of the GAD component, indicating a fully reversed geomagnetic field, are observed only during the Laschamp excursion. In summary, this doctoral thesis reconstructed high-resolution and high-fidelity PSV records from SE Black Sea sediments. The obtained record comprises three geomagnetic excursions, the Norwegian-Greenland Sea excursion, the Laschamp excursion, and the Mono Lake excursion. They are characterized by abnormal secular variations of different amplitudes centered at about 64.5 ka, 41.0 ka and 34.5 ka, respectively. In addition, the obtained PSV record from the Black Sea do not provide evidence for the postulated 'Hilina Pali excursion' at about 18.5 ka. Anyway, the obtained Black Sea paleomagnetic record, covering field fluctuations from normal secular variations, over excursions, to a short but full reversal, points to a geomagnetic field characterized by a large dynamic range in intensity and a highly variable superposition of dipole and non-dipole contributions from the geodynamo during the past 68.9 to 14.5 ka.}, language = {en} } @phdthesis{Herrmann2019, author = {Herrmann, Johannes}, title = {The mechanical behavior of shales}, doi = {10.25932/publishup-42968}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-429683}, school = {Universit{\"a}t Potsdam}, pages = {XIII, 156}, year = {2019}, abstract = {The thesis comprises three experimental studies, which were carried out to unravel the short- as well as the long-term mechanical properties of shale rocks. Short-term mechanical properties such as compressive strength and Young's modulus were taken from recorded stress-strain curves of constant strain rate tests. Long-term mechanical properties are represented by the time- dependent creep behavior of shales. This was obtained from constant stress experiments, where the test duration ranged from a couple minutes up to two weeks. A profound knowledge of the mechanical behavior of shales is crucial to reliably estimate the potential of a shale reservoir for an economical and sustainable extraction of hydrocarbons (HC). In addition, healing of clay-rich forming cap rocks involving creep and compaction is important for underground storage of carbon dioxide and nuclear waste. Chapter 1 introduces general aspects of the research topic at hand and highlights the motivation for conducting this study. At present, a shift from energy recovered from conventional resources e.g., coal towards energy provided by renewable resources such as wind or water is a big challenge. Gas recovered from unconventional reservoirs (shale plays) is considered a potential bridge technology. In Chapter 2, short-term mechanical properties of two European mature shale rocks are presented, which were determined from constant strain rate experiments performed at ambient and in situ deformation conditions (confining pressure, pc ≤ 100 MPa, temperature, T ≤ 125 °C, representing pc, T - conditions at < 4 km depth) using a Paterson- type gas deformation apparatus. The investigated shales were mainly from drill core material of Posidonia (Germany) shale and weathered material of Bowland (United Kingdom) shale. The results are compared with mechanical properties of North American shales. Triaxial compression tests performed perpendicular to bedding revealed semibrittle deformation behavior of Posidonia shale with pronounced inelastic deformation. This is in contrast to Bowland shale samples that deformed brittle and displayed predominantly elastic deformation. The static Young's modulus, E, and triaxial compressive strength, σTCS, determined from recorded stress-strain curves strongly depended on the applied confining pressure and sample composition, whereas the influence of temperature and strain rate on E and σTCS was minor. Shales with larger amounts of weak minerals (clay, mica, total organic carbon) yielded decreasing E and σTCS. This may be related to a shift from deformation supported by a load-bearing framework of hard phases (e.g., quartz) towards deformation of interconnected weak minerals, particularly for higher fractions of about 25 - 30 vol\% weak phases. Comparing mechanical properties determined at reservoir conditions with mechanical data applying effective medium theories revealed that E and σTCS of Posidonia and Bowland shale are close to the lower (Reuss) bound. Brittleness B is often quoted as a measure indicating the response of a shale formation to stimulation and economic production. The brittleness, B, of Posidonia and Bowland shale, estimated from E, is in good agreement with the experimental results. This correlation may be useful to predict B from sonic logs, from which the (dynamic) Young's modulus can be retrieved. Chapter 3 presents a study of the long-term creep properties of an immature Posidonia shale. Constant stress experiments (σ = const.) were performed at elevated confining pressures (pc = 50 - 200 MPa) and temperatures (T = 50 - 200 °C) to simulate reservoir pc, T - conditions. The Posidonia shale samples were acquired from a quarry in South Germany. At stresses below ≈ 84 \% compressive strength of Posidonia shale, at high temperature and low confining pressure, samples showed pronounced transient (primary) creep with high deformation rates in the semibrittle regime. Sample deformation was mainly accommodated by creep of weak sample constituents and pore space reduction. An empirical power law relation between strain and time, which also accounts for the influence of pc, T and σ on creep strain was formulated to describe the primary creep phase. Extrapolation of the results to a creep period of several years, which is the typical time interval for a large production decline, suggest that fracture closure is unlikely at low stresses. At high stresses as expected for example at the contact between the fracture surfaces and proppants added during stimulation measures, subcritical crack growth may lead to secondary and tertiary creep. An empirical power law is suggested to describe secondary creep of shale rocks as a function of stress, pressure and temperature. The predicted closure rates agree with typical production decline curves recorded during the extraction of hydrocarbons. At the investigated conditions, the creep behavior of Posidonia shale was found to correlate with brittleness, calculated from sample composition. In Chapter 4 the creep properties of mature Posidonia and Bowland shales are presented. The observed long-term creep behavior is compared to the short-term behavior determined in Chapter 2. Creep experiments were performed at simulated reservoir conditions of pc = 50 - 115 MPa and T = 75 - 150 °C. Similar to the mechanical response of immature Posidonia shale samples investigated in Chapter 3, creep strain rates of mature Bowland and Posidonia shales were enhanced with increasing stress and temperature and decreasing confining pressures. Depending on applied deformation conditions, samples displayed either only a primary (decelerating) or in addition also a secondary (quasi-steady state) and subsequently a tertiary (accelerating) creep phase before failure. At the same deformation conditions, creep strain of Posidonia shale, which is rich in weak constituents, is tremendously higher than of quartz-rich Bowland shale. Typically, primary creep strain is again mostly accommodated by deformation of weak minerals and local pore space reduction. At the onset of tertiary creep most of the deformation was accommodated by micro crack growth. A power law was used to characterize the primary creep phase of Posidonia and Bowland shale. Primary creep strain of shale rocks is inversely correlated to triaxial compressive strength and brittleness, as described in Chapter 2. Chapter 5 provides a synthesis of the experimental findings and summarizes the major results of the studies presented in Chapters 2 - 4 and potential applications in the Exploration \& Production industry. Chapter 6 gives a brief outlook on potential future experimental research that would help to further improve our understanding of processes leading to fracture closure involving proppant embedment in unconventional shale gas reservoirs. Such insights may allow to improve stimulation techniques aimed at maintaining economical extraction of hydrocarbons over several years.}, language = {en} }