@book{SchreiberKrahnIngallsetal.2016, author = {Schreiber, Robin and Krahn, Robert and Ingalls, Daniel H. H. and Hirschfeld, Robert}, title = {Transmorphic}, number = {110}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-387-9}, issn = {1613-5652}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-98300}, publisher = {Universit{\"a}t Potsdam}, pages = {100}, year = {2016}, abstract = {Defining Graphical User Interfaces (GUIs) through functional abstractions can reduce the complexity that arises from mutable abstractions. Recent examples, such as Facebook's React GUI framework have shown, how modelling the view as a functional projection from the application state to a visual representation can reduce the number of interacting objects and thus help to improve the reliabiliy of the system. This however comes at the price of a more rigid, functional framework where programmers are forced to express visual entities with functional abstractions, detached from the way one intuitively thinks about the physical world. In contrast to that, the GUI Framework Morphic allows interactions in the graphical domain, such as grabbing, dragging or resizing of elements to evolve an application at runtime, providing liveness and directness in the development workflow. Modelling each visual entity through mutable abstractions however makes it difficult to ensure correctness when GUIs start to grow more complex. Furthermore, by evolving morphs at runtime through direct manipulation we diverge more and more from the symbolic description that corresponds to the morph. Given that both of these approaches have their merits and problems, is there a way to combine them in a meaningful way that preserves their respective benefits? As a solution for this problem, we propose to lift Morphic's concept of direct manipulation from the mutation of state to the transformation of source code. In particular, we will explore the design, implementation and integration of a bidirectional mapping between the graphical representation and a functional and declarative symbolic description of a graphical user interface within a self hosted development environment. We will present Transmorphic, a functional take on the Morphic GUI Framework, where the visual and structural properties of morphs are defined in a purely functional, declarative fashion. In Transmorphic, the developer is able to assemble different morphs at runtime through direct manipulation which is automatically translated into changes in the code of the application. In this way, the comprehensiveness and predictability of direct manipulation can be used in the context of a purely functional GUI, while the effects of the manipulation are reflected in a medium that is always in reach for the programmer and can even be used to incorporate the source transformations into the source files of the application.}, language = {en} } @misc{HeinzKlugeRapp2016, author = {Heinz, A. and Kluge, U. and Rapp, Michael A.}, title = {Heritability of living in deprived neighbourhoods}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103770}, pages = {1}, year = {2016}, language = {en} } @misc{HenzeHomannRohnetal.2016, author = {Henze, Andrea and Homann, Thomas and Rohn, Isabelle and Aschner, Michael A. and Link, Christopher D. and Kleuser, Burkhard and Schweigert, Florian J. and Schwerdtle, Tanja and Bornhorst, Julia}, title = {Caenorhabditis elegans as a model system to study post-translational modifications of human transthyretin}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103674}, pages = {12}, year = {2016}, abstract = {The visceral protein transthyretin (TTR) is frequently affected by oxidative post-translational protein modifications (PTPMs) in various diseases. Thus, better insight into structure-function relationships due to oxidative PTPMs of TTR should contribute to the understanding of pathophysiologic mechanisms. While the in vivo analysis of TTR in mammalian models is complex, time- and resource-consuming, transgenic Caenorhabditis elegans expressing hTTR provide an optimal model for the in vivo identification and characterization of drug-mediated oxidative PTPMs of hTTR by means of matrix assisted laser desorption/ionization - time of flight - mass spectrometry (MALDI-TOF-MS). Herein, we demonstrated that hTTR is expressed in all developmental stages of Caenorhabditis elegans, enabling the analysis of hTTR metabolism during the whole life-cycle. The suitability of the applied model was verified by exposing worms to D-penicillamine and menadione. Both drugs induced substantial changes in the oxidative PTPM pattern of hTTR. Additionally, for the first time a covalent binding of both drugs with hTTR was identified and verified by molecular modelling.}, language = {en} } @phdthesis{Dey2016, author = {Dey, Saptarshi}, title = {Tectonic and climatic control on the evolution of the Himalayan mountain front}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103390}, school = {Universit{\"a}t Potsdam}, pages = {xii, 118}, year = {2016}, abstract = {Variations in the distribution of mass within an orogen may lead to transient sediment storage, which in turn might affect the state of stress and the level of fault activity. Distinguishing between different forcing mechanisms causing variations of sediment flux and tectonic activity, is therefore one of the most challenging tasks in understanding the spatiotemporal evolution of active mountain belts. The Himalayan mountain belt is one of the most significant Cenozoic collisional mountain belt, formed due to collision between northward-bound Indian Plate and the Eurasian Plate during the last 55-50 Ma. Ongoing convergence of these two tectonic plates is accommodated by faulting and folding within the Himalayan arc-shaped orogen and the continued lateral and vertical growth of the Tibetan Plateau and mountain belts adjacent to the plateau as well as regions farther north. Growth of the Himalayan orogen is manifested by the development of successive south-vergent thrust systems. These thrust systems divide the orogen into different morphotectonic domains. From north to south these thrusts are the Main Central Thrust (MCT), the Main Boundary Thrust (MBT) and the Main Frontal Thrust (MFT). The growing topography interacts with moisture-bearing monsoonal winds, which results in pronounced gradients in rainfall, weathering, erosion and sediment transport toward the foreland and beyond. However, a fraction of this sediment is trapped and transiently stored within the intermontane valleys or 'dun's within the lower-elevation foothills of the range. Improved understanding of the spatiotemporal evolution of these sediment archives could provide a unique opportunity to decipher the triggers of variations in sediment production, delivery and storage in an actively deforming mountain belt and support efforts to test linkages between sediment volumes in intermontane basins and changes in the shallow crustal stress field. As sediment redistribution in mountain belts on timescales of 102-104 years can effect cultural characteristics and infrastructure in the intermontane valleys and may even impact the seismotectonics of a mountain belt, there is a heightened interest in understanding sediment-routing processes and causal relationships between tectonism, climate and topography. It is here at the intersection between tectonic processes and superposed climatic and sedimentary processes in the Himalayan orogenic wedge, where my investigation is focused on. The study area is the intermontane Kangra Basin in the northwestern Sub-Himalaya, because the characteristics of the different Himalayan morphotectonic provinces are well developed, the area is part of a region strongly influenced by monsoonal forcing, and the existence of numerous fluvial terraces provides excellent strain markers to assess deformation processes within the Himalayan orogenic wedge. In addition, being located in front of the Dhauladhar Range the region is characterized by pronounced gradients in past and present-day erosion and sediment processes associated with repeatedly changing climatic conditions. In light of these conditions I analysed climate-driven late Pleistocene-Holocene sediment cycles in this tectonically active region, which may be responsible for triggering the tectonic re-organization within the Himalayan orogenic wedge, leading to out-of-sequence thrusting, at least since early Holocene. The Kangra Basin is bounded by the MBT and the Sub-Himalayan Jwalamukhi Thrust (JMT) in the north and south, respectively and transiently stores sediments derived from the Dhauladhar Range. The Basin contains ~200-m-thick conglomerates reflecting two distinct aggradation phases; following aggradation, several fluvial terraces were sculpted into these fan deposits. 10Be CRN surface exposure dating of these terrace levels provides an age of 53.4±3.2 ka for the highest-preserved terrace (AF1); subsequently, this surface was incised until ~15 ka, when the second fan (AF2) began to form. AF2 fan aggradation was superseded by episodic Holocene incision, creating at least four terrace levels. We find a correlation between variations in sediment transport and ∂18O records from regions affected by the Indian Summer Monsoon (ISM). During strengthened ISMs sand post-LGM glacial retreat, aggradation occurred in the Kangra Basin, likely due to high sediment flux, whereas periods of a weakened ISM coupled with lower sediment supply coincided with renewed re-incision. However, the evolution of fluvial terraces along Sub-Himalayan streams in the Kangra sector is also forced by tectonic processes. Back-tilted, folded terraces clearly document tectonic activity of the JMT. Offset of one of the terrace levels indicates a shortening rate of 5.6±0.8 to 7.5±1.0 mm.a-1 over the last ~10 ka. Importantly, my study reveals that late Pleistocene/Holocene out-of-sequence thrusting accommodates 40-60\% of the total 14±2 mm.a-1 shortening partitioned throughout the Sub-Himalaya. Importantly, the JMT records shortening at a lower rate over longer timescales hints towards out-of-sequence activity within the Sub-Himalaya. Re-activation of the JMT could be related to changes in the tectonic stress field caused by large-scale sediment removal from the basin. I speculate that the deformation processes of the Sub-Himalaya behave according to the predictions of critical wedge model and assume the following: While >200m of sediment aggradation would trigger foreland-ward propagation of the deformation front, re-incision and removal of most of the stored sediments (nearly 80-85\% of the optimum basin-fill) would again create a sub-critical condition of the wedge taper and trigger the retreat of the deformation front. While tectonism is responsible for the longer-term processes of erosion associated with steepening hillslopes, sediment cycles in this environment are mainly the result of climatic forcing. My new 10Be cosmogenic nuclide exposure dates and a synopsis of previous studies show the late Pleistocene to Holocene alluvial fills and fluvial terraces studied here record periodic fluctuations of sediment supply and transport capacity on timescales of 1000-100000 years. To further evaluate the potential influence of climate change on these fluctuations, I compared the timing of aggradation and incision phases recorded within remnant alluvial fans and terraces with continental climate archives such as speleothems in neighboring regions affected by monsoonal precipitation. Together with previously published OSL ages yielding the timing of aggradation, I find a correlation between variations in sediment transport with oxygen-isotope records from regions affected by the Indian Summer Monsoon (ISM). Accordingly, during periods of increased monsoon intensity (transitions from dry and cold to wet and warm periods - MIS4 to MIS3 and MIS2 to MIS1) (MIS=marine isotope stage) and post-Last Glacial Maximum glacial retreat, aggradation occurred in the Kangra Basin, likely due to high sediment flux. Conversely, periods of weakened monsoon intensity or lower sediment supply coincide with re-incision of the existing basin-fill. Finally, my study entails part of a low-temperature thermochronology study to assess the youngest exhumation history of the Dhauladhar Range. Zircon helium (ZHe) ages and existing low-temperature data sets (ZHe, apatite fission track (AFT)) across this range, together with 3D thermokinematic modeling (PECUBE) reveals constraints on exhumation and activity of the range-bounding Main Boundary Thrust (MBT) since at least mid-Miocene time. The modeling results indicate mean slip rates on the MBT-fault ramp of ~2 - 3 mm.a-1 since its activation. This has lead to the growth of the >5-km-high frontal Dhauladhar Range and continuous deep-seated exhumation and erosion. The obtained results also provide interesting constraints of deformation patterns and their variation along strike. The results point towards the absence of the time-transient 'mid-crustal ramp' in the basal decollement and duplexing of the Lesser Himalayan sequence, unlike the nearby regions or even the central Nepal domain. A fraction of convergence (~10-15\%) is accommodated along the deep-seated MBT-ramp, most likely merging into the MHT. This finding is crucial for a rigorous assessment of the overall level of tectonic activity in the Himalayan morphotectonic provinces as it contradicts recently-published geodetic shortening estimates. In these studies, it has been proposed that the total Himalayan shortening in the NW Himalaya is accommodated within the Sub-Himalaya whereas no tectonic activity is assigned to the MBT.}, language = {en} } @misc{PimenovaGoldobinRosenblumetal.2016, author = {Pimenova, Anastasiya V. and Goldobin, Denis S. and Rosenblum, Michael and Pikovskij, Arkadij}, title = {Interplay of coupling and common noise at the transition to synchrony in oscillator populations}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103471}, pages = {7}, year = {2016}, abstract = {There are two ways to synchronize oscillators: by coupling and by common forcing, which can be pure noise. By virtue of the Ott-Antonsen ansatz for sine-coupled phase oscillators, we obtain analytically tractable equations for the case where both coupling and common noise are present. While noise always tends to synchronize the phase oscillators, the repulsive coupling can act against synchrony, and we focus on this nontrivial situation. For identical oscillators, the fully synchronous state remains stable for small repulsive coupling; moreover it is an absorbing state which always wins over the asynchronous regime. For oscillators with a distribution of natural frequencies, we report on a counter-intuitive effect of dispersion (instead of usual convergence) of the oscillators frequencies at synchrony; the latter effect disappears if noise vanishes.}, language = {en} } @misc{OPUS4-10309, title = {Kentron : Journal zur Lehrerbildung = P{\"a}dagogische Haltung im Fokus}, number = {30}, issn = {1867-4720}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103094}, year = {2016}, abstract = {Editorial (Dr. Roswitha Lohwaßer) ; Schon im Studium von gelingenden Schulen lernen (Jannis Andresen, Jakob Erichsen) ; Wie ein Funke {\"u}berspringt (Laura Zrenner) ; Lerneffekte unter der Lupe (Ariane Faulian) ; Die Lernreise als Ultima Ratio? (Leroy Großmann) ; Die Lernreise als Schulperspektive (Laura Zrenner) ; Teamgeist gefragt (Cornelia Br{\"u}ckner) ; Wunschberuf Lehrerin (Robin Miska) ; Gelebte Integration (Cornelia Br{\"u}ckner) ; Souver{\"a}n F{\"u}hren im Unterricht (Dr. Helga Breuninger, Marina Rottig, Prof. Dr. Wilfried Schley) ; Was lernen Lehramtsstudierende durch ein videogest{\"u}tztes Klassenmanagement-Training? (Dr. Janine Neuhaus, Mirko Wendland)}, language = {de} } @phdthesis{Mazzonetto2016, author = {Mazzonetto, Sara}, title = {On the exact simulation of (skew) Brownian diffusions with discontinuous drift}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102399}, school = {Universit{\"a}t Potsdam}, pages = {ii, 100}, year = {2016}, abstract = {This thesis is focused on the study and the exact simulation of two classes of real-valued Brownian diffusions: multi-skew Brownian motions with constant drift and Brownian diffusions whose drift admits a finite number of jumps. The skew Brownian motion was introduced in the sixties by It{\^o} and McKean, who constructed it from the reflected Brownian motion, flipping its excursions from the origin with a given probability. Such a process behaves as the original one except at the point 0, which plays the role of a semipermeable barrier. More generally, a skew diffusion with several semipermeable barriers, called multi-skew diffusion, is a diffusion everywhere except when it reaches one of the barriers, where it is partially reflected with a probability depending on that particular barrier. Clearly, a multi-skew diffusion can be characterized either as solution of a stochastic differential equation involving weighted local times (these terms providing the semi-permeability) or by its infinitesimal generator as Markov process. In this thesis we first obtain a contour integral representation for the transition semigroup of the multiskew Brownian motion with constant drift, based on a fine analysis of its complex properties. Thanks to this representation we write explicitly the transition densities of the two-skew Brownian motion with constant drift as an infinite series involving, in particular, Gaussian functions and their tails. Then we propose a new useful application of a generalization of the known rejection sampling method. Recall that this basic algorithm allows to sample from a density as soon as one finds an - easy to sample - instrumental density verifying that the ratio between the goal and the instrumental densities is a bounded function. The generalized rejection sampling method allows to sample exactly from densities for which indeed only an approximation is known. The originality of the algorithm lies in the fact that one finally samples directly from the law without any approximation, except the machine's. As an application, we sample from the transition density of the two-skew Brownian motion with or without constant drift. The instrumental density is the transition density of the Brownian motion with constant drift, and we provide an useful uniform bound for the ratio of the densities. We also present numerical simulations to study the efficiency of the algorithm. The second aim of this thesis is to develop an exact simulation algorithm for a Brownian diffusion whose drift admits several jumps. In the literature, so far only the case of a continuous drift (resp. of a drift with one finite jump) was treated. The theoretical method we give allows to deal with any finite number of discontinuities. Then we focus on the case of two jumps, using the transition densities of the two-skew Brownian motion obtained before. Various examples are presented and the efficiency of our approach is discussed.}, language = {en} } @phdthesis{Draeger2016, author = {Dr{\"a}ger, Nadine}, title = {Holocene climate and environmental variability in NE Germany inferred from annually laminated lake sediments}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103037}, school = {Universit{\"a}t Potsdam}, pages = {xv, 144 Seiten}, year = {2016}, abstract = {Understanding the role of natural climate variability under the pressure of human induced changes of climate and landscapes, is crucial to improve future projections and adaption strategies. This doctoral thesis aims to reconstruct Holocene climate and environmental changes in NE Germany based on annually laminated lake sediments. The work contributes to the ICLEA project (Integrated CLimate and Landscape Evolution Analyses). ICLEA intends to compare multiple high-resolution proxy records with independent chronologies from the N central European lowlands, in order to disentangle the impact of climate change and human land use on landscape development during the Lateglacial and Holocene. In this respect, two study sites in NE Germany are investigated in this doctoral project, Lake Tiefer See and palaeolake Wukenfurche. While both sediment records are studied with a combination of high-resolution sediment microfacies and geochemical analyses (e.g. µ-XRF, carbon geochemistry and stable isotopes), detailed proxy understanding mainly focused on the continuous 7.7 m long sediment core from Lake Tiefer See covering the last ~6000 years. Three main objectives are pursued at Lake Tiefer See: (1) to perform a reliable and independent chronology, (2) to establish microfacies and geochemical proxies as indicators for climate and environmental changes, and (3) to trace the effects of climate variability and human activity on sediment deposition. Addressing the first aim, a reliable chronology of Lake Tiefer See is compiled by using a multiple-dating concept. Varve counting and tephra findings form the chronological framework for the last ~6000 years. The good agreement with independent radiocarbon dates of terrestrial plant remains verifies the robustness of the age model. The resulting reliable and independent chronology of Lake Tiefer See and, additionally, the identification of nine tephras provide a valuable base for detailed comparison and synchronization of the Lake Tiefer See data set with other climate records. The sediment profile of Lake Tiefer See exhibits striking alternations between well-varved and non-varved sediment intervals. The combination of microfacies, geochemical and microfossil (i.e. Cladocera and diatom) analyses indicates that these changes of varve preservation are caused by variations of lake circulation in Lake Tiefer See. An exception is the well-varved sediment deposited since AD 1924, which is mainly influenced by human-induced lake eutrophication. Well-varved intervals before the 20th century are considered to reflect phases of reduced lake circulation and, consequently, stronger anoxic conditions. Instead, non-varved intervals indicate increased lake circulation in Lake Tiefer See, leading to more oxygenated conditions at the lake ground. Furthermore, lake circulation is not only influencing sediment deposition, but also geochemical processes in the lake. As, for example, the proxy meaning of δ13COM varies in time in response to changes of the oxygen regime in the lake hypolinion. During reduced lake circulation and stronger anoxic conditions δ13COM is influenced by microbial carbon cycling. In contrast, organic matter degradation controls δ13COM during phases of intensified lake circulation and more oxygenated conditions. The varve preservation indicates an increasing trend of lake circulation at Lake Tiefer See after ~4000 cal a BP. This trend is superimposed by decadal to centennial scale variability of lake circulation intensity. Comparison to other records in Central Europe suggests that the long-term trend is probably related to gradual changes in Northern Hemisphere orbital forcing, which induced colder and windier conditions in Central Europe and, therefore, reinforced lake circulation. Decadal to centennial scale periods of increased lake circulation coincide with settlement phases at Lake Tiefer See, as inferred from pollen data of the same sediment record. Deforestation reduced the wind shelter of the lake, which probably increased the sensitivity of lake circulation to wind stress. However, results of this thesis also suggest that several of these phases of increased lake circulation are additionally reinforced by climate changes. A first indication is provided by the comparison to the Baltic Sea record, which shows striking correspondence between major non-varved intervals at Lake Tiefer See and bioturbated sediments in the Baltic Sea. Furthermore, a preliminary comparison to the ICLEA study site Lake Czechowskie (N central Poland) shows a coincidence of at least three phases of increased lake circulation in both lakes, which concur with periods of known climate changes (2.8 ka event, 'Migration Period' and 'Little Ice Age'). These results suggest an additional over-regional climate forcing also on short term increased of lake circulation in Lake Tiefer See. In summary, the results of this thesis suggest that lake circulation at Lake Tiefer See is driven by a combination of long-term and short-term climate changes as well as of anthropogenic deforestation phases. Furthermore, the lake circulation drives geochemical cycles in the lake affecting the meaning of proxy data. Therefore, the work presented here expands the knowledge of climate and environmental variability in NE Germany. Furthermore, the integration of the Lake Tiefer See multi-proxy record in a regional comparison with another ICLEA side, Lake Czechowskie, enabled to better decipher climate changes and human impact on the lake system. These first results suggest a huge potential for further detailed regional comparisons to better understand palaeoclimate dynamics in N central Europe.}, language = {en} } @phdthesis{Dick2016, author = {Dick, Uwe}, title = {Discriminative Classification Models for Internet Security}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102593}, school = {Universit{\"a}t Potsdam}, pages = {x, 57}, year = {2016}, abstract = {Services that operate over the Internet are under constant threat of being exposed to fraudulent use. Maintaining good user experience for legitimate users often requires the classification of entities as malicious or legitimate in order to initiate countermeasures. As an example, inbound email spam filters decide for spam or non-spam. They can base their decision on both the content of each email as well as on features that summarize prior emails received from the sending server. In general, discriminative classification methods learn to distinguish positive from negative entities. Each decision for a label may be based on features of the entity and related entities. When labels of related entities have strong interdependencies---as can be assumed e.g. for emails being delivered by the same user---classification decisions should not be made independently and dependencies should be modeled in the decision function. This thesis addresses the formulation of discriminative classification problems that are tailored for the specific demands of the following three Internet security applications. Theoretical and algorithmic solutions are devised to protect an email service against flooding of user inboxes, to mitigate abusive usage of outbound email servers, and to protect web servers against distributed denial of service attacks. In the application of filtering an inbound email stream for unsolicited emails, utilizing features that go beyond each individual email's content can be valuable. Information about each sending mail server can be aggregated over time and may help in identifying unwanted emails. However, while this information will be available to the deployed email filter, some parts of the training data that are compiled by third party providers may not contain this information. The missing features have to be estimated at training time in order to learn a classification model. In this thesis an algorithm is derived that learns a decision function that integrates over a distribution of values for each missing entry. The distribution of missing values is a free parameter that is optimized to learn an optimal decision function. The outbound stream of emails of an email service provider can be separated by the customer IDs that ask for delivery. All emails that are sent by the same ID in the same period of time are related, both in content and in label. Hijacked customer accounts may send batches of unsolicited emails to other email providers, which in turn might blacklist the sender's email servers after detection of incoming spam emails. The risk of being blocked from further delivery depends on the rate of outgoing unwanted emails and the duration of high spam sending rates. An optimization problem is developed that minimizes the expected cost for the email provider by learning a decision function that assigns a limit on the sending rate to customers based on the each customer's email stream. Identifying attacking IPs during HTTP-level DDoS attacks allows to block those IPs from further accessing the web servers. DDoS attacks are usually carried out by infected clients that are members of the same botnet and show similar traffic patterns. HTTP-level attacks aim at exhausting one or more resources of the web server infrastructure, such as CPU time. If the joint set of attackers cannot increase resource usage close to the maximum capacity, no effect will be experienced by legitimate users of hosted web sites. However, if the additional load raises the computational burden towards the critical range, user experience will degrade until service may be unavailable altogether. As the loss of missing one attacker depends on block decisions for other attackers---if most other attackers are detected, not blocking one client will likely not be harmful---a structured output model has to be learned. In this thesis an algorithm is developed that learns a structured prediction decoder that searches the space of label assignments, guided by a policy. Each model is evaluated on real-world data and is compared to reference methods. The results show that modeling each classification problem according to the specific demands of the task improves performance over solutions that do not consider the constraints inherent to an application.}, language = {en} } @phdthesis{Heybl2016, author = {Heybl, Christine}, title = {Der Klimawandel}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102442}, school = {Universit{\"a}t Potsdam}, pages = {293}, year = {2016}, abstract = {Was ist Gerechtigkeit? Wie k{\"o}nnten gerechte Regelungen aussehen f{\"u}r die Katastrophen und Leiden, die der Klimawandel ausl{\"o}st bzw. ausl{\"o}sen wird? Diese sind h{\"a}ufig ungerecht, weil sie oft deutlich st{\"a}rker diejenigen treffen, die am wenigsten zur Klimaver{\"a}nderung beigetragen haben. Doch was genau verstehen wir unter dem Schlagwort: ‚Klimawandel'? Und kann dieser wirklich den Menschen direkt treffen? Ein kurzer naturwissenschaftlicher Abriss kl{\"a}rt hier die wichtigsten Fragen. Da es sich hierbei um eine philosophische Arbeit handelt, muss zun{\"a}chst gekl{\"a}rt werden, ob der Mensch {\"u}berhaupt die Ursache von so etwas sein kann wie z.B. der Klimaerw{\"a}rmung. Robert Spaemanns These dazu ist, dass der Mensch durch seinen freien Willen mit seinen Einzelhandlungen das Weltgeschehen ver{\"a}ndern kann. Hans Jonas f{\"u}gt dem hinzu, dass wir durch diese F{\"a}higkeit, verantwortlich sind f{\"u}r die gewollten und ungewollten Folgen unserer Handlungen. Damit w{\"a}re aus naturwissenschaftlicher Sicht (1. Teil der Arbeit) und aus philosophischer Sicht (Anfang 2. Teil) gekl{\"a}rt, dass der Mensch mit gr{\"o}ßter Wahrscheinlichkeit die Ursache des Klimawandels ist und diese Verursachung moralische Konsequenzen f{\"u}r ihn hat. Ein philosophischer Gerechtigkeitsbegriff wird aus der Kantischen Rechts- und Moralphilosophie entwickelt, weil diese die einzige ist, die dem Menschen {\"u}berhaupt ein Recht auf Rechte zusprechen kann. Diese entspringt der transzendentalen Freiheitsf{\"a}higkeit des Menschen, weshalb jedem das Recht auf Rechte absolut und immer zukommt. Gleichzeitig m{\"u}ndet Kants Philosophie wiederum in dem Freiheitsgedanken, indem Gerechtigkeit nur existiert, wenn alle Menschen gleichermaßen frei sein k{\"o}nnen. Was heißt das konkret? Wie k{\"o}nnte Gerechtigkeit in der Realit{\"a}t wirklich umgesetzt werden? Die Realisierung schl{\"a}gt zwei Grundrichtungen ein. John Rawls und Stefan Gosepath besch{\"a}ftigen sich u.a. eingehend mit der prozeduralen Gerechtigkeit, was bedeutet, dass gerechte Verfahren gefunden werden, die das gesellschaftliche Zusammenleben regeln. Das leitende Prinzip hierf{\"u}r ist vor allem: ein Mitbestimmungsrecht aller, so dass sich im Prinzip alle B{\"u}rger ihre Gesetze selbst geben und damit frei handeln. In Bezug auf den Klimawandel steht die zweite Ausrichtung im Vordergrund - die distributive oder auch Verteilungs-Gerechtigkeit. Materielle G{\"u}ter m{\"u}ssen so aufgeteilt werden, dass auch trotz empirischer Unterschiede alle Menschen als moralische Subjekte anerkannt werden und frei sein k{\"o}nnen. Doch sind diese philosophischen Schlussfolgerungen nicht viel zu abstrakt, um auf ein ebenso schwer fassbares und globales Problem wie den Klimawandel angewendet zu werden? Was k{\"o}nnte daher eine Klimagerechtigkeit sein? Es gibt viele Gerechtigkeitsprinzipien, die vorgeben, eine gerechte Grundlage f{\"u}r die Klimaprobleme zu bieten wie z.B. das Verursacherprinzip, das F{\"a}higkeitsprinzip oder das Grandfathering-Prinzip, bei dem die Hauptverursacher nach wie vor am meisten emittieren d{\"u}rfen (dieses Prinzip leitete die bisherigen internationalen Verhandlungen). Das Ziel dieser Arbeit ist, herauszufinden, wie die Klimaprobleme gel{\"o}st werden k{\"o}nnen, so dass f{\"u}r alle Menschen unter allen Umst{\"a}nden die universellen Menschenrechte her- und sichergestellt werden und diese frei und moralisch handeln k{\"o}nnen. Die Schlussfolgerung dieser Arbeit ist, dass Kants Gerechtigkeitsbegriff durch eine Kombination des Subsistenzemissions-Rechts, des Greenhouse-Development-Rights-Principles (GDR-Prinzip) und einer internationalen Staatlichkeit durchgesetzt werden k{\"o}nnte. Durch das Subsistenzemissions-Recht hat jeder Mensch das Recht, so viel Energie zu verbrauchen und damit zusammenh{\"a}ngende Emissionen zu produzieren, dass er ein menschenw{\"u}rdiges Leben f{\"u}hren kann. Das GDR-Prinzip errechnet den Anteil an der weltweiten Gesamtverantwortung zum Klimaschutz eines jeden Landes oder sogar eines jeden Weltb{\"u}rgers, indem es die historischen Emissionen (Klimaschuld) zu der jetzigen finanziellen Kapazit{\"a}t des Landes/ des Individuums (Verantwortungsf{\"a}higkeit) hinzuaddiert. Die Implementierung von internationalen Gremien wird verteidigt, weil es ein globales, grenz{\"u}berschreitendes Problem ist, dessen Effekte und dessen Verantwortung globale Ausmaße haben. Ein schlagendes Argument f{\"u}r fast alle Klimaschutzmaßnahmen ist, dass sie Synergien aufweisen zu anderen gesellschaftlichen Bereichen aufweisen wie z.B. Gesundheit und Armutsbek{\"a}mpfung, in denen auch noch um die Durchsetzung unserer Menschenrechte gerungen wird. Ist dieser L{\"o}sungsansatz nicht v{\"o}llig utopisch? Dieser Vorschlag stellt f{\"u}r die internationale Gemeinschaft eine große Herausforderung dar, w{\"a}re jedoch die einzig gerechte L{\"o}sung unserer Klimaprobleme. Des Weiteren wird an dem Kantischen Handlungsgrundsatz festgehalten, dass das ewige Streben auf ideale Ziele hin, die beste Verwirklichung dieser durch menschliche, fehlbare Wesen ist.}, language = {de} } @phdthesis{Luettig2016, author = {L{\"u}ttig, Julia}, title = {Protektiver Effekt von 6-Shogaol, Ellags{\"a}ure und Myrrhe auf die intestinale epitheliale Barriere}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102571}, school = {Universit{\"a}t Potsdam}, pages = {IX, 108}, year = {2016}, abstract = {Viele bioaktive Pflanzeninhaltsstoffe bzw. Pflanzenmetabolite besitzen antiinflammatorische Eigenschaften. Diese versprechen ein hohes Potential f{\"u}r den Einsatz in der Phytotherapie bzw. Pr{\"a}vention von chronisch-entz{\"u}ndlichen Darmerkrankungen (CED). Eine intestinale Barrieredysfunktion ist ein typisches Charakteristikum von CED Patienten, die dadurch an akuter Diarrhoe leiden. In dieser Arbeit werden die Pflanzenkomponenten 6-Shogaol, Ellags{\"a}ure und Myrrhe an den intestinalen Kolonepithelzellmodellen HT-29/B6 und Caco-2 auf ihr Potential hin, die intestinale Barriere zu st{\"a}rken bzw. eine Barrieredysfunktion zu verhindern, untersucht. Hauptschwerpunkt der Analysen ist die parazellul{\"a}re Barrierefunktion und die Regulation der daf{\"u}r entscheidenden Proteinfamilie der Tight Junctions (TJs), der Claudine. Die Barrierefunktion wird durch Messung des transepithelialen Widerstands (TER) und der Fluxmessung in der Ussing-Kammer bestimmt. Dazu werden die HT-29/B6- und Caco-2-Monolayer mit den Pflanzenkomponenten (6-Shogaol, Ellags{\"a}ure, Myrrhe), dem proinflammatorischen Zytokin TNF-α oder der Kombination von beiden Subsztanzen f{\"u}r 24 oder 48 h behandelt. Außerdem wurden zur weiteren Charakterisierung die Expression sowie die Lokalisation der f{\"u}r die parazellul{\"a}re Barriere relevanten Claudine, die TJ-Ultrastruktur und verschiedene Signalwege analysiert. In Caco-2-Monolayern f{\"u}hrten Ellags{\"a}ure und Myrrhe, nicht aber 6-Shogaol, allein zu einem TER-Anstieg bedingt durch eine verringerte Permeabilit{\"a}t f{\"u}r Natriumionen. Myrrhe verminderte die Expression des Kationenkanal-bildenden TJ-Proteins Claudin-2 {\"u}ber die Inhibierung des PI3K/Akt-Signalweges, w{\"a}hrend Ellags{\"a}ure die Expression der TJ-Proteine Claudin-4 und -7 reduzierte. Alle Pflanzenkomponenten sch{\"u}tzten in den Caco-2-Zellen vor einer TNF-α-induzierten Barrieredysfunktion. An den HT-29/B6-Monolayern {\"a}nderte keine der Pflanzenkomponenten allein die Barrierefunktion. Die HT-29/B6-Zellen reagierten auf TNF-α mit einer deutlichen Verminderung des TER und einer erh{\"o}hten Fluoreszein-Permeabilit{\"a}t. Die TER-Abnahme war durch eine PI3K/Akt-vermittelte gesteigerte Claudin-2-Expression sowie eine NFκB-vermittelte Umverteilung des abdichtenden TJ-Proteins Claudin-1 gekennzeichnet. 6-Shogaol konnte den TER-Abfall partiell hemmen sowie die PI3K/Akt-induzierte Claudin-2-Expression und die NFκB-bedingte Claudin-1-Umverteilung verhindern. Ebenso inhibierte Myrrhe, nicht aber Ellags{\"a}ure, den TNF-α-induzierten TER-Abfall. Dabei konnte Myrrhe zwar den Claudin-2-Expressionsanstieg und die Claudin-1-Umverteilung unterbinden, jedoch weder die NFκB- noch die PI3K/Akt-Aktivierung hemmen. Diese Arbeit zeigt, dass auch STAT6 an dem Claudin-2-Expressionsanstieg durch TNF-α in HT-29/B6-Zellen beteiligt ist. So wurde durch Myrrhe die TNF-α-induzierte Phosphorylierung von STAT6 und die erh{\"o}hte Claudin-2-Expression inhibiert. Die Ergebnisse deuten darauf hin, dass die Pflanzenkomponenten 6-Shogaol, Ellags{\"a}ure und Myrrhe mit unterschiedlichen Mechanismen st{\"a}rkend auf die Barriere einwirken. Zur Behandlung von intestinalen Erkrankungen mit Barrieredysfunktion k{\"o}nnten daher Kombinationspr{\"a}parate aus verschiedenen Pflanzen effektiver sein als Monopr{\"a}parate.}, language = {de} } @phdthesis{Sin2016, author = {Sin, Celine}, title = {Post-transcriptional control of gene expression}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102469}, school = {Universit{\"a}t Potsdam}, pages = {xxv, 238}, year = {2016}, abstract = {Gene expression describes the process of making functional gene products (e.g. proteins or special RNAs) from instructions encoded in the genetic information (e.g. DNA). This process is heavily regulated, allowing cells to produce the appropriate gene products necessary for cell survival, adapting production as necessary for different cell environments. Gene expression is subject to regulation at several levels, including transcription, mRNA degradation, translation and protein degradation. When intact, this system maintains cell homeostasis, keeping the cell alive and adaptable to different environments. Malfunction in the system can result in disease states and cell death. In this dissertation, we explore several aspects of gene expression control by analyzing data from biological experiments. Most of the work following uses a common mathematical model framework based on Markov chain models to test hypotheses, predict system dynamics or elucidate network topology. Our work lies in the intersection between mathematics and biology and showcases the power of statistical data analysis and math modeling for validation and discovery of biological phenomena.}, language = {en} } @phdthesis{Buerger2016, author = {B{\"u}rger, Arne}, title = {MaiStep - Mainzer Schultraining zur Essst{\"o}rungspr{\"a}vention}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-98369}, school = {Universit{\"a}t Potsdam}, pages = {IX, 160}, year = {2016}, abstract = {Objectives The aim of this doctoral thesis was to investigate the efficacy of a German skills-based primary prevention program for partial-syndrome and full-syndrome eating disorders (Mainzer Schultraining zur Essst{\"o}rungspr{\"a}vention (MaiStep)) in reducing eating disorder symptoms as the primary outcome and associated psychopathology as a secondary outcome. Design Randomized Controlled Trial (RCT), three-intervention-group design, with two intervention groups and one active control group with a 3-month and 12-month follow-up. Setting A project in nine schools within the state of Rhineland-Palatine, Germany; funded by the Ministry of Health and Social Affairs (MSAGD) and the Ministry of Education, Culture and Research (MBWWK). Participants 1,654 adolescents (female/male: 781/873; mean age: 13.1±0.7; BMI: 20.0±3.5) recruited from randomly selected schools. Interventions The implementation and development of the skills based program was based on a systematic review of 63 scientific articles regarding eating disorder prevention in childhood and adolescence. One intervention group was conducted by psychologists and one by trained teachers. The active control group was performed by trained teachers using a stress and addiction prevention program. Main outcome measures The primary outcome measure was the incidence of partial-syndrome and full-syndrome eating disorders after completion of the program; secondary outcomes included self-reported questionnaires about eating disorder pathology. Results MaiStep did not reveal significant group differences at 3-month follow-up but showed a significant difference between the intervention groups and the active control group for partial anorexia nervosa (CHI²(2)) = 8.74, p = .01**) and partial bulimia nervosa (CHI²(2) = 7.25, p = .02*) at 12-month follow-up. Consistent with the primary outcome, the secondary measures were even more effective in the intervention groups at 12-month follow-up. The subscales of the Eating Disorder Inventory (EDI-2) drive of thinness (F (2, 355) = 3.94, p = .02*) and perfectionism (F (2, 355) = 4.19, p = .01**) and the Body Image Avoidance Questionnaire (BIAQ) (F (2, 525) = 18.79, p = .01**) showed significant differences for the intervention groups and demonstrated the effectiveness of MaiStep. Conclusions MaiStep has shown to be a successful program to prevent eating disorders in adolescents at 13 to 15 years of age. In addition, MaiStep was equally effective when conducted by teachers compared to psychologists suggesting feasibility of implementation in real world settings. Trial registration MaiStep is registered at the German Clinical Trials Register (DRKS00005050).}, language = {de} } @phdthesis{Simon2016, author = {Simon, Sebastian}, title = {Der Einfluss der Koordination von Spurenelementen in silikatischen und aluminosilikatischen Schmelzen auf Elementverteilungsprozesse in magmatischen Systemen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-100932}, school = {Universit{\"a}t Potsdam}, pages = {xviii, 138}, year = {2016}, abstract = {Das Wissen um die lokale Struktur von Seltenen Erden Elementen (SEE) in silikatischen und aluminosilikatischen Schmelzen ist von fundamentalem Interesse f{\"u}r die Geochemie der magmatischen Prozesse, speziell wenn es um ein umfassendes Verst{\"a}ndnis der Verteilungsprozesse von SEE in magmatischen Systemen geht. Es ist allgemein akzeptiert, dass die SEE-Verteilungsprozesse von Temperatur, Druck, Sauerstofffugazit{\"a}t (im Fall von polyvalenten Kationen) und der Kristallchemie kontrolliert werden. Allerdings ist wenig {\"u}ber den Einfluss der Schmelzzusammensetzung selbst bekannt. Ziel dieser Arbeit ist, eine Beziehung zwischen der Variation der SEE-Verteilung mit der Schmelzzusammensetzung und der Koordinationschemie dieser SEE in der Schmelze zu schaffen. Dazu wurden Schmelzzusammensetzungen von Prowatke und Klemme (2005), welche eine deutliche {\"A}nderung der Verteilungskoeffizienten zwischen Titanit und Schmelze ausschließlich als Funktion der Schmelzzusammensetzung zeigen, sowie haplogranitische bzw. haplobasaltische Schmelzzusammensetzungen als Vertreter magmatischer Systeme mit La, Gd, Yb und Y dotiert und als Glas synthetisiert. Die Schmelzen variierten systematisch im Aluminiums{\"a}ttigungsindex (ASI), welcher bei den Prowatke und Klemme (2005) Zusammensetzungen einen Bereich von 0.115 bis 0.768, bei den haplogranitischen Zusammensetzungen einen Bereich von 0.935 bis 1.785 und bei den haplobasaltischen Zusammensetzungen einen Bereich von 0.368 bis 1.010 abdeckt. Zus{\"a}tzlich wurden die haplogranitischen Zusammensetzungen mit 4 \% H2O synthetisiert, um den Einfluss von Wasser auf die lokale Umgebung von SEE zu studieren. Um Informationen {\"u}ber die lokalen Struktur von Gd, Yb und Y zu erhalten wurde die R{\"o}ntgenabsorptionsspektroskopie angewendet. Dabei liefert die Untersuchung der Feinstruktur mittels der EXAFS-Spektroskopie (engl. Extended X-Ray Absorption Fine Structure) quantitative Informationen {\"u}ber die lokale Umgebung, w{\"a}hrend RIXS (engl. resonant inelastic X-ray scattering), sowie die daraus extrahierte hoch aufgel{\"o}ste Nahkantenstruktur, XANES (engl. X-ray absorption near edge structure) qualitative Informationen {\"u}ber m{\"o}gliche Koordinations{\"a}nderungen von La, Gd und Yb in den Gl{\"a}sern liefert. Um m{\"o}gliche Unterschiede der lokalen Struktur oberhalb der Glastransformationstemperatur (TG) zur Raumtemperatur zu untersuchen, wurden exemplarisch Hochtemperatur Y-EXAFS Untersuchungen durchgef{\"u}hrt. F{\"u}r die Auswertung der EXAFS-Messungen wurde ein neu eingef{\"u}hrter Histogramm-Fit verwendet, der auch nicht-symmetrische bzw. nichtgaußf{\"o}rmige Paarverteilungsfunktionen beschreiben kann, wie sie bei einem hohen Grad der Polymerisierung bzw. bei hohen Temperaturen auftreten k{\"o}nnen. Die Y-EXAFS-Spektren f{\"u}r die Prowatke und Klemme (2005) Zusammensetzungen zeigen mit Zunahme des ASI, eine Zunahme der Asymmetrie und Breite der Y-O Paarverteilungsfunktion, welche sich in sich in der {\"A}nderung der Koordinationszahl von 6 nach 8 und einer Zunahme des Y-O Abstand um 0.13{\AA} manifestiert. Ein {\"a}hnlicher Trend l{\"a}sst sich auch f{\"u}r die Gd- und Yb-EXAFS-Spektren beobachten. Die hoch aufgel{\"o}sten XANESSpektren f{\"u}r La, Gd und Yb zeigen, dass sich die strukturellen Unterschiede zumindest halb-quantitativ bestimmen lassen. Dies gilt insbesondere f{\"u}r {\"A}nderungen im mittleren Abstand zu den Sauerstoffatomen. Im Vergleich zur EXAFS-Spektroskopie liefert XANES jedoch keine Informationen {\"u}ber die Form und Breite von Paarverteilungsfunktionen. Die Hochtemperatur EXAFS-Untersuchungen von Y zeigen {\"A}nderungen der lokalen Struktur oberhalb der Glas{\"u}bergangstemperatur an, welche sich vordergr{\"u}ndig auf eine thermisch induzierte Erh{\"o}hung des mittleren Y-O Abstandes zur{\"u}ckf{\"u}hren lassen. Allerdings zeigt ein Vergleich der Y-O Abst{\"a}nde f{\"u}r Zusammensetzungen mit einem ASI von 0.115 bzw. 0.755, ermittelt bei Raumtemperatur und TG, dass der im Glas beobachtete strukturelle Unterschied entlang der Zusammensetzungsserie in der Schmelze noch st{\"a}rker ausfallen kann, als bisher f{\"u}r die Gl{\"a}ser angenommen wurde. Die direkte Korrelation der Verteilungsdaten von Prowatke und Klemme (2005) mit den strukturellen {\"A}nderungen der Schmelzen offenbart f{\"u}r Y eine lineare Korrelation, wohingegen Yb und Gd eine nicht lineare Beziehung zeigen. Aufgrund seines Ionenradius und seiner Ladung wird das 6-fach koordinierte SEE in den niedriger polymerisierten Schmelzen bevorzugt durch nicht-br{\"u}ckenbildende Sauerstoffatome koordiniert, um stabile Konfigurationen zu bilden. In den h{\"o}her polymerisierten Schmelzen mit ASI-Werten in der N{\"a}he von 1 ist 6-fache Koordination nicht m{\"o}glich, da fast nur noch br{\"u}ckenbildende Sauerstoffatome zur Verf{\"u}gung stehen. Die {\"U}berbindung von br{\"u}ckenbildenden Sauerstoffatomen um das SEE wird durch Erh{\"o}hung der Koordinationszahl und des mittleren SEE-O Abstandes ausgeglichen. Dies bedeutet eine energetisch g{\"u}nstigere Konfiguration in den st{\"a}rker depolymerisierten Zusammensetzungen, aus welcher die beobachtete Variation des Verteilungskoeffizienten resultiert, welcher sich jedoch f{\"u}r jedes Element stark unterscheidet. F{\"u}r die haplogranitischen und haplobasaltischen Zusammensetzungen wurde mit Zunahme der Polymerisierung auch eine Zunahme der Koordinationszahl und des durchschnittlichen Bindungsabstands, einhergehend mit der Zunahme der Schiefe und der Asymmetrie der Paarverteilungsfunktion, beobachtet. Dies impliziert, dass das jeweilige SEE mit Zunahme der Polymerisierung auch inkompatibler in diesen Zusammensetzungen wird. Weiterhin zeigt die Zugabe von Wasser, dass die Schmelzen depolymerisieren, was in einer symmetrischeren Paarverteilungsfunktion resultiert, wodurch die Kompatibilit{\"a}t wieder zunimmt. Zusammenfassend zeigt sich, dass die Ver{\"a}nderungen der Schmelzzusammensetzungen in einer {\"A}nderung der Polymerisierung der Schmelzen resultieren, die dann einen signifikanten Einfluss auf die lokale Umgebung der SEE hat. Die strukturellen {\"A}nderungen lassen sich direkt mit Verteilungsdaten korrelieren, die Trends unterscheiden sich aber stark zwischen leichten, mittleren und schweren SEE. Allerdings konnte diese Studie zeigen, in welcher Gr{\"o}ßenordnung die {\"A}nderungen liegen m{\"u}ssen, um einen signifikanten Einfluss auf den Verteilungskoeffizenten zu haben. Weiterhin zeigt sich, dass der Einfluss der Schmelzzusammensetzung auf die Verteilung der Spurenelemente mit Zunahme der Polymerisierung steigt und daher nicht vernachl{\"a}ssigt werden darf.}, language = {de} } @phdthesis{Hildebrand2016, author = {Hildebrand, Viet}, title = {Twofold switchable block copolymers based on new polyzwitterions}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-101372}, school = {Universit{\"a}t Potsdam}, pages = {xvi, 170, LXXX}, year = {2016}, abstract = {In complement to the well-established zwitterionic monomers 3-((2-(methacryloyloxy)ethyl)dimethylammonio)propane-1-sulfonate ("SPE") and 3-((3-methacrylamidopropyl)dimethylammonio)propane-1-sulfonate ("SPP"), the closely related sulfobetaine monomers were synthesized and polymerized by reversible addition-fragmentation chain transfer (RAFT) polymerization, using a fluorophore labeled RAFT agent. The polyzwitterions of systematically varied molar mass were characterized with respect to their solubility in water, deuterated water, and aqueous salt solutions. These poly(sulfobetaine)s show thermoresponsive behavior in water, exhibiting upper critical solution temperatures (UCST). Phase transition temperatures depend notably on the molar mass and polymer concentration, and are much higher in D2O than in H2O. Also, the phase transition temperatures are effectively modulated by the addition of salts. The individual effects can be in parts correlated to the Hofmeister series for the anions studied. Still, they depend in a complex way on the concentration and the nature of the added electrolytes, on the one hand, and on the detailed structure of the zwitterionic side chain, on the other hand. For the polymers with the same zwitterionic side chain, it is found that methacrylamide-based poly(sulfobetaine)s exhibit higher UCST-type transition temperatures than their methacrylate analogs. The extension of the distance between polymerizable unit and zwitterionic groups from 2 to 3 methylene units decreases the UCST-type transition temperatures. Poly(sulfobetaine)s derived from aliphatic esters show higher UCST-type transition temperatures than their analogs featuring cyclic ammonium cations. The UCST-type transition temperatures increase markedly with spacer length separating the cationic and anionic moieties from 3 to 4 methylene units. Thus, apparently small variations of their chemical structure strongly affect the phase behavior of the polyzwitterions in specific aqueous environments. Water-soluble block copolymers were prepared from the zwitterionic monomers and the non-ionic monomer N-isopropylmethacrylamide ("NIPMAM") by the RAFT polymerization. Such block copolymers with two hydrophilic blocks exhibit twofold thermoresponsive behavior in water. The poly(sulfobetaine) block shows an UCST, whereas the poly(NIPMAM) block exhibits a lower critical solution temperature (LCST). This constellation induces a structure inversion of the solvophobic aggregate, called "schizophrenic micelle". Depending on the relative positions of the two different phase transitions, the block copolymer passes through a molecularly dissolved or an insoluble intermediate regime, which can be modulated by the polymer concentration or by the addition of salt. Whereas, at low temperature, the poly(sulfobetaine) block forms polar aggregates that are kept in solution by the poly(NIPMAM) block, at high temperature, the poly(NIPMAM) block forms hydrophobic aggregates that are kept in solution by the poly(sulfobetaine) block. Thus, aggregates can be prepared in water, which switch reversibly their "inside" to the "outside", and vice versa.}, language = {en} } @phdthesis{Herenz2016, author = {Herenz, Edmund Christian}, title = {Detecting and understanding extragalactic Lyman α emission using 3D spectroscopy}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102341}, school = {Universit{\"a}t Potsdam}, pages = {175}, year = {2016}, abstract = {In this thesis we use integral-field spectroscopy to detect and understand of Lyman α (Lyα) emission from high-redshift galaxies. Intrinsically the Lyα emission at λ = 1216 {\AA} is the strongest recombination line from galaxies. It arises from the 2p → 1s transition in hydrogen. In star-forming galaxies the line is powered by ionisation of the interstellar gas by hot O- and B- stars. Galaxies with star-formation rates of 1 - 10 Msol/year are expected to have Lyα luminosities of 42 dex - 43 dex (erg/s), corresponding to fluxes ~ -17 dex - -18 dex (erg/s/cm²) at redshifts z~3, where Lyα is easily accessible with ground-based telescopes. However, star-forming galaxies do not show these expected Lyα fluxes. Primarily this is a consequence of the high-absorption cross-section of neutral hydrogen for Lyα photons σ ~ -14 dex (cm²). Therefore, in typical interstellar environments Lyα photons have to undergo a complex radiative transfer. The exact conditions under which Lyα photons can escape a galaxy are poorly understood. Here we present results from three observational projects. In Chapter 2, we show integral field spectroscopic observations of 14 nearby star-forming galaxies in Balmer α radiation (Hα, λ = 6562.8 {\AA}). These observations were obtained with the Potsdam Multi Aperture Spectrophotometer at the Calar-Alto 3.5m Telescope}. Hα directly traces the intrinsic Lyα radiation field. We present Hα velocity fields and velocity dispersion maps spatially registered onto Hubble Space Telescope Lyα and Hα images. From our observations, we conjecture a causal connection between spatially resolved Hα kinematics and Lyα photometry for individual galaxies. Statistically, we find that dispersion-dominated galaxies are more likely to emit Lyα photons than galaxies where ordered gas-motions dominate. This result indicates that turbulence in actively star-forming systems favours an escape of Lyα radiation. Not only massive stars can power Lyα radiation, but also non-thermal emission from an accreting super-massive black hole in the galaxy centre. If a galaxy harbours such an active galactic nucleus, the rate of hydrogen-ionising photons can be more than 1000 times higher than that of a typical star-forming galaxy. This radiation can potentially ionise large regions well outside the main stellar body of galaxies. Therefore, it is expected that the neutral hydrogen from these circum-galactic regions shines fluorescently in Lyα. Circum-galactic gas plays a crucial role in galaxy formation. It may act as a reservoir for fuelling star formation, and it is also subject to feedback processes that expel galactic material. If Lyα emission from this circum-galactic medium (CGM) was detected, these important processes could be studied in-situ around high-z galaxies. In Chapter 3, we show observations of five radio-quiet quasars with PMAS to search for possible extended CGM emission in the Lyα line. However, in four of the five objects, we find no significant traces of this emission. In the fifth object, there is evidence for a weak and spatially quite compact Lyα excess at several kpc outside the nucleus. The faintness of these structures is consistent with the idea that radio-quiet quasars typically reside in dark matter haloes of modest masses. While we were not able to detect Lyα CGM emission, our upper limits provide constraints for the new generation of IFS instruments at 8--10m class telescopes. The Multi Unit Spectroscopic Explorer (MUSE) at ESOs Very Large Telescopeis such an unique instrument. One of the main motivating drivers in its construction was the use as a survey instrument for Lyα emitting galaxies at high-z. Currently, we are conducting such a survey that will cover a total area of ~100 square arcminutes with 1 hour exposures for each 1 square arcminute MUSE pointing. As a first result from this survey we present in Chapter 5 a catalogue of 831 emission-line selected galaxies from a 22.2 square arcminute region in the Chandra Deep Field South. In order to construct the catalogue, we developed and implemented a novel source detection algorithm -- LSDCat -- based on matched filtering for line emission in 3D spectroscopic datasets (Chapter 4). Our catalogue contains 237 Lyα emitting galaxies in the redshift range 3 ≲ z ≲ 6. Only four of those previously had spectroscopic redshifts in the literature. We conclude this thesis with an outlook on the construction of a Lyα luminosity function based on this unique sample (Chapter 6).}, language = {en} } @unpublished{PrasseGrubenMachlikaetal.2016, author = {Prasse, Paul and Gruben, Gerrit and Machlika, Lukas and Pevny, Tomas and Sofka, Michal and Scheffer, Tobias}, title = {Malware Detection by HTTPS Traffic Analysis}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-100942}, pages = {10}, year = {2016}, abstract = {In order to evade detection by network-traffic analysis, a growing proportion of malware uses the encrypted HTTPS protocol. We explore the problem of detecting malware on client computers based on HTTPS traffic analysis. In this setting, malware has to be detected based on the host IP address, ports, timestamp, and data volume information of TCP/IP packets that are sent and received by all the applications on the client. We develop a scalable protocol that allows us to collect network flows of known malicious and benign applications as training data and derive a malware-detection method based on a neural networks and sequence classification. We study the method's ability to detect known and new, unknown malware in a large-scale empirical study.}, language = {en} } @phdthesis{Harding2016, author = {Harding, Eleanor Elizabeth}, title = {Neurocognitive entrainment to meter influences syntactic comprehension in music and language}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102258}, school = {Universit{\"a}t Potsdam}, pages = {vi, 318}, year = {2016}, abstract = {Meter and syntax have overlapping elements in music and speech domains, and individual differences have been documented in both meter perception and syntactic comprehension paradigms. Previous evidence insinuated but never fully explored the relationship that metrical structure has to syntactic comprehension, the comparability of these processes across music and language domains, and the respective role of individual differences. This dissertation aimed to investigate neurocognitive entrainment to meter in music and language, the impact that neurocognitive entrainment had on syntactic comprehension, and whether individual differences in musical expertise, temporal perception and working memory played a role during these processes. A theoretical framework was developed, which linked neural entrainment, cognitive entrainment, and syntactic comprehension while detailing previously documented effects of individual differences on meter perception and syntactic comprehension. The framework was developed in both music and language domains and was tested using behavioral and EEG methods across three studies (seven experiments). In order to satisfy empirical evaluation of neurocognitive entrainment and syntactic aspects of the framework, original melodies and sentences were composed. Each item had four permutations: regular and irregular metricality, based on the hierarchical organization of strong and weak notes and syllables, and preferred and non-preferred syntax, based on structurally alternate endings. The framework predicted — for both music and language domains — greater neurocognitive entrainment in regular compared to irregular metricality conditions, and accordingly, better syntactic integration in regular compared to irregular metricality conditions. Individual differences among participants were expected for both entrainment and syntactic processes. Altogether, the dissertation was able to support a holistic account of neurocognitive entrainment to musical meter and its subsequent influence on syntactic integration of melodies, with musician participants. The theoretical predictions were not upheld in the language domain with musician participants, but initial behavioral evidence in combination with previous EEG evidence suggest that perhaps non-musician language EEG data would support the framework's predictions. Musicians' deviation from hypothesized results in the language domain were suspected to reflect heightened perception of acoustic features stemming from musical training, which caused current 'overly' regular stimuli to distract the cognitive system. The individual-differences approach was vindicated by the surfacing of two factors scores, Verbal Working Memory and Time and Pitch Discrimination, which in turn correlated with multiple experimental data across the three studies.}, language = {en} } @phdthesis{Shikangalah2016, author = {Shikangalah, Rosemary Ndawapeka}, title = {An ecohydrological impact assessment in urban areas}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102356}, school = {Universit{\"a}t Potsdam}, pages = {ii, 105}, year = {2016}, abstract = {Over the last decades, the world's population has been growing at a faster rate, resulting in increased urbanisation, especially in developing countries. More than half of the global population currently lives in urbanised areas with an increasing tendency. The growth of cities results in a significant loss of vegetation cover, soil compaction and sealing of the soil surface which in turn results in high surface runoff during high-intensity storms and causes the problem of accelerated soil water erosion on streets and building grounds. Accelerated soil water erosion is a serious environmental problem in cities as it gives rise to the contamination of aquatic bodies, reduction of ground water recharge and increase in land degradation, and also results in damages to urban infrastructures, including drainage systems, houses and roads. Understanding the problem of water erosion in urban settings is essential for the sustainable planning and management of cities prone to water erosion. However, in spite of the vast existence of scientific literature on water erosion in rural regions, a concrete understanding of the underlying dynamics of urban erosion still remains inadequate for the urban dryland environments. This study aimed at assessing water erosion and the associated socio-environmental determinants in a typical dryland urban area and used the city of Windhoek, Namibia, as a case study. The study used a multidisciplinary approach to assess the problem of water erosion. This included an in depth literature review on current research approaches and challenges of urban erosion, a field survey method for the quantification of the spatial extent of urban erosion in the dryland city of Windhoek, and face to face interviews by using semi-structured questionnaires to analyse the perceptions of stakeholders on urban erosion. The review revealed that around 64\% of the literatures reviewed were conducted in the developed world, and very few researches were carried out in regions with extreme climate, including dryland regions. Furthermore, the applied methods for erosion quantification and monitoring are not inclusive of urban typical features and they are not specific for urban areas. The reviewed literature also lacked aspects aimed at addressing the issues of climate change and policies regarding erosion in cities. In a field study, the spatial extent and severity of an urban dryland city, Windhoek, was quantified and the results show that nearly 56\% of the city is affected by water erosion showing signs of accelerated erosion in the form of rills and gullies, which occurred mainly in the underdeveloped, informal and semi-formal areas of the city. Factors influencing the extent of erosion in Windhoek included vegetation cover and type, socio-urban factors and to a lesser extent slope estimates. A comparison of an interpolated field survey erosion map with a conventional erosion assessment tool (the Universal Soil Loss Equation) depicted a large deviation in spatial patterns, which underlines the inappropriateness of traditional non-urban erosion tools to urban settings and emphasises the need to develop new erosion assessment and management methods for urban environments. It was concluded that measures for controlling water erosion in the city need to be site-specific as the extent of erosion varied largely across the city. The study also analysed the perceptions and understanding of stakeholders of urban water erosion in Windhoek, by interviewing 41 stakeholders using semi-structured questionnaires. The analysis addressed their understanding of water erosion dynamics, their perceptions with regards to the causes and the seriousness of erosion damages, and their attitudes towards the responsibilities for urban erosion. The results indicated that there is less awareness of the process as a phenomenon, instead there is more awareness of erosion damages and the factors contributing to the damages. About 69\% of the stakeholders considered erosion damages to be ranging from moderate to very serious. However, there were notable disparities between the private householders and public authority groups. The study further found that the stakeholders have no clear understanding of their responsibilities towards the management of the control measures and payment for the damages. The private householders and local authority sectors pointed fingers at each other for the responsibilities for erosion damage payments and for putting up prevention measures. The reluctance to take responsibility could create a predicament for areas affected, specifically in the informal settlements where land management is not carried out by the local authority and land is not owned by the occupants. The study concluded that in order to combat urban erosion, it is crucial to understand diverse dynamics aggravating the process of urbanisation from different scales. Accordingly, the study suggests that there is an urgent need for the development of urban-specific approaches that aim at: (a) incorporating the diverse socio-economic-environmental aspects influencing erosion, (b) scientifically improving natural cycles that influence water storages and nutrients for plants in urbanised dryland areas in order to increase the amount of vegetation cover, (c) making use of high resolution satellite images to improve the adopted methods for assessing urban erosion, (d) developing water erosion policies, and (e) continuously monitoring the impact of erosion and the influencing processes from local, national and international levels.}, language = {en} } @phdthesis{Steeples2016, author = {Steeples, Elliot}, title = {Amino acid-derived imidazolium salts: platform molecules for N-Heterocyclic carbene metal complexes and organosilica materials}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-101861}, school = {Universit{\"a}t Potsdam}, pages = {139}, year = {2016}, abstract = {In the interest of producing functional catalysts from sustainable building-blocks, 1, 3-dicarboxylate imidazolium salts derived from amino acids were successfully modified to be suitable as N-Heterocyclic carbene (NHC) ligands within metal complexes. Complexes of Ag(I), Pd(II), and Ir(I) were successfully produced using known procedures using ligands derived from glycine, alanine, β-alanine and phenylalanine. The complexes were characterized in solid state using X-Ray crystallography, which allowed for the steric and electronic comparison of these ligands to well-known NHC ligands within analogous metal complexes. The palladium complexes were tested as catalysts for aqueous-phase Suzuki-Miyaura cross-coupling. Water-solubility could be induced via ester hydrolysis of the N-bound groups in the presence of base. The mono-NHC-Pd complexes were seen to be highly active in the coupling of aryl bromides with phenylboronic acid; the active catalyst of which was determined to be mostly Pd(0) nanoparticles. Kinetic studies determined that reaction proceeds quickly in the coupling of bromoacetophenone, for both pre-hydrolyzed and in-situ hydrolysis catalyst dissolution. The catalyst could also be recycled for an extra run by simply re-using the aqueous layer. The imidazolium salts were also used to produce organosilica hybrid materials. This was attempted via two methods: by post-grafting onto a commercial organosilica, and co-condensation of the corresponding organosilane. The co-condensation technique harbours potential for the production of solid-support catalysts.}, language = {en} }