@phdthesis{Blankovsky2014, author = {Blankovsky, Yuval}, title = {עבירה לשמה}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-87158}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {A Transgression for the Sake of God -'Averah li-shmah: A Tale of a Radical Idea in Talmudic Literature All cultures, religions, and ethical or legal systems struggle with the role intention plays in evaluating actions. The Talmud compellingly elaborates on the notion of intention through the radical concept that "A sin committed for the sake of God [averah li-shmah] is greater than a commandment fulfilled not for the sake of God [mi-mizvah she-lo li-shmah]." The Babylonian Talmud attributes this concept—which challenges one of rabbinic Judaism's most fundamental dogmas, the obligation to fulfill the commandments and avoid sin—to R. Nahman b. Isaac (RNBI), a renowned 4th century Amora. Considering the normative character of the rabbinic culture in which Halakhah (Jewish religious law) plays such a central role, this concept, seems almost like a foreign body in the Talmudic corpus. The study focuses on the linguistic stratum of RNBI's statement. By tracking the development of the meanings and uses of the word 'li-shmah' the research locates RNBI's statement as part of the broader Talmudic discourse evaluating two levels of performing religious actions 'li-shmah/she-lo li-shmah'. Since we wish to explain the word 'li-shmah' consistently both times it appears in the statement, the best translation would be 'for the sake of God'. This translation is based on the linguistic connection between the word 'li-shmah' and the term 'le-shem shamayim' (for the sake of God) that appears in several rabbinic sources. This linguistic connection is also the key to identifying the possible root of RNBI's concept. RNBI bolsters his idea by quoting a verse about Jael, thus implying that Jael sinned for the sake of God. The research describes at least five statements in Sages' Literature that attribute sins for the sake of God to other biblical figures, all the while using the term 'le-shem shamim'. Therefore we may presume that RNBI's concept has evolved from the exegetical notion of attributing sin for the sake of God to biblical figures. To understand the way RNBI's statement was accepted in Talmudic culture, we must explore the textual witnesses to the literary frame of RNBI's statement: the Talmudic sugya (Nazir 23a; Horayot 10b). We possess five versions of the sugya's dialectical structure. Comparison of these versions, allows us to reconstruct the earlier dialectical structure, from which the familiar versions developed. The radical potential of RNBI's statement led to cultural activity, in the transmission of the sugya, in an effort to mitigate it. This activity is reflected in late additions to the sugya identified by our research—which should be viewed as a process of self-censorship for ideological reasons. This research explores a fundamental issue in rabbinic world: the immanent contradiction between law and intention. The research depicts in detail the movement of a radical idea from the margins culture to mainstream - in this case into the Babylonian Talmud. Therefore, the findings of this research provide substantial insight into our understanding of the interpretive process and of conceptual adaptation in rabbinic culture.}, language = {mul} } @phdthesis{Gurman2014, author = {Gurman, Avraham I.}, title = {איסור נישואי "מעוברת חברו ומנקת חברו" במשפט העברי}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77081}, school = {Universit{\"a}t Potsdam}, pages = {XIX, 343, P}, year = {2014}, abstract = {The Period of the Sages 1. The stringent approach in the early halakhah: we assume that a pregnant or nursing widow was forbidden to remarry because such a marriage would be considered trespassing on the domain of her late husband. This prohibition was perceived as quite severe since it stemmed from biblical verses. 2. The lenient approach: A different rationale was given for the prohibition, and significant exceptions were made to the prohibition. Furthermore, many rabbinic scholars maintained that the prohibition's duration should be less than twenty-four months. 3. Choosing stringency with the closing of the Talmud: At the end of the amoraic period, or, perhaps, even in the saboraic period, the rabbis decided to adopt the more stringent positions pertaining to the marital prohibition. They ruled that there were to be no exceptions to the law, except if the child died. Likewise, the rabbis ruled that the duration of the waiting period would be twenty-four months from the birth of the child. The Geonic period 4. In the Geonic period differences of opinion between the Babylonian Jews and the Jews living in the Land of Israel were preserved. These differences had their roots in sources in the Babylonian and Jerusalem Talmuds, respectively. Ultimately, the Babylonian Geonim ensured that the Babylonian Talmud's approach became the consensus opinion among the rabbinic decisors. The Period of the Rishonim (Early Authorities) 5. Broadening the scope of the prohibition: In the period of the Early Authorities, the rabbis decided that the prohibition also applied to divorcees who had children from their previous marriages and to single women who had children out of wedlock. These rulings greatly expanded the scope of the prohibition. 6. Exceptions to the prohibition - the case of R. Jacob ha-Kohen of Cracow and its impact on the Spanish sages: R. Jacob of Cracow believed that exceptions could be made to the prohibition. By hiring a wet nurse for the child and creating a mechanism that would prevent her from breaking her commitment, the mother could remarry. This position was vehemently rejected by the sages of Ashkenaz, but Spanish sages seemed to have accepted it. When R. Asher b. Yehiel (Rosh) fled to Spain, he revolutionized the Spanish approach, leading the Spanish sages to adopt the stringent approach that originated in Ashkenaz. The Modern period 7. In the Modern period, with the shortening of the average nursing period, the rabbinic decisors faced a dilemma: on the one hand the classical halakhic literature adopted a stringent approach to the prohibition, but on the other hand, the rationale to the prohibition almost disappeared. The Halakhah reacted to this new reality by adopting two contradictory approaches: the stringent one and the lenient one. 8. The stringent approach fashioned by the Chatam Sofer: The Chatam Sofer and his disciples were only willing to annul the prohibition if forbidding the marriage was likely to cause the child to ultimately forsake religion. The Chatam Sofer's stringent approach was influenced by the fact that one of the early religious reformers, R. Aharon Churin argued that the marital ban should be abrogated. In order to strengthen the prohibition's legitimacy, Sofer's student, the Maharam Schik, argued that the prohibition was biblically mandated and he suggested a new rational to the prohibition. 9. The lenient approach: This approach is the product of a number of lenient rulings issued by various rabbinic decisors. These leniencies reflect the tremendous openness of the text to interpretation. Sources that had been interpreted stringently for hundreds of years were suddenly interpreted in a far more lenient fashion. We presume that the change in interpretation was a result of the change of the surrounding environment. 10. The Chatam Sofer's school's stringent opinion influenced the lenient rabbinic decisors too, vitiating their willingness to cross certain boundaries. Thus, the lenient decisors were willing to adopt lenient interpretations to the ancient sources, but they were not usually willing to recognize the need for a dramatic change in the law's status in light of the changing reality.}, language = {mul} } @phdthesis{Hissler2014, author = {Hißler, Carl-Martin}, title = {Zwischen Liberalismus und Christentum : die sozialethischen Aspekte der sozialen Marktwirtschaft}, series = {Region - Nation - Europa}, volume = {74}, journal = {Region - Nation - Europa}, publisher = {LIT-Verl.}, address = {Berlin}, isbn = {978-3-643-12616-0}, pages = {356 S.}, year = {2014}, language = {de} } @phdthesis{Senyuk2014, author = {Senyuk, Ulyana}, title = {Zum Status relativ{\"a}hnlicher S{\"a}tze im Fr{\"u}hneuhochdeutschen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-91673}, school = {Universit{\"a}t Potsdam}, pages = {vi, 276}, year = {2014}, abstract = {Diese Arbeit befasst sich mit den sogenannten relativ{\"a}hnlichen S{\"a}tzen im Fr{\"u}hneuhochdeutschen und leistet somit einen Beitrag zur Subordinationsforschung des {\"a}lteren Deutsch. Relativ{\"a}hnliche S{\"a}tze sind formal durch ein satzinitiales anaphorisches d-Element und die Endstellung des finiten Verbs gekennzeichnet. Semantisch gesehen beziehen sie sich auf den vorangehenden Satz als Ganzes, indem sie ihn in bestimmter Weise weiterf{\"u}hren oder kommentieren. In der bisherigen Forschung werden diese S{\"a}tze satztypologisch als Haupts{\"a}tze mit Verbendstellung analysiert (vgl. dazu Maurer 1926, Behaghel 1932 und L{\"o}tscher 2000). Nach der ausf{\"u}hrlichen Diskussion der formalen Abh{\"a}ngigkeitsmarker im {\"a}lteren Deutsch sowie anhand einer umfangreichen korpusbasierten Untersuchung wird in dieser Arbeit gezeigt, dass relativ{\"a}hnliche S{\"a}tze im Fr{\"u}hneuhochdeutschen auch als abh{\"a}ngige S{\"a}tze - analog zu den weiterf{\"u}hrenden Relativs{\"a}tzen im Gegenwartsdeutschen - analysiert werden k{\"o}nnen. Die weiterf{\"u}hrenden Relativs{\"a}tze im Gegenwartsdeutschen enthalten satzinitial auch ein anaphorisches Element, das sich auf das Gesagte in dem vorangehenden Satz bezieht. Verbendstellung weisen sie ebenfalls auf (mehr zur Grammatik der weiterf{\"u}hrenden Relativs{\"a}tze vgl. insb. Brandt 1990 und Holler 2005). {\"U}ber die Untersuchung relativ{\"a}hnlicher S{\"a}tze hinaus befasst sich diese Arbeit ausf{\"u}hrlich mit formalen Abh{\"a}ngigkeitsmarkern des {\"a}lteren Deutsch, wie Verbendstellung, Einleiter und afinite Konstruktion.}, language = {de} } @phdthesis{Dahlsten2014, author = {Dahlsten, Ulf}, title = {World market governance}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70168}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Democratic capitalism or liberal democracy, as the successful marriage of convenience between market liberalism and democracy sometimes is called, is in trouble. The market economy system has become global and there is a growing mismatch with the territoriality of the nation-states. The functional global networks and inter-governmental order can no longer keep pace with the rapid development of the global market economy and regulatory capture is all too common. Concepts like de-globalization, self-regulation, and global government are floated in the debate. The alternatives are analysed and found to be improper, inadequate or plainly impossible. The proposed route is instead to accept that the global market economy has developed into an independent fundamental societal system that needs its own governance. The suggestion is World Market Governance based on the Rule of Law in order to shape the fitness environment for the global market economy and strengthen the nation-states so that they can regain the sovereignty to decide upon the social and cultural conditions in each country. Elements in the proposed Rule of Law are international legislation decided by an Assembly supported by a Council, and an independent Judiciary. Existing international organisations would function as executors. The need for broad sustained demand for regulations in the common interest is identified.}, language = {en} } @phdthesis{Ermeydan2014, author = {Ermeydan, Mahmut Ali}, title = {Wood cell wall modification with hydrophobic molecules}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71325}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Wood is used for many applications because of its excellent mechanical properties, relative abundance and as it is a renewable resource. However, its wider utilization as an engineering material is limited because it swells and shrinks upon moisture changes and is susceptible to degradation by microorganisms and/or insects. Chemical modifications of wood have been shown to improve dimensional stability, water repellence and/or durability, thus increasing potential service-life of wood materials. However current treatments are limited because it is difficult to introduce and fix such modifications deep inside the tissue and cell wall. Within the scope of this thesis, novel chemical modification methods of wood cell walls were developed to improve both dimensional stability and water repellence of wood material. These methods were partly inspired by the heartwood formation in living trees, a process, that for some species results in an insertion of hydrophobic chemical substances into the cell walls of already dead wood cells, In the first part of this thesis a chemistry to modify wood cell walls was used, which was inspired by the natural process of heartwood formation. Commercially available hydrophobic flavonoid molecules were effectively inserted in the cell walls of spruce, a softwood species with low natural durability, after a tosylation treatment to obtain "artificial heartwood". Flavonoid inserted cell walls show a reduced moisture absorption, resulting in better dimensional stability, water repellency and increased hardness. This approach was quite different compared to established modifications which mainly address hydroxyl groups of cell wall polymers with hydrophilic substances. In the second part of the work in-situ styrene polymerization inside the tosylated cell walls was studied. It is known that there is a weak adhesion between hydrophobic polymers and hydrophilic cell wall components. The hydrophobic styrene monomers were inserted into the tosylated wood cell walls for further polymerization to form polystyrene in the cell walls, which increased the dimensional stability of the bulk wood material and reduced water uptake of the cell walls considerably when compared to controls. In the third part of the work, grafting of another hydrophobic and also biodegradable polymer, poly(ɛ-caprolactone) in the wood cell walls by ring opening polymerization of ɛ-caprolactone was studied at mild temperatures. Results indicated that polycaprolactone attached into the cell walls, caused permanent swelling of the cell walls up to 5\%. Dimensional stability of the bulk wood material increased 40\% and water absorption reduced more than 35\%. A fully biodegradable and hydrophobized wood material was obtained with this method which reduces disposal problem of the modified wood materials and has improved properties to extend the material's service-life. Starting from a bio-inspired approach which showed great promise as an alternative to standard cell wall modifications we showed the possibility of inserting hydrophobic molecules in the cell walls and supported this fact with in-situ styrene and ɛ-caprolactone polymerization into the cell walls. It was shown in this thesis that despite the extensive knowledge and long history of using wood as a material there is still room for novel chemical modifications which could have a high impact on improving wood properties.}, language = {en} } @phdthesis{Lorey2014, author = {Lorey, Johannes}, title = {What's in a query : analyzing, predicting, and managing linked data access}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72312}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The term Linked Data refers to connected information sources comprising structured data about a wide range of topics and for a multitude of applications. In recent years, the conceptional and technical foundations of Linked Data have been formalized and refined. To this end, well-known technologies have been established, such as the Resource Description Framework (RDF) as a Linked Data model or the SPARQL Protocol and RDF Query Language (SPARQL) for retrieving this information. Whereas most research has been conducted in the area of generating and publishing Linked Data, this thesis presents novel approaches for improved management. In particular, we illustrate new methods for analyzing and processing SPARQL queries. Here, we present two algorithms suitable for identifying structural relationships between these queries. Both algorithms are applied to a large number of real-world requests to evaluate the performance of the approaches and the quality of their results. Based on this, we introduce different strategies enabling optimized access of Linked Data sources. We demonstrate how the presented approach facilitates effective utilization of SPARQL endpoints by prefetching results relevant for multiple subsequent requests. Furthermore, we contribute a set of metrics for determining technical characteristics of such knowledge bases. To this end, we devise practical heuristics and validate them through thorough analysis of real-world data sources. We discuss the findings and evaluate their impact on utilizing the endpoints. Moreover, we detail the adoption of a scalable infrastructure for improving Linked Data discovery and consumption. As we outline in an exemplary use case, this platform is eligible both for processing and provisioning the corresponding information.}, language = {en} } @phdthesis{ZerleElsaesser2014, author = {Zerle-Els{\"a}ßer, Claudia}, title = {Wer wird Vater und wann?}, publisher = {Wiss. Verl.}, address = {Berlin}, isbn = {978-3-86573-844-8}, pages = {299}, year = {2014}, language = {de} } @phdthesis{Burdack2014, author = {Burdack, Doreen}, title = {Water management policies and their impact on irrigated crop production in the Murray-Darling Basin, Australia}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-306-0}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72245}, school = {Universit{\"a}t Potsdam}, pages = {307}, year = {2014}, abstract = {The economic impact analysis contained in this book shows how irrigation farming is particularly susceptible when applying certain water management policies in the Australian Murray-Darling Basin, one of the world largest river basins and Australia's most fertile region. By comparing different pricing and non-pricing water management policies with the help of the Water Integrated Market Model, it is found that the impact of water demand reducing policies is most severe on crops that need to be intensively irrigated and are at the same time less water productive. A combination of increasingly frequent and severe droughts and the application of policies that decrease agricultural water demand, in the same region, will create a situation in which the highly water dependent crops rice and cotton cannot be cultivated at all.}, language = {en} } @phdthesis{Faber2014, author = {Faber, Eike}, title = {Von Ulfila bis Rekkared}, series = {Potsdamer altertumswissenschaftliche Beitr{\"a}ge ; Bd. 51}, journal = {Potsdamer altertumswissenschaftliche Beitr{\"a}ge ; Bd. 51}, publisher = {Steiner}, address = {Stuttgart}, isbn = {978-3-515-10929-1}, doi = {10.25162/9783515109291}, pages = {300}, year = {2014}, abstract = {F{\"u}r etwa 200 Jahre, vom Ende des 4. Jahrhunderts bis 589 n. Chr., geh{\"o}ren die Westgoten einem von der Orthodoxie der Reichskirche abweichenden christlichen Bekenntnis an. Auf dem 3. Konzil von Toledo beendet K{\"o}nig Rekkared diesen Zustand religi{\"o}ser Alterit{\"a}t durch die Konversion zum Katholizismus. Die antiken Berichte zeichnen nur vordergr{\"u}ndig ein koh{\"a}rentes Bild des Christentums der Goten. Dagegen weist Eike Faber Widerspr{\"u}che und Fehler in der {\"U}berlieferung nach und bietet eine Reihe neuer Interpretationen an. Die genauere Betrachtung vermag dabei sowohl den dogmatischen Gehalt des Christentums der Goten sch{\"a}rfer zu konturieren als auch die Beweggr{\"u}nde f{\"u}r die Annahme des neuen Glaubens herauszustellen und die traditionelle Datierung dieses Vorgangs zu widerlegen. Schließlich wird deutlich, welche Funktion das fortgesetzte Festhalten an einer demonstrativ anderen religi{\"o}sen {\"U}berzeugung f{\"u}r die Goten hatte. Pr{\"a}gnante Wegmarken der gotischen Geschichte, wie die Bibel{\"u}bersetzung Ulfilas, die Eroberung und Pl{\"u}nderung Roms 410 n. Chr. oder die demonstrative Aufgabe der religi{\"o}sen Differenz durch K{\"o}nig Rekkared, werden erst durch diesen neuen, umfassenden Kontext verst{\"a}ndlich.}, language = {de} } @phdthesis{Riemer2014, author = {Riemer, Martin}, title = {Vom Phenol zum Naturstoff : Entwicklung nachhaltiger Mikrowellen-vermittelter SUZUKI-MIYAURA-Kupplungen und Tandem-Reaktionen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72525}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Ziel dieser Arbeit war die Entwicklung von Methoden zur Synthese von auf Phenol basierenden Naturstoffen. Insbesondere wurde bei der Methodenentwicklung die Nachhaltigkeit in den Vordergrund ger{\"u}ckt. Dies bedeutet, dass durch die Zusammenfassung mehrerer Syntheseschritte zu einem (Tandem-Reaktion) beispielsweise unn{\"o}tige Reaktionsschritte vermieden werden sollten. Ferner sollten im Sinne der Nachhaltigkeit m{\"o}glichst ungiftige Reagenzien und L{\"o}sungmittel verwendet werden, ebenso wie mehrfach wiederverwertbare Katalysatoren zum Einsatz kommen. Im Rahmen dieser Arbeit wurden Methoden zum Aufbau von Biphenolen mittels Pd/C-katalysierten Suzuki-Miyaura-Kupplungen entwickelt. Diese Methoden sind insofern {\"a}ußerst effizient, da der ansonsten gebr{\"a}uchliche Syntheseweg {\"u}ber drei Reaktionsschritte somit auf lediglich eine Reaktionsstufe reduziert wurde. Weiterhin wurden die Reaktionsbedingungen so gestaltet, dass einfaches Wasser als vollkommen ungiftiges L{\"o}sungsmittel verwendet werden konnte. Des Weiteren wurde f{\"u}r diese Reaktionen ein Katalysator gew{\"a}hlt, der einfach durch Filtration vom Reaktionsgemisch abgetrennt und f{\"u}r weitere Reaktionen mehrfach wiederverwendet werden konnte. Dar{\"u}ber hinaus konnte durch die Synthese von mehr als 100 Verbindungen die breite Anwendbarkeit der Methoden aufgezeigt werden. Mit den entwickelten Methoden konnten 14 Naturstoffe - z. T. erstmals - synthetisiert werden. Derartige Stoffe werden u. a. von den {\"o}konomisch bedeutenden Kernobstgew{\"a}chsen ({\"A}pfeln, Birnen) als Abwehrmittel gegen{\"u}ber Sch{\"a}dlingen erzeugt. Folglich konnte mit Hilfe dieser Methoden ein Syntheseweg f{\"u}r potentielle Pflanzenschutzmittel entwickelt werden. Im zweiten Teil dieser Arbeit wurde ein Zugang zu den sich ebenfalls vom Phenol ableitenden Chromanonen, Chromonen und Cumarinen untersucht. Bei diesen Untersuchungen konnte durch die Entwicklung zweier neuer Tandem-Reaktionen ein nachhaltiger und stufen{\"o}konomischer Syntheseweg zur Darstellung substituierter Benzo(dihydro)pyrone aufgezeigt werden. Durch die erstmalige Kombination der Claisen-Umlagerung mit einer Oxa-Michael-Addition bzw. konjugierten-Addition wurden zwei vollkommen atom{\"o}konomische Reaktionen miteinander verkn{\"u}pft und somit eine {\"u}beraus effiente Synthese von allyl- bzw. prenylsubstituierten Chromanonen und Chromonen erm{\"o}glicht. Ferner konnten durch die Anwendung einer Claisen-Umlagerung-Wittig-Laktonisierungs-Reaktion allyl- bzw. prenylsubstituierte Cumarine erhalten werden. Herausragendes Merkmal dieser Methoden war, dass in nur einem Schritt der jeweilige Naturstoffgrundk{\"o}rper aufgebaut und eine lipophile Seitenkette generiert werden konnte. Die Entwicklung dieser Methoden ist von hohem pharmazeutischem Stellenwert, da auf diesen Wegen Verbindungen synthetisiert werden k{\"o}nnen, die zum einem {\"u}ber das notwendige pharmakologische Grundger{\"u}st verf{\"u}gen und zum anderen {\"u}ber eine Seitenkette, welche die Aufnahmef{\"a}higkeit und damit die Wirksamkeit im Organismus betr{\"a}chtlich erh{\"o}ht. Insgesamt konnten mittels der entwickelten Methoden 15 Chromanon-, Chromon- und Cumarin-Naturstoffe z. T. erstmals synthetisiert werden.}, language = {de} } @phdthesis{Goldbeck2014, author = {Goldbeck, Johanna}, title = {Volksaufkl{\"a}rerische Schulreform auf dem Lande in einer ihren Verflechtungen : das Besucherverzeichnis der Reckahner Musterschule Friedrich Eberhard von Rochows als Schl{\"u}sselquelle f{\"u}r europaweite Netzwerke im Zeitalter der Aufkl{\"a}rung}, series = {Philanthropismus und popul{\"a}re Aufkl{\"a}rung Studien und Dokumente}, volume = {7}, journal = {Philanthropismus und popul{\"a}re Aufkl{\"a}rung Studien und Dokumente}, publisher = {Ed. Lumi{\`e}re}, address = {Bremen}, isbn = {978-3-943245-19-6}, pages = {378 S.}, year = {2014}, language = {de} } @phdthesis{Schmiedchen2014, author = {Schmiedchen, Bettina}, title = {Vitamin D and its linkage between chronic kidney disease and cardiovascular integrity}, pages = {113}, year = {2014}, language = {en} } @phdthesis{Truemper2014, author = {Tr{\"u}mper, Jonas}, title = {Visualization techniques for the analysis of software behavior and related structures}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72145}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Software maintenance encompasses any changes made to a software system after its initial deployment and is thereby one of the key phases in the typical software-engineering lifecycle. In software maintenance, we primarily need to understand structural and behavioral aspects, which are difficult to obtain, e.g., by code reading. Software analysis is therefore a vital tool for maintaining these systems: It provides - the preferably automated - means to extract and evaluate information from their artifacts such as software structure, runtime behavior, and related processes. However, such analysis typically results in massive raw data, so that even experienced engineers face difficulties directly examining, assessing, and understanding these data. Among other things, they require tools with which to explore the data if no clear question can be formulated beforehand. For this, software analysis and visualization provide its users with powerful interactive means. These enable the automation of tasks and, particularly, the acquisition of valuable and actionable insights into the raw data. For instance, one means for exploring runtime behavior is trace visualization. This thesis aims at extending and improving the tool set for visual software analysis by concentrating on several open challenges in the fields of dynamic and static analysis of software systems. This work develops a series of concepts and tools for the exploratory visualization of the respective data to support users in finding and retrieving information on the system artifacts concerned. This is a difficult task, due to the lack of appropriate visualization metaphors; in particular, the visualization of complex runtime behavior poses various questions and challenges of both a technical and conceptual nature. This work focuses on a set of visualization techniques for visually representing control-flow related aspects of software traces from shared-memory software systems: A trace-visualization concept based on icicle plots aids in understanding both single-threaded as well as multi-threaded runtime behavior on the function level. The concept's extensibility further allows the visualization and analysis of specific aspects of multi-threading such as synchronization, the correlation of such traces with data from static software analysis, and a comparison between traces. Moreover, complementary techniques for simultaneously analyzing system structures and the evolution of related attributes are proposed. These aim at facilitating long-term planning of software architecture and supporting management decisions in software projects by extensions to the circular-bundle-view technique: An extension to 3-dimensional space allows for the use of additional variables simultaneously; interaction techniques allow for the modification of structures in a visual manner. The concepts and techniques presented here are generic and, as such, can be applied beyond software analysis for the visualization of similarly structured data. The techniques' practicability is demonstrated by several qualitative studies using subject data from industry-scale software systems. The studies provide initial evidence that the techniques' application yields useful insights into the subject data and its interrelationships in several scenarios.}, language = {en} } @phdthesis{Dietrich2014, author = {Dietrich, Christian}, title = {Verweigerte Anerkennung : Selbstbestimmungsdebatte im "Centralverein deutscher Staatsb{\"u}rger j{\"u}dischen Glaubens" vor dem Ersten Weltkrieg}, publisher = {Metropol-Verl.}, address = {Berlin}, isbn = {978-3-86331-151-3}, pages = {238 S.}, year = {2014}, language = {de} } @phdthesis{Tian2014, author = {Tian, Fang}, title = {Vegetation and environmental changes on millennial, centennial and decadal time-scales in central Mongolia and their driving forces}, school = {Universit{\"a}t Potsdam}, pages = {139}, year = {2014}, language = {en} } @phdthesis{Cao2014, author = {Cao, Xianyong}, title = {Vegetation and climate change in eastern continental Asia during the last 22 ka inferred from pollen data synthesis}, pages = {156}, year = {2014}, language = {en} } @phdthesis{Vu2014, author = {Vu, Dinh Phuong}, title = {Using video study to investigate eighth-grade mathematics classrooms in Vietnam}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72464}, school = {Universit{\"a}t Potsdam}, pages = {273}, year = {2014}, abstract = {The International Project for the Evaluation of Educational Achievement (IEA) was formed in the 1950s (Postlethwaite, 1967). Since that time, the IEA has conducted many studies in the area of mathematics, such as the First International Mathematics Study (FIMS) in 1964, the Second International Mathematics Study (SIMS) in 1980-1982, and a series of studies beginning with the Third International Mathematics and Science Study (TIMSS) which has been conducted every 4 years since 1995. According to Stigler et al. (1999), in the FIMS and the SIMS, U.S. students achieved low scores in comparison with students in other countries (p. 1). The TIMSS 1995 "Videotape Classroom Study" was therefore a complement to the earlier studies conducted to learn "more about the instructional and cultural processes that are associated with achievement" (Stigler et al., 1999, p. 1). The TIMSS Videotape Classroom Study is known today as the TIMSS Video Study. From the findings of the TIMSS 1995 Video Study, Stigler and Hiebert (1999) likened teaching to "mountain ranges poking above the surface of the water," whereby they implied that we might see the mountaintops, but we do not see the hidden parts underneath these mountain ranges (pp. 73-78). By watching the videotaped lessons from Germany, Japan, and the United States again and again, they discovered that "the systems of teaching within each country look similar from lesson to lesson. At least, there are certain recurring features [or patterns] that typify many of the lessons within a country and distinguish the lessons among countries" (pp. 77-78). They also discovered that "teaching is a cultural activity," so the systems of teaching "must be understood in relation to the cultural beliefs and assumptions that surround them" (pp. 85, 88). From this viewpoint, one of the purposes of this dissertation was to study some cultural aspects of mathematics teaching and relate the results to mathematics teaching and learning in Vietnam. Another research purpose was to carry out a video study in Vietnam to find out the characteristics of Vietnamese mathematics teaching and compare these characteristics with those of other countries. In particular, this dissertation carried out the following research tasks: - Studying the characteristics of teaching and learning in different cultures and relating the results to mathematics teaching and learning in Vietnam - Introducing the TIMSS, the TIMSS Video Study and the advantages of using video study in investigating mathematics teaching and learning - Carrying out the video study in Vietnam to identify the image, scripts and patterns, and the lesson signature of eighth-grade mathematics teaching in Vietnam - Comparing some aspects of mathematics teaching in Vietnam and other countries and identifying the similarities and differences across countries - Studying the demands and challenges of innovating mathematics teaching methods in Vietnam - lessons from the video studies Hopefully, this dissertation will be a useful reference material for pre-service teachers at education universities to understand the nature of teaching and develop their teaching career.}, language = {en} } @phdthesis{Leenen2014, author = {Leenen, Frederik}, title = {Urheberrecht und computergest{\"u}tzte Erkennung : zugleich ein Beitrag zu den Voraussetzungen eines Innominatfalls, der Reichweite der schlichten Einwilligung im Internet und der Anwendbarkeit der \S\S 8 - 10 TMG auf Suchdienste}, series = {Schriften zum Medien- und Informationsrecht}, volume = {9}, journal = {Schriften zum Medien- und Informationsrecht}, publisher = {Nomos}, address = {Baden-Baden}, isbn = {978-3-8487-1399-8}, pages = {272 S.}, year = {2014}, language = {de} } @phdthesis{Hutter2014, author = {Hutter, Anne}, title = {Unveiling the epoch of reionization by simulations and high-redshift galaxies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-76998}, school = {Universit{\"a}t Potsdam}, pages = {vi, 155}, year = {2014}, abstract = {The Epoch of Reionization marks after recombination the second major change in the ionization state of the universe, going from a neutral to an ionized state. It starts with the appearance of the first stars and galaxies; a fraction of high-energy photons emitted from galaxies permeate into the intergalactic medium (IGM) and gradually ionize the hydrogen, until the IGM is completely ionized at z~6 (Fan et al., 2006). While the progress of reionization is driven by galaxy evolution, it changes the ionization and thermal state of the IGM substantially and affects subsequent structure and galaxy formation by various feedback mechanisms. Understanding this interaction between reionization and galaxy formation is further impeded by a lack of understanding of the high-redshift galactic properties such as the dust distribution and the escape fraction of ionizing photons. Lyman Alpha Emitters (LAEs) represent a sample of high-redshift galaxies that are sensitive to all these galactic properties and the effects of reionization. In this thesis we aim to understand the progress of reionization by performing cosmological simulations, which allows us to investigate the limits of constraining reionization by high-redshift galaxies as LAEs, and examine how galactic properties and the ionization state of the IGM affect the visibility and observed quantities of LAEs and Lyman Break galaxies (LBGs). In the first part of this thesis we focus on performing radiative transfer calculations to simulate reionization. We have developed a mapping-sphere-scheme, which, starting from spherically averaged temperature and density fields, uses our 1D radiative transfer code and computes the effect of each source on the IGM temperature and ionization (HII, HeII, HeIII) profiles, which are subsequently mapped onto a grid. Furthermore we have updated the 3D Monte-Carlo radiative transfer pCRASH, enabling detailed reionization simulations which take individual source characteristics into account. In the second part of this thesis we perform a reionization simulation by post-processing a smoothed-particle hydrodynamical (SPH) simulation (GADGET-2) with 3D radiative transfer (pCRASH), where the ionizing sources are modelled according to the characteristics of the stellar populations in the hydrodynamical simulation. Following the ionization fractions of hydrogen (HI) and helium (HeII, HeIII), and temperature in our simulation, we find that reionization starts at z~11 and ends at z~6, and high density regions near sources are ionized earlier than low density regions far from sources. In the third part of this thesis we couple the cosmological SPH simulation and the radiative transfer simulations with a physically motivated, self-consistent model for LAEs, in order to understand the importance of the ionization state of the IGM, the escape fraction of ionizing photons from galaxies and dust in the interstellar medium (ISM) on the visibility of LAEs. Comparison of our models results with the LAE Lyman Alpha (Lya) and UV luminosity functions at z~6.6 reveals a three-dimensional degeneracy between the ionization state of the IGM, the ionizing photons escape fraction and the ISM dust distribution, which implies that LAEs act not only as tracers of reionization but also of the ionizing photon escape fraction and of the ISM dust distribution. This degeneracy does not even break down when we compare simulated with observed clustering of LAEs at z~6.6. However, our results show that reionization has the largest impact on the amplitude of the LAE angular correlation functions, and its imprints are clearly distinguishable from those of properties on galactic scales. These results show that reionization cannot be constrained tightly by exclusively using LAE observations. Further observational constraints, e.g. tomographies of the redshifted hydrogen 21cm line, are required. In addition we also use our LAE model to probe the question when a galaxy is visible as a LAE or a LBG. Within our model galaxies above a critical stellar mass can produce enough luminosity to be visible as a LBG and/or a LAE. By finding an increasing duty cycle of LBGs with Lya emission as the UV magnitude or stellar mass of the galaxy rises, our model reveals that the brightest (and most massive) LBGs most often show Lya emission. Predicting the Lya equivalent width (Lya EW) distribution and the fraction of LBGs showing Lya emission at z~6.6, we reproduce the observational trend of the Lya EWs with UV magnitude. However, the Lya EWs of the UV brightest LBGs exceed observations and can only be reconciled by accounting for an increased Lya attenuation of massive galaxies, which implies that the observed Lya brightest LAEs do not necessarily coincide with the UV brightest galaxies. We have analysed the dependencies of LAE observables on the properties of the galactic and intergalactic medium and the LAE-LBG connection, and this enhances our understanding of the nature of LAEs.}, language = {en} } @phdthesis{Pruefer2014, author = {Pr{\"u}fer, Nicole}, title = {Untersuchungen zur pro-inflammatorischen Wirkung von Serum-Amyloid A in glatten Gef{\"a}ßmuskelzellen}, pages = {XIII, 98}, year = {2014}, language = {de} } @phdthesis{Gerngross2014, author = {Gerngroß, Maik}, title = {Untersuchungen zur Herstellung por{\"o}ser Materialien durch Acetalisierungsreaktionen}, pages = {152}, year = {2014}, language = {de} } @phdthesis{Klaper2014, author = {Klaper, Matthias}, title = {Untersuchungen zum intramolekularen Transfer von Singulettsauerstoff auf Acene und Alkene}, school = {Universit{\"a}t Potsdam}, pages = {118}, year = {2014}, language = {de} } @phdthesis{Merkel2014, author = {Merkel, Roswitha}, title = {Untersuchung zur Synthese und Eigenschaften von komplexen Oligospiroketalen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72561}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Es ist in dieser Arbeit gelungen, starre Oligospiroketal(OSK)-St{\"a}be als Grundbausteine f{\"u}r komplexe 2D- und 3D-Systeme zu verwenden. Dazu wurde ein difunktionalisierter starrer Stab synthetisiert, der mit seines Gleichen und anderen verzweigten Funktionalisierungseinheiten in Azid-Alkin-Klickreaktionen eingesetzt wurde. An zwei {\"u}ber Klickreaktion verkn{\"u}pften OSK-St{\"a}ben konnten mittels theoretischer Berechnungen Aussagen {\"u}ber die neuartige Bimodalit{\"a}t der Konformation getroffen werden. Es wurde daf{\"u}r der Begriff Gelenkstab eingef{\"u}hrt, da die Molek{\"u}le um ein Gelenk gedreht sowohl gestreckt als auch geknickt vorliegen k{\"o}nnen. Aufbauend auf diesen Erkenntnissen konnte gezeigt werden, dass nicht nur gezielt große Polymere aus bis zu vier OSK-St{\"a}ben synthetisiert werden k{\"o}nnen, sondern es auch m{\"o}glich ist, durch gezielte {\"A}nderung von Reaktionsbedingungen der Klickreaktion auch Cyclen aus starren OSK-St{\"a}ben herzustellen. Die neu entwickelte Substanzklasse der Gelenkst{\"a}be wurde im Hinblick auf die Steuerung des vorliegenden Gleichgewichts zwischen geknicktem und gestrecktem Gelenkstab hin untersucht. Daf{\"u}r wurde der Gelenkstab mit Pyrenylresten in terminaler Position versehen. Es wurde durch Fluoreszenzmessungen festgestellt, dass das Gleichgewicht z. B. durch die Temperatur oder die Wahl des L{\"o}sungsmittels beeinflussbar ist. F{\"u}r vielfache Anwendungen wurde eine vereinfachte Synthesestrategie gefunden, mit der eine beliebige Funktionalisierung in nur einem Syntheseschritt erreicht werden konnte. Es konnten photoaktive Gelenkst{\"a}be synthetisiert werden, die gezielt zur intramolekularen Dimerisierung gef{\"u}hrt werden konnten. Zus{\"a}tzlich wurde durch Aminos{\"a}uren ein Verkn{\"u}pfungselement am Ende der Gelenkst{\"a}be gefunden, das eine stereoselektive Synthese von Mehrfachfunktionalisierungen zul{\"a}sst. Die Synthese der komplexen Gelenkst{\"a}be wurde als ein neuartiges Gebiet aufgezeigt und bietet ein breites Forschungspotential f{\"u}r weitere Anwendungen z. B. in der Biologie (als molekulare Schalter f{\"u}r Ionentransporte) und in der Materialchemie (als Ladungs- oder Energietransporteure).}, language = {de} } @phdthesis{Orgis2014, author = {Orgis, Thomas}, title = {Unstetige Galerkin-Diskretisierung niedriger Ordnung in einem atmosph{\"a}rischen Multiskalenmodell}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70687}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Die Dynamik der Atmosph{\"a}re der Erde umfasst einen Bereich von mikrophysikalischer Turbulenz {\"u}ber konvektive Prozesse und Wolkenbildung bis zu planetaren Wellenmustern. F{\"u}r Wettervorhersage und zur Betrachtung des Klimas {\"u}ber Jahrzehnte und Jahrhunderte ist diese Gegenstand der Modellierung mit numerischen Verfahren. Mit voranschreitender Entwicklung der Rechentechnik sind Neuentwicklungen der dynamischen Kerne von Klimamodellen, die mit der feiner werdenden Aufl{\"o}sung auch entsprechende Prozesse aufl{\"o}sen k{\"o}nnen, notwendig. Der dynamische Kern eines Modells besteht in der Umsetzung (Diskretisierung) der grundlegenden dynamischen Gleichungen f{\"u}r die Entwicklung von Masse, Energie und Impuls, so dass sie mit Computern numerisch gel{\"o}st werden k{\"o}nnen. Die vorliegende Arbeit untersucht die Eignung eines unstetigen Galerkin-Verfahrens niedriger Ordnung f{\"u}r atmosph{\"a}rische Anwendungen. Diese Eignung f{\"u}r Gleichungen mit Wirkungen von externen Kr{\"a}ften wie Erdanziehungskraft und Corioliskraft ist aus der Theorie nicht selbstverst{\"a}ndlich. Es werden n{\"o}tige Anpassungen beschrieben, die das Verfahren stabilisieren, ohne sogenannte „slope limiter" einzusetzen. F{\"u}r das unmodifizierte Verfahren wird belegt, dass es nicht geeignet ist, atmosph{\"a}rische Gleichgewichte stabil darzustellen. Das entwickelte stabilisierte Modell reproduziert eine Reihe von Standard-Testf{\"a}llen der atmosph{\"a}rischen Dynamik mit Euler- und Flachwassergleichungen in einem weiten Bereich von r{\"a}umlichen und zeitlichen Skalen. Die L{\"o}sung der thermischen Windgleichung entlang der mit den Isobaren identischen charakteristischen Kurven liefert atmosph{\"a}rische Gleichgewichtszust{\"a}nde mit durch vorgegebenem Grundstrom einstellbarer Neigung zu(barotropen und baroklinen)Instabilit{\"a}ten, die f{\"u}r die Entwicklung von Zyklonen wesentlich sind. Im Gegensatz zu fr{\"u}heren Arbeiten sind diese Zust{\"a}nde direkt im z-System(H{\"o}he in Metern)definiert und m{\"u}ssen nicht aus Druckkoordinaten {\"u}bertragen werden.Mit diesen Zust{\"a}nden, sowohl als Referenzzustand, von dem lediglich die Abweichungen numerisch betrachtet werden, und insbesondere auch als Startzustand, der einer kleinen St{\"o}rung unterliegt, werden verschiedene Studien der Simulation von barotroper und barokliner Instabilit{\"a}t durchgef{\"u}hrt. Hervorzuheben ist dabei die durch die Formulierung von Grundstr{\"o}men mit einstellbarer Baroklinit{\"a}t erm{\"o}glichte simulationsgest{\"u}tzte Studie des Grades der baroklinen Instabilit{\"a}t verschiedener Wellenl{\"a}ngen in Abh{\"a}ngigkeit von statischer Stabilit{\"a}t und vertikalem Windgradient als Entsprechung zu Stabilit{\"a}tskarten aus theoretischen Betrachtungen in der Literatur.}, language = {de} } @phdthesis{Beck2014, author = {Beck, Andreas}, title = {Unionsrechtliche Staatshaftung der EU-Mitgliedstaaten f{\"u}r judikatives Unrecht}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-80211}, school = {Universit{\"a}t Potsdam}, pages = {XIX, 260}, year = {2014}, abstract = {Obwohl in den unionalen Vertr{\"a}gen bis heute keine Vorschrift bez{\"u}glich einer Staatshaftung der Mitgliedstaaten f{\"u}r Entscheidungen ihrer Gerichte existiert, hat der Gerichtshof der Europ{\"a}ischen Union (EuGH) in einer Reihe von Entscheidungen eine solche Haftung entwickelt und pr{\"a}zisiert. Die vorliegende Arbeit analysiert eingehend diese Rechtsprechung mitsamt den sich daraus ergebenden facettenreichen Rechtsfragen. Im ersten Kapitel widmet sich die Arbeit der historischen Entwicklung der unionsrechtlichen Staatshaftung im Allgemeinen, ausgehend von dem bekannten Francovich-Urteil aus dem Jahr 1991. Sodann werden im zweiten Kapitel die zur Haftung f{\"u}r judikatives Unrecht grundlegenden Entscheidungen in den Rechtssachen K{\"o}bler und Traghetti vorgestellt. In dem sich anschließenden dritten Kapitel wird der Rechtscharakter der unionsrechtlichen Staatshaftung - einschließlich der Frage einer Subsidiarit{\"a}t des unionsrechtlichen Anspruchs gegen{\"u}ber bestehenden nationalen Staatshaftungsanspr{\"u}chen - untersucht. Das vierte Kapitel widmet sich der Frage, ob eine unionsrechtliche Staatshaftung f{\"u}r judikatives Unrecht prinzipiell anzuerkennen ist, wobei die wesentlichen f{\"u}r und gegen eine solche Haftung sprechenden Argumente ausf{\"u}hrlich behandelt und bewertet werden. Im f{\"u}nften Kapitel werden die im Zusammenhang mit den unionsrechtlichen Haftungsvoraussetzungen stehenden Probleme der Haftung f{\"u}r letztinstanzliche Gerichtsentscheidungen detailliert er{\"o}rtert. Zugleich wird der Frage nachgegangen, ob eine Haftung f{\"u}r fehlerhafte unterinstanzliche Gerichtsentscheidungen zu bef{\"u}rworten ist. Das sechste Kapitel befasst sich mit der Ausgestaltung der unionsrechtlichen Staatshaftung f{\"u}r letztinstanzliche Gerichtsentscheidungen durch die Mitgliedstaaten, wobei u.a. zur Anwendbarkeit der deutschen Haftungsprivilegien bei judikativem Unrecht auf den unionsrechtlichen Staatshaftungsanspruch Stellung genommen wird. Im letzten Kapitel wird der Frage nachgegangen, ob der EuGH {\"u}berhaupt {\"u}ber eine Kompetenz zur Schaffung der Staatshaftung f{\"u}r letztinstanzliche Gerichtsentscheidungen verf{\"u}gte. Abschließend werden die wichtigsten Ergebnisse der Arbeit pr{\"a}sentiert und ein Ausblick auf weitere m{\"o}gliche Auswirkungen und Entwicklungen der unionsrechtlichen Staatshaftung f{\"u}r judikatives Unrecht gegeben.}, language = {de} } @phdthesis{Logačev2014, author = {Logačev, Pavel}, title = {Underspecification and parallel processing in sentence comprehension}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-82047}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The aim of the present thesis is to answer the question to what degree the processes involved in sentence comprehension are sensitive to task demands. A central phenomenon in this regard is the so-called ambiguity advantage, which is the finding that ambiguous sentences can be easier to process than unambiguous sentences. This finding may appear counterintuitive, because more meanings should be associated with a higher computational effort. Currently, two theories exist that can explain this finding. The Unrestricted Race Model (URM) by van Gompel et al. (2001) assumes that several sentence interpretations are computed in parallel, whenever possible, and that the first interpretation to be computed is assigned to the sentence. Because the duration of each structure-building process varies from trial to trial, the parallelism in structure-building predicts that ambiguous sentences should be processed faster. This is because when two structures are permissible, the chances that some interpretation will be computed quickly are higher than when only one specific structure is permissible. Importantly, the URM is not sensitive to task demands such as the type of comprehension questions being asked. A radically different proposal is the strategic underspecification model by Swets et al. (2008). It assumes that readers do not attempt to resolve ambiguities unless it is absolutely necessary. In other words, they underspecify. According the strategic underspecification hypothesis, all attested replications of the ambiguity advantage are due to the fact that in those experiments, readers were not required to fully understand the sentence. In this thesis, these two models of the parser's actions at choice-points in the sentence are presented and evaluated. First, it is argued that the Swets et al.'s (2008) evidence against the URM and in favor of underspecification is inconclusive. Next, the precise predictions of the URM as well as the underspecification model are refined. Subsequently, a self-paced reading experiment involving the attachment of pre-nominal relative clauses in Turkish is presented, which provides evidence against strategical underspecification. A further experiment is presented which investigated relative clause attachment in German using the speed-accuracy tradeoff (SAT) paradigm. The experiment provides evidence against strategic underspecification and in favor of the URM. Furthermore the results of the experiment are used to argue that human sentence comprehension is fallible, and that theories of parsing should be able to account for that fact. Finally, a third experiment is presented, which provides evidence for the sensitivity to task demands in the treatment of ambiguities. Because this finding is incompatible with the URM, and because the strategic underspecification model has been ruled out, a new model of ambiguity resolution is proposed: the stochastic multiple-channel model of ambiguity resolution (SMCM). It is further shown that the quantitative predictions of the SMCM are in agreement with experimental data. In conclusion, it is argued that the human sentence comprehension system is parallel and fallible, and that it is sensitive to task-demands.}, language = {en} } @phdthesis{Goswami2014, author = {Goswami, Bedartha}, title = {Uncertainties in climate data analysis}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-78312}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Scientific inquiry requires that we formulate not only what we know, but also what we do not know and by how much. In climate data analysis, this involves an accurate specification of measured quantities and a consequent analysis that consciously propagates the measurement errors at each step. The dissertation presents a thorough analytical method to quantify errors of measurement inherent in paleoclimate data. An additional focus are the uncertainties in assessing the coupling between different factors that influence the global mean temperature (GMT). Paleoclimate studies critically rely on `proxy variables' that record climatic signals in natural archives. However, such proxy records inherently involve uncertainties in determining the age of the signal. We present a generic Bayesian approach to analytically determine the proxy record along with its associated uncertainty, resulting in a time-ordered sequence of correlated probability distributions rather than a precise time series. We further develop a recurrence based method to detect dynamical events from the proxy probability distributions. The methods are validated with synthetic examples and demonstrated with real-world proxy records. The proxy estimation step reveals the interrelations between proxy variability and uncertainty. The recurrence analysis of the East Asian Summer Monsoon during the last 9000 years confirms the well-known `dry' events at 8200 and 4400 BP, plus an additional significantly dry event at 6900 BP. We also analyze the network of dependencies surrounding GMT. We find an intricate, directed network with multiple links between the different factors at multiple time delays. We further uncover a significant feedback from the GMT to the El Ni{\~n}o Southern Oscillation at quasi-biennial timescales. The analysis highlights the need of a more nuanced formulation of influences between different climatic factors, as well as the limitations in trying to estimate such dependencies.}, language = {en} } @phdthesis{Trabant2014, author = {Trabant, Christoph}, title = {Ultrafast photoinduced phase transitions in complex materials probed by time-resolved resonant soft x-ray diffraction}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71377}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {In processing and data storage mainly ferromagnetic (FM) materials are being used. Approaching physical limits, new concepts have to be found for faster, smaller switches, for higher data densities and more energy efficiency. Some of the discussed new concepts involve the material classes of correlated oxides and materials with antiferromagnetic coupling. Their applicability depends critically on their switching behavior, i.e., how fast and how energy efficient material properties can be manipulated. This thesis presents investigations of ultrafast non-equilibrium phase transitions on such new materials. In transition metal oxides (TMOs) the coupling of different degrees of freedom and resulting low energy excitation spectrum often result in spectacular changes of macroscopic properties (colossal magneto resistance, superconductivity, metal-to-insulator transitions) often accompanied by nanoscale order of spins, charges, orbital occupation and by lattice distortions, which make these material attractive. Magnetite served as a prototype for functional TMOs showing a metal-to-insulator-transition (MIT) at T = 123 K. By probing the charge and orbital order as well as the structure after an optical excitation we found that the electronic order and the structural distortion, characteristics of the insulating phase in thermal equilibrium, are destroyed within the experimental resolution of 300 fs. The MIT itself occurs on a 1.5 ps timescale. It shows that MITs in functional materials are several thousand times faster than switching processes in semiconductors. Recently ferrimagnetic and antiferromagnetic (AFM) materials have become interesting. It was shown in ferrimagnetic GdFeCo, that the transfer of angular momentum between two opposed FM subsystems with different time constants leads to a switching of the magnetization after laser pulse excitation. In addition it was theoretically predicted that demagnetization dynamics in AFM should occur faster than in FM materials as no net angular momentum has to be transferred out of the spin system. We investigated two different AFM materials in order to learn more about their ultrafast dynamics. In Ho, a metallic AFM below T ≈ 130 K, we found that the AFM Ho can not only be faster but also ten times more energy efficiently destroyed as order in FM comparable metals. In EuTe, an AFM semiconductor below T ≈ 10 K, we compared the loss of magnetization and laser-induced structural distortion in one and the same experiment. Our experiment shows that they are effectively disentangled. An exception is an ultrafast release of lattice dynamics, which we assign to the release of magnetostriction. The results presented here were obtained with time-resolved resonant soft x-ray diffraction at the Femtoslicing source of the Helmholtz-Zentrum Berlin and at the free-electron laser in Stanford (LCLS). In addition the development and setup of a new UHV-diffractometer for these experiments will be reported.}, language = {en} } @phdthesis{Soja2014, author = {Soja, Aleksandra Maria}, title = {Transcriptomic and metabolomic analysis of Arabidopsis thaliana during abiotic stress}, pages = {134}, year = {2014}, language = {en} } @phdthesis{Schollaen2014, author = {Schollaen, Karina}, title = {Tracking climate signals in tropical trees}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71947}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The tropical warm pool waters surrounding Indonesia are one of the equatorial heat and moisture sources that are considered as a driving force of the global climate system. The climate in Indonesia is dominated by the equatorial monsoon system, and has been linked to El Ni{\~n}o-Southern Oscillation (ENSO) events, which often result in severe droughts or floods over Indonesia with profound societal and economic impacts on the populations living in the world's fourth most populated country. The latest IPCC report states that ENSO will remain the dominant mode in the tropical Pacific with global effects in the 21st century and ENSO-related precipitation extremes will intensify. However, no common agreement exists among climate simulation models for projected change in ENSO and the Australian-Indonesian Monsoon. Exploring high-resolution palaeoclimate archives, like tree rings or varved lake sediments, provide insights into the natural climate variability of the past, and thus helps improving and validating simulations of future climate changes. Centennial tree-ring stable isotope records | Within this doctoral thesis the main goal was to explore the potential of tropical tree rings to record climate signals and to use them as palaeoclimate proxies. In detail, stable carbon (δ13C) and oxygen (δ18O) isotopes were extracted from teak trees in order to establish the first well-replicated centennial (AD 1900-2007) stable isotope records for Java, Indonesia. Furthermore, different climatic variables were tested whether they show significant correlation with tree-ring proxies (ring-width, δ13C, δ18O). Moreover, highly resolved intra-annual oxygen isotope data were established to assess the transfer of the seasonal precipitation signal into the tree rings. Finally, the established oxygen isotope record was used to reveal possible correlations with ENSO events. Methodological achievements | A second goal of this thesis was to assess the applicability of novel techniques which facilitate and optimize high-resolution and high-throughput stable isotope analysis of tree rings. Two different UV-laser-based microscopic dissection systems were evaluated as a novel sampling tool for high-resolution stable isotope analysis. Furthermore, an improved procedure of tree-ring dissection from thin cellulose laths for stable isotope analysis was designed. The most important findings of this thesis are: I) The herein presented novel sampling techniques improve stable isotope analyses for tree-ring studies in terms of precision, efficiency and quality. The UV-laser-based microdissection serve as a valuable tool for sampling plant tissue at ultrahigh-resolution and for unprecedented precision. II) A guideline for a modified method of cellulose extraction from wholewood cross-sections and subsequent tree-ring dissection was established. The novel technique optimizes the stable isotope analysis process in two ways: faster and high-throughput cellulose extraction and precise tree-ring separation at annual to high-resolution scale. III) The centennial tree-ring stable isotope records reveal significant correlation with regional precipitation. High-resolution stable oxygen values, furthermore, allow distinguishing between dry and rainy season rainfall. IV) The δ18O record reveals significant correlation with different ENSO flavors and demonstrates the importance of considering ENSO flavors when interpreting palaeoclimatic data in the tropics. The findings of my dissertation show that seasonally resolved δ18O records from Indonesian teak trees are a valuable proxy for multi-centennial reconstructions of regional precipitation variability (monsoon signals) and large-scale ocean-atmosphere phenomena (ENSO) for the Indo-Pacific region. Furthermore, the novel methodological achievements offer many unexplored avenues for multidisciplinary research in high-resolution palaeoclimatology.}, language = {en} } @phdthesis{Lukas2014, author = {Lukas, Marcus}, title = {To breath or not to breathe - carbon budget regulation in Daphnia}, address = {Potsdam}, pages = {132 S.}, year = {2014}, language = {en} } @phdthesis{Biegholdt2014, author = {Biegholdt, Georg}, title = {Theorie und Praxis der Lerngruppensprache im Musikunterricht}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69657}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Der Umgang mit der musikalischen Fachsprache wird in den meisten Lehrpl{\"a}nen f{\"u}r den Musikunterricht der Sekundarstufe I gefordert. Allerdings fehlt nicht nur in den Lehrpl{\"a}nen, sondern auch in der musikdidaktischen Literatur eine inhaltliche Ausgestaltung dieser Forderung. {\"U}ber Inhalt, Umfang und Ziel der in der Schule anzuwendenden musikalischen Fachsprache herrscht daher keine Klarheit. Empirische Untersuchungen zu den sprachlichen Inhalten im Musikunterricht liegen ebenfalls nicht vor. Auch in vielen anderen Unterrichtsf{\"a}chern ist die Forschungslage die sprachlichen Inhalte betreffend {\"u}berschaubar. Mit der Verwendung von Sprache sind jedoch nicht nur Kommunikationsprozesse verbunden, sondern gleichzeitig Lernprozesse innerhalb der Sprache, von der Wortschatzerweiterung bis zur Herstellung von inhaltlich-thematischen Zusammenh{\"a}ngen. Diese Lernprozesse werden beeinflusst von der Wortwahl der Lernenden und Lehrenden. Die Wortwahl der Lernenden l{\"a}sst gleichzeitig einen Schluss zu auf den Stand des Wissens und dessen Vernetzung. Auf dieser Basis ist der sprachliche Inhalt des Musikunterrichtes der Gegenstand der vorgelegten Arbeit. Ziel der Studie war herauszu¬finden, inwieweit es gelingen kann, durch die Art und Weise des Einsatzes und den Umfang von Fachsprache im Musikunterricht Lernprozesse effektiver und erfolgreicher zu gestalten und besser an Gegenwarts- und Zukunftsbed{\"u}rfnissen der Lernenden auszurichten.}, language = {de} } @phdthesis{BacskaiAtkari2014, author = {Bacskai-Atkari, Julia}, title = {The syntax of comparative constructions : operators, ellipsis phenomena and functional left peripheries}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-301-5}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71255}, school = {Universit{\"a}t Potsdam}, pages = {xiii, 310}, year = {2014}, abstract = {Adopting a minimalist framework, the dissertation provides an analysis for the syntactic structure of comparatives, with special attention paid to the derivation of the subclause. The proposed account explains how the comparative subclause is connected to the matrix clause, how the subclause is formed in the syntax and what additional processes contribute to its final structure. In addition, it casts light upon these problems in cross-linguistic terms and provides a model that allows for synchronic and diachronic differences. This also enables one to give a more adequate explanation for the phenomena found in English comparatives since the properties of English structures can then be linked to general settings of the language and hence need no longer be considered as idiosyncratic features of the grammar of English. First, the dissertation provides a unified analysis of degree expressions, relating the structure of comparatives to that of other degrees. It is shown that gradable adjectives are located within a degree phrase (DegP), which in turn projects a quantifier phrase (QP) and that these two functional layers are always present, irrespectively of whether there is a phonologically visible element in these layers. Second, the dissertation presents a novel analysis of Comparative Deletion by reducing it to an overtness constraint holding on operators: in this way, it is reduced to morphological differences and cross-linguistic variation is not conditioned by way of postulating an arbitrary parameter. Cross-linguistic differences are ultimately dependent on whether a language has overt operators equipped with the relevant - [+compr] and [+rel] - features. Third, the dissertation provides an adequate explanation for the phenomenon of Attributive Comparative Deletion, as attested in English, by way of relating it to the regular mechanism of Comparative Deletion. I assume that Attributive Comparative Deletion is not a universal phenomenon, and its presence in English can be conditioned by independent, more general rules, while the absence of such restrictions leads to its absence in other languages. Fourth, the dissertation accounts for certain phenomena related to diachronic changes, examining how the changes in the status of comparative operators led to changes in whether Comparative Deletion is attested in a given language: I argue that only operators without a lexical XP can be grammaticalised. The underlying mechanisms underlying are essentially general economy principles and hence the processes are not language-specific or exceptional. Fifth, the dissertation accounts for optional ellipsis processes that play a crucial role in the derivation of typical comparative subclauses. These processes are not directly related to the structure of degree expressions and hence the elimination of the quantified expression from the subclause; nevertheless, they are shown to be in interaction with the mechanisms underlying Comparative Deletion or the absence thereof.}, language = {en} } @phdthesis{Schmitt2014, author = {Schmitt, Clemens Nikolaus Zeno}, title = {The role of protein metal complexes in the mechanics of Mytilus californianus byssal threads}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-74216}, school = {Universit{\"a}t Potsdam}, pages = {VIII, 93}, year = {2014}, abstract = {Protein-metal coordination complexes are well known as active centers in enzymatic catalysis, and to contribute to signal transduction, gas transport, and to hormone function. Additionally, they are now known to contribute as load-bearing cross-links to the mechanical properties of several biological materials, including the jaws of Nereis worms and the byssal threads of marine mussels. The primary aim of this thesis work is to better understand the role of protein-metal cross-links in the mechanical properties of biological materials, using the mussel byssus as a model system. Specifically, the focus is on histidine-metal cross-links as sacrificial bonds in the fibrous core of the byssal thread (Chapter 4) and L-3,4-dihydroxyphenylalanine (DOPA)-metal bonds in the protective thread cuticle (Chapter 5). Byssal threads are protein fibers, which mussels use to attach to various substrates at the seashore. These relatively stiff fibers have the ability to extend up to about 100 \% strain, dissipating large amounts of mechanical energy from crashing waves, for example. Remarkably, following damage from cyclic loading, initial mechanical properties are subsequently recovered by a material-intrinsic self-healing capability. Histidine residues coordinated to transition metal ions in the proteins comprising the fibrous thread core have been suggested as reversible sacrificial bonds that contribute to self-healing; however, this remains to be substantiated in situ. In the first part of this thesis, the role of metal coordination bonds in the thread core was investigated using several spectroscopic methods. In particular, X-ray absorption spectroscopy (XAS) was applied to probe the coordination environment of zinc in Mytilus californianus threads at various stages during stretching and subsequent healing. Analysis of the extended X-ray absorption fine structure (EXAFS) suggests that tensile deformation of threads is correlated with the rupture of Zn-coordination bonds and that self-healing is connected with the reorganization of Zn-coordination bond topologies rather than the mere reformation of Zn-coordination bonds. These findings have interesting implications for the design of self-healing metallopolymers. The byssus cuticle is a protective coating surrounding the fibrous thread core that is both as hard as an epoxy and extensible up to 100 \% strain before cracking. It was shown previously that cuticle stiffness and hardness largely depend on the presence of Fe-DOPA coordination bonds. However, the byssus is known to concentrate a large variety of metals from seawater, some of which are also capable of binding DOPA (e.g. V). Therefore, the question arises whether natural variation of metal composition can affect the mechanical performance of the byssal thread cuticle. To investigate this hypothesis, nanoindentation and confocal Raman spectroscopy were applied to the cuticle of native threads, threads with metals removed (EDTA treated), and threads in which the metal ions in the native tissue were replaced by either Fe or V. Interestingly, replacement of metal ions with either Fe or V leads to the full recovery of native mechanical properties with no statistical difference between each other or the native properties. This likely indicates that a fixed number of metal coordination sites are maintained within the byssal thread cuticle - possibly achieved during thread formation - which may provide an evolutionarily relevant mechanism for maintaining reliable mechanics in an unpredictable environment. While the dynamic exchange of bonds plays a vital role in the mechanical behavior and self-healing in the thread core by allowing them to act as reversible sacrificial bonds, the compatibility of DOPA with other metals allows an inherent adaptability of the thread cuticle to changing circumstances. The requirements to both of these materials can be met by the dynamic nature of the protein-metal cross-links, whereas covalent cross-linking would fail to provide the adaptability of the cuticle and the self-healing of the core. In summary, these studies of the thread core and the thread cuticle serve to underline the important and dynamic roles of protein-metal coordination in the mechanical function of load-bearing protein fibers, such as the mussel byssus.}, language = {en} } @phdthesis{Schulz2014, author = {Schulz, Elisa}, title = {The role of flavonols and anthocyanins in the cold an UV-B acclimation of Arabidopsis thaliana (L.)}, pages = {159}, year = {2014}, language = {en} } @phdthesis{Gassmoeller2014, author = {Gaßm{\"o}ller, Ren{\´e}}, title = {The interaction of subducted slabs and plume generation zones in geodynamic models}, school = {Universit{\"a}t Potsdam}, pages = {158}, year = {2014}, language = {en} } @phdthesis{Gericke2014, author = {Gericke, Lutz}, title = {Tele-Board - Supporting and analyzing creative collaboration in synchronous and asynchronous scenario}, pages = {186}, year = {2014}, language = {en} } @phdthesis{Zibulski2014, author = {Zibulski, Romy}, title = {Taxonomic composition and biochemical and isotopic characteristics of North-Siberian mosses and their application to the palaeoecological reconstruction of tundra polygon development}, pages = {ii, 127}, year = {2014}, language = {en} } @phdthesis{Budach2014, author = {Budach, Dennis B.}, title = {Synthese von Dendrimeren aus Oligospiroketal-Bausteinen}, school = {Universit{\"a}t Potsdam}, pages = {175}, year = {2014}, language = {de} } @phdthesis{Huettl2014, author = {H{\"u}ttl, Christine}, title = {Synthese und Charakterisierung von multivalenten peptidbasierten Liganden als biomolekulare Erkennunngseinheit f{\"u}r Influenzaviren}, address = {Potsdam}, pages = {139 S.}, year = {2014}, language = {de} } @phdthesis{Schaefer2014, author = {Schaefer, Laura}, title = {Synchronisationsph{\"a}nomene myotendin{\"o}ser Oszillationen interagierender neuromuskul{\"a}rer Systeme}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72445}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Muskeln oszillieren nachgewiesener Weise mit einer Frequenz um 10 Hz. Doch was geschieht mit myofaszialen Oszillationen, wenn zwei neuromuskul{\"a}re Systeme interagieren? Die Dissertation widmet sich dieser Fragestellung bei isometrischer Interaktion. W{\"a}hrend der Testmessungen ergaben sich Hinweise f{\"u}r das Vorhandensein von m{\"o}glicherweise zwei verschiedenen Formen der Isometrie. Arbeiten zwei Personen isometrisch gegeneinander, k{\"o}nnen subjektiv zwei Modi eingenommen werden: man kann entweder isometrisch halten - der Kraft des Partners widerstehen - oder isometrisch dr{\"u}cken - gegen den isometrischen Widerstand des Partners arbeiten. Daher wurde zus{\"a}tzlich zu den Messungen zur Interaktion zweier Personen an einzelnen Individuen gepr{\"u}ft, ob m{\"o}glicherweise zwei Formen der Isometrie existieren. Die Promotion besteht demnach aus zwei inhaltlich und methodisch getrennten Teilen: I „Single-Isometrie" und II „Paar-Isometrie". F{\"u}r Teil I wurden mithilfe eines pneumatisch betriebenen Systems die hypothetischen Messmodi Halten und Dr{\"u}cken w{\"a}hrend isometrischer Aktion untersucht. Bei n = 10 Probanden erfolgte parallel zur Aufzeichnung des Drucksignals w{\"a}hrend der Messungen die Erfassung der Kraft (DMS) und der Beschleunigung sowie die Aufnahme der mechanischen Muskeloszillationen folgender myotendin{\"o}ser Strukturen via Mechanomyo- (MMG) bzw. Mechanotendografie (MTG): M. triceps brachii (MMGtri), Trizepssehne (MTGtri), M. obliquus externus abdominis (MMGobl). Pro Proband wurden bei 80 \% der MVC sowohl sechs 15-Sekunden-Messungen (jeweils drei im haltenden bzw. dr{\"u}ckenden Modus; Pause: 1 Minute) als auch vier Erm{\"u}dungsmessungen (jeweils zwei im haltenden bzw. dr{\"u}ckenden Modus; Pause: 2 Minuten) durchgef{\"u}hrt. Zum Vergleich der Messmodi Halten und Dr{\"u}cken wurden die Amplituden der myofaszialen Oszillationen sowie die Kraftausdauer herangezogen. Signifikante Unterschiede zwischen dem haltenden und dem dr{\"u}ckenden Modus zeigten sich insbesondere im Bereich der Erm{\"u}dungscharakteristik. So lassen Probanden im haltenden Modus signifikant fr{\"u}her nach als im dr{\"u}ckenden Modus (t(9) = 3,716; p = .005). Im dr{\"u}ckenden Modus macht das l{\"a}ngste isometrische Plateau durchschnittlich 59,4 \% der Gesamtdauer aus, im haltenden sind es 31,6 \% (t(19) = 5,265, p = .000). Die Amplituden der Single-Isometrie-Messungen unterscheiden sich nicht signifikant. Allerdings variieren die Amplituden des MMGobl zwischen den Messungen im dr{\"u}ckenden Modus signifikant st{\"a}rker als im haltenden Modus. Aufgrund dieser teils signifikanten Unterschiede zwischen den beiden Messmodi wurde dieses Setting auch im zweiten Teil „Paar-Isometrie" ber{\"u}cksichtigt. Dort wurden n = 20 Probanden - eingeteilt in zehn gleichgeschlechtliche Paare - w{\"a}hrend isometrischer Interaktion untersucht. Die Sensorplatzierung erfolgte analog zu Teil I. Die Oszillationen der erfassten MTG- sowie MMG-Signale wurden u.a. mit Algorithmen der Nichtlinearen Dynamik auf ihre Koh{\"a}renz hin untersucht. Durch die Paar-Isometrie-Messungen zeigte sich, dass die Muskeln und die Sehnen beider neuromuskul{\"a}rer Systeme bei Interaktion im bekannten Frequenzbereich von 10 Hz oszillieren. Außerdem waren sie in der Lage, sich bei Interaktion so aufeinander abzustimmen, dass sich eine signifikante Koh{\"a}renz entwickelte, die sich von Zufallspaarungen signifikant unterscheidet (Patchanzahl: t(29) = 3,477; p = .002; Summe der 4 l{\"a}ngsten Patches: t(29) = 7,505; p = .000). Es wird der Schluss gezogen, dass neuromuskul{\"a}re Komplement{\"a}rpartner in der Lage sind, sich im Sinne koh{\"a}renten Verhaltens zu synchronisieren. Bez{\"u}glich der Parameter zur Untersuchung der m{\"o}glicherweise vorhandenen zwei Formen der Isometrie zeigte sich bei den Paar-Isometrie-Messungen zwischen Halten und Dr{\"u}cken ein signifikanter Unterschied bei der Erm{\"u}dungscharakteristik sowie bez{\"u}glich der Amplitude der MMGobl. Die Ergebnisse beider Teilstudien best{\"a}rken die Hypothese, dass zwei Formen der Isometrie existieren. Fraglich ist, ob man {\"u}berhaupt von Isometrie sprechen kann, da jede isometrische Muskelaktion aus feinen Oszillationen besteht, die eine per Definition postulierte Isometrie ausschließen. Es wird der Vorschlag unterbreitet, die Isometrie durch den Begriff der Hom{\"o}ometrie auszutauschen. Die Ergebnisse der Paar-Isometrie-Messungen zeigen u.a., dass neuromuskul{\"a}re Systeme in der Lage sind, ihre myotendin{\"o}sen Oszillationen so aufeinander abzustimmen, dass koh{\"a}rentes Verhalten entsteht. Es wird angenommen, dass hierzu beide neuromuskul{\"a}ren Systeme funktionell intakt sein m{\"u}ssen. Das Verfahren k{\"o}nnte f{\"u}r die Diagnostik funktioneller St{\"o}rungen relevant werden.}, language = {de} } @phdthesis{Fudickar2014, author = {Fudickar, Sebastian}, title = {Sub Ghz transceiver for indoor localisation of smartphones}, school = {Universit{\"a}t Potsdam}, pages = {IV, 167}, year = {2014}, language = {en} } @phdthesis{Pagel2014, author = {Pagel, J{\"o}rn}, title = {Statistical process-based models for the understanding and prediction of range dynamics}, pages = {VII, 147}, year = {2014}, language = {en} } @phdthesis{Tetzner2014, author = {Tetzner, Julia}, title = {Stability and change in academic, social, and emotional development from early adolescence to young adulthood}, school = {Universit{\"a}t Potsdam}, pages = {191}, year = {2014}, language = {en} } @phdthesis{Landerer2014, author = {Landerer, Steffi}, title = {Sripted reality : Historie, Tendenzen, Potenziale}, series = {University Thesis}, volume = {1}, journal = {University Thesis}, publisher = {WeltTrends}, address = {Potsdam}, isbn = {978-3-941880-89-4}, pages = {93 S.}, year = {2014}, language = {de} } @phdthesis{Maghsoudi2014, author = {Maghsoudi, Samira}, title = {Spatiotemporal microseismicity patterns and detection performance in mining environments}, address = {Potsdam}, pages = {104 S.}, year = {2014}, language = {en} } @phdthesis{Benz2014, author = {Benz, Verena}, title = {Sex-specific differences in the regulation of body weight dynamics and adipose tissue metabolism}, address = {Potsdam}, pages = {119 S.}, year = {2014}, language = {en} } @phdthesis{Pussak2014, author = {Pussak, Marcin}, title = {Seismic characterization of geothermal reservoirs by application of the common-reflection-surface stack method and attribute analysis}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77565}, school = {Universit{\"a}t Potsdam}, pages = {viii, 140}, year = {2014}, abstract = {An important contribution of geosciences to the renewable energy production portfolio is the exploration and utilization of geothermal resources. For the development of a geothermal project at great depths a detailed geological and geophysical exploration program is required in the first phase. With the help of active seismic methods high-resolution images of the geothermal reservoir can be delivered. This allows potential transport routes for fluids to be identified as well as regions with high potential of heat extraction to be mapped, which indicates favorable conditions for geothermal exploitation. The presented work investigates the extent to which an improved characterization of geothermal reservoirs can be achieved with the new methods of seismic data processing. The summations of traces (stacking) is a crucial step in the processing of seismic reflection data. The common-reflection-surface (CRS) stacking method can be applied as an alternative for the conventional normal moveout (NMO) or the dip moveout (DMO) stack. The advantages of the CRS stack beside an automatic determination of stacking operator parameters include an adequate imaging of arbitrarily curved geological boundaries, and a significant increase in signal-to-noise (S/N) ratio by stacking far more traces than used in a conventional stack. A major innovation I have shown in this work is that the quality of signal attributes that characterize the seismic images can be significantly improved by this modified type of stacking in particular. Imporoved attribute analysis facilitates the interpretation of seismic images and plays a significant role in the characterization of reservoirs. Variations of lithological and petro-physical properties are reflected by fluctuations of specific signal attributes (eg. frequency or amplitude characteristics). Its further interpretation can provide quality assessment of the geothermal reservoir with respect to the capacity of fluids within a hydrological system that can be extracted and utilized. The proposed methodological approach is demonstrated on the basis on two case studies. In the first example, I analyzed a series of 2D seismic profile sections through the Alberta sedimentary basin on the eastern edge of the Canadian Rocky Mountains. In the second application, a 3D seismic volume is characterized in the surroundings of a geothermal borehole, located in the central part of the Polish basin. Both sites were investigated with the modified and improved stacking attribute analyses. The results provide recommendations for the planning of future geothermal plants in both study areas.}, language = {en} } @phdthesis{Schulz2014, author = {Schulz, Anneli}, title = {Search for gamma-ray emission from bow shocks of runaway stars}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-73905}, school = {Universit{\"a}t Potsdam}, pages = {123}, year = {2014}, abstract = {The mystery of the origin of cosmic rays has been tackled for more than hundred years and is still not solved. Cosmic rays are detected with energies spanning more than 10 orders of magnitude and reaching energies up to ~10²¹ eV, far higher than any man-made accelerator can reach. Different theories on the astrophysical objects and processes creating such highly energetic particles have been proposed. A very prominent explanation for a process producing highly energetic particles is shock acceleration. The observation of high-energy gamma rays from supernova remnants, some of them revealing a shell like structure, is clear evidence that particles are accelerated to ultrarelativistic energies in the shocks of these objects. The environments of supernova remnants are complex and challenge detailed modelling of the processes leading to high-energy gamma-ray emission. The study of shock acceleration at bow shocks, created by the supersonic movement of individual stars through the interstellar medium, offers a unique possibility to determine the physical properties of shocks in a less complex environment. The shocked medium is heated by the stellar and the shock excited radiation, leading to thermal infrared emission. 28 bow shocks have been discovered through their infrared emission. Nonthermal radiation in radio and X-ray wavelengths has been detected from two bow shocks, pointing to the existence of relativistic particles in these systems. Theoretical models of the emission processes predict high-energy and very high-energy emission at a flux level in reach of current instruments. This work presents the search for gamma-ray emission from bow shocks of runaway stars in the energy regime from 100MeV to ~100TeV. The search is performed with the large area telescope (LAT) on-board the Fermi satellite and the H.E.S.S. telescopes located in the Khomas Highland in Namibia. The Fermi-LAT was launched in 2008 and is continuously scanning the sky since then. It detects photons with energies from 20MeV to over 300 GeV and has an unprecedented sensitivity. The all-sky coverage allows us to study all 28 bow shocks of runaway stars listed in the E-BOSS catalogue of infrared bow shocks. No significant emission was detected from any of the objects, although predicted by several theoretical models describing the non-thermal emission of bow shocks of runaway stars. The H.E.S.S. experiment is the most sensitive system of imaging atmospheric Cherenkov telescopes. It detects photons from several tens of GeV to ~100TeV. Seven of the bow shocks have been observed with H.E.S.S. and the data analysis is presented in this thesis. The analyses of the very-high energy data did not reveal significant emission from any of the sources either. This work presents the first systematic search for gamma-ray emission from bow shocks of runaway stars. For the first time Fermi-LAT data was specifically analysed to reveal emission from bow shocks of runaway stars. In the TeV regime no searches for emission from theses objects have been published so far, the study presented here is the first in this energy regime. The level of the gamma-ray emission from bow shocks of runaway stars is constrained by the calculated upper limits over six orders in magnitude in energy. The upper limits calculated for the bow shocks of runaway stars in the course of this work, constrain several models. For the best candidate, ζ Ophiuchi, the upper limits in the Fermi-LAT energy range are lower than the predictions by a factor ~5. This challenges the assumptions made in this model and gives valuable input for further modelling approaches. The analyses were performed with the software packages provided by the H.E.S.S. and Fermi collaborations. The development of a unified analysis framework for gamma-ray data, namely GammaLib/ctools, is rapidly progressing within the CTA consortium. Recent implementations and cross-checks with current software frameworks are presented in the Appendix.}, language = {en} }